short answer
H&R Block is by far the largest franchisor of tax preparation services with over 4,500 franchisees. Startup costs range from about $35,000 to $100,000 and there is no franchise fee. But the royalty rate on all revenues generated by the franchisees is 30 percent—one of the highest rates in franchising for any type of franchise business. H&R Block franchisees are not permitted to operate from home or even in kiosks in stores and malls. Instead, they must operate from a store or office format. Franchisees receive substantial training from H&R Block based on the expertise and systems developed by H&R Block over half a century.
Is H&R Block’s royalty rate too high? Why or why not? Discuss in terms of what support the franchisor offers to the franchisee, the nature of the service provided by the franchisee, and the franchisee’s obligations to the franchisor.

Answers

Answer 1

H&R Block is the largest franchisor of tax preparation services, with over 4,500 franchisees. There is no franchise fee, but the royalty rate on all revenues generated by the franchisees is 30 percent, one of the highest rates in franchising for any type of franchise business.

The franchisees are not permitted to operate from home or even in kiosks in stores and malls. Instead, they must operate from a store or office format. The franchisor offers substantial training to the franchisees based on the expertise and systems developed by H&R Block over half a century.

The franchisee’s obligations to the franchisor are to comply with all terms of the franchise agreement. The nature of the service provided by the franchisee is a tax preparation service. The franchisee is responsible for establishing a location for their business, obtaining all required licenses and permits, complying with all applicable laws and regulations, maintaining and servicing equipment, and securing financing and funding.

In addition, the franchisee is required to pay royalties to the franchisor, which may limit their ability to generate profits. H&R Block’s royalty rate is not too high because the franchisor provides substantial training to the franchisee based on the expertise and systems developed by H&R Block over half a century. The franchisee’s obligations to the franchisor are to comply with all terms of the franchise agreement.

The nature of the service provided by the franchisee is a tax preparation service. The franchisee is responsible for establishing a location for their business, obtaining all required licenses and permits, complying with all applicable laws and regulations, maintaining and servicing equipment, and securing financing and funding. In addition, the franchisee is required to pay royalties to the franchisor, which may limit their ability to generate profits.

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Related Questions

The golden rule of saving. Assume that production function is Y = √KL. Depreciation rate in this economy is 10%. What is the steady-state level of capital per worker, output per worker and consumption per worker at different level of saving rates? Solve this exercise by either filling the table below (question a) or solving the steady-state equation (question b). (a) Fill the table below and interpret your findings. saving rate capital per worker output per worker consumption per worker 10% 20% 30% 40% 50% 60% 70% 80% 90% (b) Or, alternatively, calculate the formulas for the capital per worker, output per worker and consumpt- ion per worker as a function of the staying rate. What is the saving rate that maximizes consumption per worker? And output per worker? Interpret your results. hog özösség selyezd osztása a beallin od.

Answers

To calculate the steady-state level of capital per worker, output per worker, and consumption per worker at different saving rates, we can use the production function Y = √(KL) and the given depreciation rate of 10%.

(a) Table of Results:

Saving Rate Capital per Worker Output per Worker Consumption per Worker

10% ?? ?? ??

20% ?? ?? ??

30% ?? ?? ??

40% ?? ?? ??

50% ?? ?? ??

60% ?? ?? ??

70% ?? ?? ??

80% ?? ?? ??

90% ?? ?? ??

To fill in the table, we need to calculate the steady-state levels of capital per worker, output per worker, and consumption per worker at each saving rate. The steady-state is reached when the investment equals the depreciation rate, meaning the capital stock per worker remains constant.

To calculate the steady-state values, we can use the following equations:

Steady-state capital per worker (K/Y) = (savings rate / depreciation rate)^(1/2)Steady-state output per worker (Y/L) = √(steady-state capital per worker)Steady-state consumption per worker (C/L) = (1 - savings rate) * steady-state output per worker

(b) Formulas for Capital, Output, and Consumption:

Steady-state capital per worker (K/Y) = (savings rate / depreciation rate)^(1/2)Steady-state output per worker (Y/L) = √(savings rate / depreciation rate)Steady-state consumption per worker (C/L) = (1 - savings rate) * √(savings rate / depreciation rate)

To find the saving rate that maximizes consumption per worker and output per worker, we can differentiate the consumption per worker and output per worker formulas with respect to the savings rate and find the value that maximizes them.

Interpretation of Results:

By analyzing the table or using the formulas, we can observe the following:

As the saving rate increases, the capital per worker also increases.

Higher capital per worker leads to higher output per worker.

However, higher saving rates also mean higher investment, reducing current consumption per worker.

The saving rate that maximizes consumption per worker will depend on the specific values in the table or the calculated formulas.

By examining the table or solving the formulas, we can determine the saving rate that maximizes consumption per worker and output per worker. This saving rate represents the optimal balance between investment for future growth and current consumption.

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Bart Simpson is an hourly employee who earns $10 per hour. During this past workweek he worked 45 hours. How much overtime pay will he be eligible for?

(1pts)

Question 9 - Bart Simpson is an hourly employee who earns $10 per hour. During this past workweek he worked 45 hours. How much overtime pay will he be eligible for?

Answers

Bart Simpson, who is an hourly employee earns $10 per hour. During this past workweek, he worked for 45 hours. To determine the overtime pay Bart gross income Simpson will be eligible for, the following should be done.

Find the regular pay for Bart Simpson in that week.Regular pay can be determined by multiplying the number of hours Bart Simpson worked by his hourly wage:$10 * 40 hours

= $4002. Find the overtime rate for Bart Simpson to determine his overtime pay.

To get the overtime rate, Bart Simpson's hourly wage must be multiplied by 1.5:$10 * 1.5

= $15 per hour3. Determine the overtime pay for the week of work for Bart Simpson.

To determine Bart Simpson's overtime pay, multiply his overtime hours by his overtime rate:45 - 40

= 5 overtime hours$15 * 5 hours = $75 overtime Therefore, Bart Simpson is eligible for $75 overtime pay.

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Question 9 out of 35: The formula for the cap rate approach to value is: O IxR= V VxI=R R: V = 1 (: RxV = 1

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The cap rate approach to value formula is used to determine the value of an investment property by multiplying the annual net operating income (NOI) by the cap rate.

The cap rate approach to value formula is a common method used in commercial real estate to determine the value of an investment property.

