The board of directors declared a stock dividend on March 1st, for shareholders of record on March 15th, to be issued at March 31st. The historical cost per share is $15 and the share price on March 1st, 15th and 31st was $13, $12, $16 respectively. Which one of the following is the price the stock dividend will be issued at? a $16 Ob. $15 Oc $13 Od $12

Answers

Answer 1

The stock dividend will be issued at $12.Stock dividends are dividend payments made by a corporation in the form of additional shares instead of cash.

To maintain a healthy balance in the number of shares outstanding, a stock dividend can be given, which raises the number of shares that owners possess. The board of directors declared a stock dividend on March 1st, which will be paid on March 31st to stockholders with records as of March 15th.

The historical cost per share is $15 and the share price on March 1st, 15th and 31st was $13, $12, $16 respectively. We need to find out the price at which the stock dividend will be issued.The stock dividend is issued based on the historical cost per share, which is $15. Because the stock dividend was declared on March 1st, the ex-dividend date is two business days before the record date, which is March 13th.

As a result, on March 15th, the stock price dropped from $13 to $12 to reflect the stock dividend's value. The stock price increased from $12 to $16 on March 31st. However, the stock dividend was already issued on March 15th, and the price on March 31st does not affect the dividend. As a result, the stock dividend will be issued at the price of $12.

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Related Questions

what happens as a result of a search campaign consistently meeting its daily budget?

Answers

When a search campaign consistently meets its daily budget, it means that the campaign is reaching its spending limit on a daily basis. This can have several consequences:

1. **Impression Share**: The campaign's impression share may be limited as it exhausts the daily budget. Impression share refers to the percentage of times your ads are shown compared to the total number of times they could be shown. When the daily budget is consistently met, the campaign may miss out on potential impressions and reach a smaller audience.

2. **Ad Visibility**: As the campaign reaches its budget limit, ad visibility may decrease throughout the day. This means that ads may stop showing for relevant searches once the budget is exhausted, potentially reducing the campaign's exposure and reach.

3. **Potential Traffic and Conversions**: If the campaign is consistently hitting the daily budget, it implies that there is demand for the advertised product or service. However, it also means that there is untapped potential traffic and potential conversions that could be achieved if the budget were increased.

4. **Competitive Disadvantage**: If competitors in the same market are consistently spending their full budgets and reaching their target audience effectively, a campaign that consistently meets its daily budget may face a competitive disadvantage. Competitors who are able to spend more may have a larger share of voice and capture a greater share of the market.

To optimize campaign performance, it is important to regularly evaluate budget allocation, consider increasing the budget if there is room for growth, and monitor campaign metrics to ensure optimal results.

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Problem 3-Lessee accounting finance lease. (24 Points) Belize Natural Energy Limited on January 1, 2021, enters into a nine-year noncancelable lease for equipment having an estimated useful life of 10 years and a fair value to the lessor, Nordic Tech., at the inception of the lease of $4,000,000. Belize Natural Energy Limited's incremental borrowing rate is 8%. Belize Natural Energy Limited uses the straight-line method to depreciate its assets. The lease contains the following provisions: 1. Rental payments of $270,000 are payable at the beginning of each six-month period. 2. An option allowing the lessor to extend the lease one year beyond the lease term. 3. A guarantee by Belize Natural Energy Limited that Nordic Tech. will realize $200,000 from selling the asset at the expiration of the lease. However, the actual residual value is expected to be $120,000. Instructions: (a) What should be considered the lease term? (1 Points) (b) What is the present value of the lease payments (1) for classification of the lease and (2) for measurement of the lease liability? (PV factor for annuity due of 20 semi-annual payments at 8% annual rate, 14.13394; PV factor for amount due in 20 semi-annual interest periods at 8% annual rate, .45639.) (Round to nearest dollar.) (6 Points) (c) What journal entries would Belize Natural Energy Limited record during the first year of the lease? (Include an amortization schedule through 1/1/22 and round to the nearest dollar.) (14 Points) (d) What kind of lease is this to Belize Natural Energy Limited? (Use information calculated above to support your answer) (3 Points)

Answers

Belize Natural Energy Limited entered into a nine-year noncancelable lease for equipment with Nordic Tech. The lease term is nine years. The present value of lease payments for classification is $3,812,930, and for measurement of the lease liability is $123,282. The journal entries during the first year include recording the leased equipment and lease liability, as well as lease payments and interest expense. This lease is classified as a finance lease for Belize Natural Energy Limited, based on the lease term and the present value of lease payments.