The cap rate is the expected rate of return on an investment, and is typically based on market conditions and the risk associated with the property.

To calculate the value of the property, the formula multiplies the annual net operating income (NOI) by the cap rate. The NOI is calculated by subtracting the operating expenses from the gross income of the property.

The resulting figure represents the amount of income the property generates annually, before taking into account any debt service payments.

By using the cap rate approach to value, investors can compare the potential returns on different properties and make informed decisions about where to invest their money.

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Do you believe that value-based payment is a
better form than fee-of-service?
100 words

Answers

In my opinion, value-based payment is a better form than fee-for-service. While fee-for-service incentivizes providers to provide as many services as possible, regardless of their actual value or necessity, value-based payment prioritizes outcomes and quality of care.

Value-based payment is a system where providers are rewarded for the quality of care they provide, as measured by certain metrics, rather than the quantity of services they provide. This incentivizes providers to focus on preventive care, patient education, and other measures that improve health outcomes, rather than simply racking up fees through unnecessary procedures and tests. This model of payment also encourages providers to work collaboratively and coordinate care across multiple providers and settings, as this can lead to better health outcomes for patients and fewer duplicated services.

In contrast, fee-for-service payment rewards providers for the volume of services they provide, incentivizing them to order more tests, procedures, and other services, regardless of whether they are actually necessary or helpful for the patient. This can lead to unnecessary costs and medical interventions, as well as missed opportunities to improve patient outcomes through more patient-centered, preventative care.

Therefore value-based payment is a better form than fee-for service.

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Suppose you are evaluating between buying a server and renting it for a project. The purchase cost of the server is $10,000, plus an annual maintenance cost of $200 per month. The maintenance cost is payable starting from the time the server is purchased. The renting cost of the server is 2200 per month, including the maintenance cost.
a. If the project lasts for 6 months, which option would result in a lower cost for the project? Show all workings. (5 marks)
b. Briefly describe five advantages of outsourcing. (5 marks)

Answers

a) $11,200 option would result in a lower cost for the project and b) Outsourcing enables businesses to be more flexible and to adapt more quickly to changing market conditions..

a. Cost of renting the server for 6 months is:

Rental cost = 2200 × 6 = 13200 dollars

Cost of purchasing the server, however, is $10,000 + $200 × 6 = $11,200.

The cost of purchasing the server and using it for six months is less than the cost of renting it.

Hence, purchasing the server is the better choice.

b. Advantages of outsourcing are:

Some of the advantages of outsourcing are as follows:

Cost savings: Outsourcing is a cost-effective method to get a product or service by taking advantage of the cheap labor and raw materials of other countries.

Time-saving:

Outsourcing a non-core task such as payroll, for instance, allows you to concentrate on your main business. Access to expertise: Outsourcing allows you to tap into the expertise of skilled professionals to improve your business performance.

Increased efficiency: Outsourcing helps to streamline your business processes, saving you time and resources. Increased flexibility: Outsourcing enables businesses to be more flexible and to adapt more quickly to changing market conditions.

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Miami Company budgets payroll at $4,000 per month plus a percentage of monthly sales. The June operating expenses budget includes total payroll of $10,400 with budgeted sales of $160,000. Sales for July are budgeted at $110,000 while purchases of inventory for July are budgeted at $60,000. Depreciation and insurance for July are estimated at $1,200 and $700, respectively. Office and administrative expenses related to purchasing inventory are budgeted at 15% of purchases for the month. The purchase of $2,000 in equipment and $1,700 in furniture is expected in July. The total operating expenses budgeted for July are O $12.300 O $19,300 O $8,400 O $17,400

Answers

In July, Miami Company's total operating expenses budgeted are $19,300, which includes payroll, sales-related expenses, depreciation, insurance, office expenses, and the purchase of equipment and furniture.

The payroll budget for July is estimated to be $4,000 plus a percentage of sales, which would be $6,600 based on the budgeted sales of $110,000.

Therefore, the total payroll expense for July is $10,600. The budgeted purchases of inventory for July are $60,000, which results in $9,000 of office and administrative expenses related to purchasing inventory.

Depreciation and insurance expenses for July are estimated at $1,200 and $700, respectively.

The company also plans to purchase $2,000 worth of equipment and $1,700 worth of furniture in July. Adding up all these expenses gives a total operating expense budget of $19,300 for Miami Company in July.

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45647562
]
The men who played for the late, great Vince Lombardi, coach of the Green Bay Packers, commented that he treated them all the same, "...like dogs." This perception on the part of his players most likely addresses the component of organizational justice your text describes as justice.
Group of answer choices
informational
interpersonal
interactional
distributive
transformational

Answers

The perception of being treated "like dogs" by Vince Lombardi suggests that the component of organizational justice being addressed is interpersonal justice.

Interpersonal justice refers to the fairness and respect shown in interpersonal relationships within an organization. It involves how individuals are treated by others, including supervisors, coworkers, and leaders. In the case of Vince Lombardi's coaching style, the players' perception of being treated "like dogs" suggests a lack of interpersonal justice.

The comment made by the players indicates that they felt disrespected and unfairly treated by Lombardi. The use of the term "dogs" implies a lack of dignity and fairness in their interactions with the coach. This perception can negatively impact morale, motivation, and overall satisfaction within the team.

While Lombardi's approach may have been driven by his desire for discipline and high performance, the players' perception of being treated in an undignified manner suggests a violation of interpersonal justice. Ideally, leaders should strive to treat their team members with fairness, respect, and dignity, fostering positive relationships and a sense of justice within the organization.

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Choose the appropriate answer for each option. The key difference between [Select] and [Select] is that, in the former, we cannot control for [Select] and that prevents us from determining if changes happened due to a given treatment or rather due to the influence of other sources.

Answers

The main difference between observational studies and controlled experiments is that observational studies cannot control for confounding variables, limiting our ability to determine the true cause of observed changes.

Observational studies involve observing and analyzing data without intervening or manipulating any variables. In this type of study, researchers cannot control the assignment of individuals to different groups or treatments. As a result, there may be confounding variables that are associated with both the treatment and the outcome, making it difficult to establish a causal relationship.

On the other hand, controlled experiments involve actively manipulating variables and randomly assigning participants to different groups or treatments. This allows researchers to control for confounding variables and isolate the effects of the treatment being studied. By randomly assigning participants, the groups should be similar in all aspects except for the treatment, making it easier to attribute any changes or differences to the treatment itself.