(a) The lease term should be considered for the duration of the lease agreement, which is nine years.

(b) To calculate the present value of the lease payments:

(1) For the classification of the lease: The lease payments are an annuity due, and the present value can be calculated using the PV factor for an annuity due of 20 semi-annual payments at an 8% annual rate, which is 14.13394.

Present value of lease payments (classification) = $270,000 * 14.13394 = $3,812,930

(2) For the measurement of the lease liability: The present value can be calculated using the PV factor for an amount due in 20 semi-annual interest periods at an 8% annual rate, which is 0.45639.

Present value of lease payments (measurement) = $270,000 * 0.45639 = $123,282

(c) Journal entries during the first year of the lease:

1/1/2021:

Leased Equipment (Asset) $3,812,930

Lease Liability $3,812,930

To record the recognition of the leased equipment and lease liability at the inception of the lease.

6/30/2021:

Lease Liability $123,282

Cash $270,000

Interest Expense $20,658

Lease Payment $270,000 - $20,658 = $249,342

To record the lease payment and recognition of interest expense.

12/31/2021:

Lease Liability $123,282

Interest Expense $20,658

Lease Payment $270,000 - $20,658 = $249,342

To record the lease payment and recognition of interest expense.

(d) This lease is considered a finance lease to Belize Natural Energy Limited. The lease term of nine years exceeds 75% of the estimated useful life of the equipment (10 years). Additionally, the present value of the lease payments ($3,812,930) substantially covers the fair value of the equipment ($4,000,000).

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Briefly explain the three tax systems – proportional, progressive and regressive. As you explain each one, also compare the relationship between marginal tax rate and average tax rate as income rises for each one.

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Tax system refers to the method used by a government to collect money from citizens and businesses in the form of taxes.

It is important to note that tax systems are usually classified according to their effects on the income and wealth of taxpayers. The following are the three tax systems:1. Proportional tax systemIn a proportional tax system, all taxpayers are taxed at the same rate, regardless of their income. This means that the marginal tax rate is the same as the average tax rate. As such, high-income earners pay a higher amount of tax than low-income earners, but at the same rate.

For instance, if the tax rate is 10%, a person earning $100,000 and another earning $20,000 will pay $10,000 and $2,000, respectively.2. Progressive tax systemIn a progressive tax system, taxpayers with higher incomes pay a higher percentage of their income in taxes than those with lower incomes. As such, the marginal tax rate increases as income rises.

This implies that the average tax rate is always lower than the marginal tax rate. In other words, the percentage of income paid in taxes increases as income increases.3. Regressive tax systemIn a regressive tax system, taxpayers with low incomes pay a higher percentage of their income in taxes than those with higher incomes. This means that the marginal tax rate decreases as income rises.

As such, the average tax rate is higher than the marginal tax rate for low-income earners but lower for high-income earners.In summary, tax systems have different impacts on different taxpayers depending on their income levels. The progressive system is designed to tax the wealthy at a higher rate than the poor, while the regressive system is designed to tax the poor at a higher rate than the wealthy. The proportional system, on the other hand, is a flat tax system that treats all taxpayers equally.

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If a country closes off to trade and notices that the number of firms in an industry doubles in size, what economic theory would help us explain this phenomenon?

A. Stolper-Samuelson.

B. Melitz.

C. Ricardian.

D. Cournot.

Answers

The economic theory that would help explain the phenomenon of the number of firms in an industry doubling in size when a country closes off to trade is the Melitz theory, option B. The Melitz model, also known as the Melitz-Ottaviano model, is a theory of firm heterogeneity and international trade. It explains how trade openness affects firm-level dynamics, such as firm entry, exit, and firm size.

According to the Melitz model, when a country closes off to trade, firms face reduced competition from foreign firms. This reduced competition can create opportunities for domestic firms to expand their market share, leading to an increase in the number of firms in the industry. The Melitz model emphasizes the role of firm-level productivity and selection in determining trade patterns and outcomes.

The other options listed, Stolper-Samuelson, Ricardian, and Cournot, are economic theories that explain different aspects of international trade and economics but are not specifically focused on firm-level dynamics or the phenomenon described in the question.

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for example, we have a job scheduling task, here job weights resemble job priority. if all job weights are identical, should we schedule shorter or longer jobs earlier?

Answers

If all job weights are identical in a job scheduling task, it does not matter whether shorter or longer jobs are scheduled earlier. Both options would yield the same outcome in terms of job completion.

When all job weights are identical, it means that all jobs have the same priority or importance. In such a scenario, the goal of job scheduling is typically to maximize efficiency and minimize job completion time. In this case, whether shorter or longer jobs are scheduled earlier would not have a significant impact on the overall outcome.

If shorter jobs are scheduled earlier, they may be completed quickly, which can create a sense of progress and potentially reduce waiting times for subsequent jobs. On the other hand, if longer jobs are scheduled earlier, it can ensure that they start as soon as possible, allowing for more time to complete.

However, since all job weights are identical, the difference in completion time between shorter and longer jobs would be negligible. The overall job completion time would be the same regardless of the scheduling order. Therefore, it does not matter whether shorter or longer jobs are scheduled earlier in this particular scenario. The focus should be on efficiently managing the overall job scheduling process to minimize delays and optimize resource utilization.

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Sections of the Wingra Point Live Work development’s Project Charter were populated with information from the Business Case as well as the Budget Estimate, Schedule Estimate, Risk Register and Stakeholder Register. Each of these documents are outputs from various project management processes. What is the role of these outputs from other processes for the Project Charter?

Answers

The outputs from various project management processes, such as the Business Case, Budget Estimate, Schedule Estimate, Risk Register, and Stakeholder Register, provide essential information that is incorporated into the Project Charter.

These outputs contribute to defining the project's objectives, scope, constraints, stakeholders, risks, budget, and schedule, making the Project Charter a comprehensive reference for project planning and execution.

The outputs from various project management processes, such as the Business Case, Budget Estimate, Schedule Estimate, Risk Register, and Stakeholder Register, play important roles in the Project Charter. Here's how each of these outputs contributes to the Project Charter:

1. Business Case: The Business Case provides the justification for the project and outlines its objectives, benefits, and feasibility. The information from the Business Case helps in defining the purpose, goals, and objectives of the project within the Project Charter.

2. Budget Estimate: The Budget Estimate provides an estimation of the project's financial resources required for its execution. This information helps in setting the financial parameters, constraints, and budgetary considerations within the Project Charter.

3. Schedule Estimate: The Schedule Estimate provides an estimation of the project's timeline and key milestones. It helps in defining the project's overall schedule, timeline, and major deliverables within the Project Charter.

4. Risk Register: The Risk Register identifies and assesses potential risks and uncertainties associated with the project. The information from the Risk Register helps in acknowledging and addressing risks within the Project Charter, including risk management strategies and contingency plans.

5. Stakeholder Register: The Stakeholder Register identifies the project's stakeholders, their roles, interests, and expectations. The Stakeholder Register helps in recognizing and addressing the needs and expectations of stakeholders within the Project Charter, including communication and engagement strategies.

By incorporating information from these outputs into the Project Charter, the charter becomes a comprehensive document that defines the project's objectives, scope, constraints, stakeholders, risks, budget, and schedule. It provides a high-level overview and serves as a reference point for project planning and execution, ensuring alignment with the project's objectives and requirements.

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The financial presentation of basic earnings per share requires
Select one:
a. Presentation on the face of the income statement.
b. Presentation on the face of the income statement or in the notes accompanying the financial statements.
c. Presentation in the notes accompanying the financial statements.
d. Presentation on the face of the income statement only if the amount changed from the previous period presented.