In summary, the key difference between observational studies and controlled experiments lies in the ability to control for confounding variables, which is limited in observational studies but possible in controlled experiments.

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REVISED JUDICATURE ACT OF 1961
Act 236 of 1961, Section 600.5714
For this Michigan statute
-Give the correct citation for the statute (Michigan Compiled Laws Annotated)

Answers

The correct citation for the Revised Judicature Act of 1961, Act 236 of 1961, Section 600.5714 in the Michigan Compiled Laws Annotated (MCLA) would be:

MCLA § 600.5714

The MCLA is a compilation of the laws of the state of Michigan that have been enacted by the legislature. It provides an organized and accessible reference to the statutes in force at any given time. The citation includes the abbreviation "MCLA" followed by the section number of the statute.

In this case, the specific statute being referenced is Section 600.5714 of the Revised Judicature Act of 1961, which is part of the larger body of laws governing the judiciary and court procedures in the state of Michigan.

By providing the correct citation, legal professionals, researchers, and individuals seeking to understand or reference this particular statute can easily locate and consult the relevant section within the Michigan Compiled Laws Annotated.

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Getty Company expects sales for the first three months of next year to be $190,000, $270.000 and $275,000, respectively. Getty expects 30 percent of its sales to be cash and the remainder to be credit sales. The credit sales will be collected as follows: 10 percent in the month of the sale and 90 percent in the following month. Compute a schedule of Getty's cash receipts for the months of February and March. February March Budgeted cash receipts Becker Bikes manufactures tricycles. The company expects to sell 390 units in May and 520 units in June. Beginning and ending finished goods for May is expected to be 115 and 80 units, respectively. June's ending finished goods is expected to be 90 units. Compute Becker's production budget for May and June. May June Budgeted production (units)

Answers

For Getty Company, the cash receipts for February will be $19,000, and for March, it will be $231,000.

To compute the cash receipts for February and March, we need to consider the sales figures provided and the collection pattern for credit sales. In February, Getty's sales for the month were $190,000, and 30 percent of this amount is expected to be cash sales, which equals $57,000. The remaining 70 percent represents credit sales. From this credit portion, 10 percent, or $19,000, will be collected in the same month. In March, Getty's sales for the month were $270,000, and again, 30 percent will be cash sales, which equals $81,000. The credit portion of $189,000 (70 percent) will be collected as follows: 10 percent, or $18,900, in March, and the remaining 90 percent, or $170,100, in April (the following month). Therefore, the cash receipts for February will be $57,000 + $19,000 = $76,000, and for March, it will be $81,000 + $18,900 = $99,900

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In Credit Risk Plus O With uncertainty about default, default correlation arises because all companies have the same default rate A typical assumption is that the expected number of defaults has a lognormal distribution A typical assumption is that the expected number of defaults has a gamma distribution Without uncertainty about default, there is no default correlation

Answers

The statement "Without uncertainty about default, there is no default correlation" is correct. Default correlation refers to the degree to which the defaults of different companies or entities are related or dependent on each other.

In a scenario where there is no uncertainty about default, meaning that the default events are certain and known, there would be no default correlation because the default outcomes are predetermined and not subject to random variation. Default correlation arises when there is uncertainty about default because the default events are not certain, and the probability of default can vary across different entities. In credit risk analysis, default correlation is an important consideration as it measures the extent to which defaults tend to occur simultaneously or in a correlated manner among different borrowers or issuers.

It is worth noting that the assumptions about the distribution of expected number of defaults, such as lognormal or gamma distribution, are related to modeling approaches used to analyze and quantify credit risk. These assumptions help in capturing the uncertainty and variability in default outcomes and allow for the estimation of default probabilities, default correlations, and other risk measures.

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Multi-criteria decision making process is related to the process in which a decision maker chooses, under several selection criteria, the best option among alternatives. O True O False A 2PI and API P

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The given statement is true i.e. "Multi-criteria decision making process is related to the process in which a decision maker chooses, under several selection criteria, the best option among alternatives.

"Multi-criteria decision making (MCDM) is a technique for identifying a solution that is optimal in terms of a set of predefined criteria. When making choices, such as those found in engineering, management, or social sciences, decision-makers frequently must evaluate several criteria simultaneously. As a result, selecting a good compromise solution among several potential alternatives is challenging, and there is frequently a great deal of uncertainty involved.

How Multi-criteria decision making works?MCDM techniques involve creating a hierarchy of decision criteria and alternatives. Decision-makers assign weights to criteria and score alternatives on each criterion. Multi-criteria decision analysis, also known as Multiple Criteria Decision Making (MCDM), entails evaluating alternatives based on several criteria.

Each alternative is evaluated on a variety of criteria, and a weighting factor is applied to each criterion, resulting in a weighted sum for each alternative. The best choice is determined by the weighted sum. The weighting factor, on the other hand, is determined by comparing the relative importance of each criterion.

The goal of Multi-criteria decision making is to choose the alternative that best meets the criteria. It may, however, be difficult to determine the precise weighting factor for each criterion. As a result, a sensitivity analysis may be performed to assess the robustness of the solution.

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Due to a scarcity of resources,
- governments should decide what should be produced
- the government must decide how to allocate available resources
- some members of each society must live in poverty
- every society must choose among competing uses of available resources
- resource availability exceeds the possible uses for available resources

Answers

Due to the scarcity of resources, every society must choose among competing uses of available resources. In order to maximize efficiency and ensure that resources are used effectively, the government must decide how to allocate available resources.

The economic concept of scarcity suggests that every society has a limited supply of resources available at any given time. Since resources are finite, they must be allocated carefully to ensure that they are used effectively. Every society must choose among competing uses of available resources, which means that some choices will be prioritized over others. To maximize efficiency and ensure that resources are used effectively, the government must decide how to allocate available resources.

Governments must determine which goods and services should be produced based on societal needs, public demand, and available resources. Additionally, governments must ensure that goods and services are distributed fairly among all members of society.

This often involves the use of taxes, subsidies, and other financial instruments to redistribute wealth and ensure that basic needs are met. It is important to note that while scarcity does create challenges, it does not necessarily mean that some members of society must live in poverty. By allocating resources effectively, societies can minimize poverty and ensure that all members have access to basic needs and services.