Answers

The financial presentation of basic earnings per share requires presentation on the face of the income statement or in the notes accompanying the financial statements. This is the correct ANSWER.Explanation:Basic earnings per share is an accounting metric that reports the total earnings per share for a publicly traded company.

The numerator used to determine basic earnings per share is typically the net income of the company, while the denominator is the weighted average number of common shares outstanding during the reporting period.Basic earnings per share is reported in the income statement, statement of changes in equity, or notes to the financial statements.

Basic earnings per share is reported on the face of the income statement or in the notes accompanying the financial statements. The presentation of basic earnings per share on the face of the income statement is not required but may be useful to investors.

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The capital asset pricing model
(CAPM):
a. attempts to establish the
relationship between systematic risk and return.
b. proposes a constant rate for
relative systematic risk.
c. uses ‘beta’ as a

Answers

Answer:

A. attempts to establish the relationship between systematic risk and return.

option (a): "attempts to establish the relationship between systematic risk and return."

The Capital Asset Pricing Model (CAPM) is a financial model that aims to establish a relationship between the systematic risk of an asset or investment and its expected return. It is used to determine the appropriate required rate of return for an investment based on its level of systematic risk.

Option (b) is incorrect because the CAPM does not propose a constant rate for relative systematic risk. Instead, it considers the systematic risk of an investment in relation to the overall market and calculates the expected return based on that relationship.

Option (c) is incomplete, but it is on the right track. The CAPM does use the concept of "beta" to measure the systematic risk of an investment. Beta represents the sensitivity of an asset's returns to the overall market returns. A beta of 1 indicates that the asset's returns move in line with the market, while a beta greater than 1 indicates higher sensitivity to market movements, and a beta less than 1 indicates lower sensitivity.

The Capital Asset Pricing Model (CAPM) is a financial model that attempts to establish the relationship between systematic risk and return. It considers the systematic risk of an investment relative to the overall market and uses the concept of beta to quantify the level of systematic risk.

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Performance management is an ongoing process including five interrelated components. List the 5 components. Please explain how the poor implementation of a phase in the process or how a disrupted link between any of the phases will have a negative impact on the performance management process as a whole.

Answers

Performance management is an ongoing process of planning, monitoring, developing, rating, and rewarding employees to help them reach their full potential.

The process consists of five interrelated components that must be carried out effectively for it to be successful. The five components of performance management are setting performance expectations, performance feedback, coaching, rating employee performance, and employee development.
The first component is setting performance expectations. This is where the expectations and goals for each employee are established and communicated. The goals should be SMART (specific, measurable, achievable, relevant, and time-bound), so the employee knows what is expected of them.
The second component is performance feedback. Employees should receive regular feedback on their performance. The feedback should be timely, specific, and constructive. The feedback should be given in a way that helps the employee improve their performance.
The third component is coaching. Managers should coach their employees to help them reach their full potential. Coaching should be focused on employee development and helping employees improve their performance.
The fourth component is rating employee performance. This is where the employee's performance is evaluated against the performance expectations that were set. The employee should receive a rating that reflects their performance.
The final component is employee development. This is where the employee is given opportunities to improve their skills and knowledge. The employee should be given opportunities for training, mentoring, and other forms of professional development.
If any of these components are not carried out effectively, it can negatively impact the performance management process as a whole. For example, if performance expectations are not set or are unclear, employees may not know what is expected of them, and they may not be motivated to perform well.

Similarly, if performance feedback is not given, employees may not know how they are performing, and they may not be able to improve their performance. If coaching is not provided, employees may not receive the guidance they need to improve their performance. If employee performance is not rated accurately, employees may feel that their performance is not recognized. Finally, if employee development is not provided, employees may not have the skills and knowledge they need to perform their jobs effectively.

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explain whatShell directional policy matrix is designed
for

Answers

The Shell Directional Policy Matrix is a strategic management tool designed to assist organizations in making decisions regarding their portfolio of businesses.

The Shell Directional Policy Matrix is a two-dimensional matrix that helps organizations assess their businesses based on industry attractiveness and competitive strength. The matrix is divided into four quadrants: Grow, Select, Harvest, and Divest.