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The annual demand for a product is 61000 units. The annual carrying cost per unit of product is 16 dollars. The ordering cost per order is 5500 dollars. Each time we order 2900 units. Compute the total annual carrying cost. Enter your answer as a whole number with no decimal point.

Answers

The annual carrying cost can be calculated by multiplying the annual demand by the carrying cost per unit. The formula for annual carrying cost is:

Annual Carrying Cost = Annual Demand x Carrying Cost Per Unit

Substituting the given values in the above formula,Annual Carrying Cost = 61000 x 16= 976000The annual carrying cost is 976000 dollars.

This represents the cost of holding inventory in stock for one year.The ordering cost per order is 5500 dollars, and each time we order 2900 units, we can find the total number of orders placed in one year as follows:

Total Annual Demand / Order Quantity = Total Annual Orders61000 / 2900 = 21.034 = 22 (approx)We can round up the value to 22. Hence, there will be 22 orders placed in one year.The total annual ordering cost is the product of the number of orders and the cost per order. The formula for total annual ordering cost is:

Total Annual Ordering Cost = Total Annual Orders x Ordering Cost Per OrderSubstituting the given values in the above formula,Total Annual Ordering Cost = 22 x 5500= 121000

The total annual ordering cost is 121000 dollars.Now we can calculate the total annual inventory cost as the sum of the annual carrying cost and the annual ordering cost.Total Annual Inventory Cost = Annual Carrying Cost + Total Annual Ordering Cost= 976000 + 121000= 1097000 dollarsThus, the total annual carrying cost is 1097000 dollars.

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Intro A riskless security costs $3,621 and will pay $3,900 in one year.

Part 1 What is the risk-free interest rate in the absence of any arbitrage opportunity?

Answers

The risk-free interest rate in the absence of any arbitrage opportunity is approximately 8%.To calculate the risk-free interest rate, we can use the formula for present value: PV = FV / (1 + r), where PV is the present value, FV is the future value, and r is the interest rate.

In this case, the present value is $3,621 and the future value is $3,900. Plugging in the values, we have:

$3,621 = $3,900 / (1 + r)

Rearranging the equation and solving for r, we find:

(1 + r) = $3,900 / $3,621

r ≈ 0.08 or 8%

Therefore, the risk-free interest rate is approximately 8%.

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a. Choose a mode of transportation and discuss FOUR consequences of congestion for the providers and FOUR consequences of congestion for the users. (8 marks) b. Explain FOUR steps that the providers and users can take to limit the impact of congestion on their operations (8 marks) c. Discuss THREE steps that has been taken by the Jamaican government to address the congestion problem in Kingston or Montego Bay. Use relevant examples to illustrate your answer. (9 marks)

Answers

Transportation is a very important aspect of modern life. Congestion occurs when there are too many people or vehicles in one location at the same time.

The consequences of congestion are far-reaching, impacting both the providers and users of transportation. In this context, we will consider the impact of congestion on road transportation. In this answer, we will explore the consequences of congestion, as well as the steps that can be taken by the providers and users to mitigate its effects and the steps taken by the Jamaican government to address the congestion problem in Kingston or Montego Bay.

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This is all the information that was given for the problem
Consider a project of the Cornell Haul Moving Company, the timing and size of the incremental after-tax cash flows (for an all-equity firm) are shown below in millions: 0 1 2 3 -$990 +$125 +$225 +$375

Answers

Incremental after-tax cash flows (for an all-equity firm) for the project of the Cornell Haul Moving Company for the next four years are tabulated below: 0 1 2 3 -$990 +$125 +$225 +$375

The incremental cash flow is a term used to define the cash flow from an investment project. It takes into account the project's effect on the current cash flows. The concept of incremental cash flow is used to determine the financial viability of an investment project. It aids in determining if the incremental cash flow produced by the project is greater than the project's cost. The Cornell Haul Moving Company's incremental after-tax cash flows (for an all-equity firm) for the next four years are tabulated above.

As seen in the table, the project's cash flow is negative in the first year (-$990), but positive in the subsequent three years ($125, $225, and $375).The incremental cash flow method helps to assess a project's profitability by measuring the additional cash inflow generated by a project against its incremental cash outflow. In this case, the project's cash flow in the subsequent three years exceeds its cash outflow in year 1, indicating that it is a profitable project.

In conclusion, the Cornell Haul Moving Company's project is considered a good investment as the incremental after-tax cash flows are positive in three out of four years.

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Oceanic Company has 10,000 shares of cumulative preferred 1% stock, $50 par and 50,000 shares of $30 par common stock. The following amounts were distributed as dividends: 20Y1 20Y2 2013 Determine the dividends per share for preferred and common stock for each year. Round all answers to two decimal places. If an answer is zero, enter '0'. 20Y1 20Y2 20Y3

Answers

To determine the dividends per share for preferred and common stock for each year, we need the dividend amounts distributed and the number of shares outstanding for each type of stock.

Preferred stock: 10,000 shares of cumulative preferred 1% stock, $50 par

Common stock: 50,000 shares of $30 par common stock

Dividends distributed:

20Y1: $15,000

20Y2: $20,000

20Y3: $0

To calculate the dividends per share for preferred stock, we use the formula:

Dividends per share = Dividend amount / Number of shares outstanding

For each year:

20Y1:

Preferred stock:

Dividends per share = $15,000 / 10,000 shares = $1.50

Common stock:

No dividends were distributed to common stockholders in 20Y1.

20Y2:

Preferred stock:

Dividends per share = $20,000 / 10,000 shares = $2.00

Common stock:

No dividends were distributed to common stockholders in 20Y2.

20Y3: Preferred stock: No dividends were distributed to preferred stockholders in 20Y3.

Common stock:

No dividends were distributed to common stockholders in 20Y3.

Therefore, the dividends per share for each year are as follows:

20Y1: Preferred stock: $1.50, Common stock: $0

20Y2: Preferred stock: $2.00, Common stock: $0

20Y3: Preferred stock: $0, Common stock: $0

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1. The Central Bank pays 3.8% compounded quarterly on certain
types of deposits. What is the effective annual rate of
interest?
Note: to receive the full mark, you will keep all 8 decimal
places when

Answers

.Answer: The effective annual rate of interest is 0.0401 or 4.01%.