The industry attractiveness dimension measures the potential of the industry in terms of growth, profitability, and other relevant factors. The competitive strength dimension assesses the organization's competitive position within the industry, considering factors such as market share, brand strength, and capabilities.

By plotting each business unit on the matrix, organizations can identify strategic options for each unit. Businesses in the "Grow" quadrant are considered attractive and strong, requiring investment and growth strategies. Those in the "Select" quadrant may have lower competitive strength but operate in attractive industries, calling for selective investment. Units in the "Harvest" quadrant are in less attractive industries but have strong competitive positions, suggesting a focus on maximizing short-term profitability. Lastly, businesses in the "Divest" quadrant have low industry attractiveness and weak competitive positions, indicating the need for divestment or turnaround strategies.

Overall, the Shell Directional Policy Matrix helps organizations analyze their portfolio of businesses and make informed decisions about resource allocation, growth strategies, and portfolio optimization.

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Write a case study on the topic "Business Law"
of about 150 Words including questions and also
answer those questions. Also give a relevant
example of the topic.
P.s: Do Not give mathematical
calculat

Answers

A case study on Business Law:

A company was sued by an individual who claimed that she had been unfairly dismissed. The employee had signed a contract which included an arbitration clause that stated that any disputes between the parties had to be resolved through arbitration rather than litigation. In the employee's lawsuit, she argued that the arbitration clause was invalid because she was not aware of it when she signed the contract. The company's lawyers argued that the arbitration clause was binding and that the dispute should be resolved through arbitration rather than litigation. The court had to decide whether the arbitration clause was binding and enforceable, and whether the employee had been unfairly dismissed.

1. What was the issue in this case?

The issue in this case was whether the arbitration clause was binding and enforceable.

2. What was the employee's argument?

The employee argued that the arbitration clause was invalid because she was not aware of it when she signed the contract.

3. What was the company's argument?

The company's lawyers argued that the arbitration clause was binding and that the dispute should be resolved through arbitration rather than litigation.

Example:

One relevant example of business law is contract law. Contract law governs the creation, interpretation, and enforcement of contracts. For example, if a company enters into a contract with a supplier for the supply of goods, and the supplier fails to deliver the goods as agreed, the company may be able to sue the supplier for breach of contract. Similarly, if an employee signs a contract with an employer that includes restrictive covenants, such as a non-compete clause, and then breaches those covenants, the employer may be able to sue the employee for breach of contract.

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Which of the following considerations determines whether a measure is ordinary or extraordinary?
a) The complexity of the measure.
b) The frequency of the measure.
c) The materiality of the measure.
d) The discretion of the measure.

Answers

The correct answer is c) The materiality of the measure to determines whether a measure is ordinary or extraordinary.

When determining whether a measure is ordinary or extraordinary, one of the key considerations is the materiality of the measure. Materiality refers to the significance or importance of a transaction or event in the financial statements. If a measure is deemed material, it means that it has the potential to influence the decisions of financial statement users.

Ordinary items are those that are considered usual, regular, and common in the normal course of business. They are typically included in the calculation of net income and reported in the income statement. Extraordinary items, on the other hand, are rare, infrequent, and significant events or transactions that are not expected to recur in the future.

The materiality of a measure plays a crucial role in determining whether it should be classified as ordinary or extraordinary. If a measure is considered material, it will likely be treated as an ordinary item and included in the regular financial reporting. However, if a measure is deemed to be immaterial, it may be classified as an extraordinary item and reported separately.

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As a company interested in working with commodities that may be lower priced, what is a better system that wealthy countries could take to help increase the price (and profit) of the product growers/manufacturers?

Answers

A better system that wealthy countries could take to help increase the price (and profit) of the product growers/manufacturers is fair trade. Many companies interested in working with commodities that may be lower-priced need to find ways of increasing the price of the products so as to increase profits to the product growers and manufacturers.

A fair trade system is a better way for wealthy countries to ensure that product growers and manufacturers are paid a fair price for their goods. Fair trade refers to a set of practices that ensures that products are produced and traded in ways that are economically, socially, and environmentally sustainable. In this system, the buyers of the goods are required to pay fair prices to the producers, while the producers are expected to follow sustainable practices when growing and manufacturing their products. This system benefits the producers by giving them a stable income that enables them to invest in their communities, reduce their dependence on external aid, and improve the quality of their products.