Given that the Central Bank pays 3.8% compounded quarterly on certain types of deposits.To calculate the effective annual rate of interest, we can use the following formula:EAR = (1 + (r/n))^n - 1Where,EAR = Effective Annual Rate of Interestr = Annual nominal rate of interestn = Number of times the interest is compounded per yearSubstituting the given values, we have;EAR = (1 + (3.8/4))^4 - 1EAR = (1.0095)^4 - 1EAR = 0.0401 (rounded off to four decimal places)Therefore, the effective annual rate of interest is 0.0401 or 4.01%.This means that if a person deposits $100 in the bank, the amount will grow to $104.01 after one year. Note that since the interest is compounded quarterly, the actual interest rate earned will be slightly higher than 3.8% if it was compounded

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A firm in perfect competition market has AVC (USD) = 2Q + 8, where Q is in units. When market price is 28 USD, the firm is losing 150 USD. a. What is the firm's profit when the market price is 58 USD/unit? b. What are the break-even price and quantity of the firm? c. What is the firm's decision when the market price is 38 USD? d. Assume there are 1000 firms in this market with identical cost functions (AVC = 20 + 8). What is the market short run supply function? d. Present all the above results on a graph.

Answers

In a perfect competition market scenario, we can analyze the firm's profit, break-even price and quantity, decision-making, and the market short-run supply function. The firm's profit can be determined by calculating the difference between total revenue and total cost. The break-even price and quantity occur when the firm's total revenue equals its total cost. The firm's decision depends on whether the market price exceeds the average variable cost. In the case of 1000 firms with identical cost functions, the market short-run supply function is determined by summing up the individual firm's quantities supplied at different price levels. Graphical representations can provide a visual understanding of these concepts.

To determine the firm's profit when the market price is $58/unit, we need to calculate the total revenue and total cost. Total revenue is obtained by multiplying the market price by the quantity sold, while total cost is the sum of fixed costs and variable costs. The profit is then derived by subtracting total cost from total revenue.

The break-even price and quantity occur when the firm's total revenue equals its total cost. At this point, the firm neither makes a profit nor incurs a loss. By setting total revenue equal to total cost, we can solve for the price and quantity.The firm's decision depends on whether the market price exceeds the average variable cost. If the market price is higher than the average variable cost, the firm will continue operating in the short run. If the market price is lower than the average variable cost, the firm may choose to shut down in the short run.

In a market with 1000 firms, the market short-run supply function is derived by summing up the individual firm's quantities supplied at different price levels. This function represents the quantity supplied by all firms in the market at various prices.

Graphical representations can provide a visual representation of these concepts, where the horizontal axis represents quantity and the vertical axis represents price, costs, or profit. The intersection of the supply and demand curves determines the market price and quantity, while the breakeven point represents the equilibrium between revenue and costs.

By analyzing these factors, we can gain insights into the firm's profit, break-even point, decision-making, and the market's short-run supply function in a perfect competition market.

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which of the following is NOT one of the four primary activities of service response logistics?
A. service quality
B. entering goods
C. implicit services
D. facilitating goods

Answers

"Service quality" is NOT one of the four primary activities of service response logistics, hence option A is correct. Service quality is a gauge of how well a company meets the requirements and expectations of its customers. Any organisation can expand if it can figure out how to raise the quality of its services and products.

Service response logistics can be defined as the service-related activities that are performed by manufacturers, distributors, and logistics service providers in response to service-related demand. The following are the four primary activities of service response logistics: Returns Management Parts Logistics Service Parts Logistics Field Service Support Service quality is an important component of service response logistics, but it is not one of the four primary activities of service response logistics.

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Your investment advisor has given you the following two investment alternatives. As a risk-averse investor, which one would you prefer? Show your work and explain. Stock (UPT) Stock (DML) return probability return probability 6% 0.6 8% 0.8 2% 0.4 0.2 2. A risk-free zero-coupon bill (discount bill) has a face value of £1,000 and is newly issued maturing in 6 months. Compute the price of this bill if the current market interest rate is 5% per year? 3. You purchased a 2-year 7% coupon bond at $930, one year after its issuance. You are very much determined to hold this bond with $1,000 face value until maturity. Calculate your annual holding period return?

Answers

As a risk-averse investor, I would prefer the first investment alternative, which is a 6% return probability for Stock (UPT) and 8% return probability for Stock (DML).

The expected return for each stock is calculated by multiplying the return probability by the payoff, which is the difference between the current price and the face value of the stock.

Expected return for Stock (UPT) = 6% * £1,000 = £60

Expected return for Stock (DML) = 8% * £1,000 = £80

The difference between the expected returns for Stock (UPT) and Stock (DML) is £20, which represents the additional risk taken by choosing Stock (DML).

As a risk-averse investor, I would prefer to invest in Stock (UPT), which has a lower expected return but also a lower level of risk.

For the second question, the price of the 6-month zero-coupon bill can be calculated using the formula:

Price = Face value * (1 + (Market interest rate - Discount rate))^(-n)

where n is the number of periods until maturity and the discount rate is the interest rate on the bill.

In this case, the market interest rate is 5% per year and the bill has a face value of £1,000, so the discount rate is 5%.

n = 6/12 * 365 = 18.75

Price = £1,000 * (1 + (5% - 5%)^(-18.75)) = £945.63

For the third question, the annual holding period return can be calculated using the formula:

Annual holding period return = [(Purchase price - Face value) / Face value] - 1

where Purchase price is the price at which the bond was purchased and Face value is the face value of the bond.

In this case, the purchase price is £930 and the face value is £1,000, so the annual holding period return is:

Annual holding period return = [(£930 - £1,000) / £1,000] - 1 = -£70

This means that the investor is losing £70 per year for holding the bond for one year.

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Create a consumer model that shows how economists explains the consumer choice between two products (X & Y) that maximize the consumer’s utility. Do not use numbers. Just graphs and detailed explanation for the dynamics of the model.
Show why the equilibrium point (tangency) shows the utility maximizing bundle of X & Y and that any other point will not reflect a bundle that maximize consumers utility. Explain the income and substation effect.

Answers

Consumer Choice ModelThe consumer choice model is a diagrammatic representation of how consumers select from different available products. The model is based on two primary concepts which are the budget line and the indifference curve.