It also benefits the buyers by giving them access to high-quality products that are produced sustainably and ethically. Another advantage of the fair trade system is that it helps to reduce the exploitation of workers and the environment. By ensuring that producers are paid a fair price for their goods, the system helps to create a level playing field for producers and buyers. This means that buyers cannot exploit the producers by offering low prices, while producers cannot exploit workers and the environment by cutting corners to reduce production costs. In conclusion, the fair trade system is a better way for wealthy countries to increase the price and profit of product growers and manufacturers. This system benefits both the producers and buyers and promotes sustainable, ethical, and environmentally-friendly practices. Wealthy countries can improve the economic conditions of product growers and manufacturers by implementing fair trade practices. Fair trade ensures that the products are produced and traded sustainably, and that the producers are paid a fair price for their goods. This system benefits the producers by providing them with a stable income, enabling them to invest in their communities and improve their products. It also benefits the buyers by giving them access to high-quality products produced sustainably and ethically.

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Question 13(Multiple Choice ) 2 (03.06 MC) What happens when a country experiences a positive demand shock in the short run? O Output increases, unemployment decreases, and the price level increases. O Output increases, unemployment increases, and the price level increases. O Output increases, unemployment decreases, and the price level decreases. O Output increases, unemployment decreases, and the price level remains constant. O Output increases, unemployment remains constant, and the price level decreases. Question 11(Multiple Choice ) प (05.05 LC) Which of the following is true about the crowding-out effect? O Economic growth is stimulated in the long run. O Government demand for funds decreases. O Private demand for funds decreases. O Private investment increases. O Real interest rates decrease.

Answers

The correct option is "Output increases, unemployment decreases, and the price level increases."When a country experiences a positive demand shock in the short run, the output will increase, unemployment will decrease, and the price level will increase.

Demand shocks refer to unexpected events or changes that significantly increase or decrease aggregate demand in an economy.

Increase in aggregate demand results in an increase in output, which causes firms to hire more employees, reducing unemployment. However, if aggregate demand rises faster than the capacity of the economy to produce, prices will also increase. Hence, the right answer is Output increases, unemployment decreases, and the price level increases. Therefore, Which of the following is true about the crowding-out effect.

The correct option is "Private demand for funds decreases.

"The crowding-out effect is an economic situation where an increase in government spending, particularly financed by borrowing, leads to a reduction in private investment. When the government borrows, it reduces the funds available for private investment by increasing interest rates. As a result, private demand for funds decreases and results in the reduction of private investment. Therefore, the right answer is Private demand for funds decreases.

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QUESTION 28 Which of the following is designed to prevent workplace injuries? O Fair Labor Standards Act O Employee Retirement Income Security Act O Family Medical Leave Act O Occupational Safety and Health Act

Answers

Occupational Safety and Health Act is designed to prevent workplace injuries and is abbreviated as OSHA. This act was enacted to ensure that employers provide a safe and healthy work environment for their employees.

OSHA was established in 1970 with the primary objective of preventing workplace injuries, illnesses, and fatalities by enforcing certain health and safety standards. Employers are expected to comply with OSHA’s standards by maintaining a safe work environment for their employees.OSHA requires employers to have written safety plans, conduct safety and health training for employees, and provide safety gear and equipment to employees. Furthermore, OSHA has the authority to inspect workplaces to ensure that employers comply with OSHA’s regulations and standards. OSHA also provides outreach, education, and assistance to employers and employees who want to learn more about the requirements of OSHA.The primary responsibility of OSHA is to promote and enforce safe and healthy working conditions, and the act plays a vital role in preventing workplace injuries.