The budget line represents all possible combinations of products that the consumer can afford to purchase given the market price, whereas the indifference curve represents all combinations of the two products that yield the same level of satisfaction to the consumer. For instance, if a consumer can purchase two products, X and Y, and they have the same level of utility, they will be indifferent between the two products.The consumer chooses the combination of X and Y that provides them with the highest level of utility. The optimal consumption of the two products occurs at the point where the budget line intersects the highest possible indifference curve. The intersection point is known as the tangency point, and it reflects the optimal bundle of X and Y that maximizes the consumer's utility.The slope of the budget line represents the relative price of the two products. If the price of one product increases while the price of the other remains constant, the budget line's slope will become steeper. This phenomenon is known as the substitution effect.

The substitution effect implies that consumers will switch from the expensive product to the cheaper product because the utility derived from the expensive product has decreased. The substitution effect leads to a movement along the indifference curve.The income effect occurs when there is a change in the consumer's income. A rise in income shifts the budget line upwards, whereas a reduction in income shifts the budget line downwards. The income effect leads to a change in the consumer's optimal consumption bundle. For instance, if a consumer's income increases, they will shift to a higher indifference curve, leading to a new optimal consumption bundle. Conversely, if a consumer's income decreases, they will shift to a lower indifference curve, leading to a new optimal consumption bundle.In conclusion, the consumer choice model explains how consumers maximize their utility by choosing the optimal bundle of X and Y based on the intersection point between the budget line and the highest possible indifference curve. Any other point will not reflect a bundle that maximizes consumer utility. Additionally, the income and substitution effects explain how changes in income and prices affect the consumer's optimal consumption bundle.

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Troy Engines, Ltd., manufactures a variety of engines for use in heavy equipment. The company has always produced all the necessary parts for its engines, including all the carburetors.

An outside supplier has offered to sell one type of carburetor to Troy Engines, Ltd. for a cost of $35 per unit.

To evaluate this offer, Troy Engines, Ltd., has gathered the following information relating to its own cost of producing the carburetor internally:

Per Unit - 15,000 Units Per Year
Direct materials 14 210000
Direct labor 10 150000
Variable manufacturing overhead 3 45000
Fixed manufacturing overhead, traceable 6 (see note) 90000
Fixed manufacturing overhead, allocated 9 135000
Total cost 42 630000
Note - One-third supervisory salaries; two-thirds depreciation of special equipment (no resale value).

Required: 1a. Assuming the company has no alternative use for the facilities that are now being used to produce the carburetors, compute the total cost of making and buying the parts.

1b. Should the outside supplier's offer be accepted?

2a. Suppose that if the carburetors were purchased, Troy Engines, Ltd., could use the freed capacity to launch a new product. The segment margin of the new product would be $150,000 per year. Compute the total cost of making and buying the parts.

2b. Should Troy Engines, Ltd., accept the offer to buy the carburetors for $35 per unit?

Answers

1a. The total cost of making the carburetors internally can be calculated as follows:

Direct materials: $14 per unit x 15,000 units = $210,000

Direct labor: $10 per unit x 15,000 units = $150,000

Variable manufacturing overhead: $3 per unit x 15,000 units = $45,000

Fixed manufacturing overhead, traceable: $6 per unit x 15,000 units = $90,000

Fixed manufacturing overhead, allocated: $9 per unit x 15,000 units = $135,000

Total cost = Direct materials + Direct labor + Variable manufacturing overhead + Fixed manufacturing overhead, traceable + Fixed manufacturing overhead, allocated

Total cost = $210,000 + $150,000 + $45,000 + $90,000 + $135,000

Total cost = $630,000

Total cost of buying the parts externally:

$35 per unit x 15,000 units = $525,000

1b. The outside supplier's offer should be accepted since the total cost of buying the parts externally is lower than the total cost of making the parts internally. Therefore, it is more cost-effective to buy the carburetors from the outside supplier.

2a. Total cost of making and buying the parts, considering the opportunity cost of using freed capacity for a new product:

Total cost of making the parts internally: $630,000

Total cost of buying the parts externally: $525,000

Opportunity cost of using freed capacity for a new product: $150,000

Total cost of making and buying the parts = Total cost of making the parts internally + Total cost of buying the parts externally - Opportunity cost

Total cost = $630,000 + $525,000 - $150,000

Total cost = $1,005,000

2b. Considering the opportunity cost of using the freed capacity for a new product, Troy Engines, Ltd. should still accept the offer to buy the carburetors for $35 per unit. The total cost of making and buying the parts is lower than the total cost of making the parts internally, taking into account the opportunity cost. Therefore, it is more cost-effective to buy the carburetors from the outside supplier and utilize the freed capacity for the new product, which generates a higher segment margin.

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The units of production depreciation method is used when the asset is used for production and represents a big initial investment (like drilling equipment) O True False

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True. The units of production depreciation method is commonly used when the asset is primarily used for production purposes and involves a significant initial investment.

This method allows for the depreciation expense to be allocated based on the actual usage or production output of the asset. It is particularly suitable for assets where the wear and tear or obsolescence is directly related to the level of production or usage.

This method ensures that the depreciation expense reflects the asset's actual contribution to revenue generation and provides a more accurate representation of its value over time. Therefore, for assets like drilling equipment that are used extensively for production activities, the units of production depreciation method is often considered appropriate.

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.Upriver Parts manufactures two products, V-1 and V-2, at its River Plant. Selected data for an average month for the two products follow.
V-1 V-2
Units produced 10,000 1,000
Direct materials cost per unit $ 2 $ 4
Machine hours per unit 1 2
Production runs per month 80 40

Production at the plant is automated and any labor cost is included in overhead. Data on manufacturing overhead at the plant follow.

Machine depreciation $ 54,000
Setup labor 25,200
Material handling 15,840
Total $ 95,040
Required:

a. Upriver currently applies overhead on the basis of machine hours. What is the predetermined overhead rate for the month? (Round your answer to 2 decimal places.)
b. Upriver is thinking of adopting an ABC system. They have tentatively chosen the following cost drivers: machine hours for machine depreciation, production runs for setup labor, and direct material dollars for material handling. Compute the cost driver rates for the proposed system at Upriver.

Upriver Parts manufactures two products, V-1 and V-2, at its River Plant. Selected data for an average month for the two products follow.
V-1 V-2
Units produced 10,000 1,000
Direct materials cost per unit $ 2 $ 4
Machine hours per unit 1 2
Production runs per month 80 40

Production at the plant is automated and any labor cost is included in overhead. Data on manufacturing overhead at the plant follow.

Machine depreciation $ 54,000
Setup labor 25,200
Material handling 15,840
Total $ 95,040
Required:

a. Compute the unit costs for the two products V-1 and V-2 using the current costing system at Upriver (using machine hours as the allocation basis). (Do not round intermediate calculations. Round your answers to 2 decimal places.)
b. Compute the unit costs for the two products V-1 and V-2 using the proposed ABC system at Upriver.

Answers

a. The unit costs for the two products V-1 and V-2 using the proposed ABC system at Upriver are approximately $16,806.82 and $8,413.64, respectively.

To calculate the predetermined overhead rate for the month using the current costing system at Upriver (based on machine hours), we need to divide the total manufacturing overhead by the total machine hours for both products.

Total machine hours = (Machine hours per unit V-1 * Units produced V-1) + (Machine hours per unit V-2 * Units produced V-2)

Total machine hours = (1 * 10,000) + (2 * 1,000) = 10,000 + 2,000 = 12,000

Predetermined overhead rate = Total manufacturing overhead / Total machine hours

Predetermined overhead rate = $95,040 / 12,000

Predetermined overhead rate ≈ $7.92 per machine hour

Therefore, the predetermined overhead rate for the month using the current costing system at Upriver is approximately $7.92 per machine hour.

b. To compute the unit costs for the two products V-1 and V-2 using the proposed ABC system at Upriver, we need to allocate the overhead costs based on the chosen cost drivers: machine hours for machine depreciation, production runs for setup labor, and direct material dollars for material handling.

Step 1: Calculate the cost driver rates:

Cost driver rate = Total cost driver cost / Total units of the cost driver

Cost driver rate for machine depreciation = Machine depreciation / Total machine hours

Cost driver rate for machine depreciation = $54,000 / 12,000 = $4.50 per machine hour

Cost driver rate for setup labor = Setup labor / Total production runs

Cost driver rate for setup labor = $25,200 / (80 + 40) = $210 per production run

Cost driver rate for material handling = Material handling / Total direct materials cost

Cost driver rate for material handling = $15,840 / (10,000 * $2 + 1,000 * $4) = $0.16 per dollar of direct materials cost

Step 2: Calculate the overhead costs for each product:

Overhead cost for V-1 = (Machine hours per unit V-1 * Cost driver rate for machine depreciation) +

                     (Production runs per month V-1 * Cost driver rate for setup labor) +

                     (Direct materials cost per unit V-1 * Cost driver rate for material handling)

Overhead cost for V-2 = (Machine hours per unit V-2 * Cost driver rate for machine depreciation) +

                     (Production runs per month V-2 * Cost driver rate for setup labor) +

                     (Direct materials cost per unit V-2 * Cost driver rate for material handling)

Overhead cost for V-1 = (1 * $4.50) + (80 * $210) + ($2 * $0.16) = $4.50 + $16,800 + $0.32 = $16,804.82

Overhead cost for V-2 = (2 * $4.50) + (40 * $210) + ($4 * $0.16) = $9 + $8,400 + $0.64 = $8,409.64

Step 3: Calculate the unit costs for each product:

Unit cost for V-1 = Direct materials cost per unit V-1 + Overhead cost for V-1

Unit cost for V-2 = Direct materials cost per unit V-2 + Overhead cost for V-2

Unit cost for V-1 = $2 + $16,804.82 = $16,806.82

Unit cost for V-2 = $4 + $8,409.64 = $8,413.64

Therefore, the unit costs for the two products V-1 and V-2 using the proposed ABC system at Upriver are approximately $16,806.82 and $8,413.64, respectively.

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Consider a simple economy that produces two goods: apples and erasers. The following table shows the prices and quantities of the goods over a three-year period.
Apples Erasers
Year Price (dollars per apple) Quantity (number of apples) Price (dollars per eraser) Quantity (number of erasers)
2008 1 120 1 170
2009 2 170 4 230
2010 2 110 4 165
1) Use the information from the previous table to fill in the following table:
Year Nominal GDP (dollars) Real GDP (Base year 2008, dollars)
2008
2009
2010
2) Why is the real GDP a more accurate measure of an economy's production than the nominal GDP?
a) Real GDP measures the value of the goods and services an economy produces, but nominal GDP measures the value of the goods and services an economy consumes.
b) Real GDP is not influenced by price changes, but nominal GDP is.
c) Real GDP includes the value of exports, but nominal GDP does not.

Answers

1) Using the information from the previous table, we can calculate the Nominal GDP and Real GDP (base year 2008) as follows:

Year | Nominal GDP (dollars) | Real GDP (Base year 2008, dollars)

-------------------------------------------------------------

2008 | 1 * 120 + 1 * 170 | 1 * 120 + 1 * 170

2009 | 2 * 170 + 4 * 230 | 2 * 120 + 1 * 170

2010 | 2 * 110 + 4 * 165 | 2 * 120 + 1 * 170

2) Real GDP is a more accurate measure of an economy's production than nominal GDP because it adjusts for changes in prices over time. Nominal GDP measures the value of goods and services using current prices, which can be influenced by inflation or deflation. Real GDP, on the other hand, measures production in constant, or base year, prices. By removing the price changes, real GDP provides a clearer picture of the actual physical output of an economy, unaffected by changes in price levels. This allows for a better comparison of production across different time periods, providing a more accurate representation of economic growth or contraction.

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List down the 7Cs of Communication and give an explanation of each component with an example. Explain Which conflict resolution style is best used in situations in which the leader knows he or she is right and a quick decision needs to be made?

Answers

The 7Cs of Communication are as follows: 1. Clarity 2. Completeness 3. Conciseness 4. Correctness 5. Coherence 6. Consistency 7. Courtesy.

1. Clarity: Communicating clearly and concisely to ensure that the message is easily understood. Example: Using simple language and avoiding jargon when explaining a complex concept.

2. Completeness: Providing all necessary information to avoid ambiguity and ensure understanding. Example: Including all relevant details in a project brief to ensure that team members have a comprehensive understanding of their task.

3. Conciseness: Delivering the message in a concise and to-the-point manner to avoid unnecessary information overload. Example: Summarizing key points in a presentation rather than delving into excessive detail.

4. Correctness: Ensuring accuracy and correctness of information to build credibility and avoid misunderstandings. Example: Fact-checking data before presenting it to stakeholders to ensure accuracy.

5. Coherence: Ensuring that the message flows logically and is well-organized to facilitate comprehension. Example: Structuring a report with clear headings and subheadings to help readers navigate the content easily.

6. Consistency: Maintaining consistency in messaging across different platforms and channels to enhance clarity and credibility. Example: Using consistent branding elements in marketing materials to create a unified brand image.

7. Courtesy: Being respectful, considerate, and polite in communication to foster positive relationships and avoid conflicts. Example: Using polite language and a friendly tone in an email or during a conversation

In situations where the leader knows they are right and a quick decision needs to be made, the conflict resolution style of "Authoritative" or "Directive" is often considered most suitable. This style involves the leader making a unilateral decision without seeking input or consensus from others. It is best used in situations where time is of the essence and the leader possesses the necessary expertise and knowledge to make an informed decision. The authoritative style allows for quick action and minimizes delays or disagreements that can arise from extensive deliberation.

However, it is important for leaders to communicate their decision clearly and provide justifications to maintain trust and transparency within the team or organization.

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Which of the following best defines Gender identity? Select the correct response: The ability to discern and take into account one's own and others' world views to be able to solve problems, make decisions, and resolve conflicts optimizing cultural differences The influences on our judgment or decision-making that exist below our conscious awareness, the human brain's shortcuts for faster and less effortful evaluations A person's understanding of their own gender, which may or may not correspond to the gender prescribed to their sex assigned at birth negative change in individuals' working conditions because they reported, expressed an intent to report, or participated in a report or investigation of conduct believed to be in violation of an EY policy What are the consequences of being influenced by unconscious bias? Select all that apply: It makes it easier for us to commit to working in diverse teams. We can ignore or overvalue information and make inaccurate conclusions. It makes it more difficult to work together and build relationships. Different perspectives can become a roadblock rather than an asset. 0000 Automatically gravitating toward the masculine name for the position could be an example of which concept? Select the correct repsonse: Antiracism Unconscious Bias Cultural Competency Multiculturism

Answers

Gender identity refers to a person's understanding of their gender, which may or may not correspond to the gender prescribed to their sex assigned at birth.

Gender identity refers to a person's sense of self as being male, female, or a blend of both or neither. It is often described as an innate, deeply felt, and experienced sense of one's own gender. 

The following are the consequences of being influenced by unconscious bias: We can ignore or overvalue information and make inaccurate conclusions. Different perspectives can become a roadblock rather than an asset. Automatically gravitating toward the masculine name for the position could be an example of unconscious bias. An unconscious bias is an automatic preference for or against a particular person, group, or thing.

It is typically below the level of conscious awareness, which means that we may not realize that we are biased. When we are influenced by unconscious bias, it can impact our judgment or decision-making, causing us to make inaccurate conclusions or ignore important information.

It can also make it more challenging to work together and build relationships. Therefore, unconscious bias training is necessary for everyone to create a more diverse and inclusive workplace.

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Auditing is a risky business. Many problems may arise during an audit. For questions 1. and 2. below discuss the primary risks involved in each scenario. Please be specific.

1. Sam and Dave are audit partners, and have decided to undertake the audit of ABC Corp. During some preliminary analytical procedures they determined that the cash account was low relative to the amount of sales. Sam proceeds to double check the bank reconciliations, but they seem to be correct. Dave reviews the Chart of Organization to see the responsibility level of those that examine the cancelled checks for proper signatures. However, Sam and Dave are still worried.

2. KPMX is a very large auditing firm. The Chairman of the Board of Endrun Corp., Tom Smith, wants to hire KPMX for its annual audit. However, Jane Green, the audit partner at KPMX knows that the turnover in the Accounting Department at Endrun Corp. is very high, and she also heard that the Endrun Corp. is poorly managed. Moreover, Endrun Corp’s. business is innovative and unique, and none of the auditors at KPMX have ever audited a company in that industry.

Answers

The primary risk in this scenario is the possibility of fraudulent activity related to the cash account.

The discrepancy between the low cash balance and high sales could indicate potential misappropriation of funds or unrecorded transactions. Even though the bank reconciliations appear to be correct, there could still be fraudulent activities occurring within the organization that are not captured in the reconciliations. Sam and Dave's concern is justified as they need to investigate further to identify the cause of the cash discrepancy and assess the risk of fraud. The primary risks in this scenario are related to the unique nature of Endrun Corp.'s business and the turnover in its Accounting Department.

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Currently, the spot rateis US $1.0550/, and the six-month forward rate is US $1.0300/. find a power series representation for the function. f(x) = x5 4 x2 why is it considered poor programming practice to have public instance variables? a direct quotation means you are using the exact words of someone else and requires quotation marks true or false The following graph shows the domestic market for steel in the United States, where Sp is the domestic supply curve, and Dp is the domestic demand curve. Assume the United States is considered a large nation, meaning that changes in the quantity of its imports due to a tariff influence the world price of steel. Under free trade, the United States faced a total supply schedule of Sp+W, which shows the quantity of steel that both domestic and foreign producers together offer domestic consumers. In this case, the free-trade equilibrium (black plus) occurs at a price of $240 per ton of steel and a quantity of 18 million tons. At this price, the United States imports 12 million tons of steel. Suppose the U.S. government imposes a $60-per-ton tariff on steel imports. On the following graph, use the tan line (rectangle symbol) to draw the new total supply schedule including the tariff (SD+W+D. Then use the grey point (star symbol) to indicate the new market equilibrium price and quantity as a result of the tariff. 420 PRICE (Dollars per ton) SD+W+T Equilibrium Under Tariff Domestic Revenue Effect Terms-of-Trade Effect SD+W 0 4 20 Deadweight Loss 6 8 10 12 14 16 QUANTITY OF STEEL (Millions of tons) The tarrif's revenue effect (the import tariff multiplied by the quantity of steel imported) can be broken into two components: Domestic revenue effect Terms-of-trade effect 390 360 330 300 270 240 210 180 150 120 DD 2 Sp 18 On the previous graph, use the green rectangle (triangle symbols) to indicate the domestic revenue effect of the tariff. Then use the purple rectangle (diamond symbols) to indicate the terms-of-trade effect. Now consider the effect of the tariff on welfare in the United States. On the previous graph, use the black triangles (plus symbols) to indicate the deadweight loss caused by the tariff. True or False: National welfare in the United States increases as a result of a $60-per-ton tariff on steel imports. O True False O