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urgent
The board of a company (Firm A) has agreed to pursue a new project and the Chief Financial Officer (CFO) speaks with several banks and determines that it may borrow:
Floating at BBSW + 3.65%pa
Fixed rate debt at 11.45%pa
The CFO of a mid-sized corporate (Firm B) speaks with their banker and learns that it may borrow:
Floating at BBSW + 4.15%pa
Fixed rate debt at 13.15%pa
Government debt is trading at 3.86%pa
Both CFO’s happen to approach the same investment bank, you, to explore funding options. You recommend that each party enter into a swap with your bank. Note: a prerequisite of your bank entering into swap transactions is the bank makes a minimum of 0.075% profit on each leg.
Required
Determine the swap strategy that maximises the benefit of the swap for each party, including your investment bank.
Specify the swap cashflows (6 marks)
Calculate the borrowing costs and the benefit to each party from entering into the swap. (3 marks)

Answers

The board of Company A has agreed to pursue a new project and the CFO of Company A has two options, either to borrow floating debt at BBSW + 3.65%pa or fixed-rate debt at 11.45%pa.

What options does he have?

The CFO of Company B has two options, either to borrow floating debt at BBSW + 4.15%pa or fixed-rate debt at 13.15%pa.The government debt is trading at 3.86%pa.Both the CFOs approach the same investment bank to explore funding options. It is recommended that each party enter into a swap with the bank. It is known that the bank will make a minimum of 0.075% profit on each leg.

Specify the swap cashflows: As both the companies are in need of financing, they can enter into a swap with the investment bank.

Borrowing cost for Company B using the floating rate debt= BBSW+4.15% pa Benefits for Company A= (11.45%-BBSW-3.65%+0.075%)*Notional principal amount, Benefits for Company B= (BBSW+3.65%-BBSW-4.15%+0.075%)*Notional principal amount. Benefits for the Bank= (11.45%-4.15%+0.075%)*Notional principal amount.

Therefore, the swap cashflows are: Company A will pay 11.45% fixed interest to the bank on the notional principal amount. Company B will receive BBSW+4.15% floating interest from the bank on the notional principal amount.

The bank will pay BBSW+3.65% floating interest to Company A and receive 11.45% fixed interest from Company A on the notional principal amount.

The bank will receive 13.15% fixed interest from Company B and pay BBSW+4.15% floating interest to Company B on the notional principal amount.

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Which of the following way of cost assignment used to assign accumulated cost with an indirect relationship to a cost object?
A. Cost allocation
B. Cost tracing
C. Cost assignment
D. Cost accumulation

Answers

The correct answer for the way of cost assignment used to assign accumulated cost with an indirect relationship to a cost object is A. Cost allocation.

Cost allocation is the method used to assign accumulated costs to a cost object when there is an indirect relationship between the costs and the cost object. This means that the costs cannot be directly traced to the cost object but still need to be allocated in a reasonable and systematic manner.

Cost tracing, on the other hand, is the process of directly assigning costs to a cost object that can be specifically identified with it. Cost tracing is used when there is a direct relationship between the costs and the cost object.

Cost assignment is a broader term that encompasses both cost tracing and cost allocation. It refers to the overall process of assigning costs to cost objects, whether through direct tracing or indirect allocation.

Cost accumulation refers to the process of collecting and recording costs in a systematic manner, regardless of whether they are directly or indirectly related to a cost object. Cost accumulation is the foundation for subsequent cost assignment activities.

Therefore, the correct option is A. Cost allocation, which is used to assign accumulated costs with an indirect relationship to a cost object.

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Zakes Limited is in the process of preparing its cash budget for the forthcoming financial year. The budgeted statement of financial position reflects the following balances for trade receivables (debtors):
Trade receivables
R
Opening balance 3 000 000
Closing balance 3 800 000

The sales budget reflects budgeted credit sales of R14 000 000.
What is the expected cash receipts from debtors?
A. R9 800 000
B. R13 200 000
C. R10 200 000
D. R14 800 000

Answers

The expected cash receipts from debtors would be R13,200,000 (Option B).

To calculate the expected cash receipts from debtors, we need to consider the change in trade receivables during the period. The change in trade receivables is the difference between the closing balance and the opening balance.

Change in trade receivables = Closing balance - Opening balance

Change in trade receivables = R3,800,000 - R3,000,000

Change in trade receivables = R800,000

The expected cash receipts from debtors would be the credit sales minus the change in trade receivables.

Expected cash receipts from debtors = Credit sales - Change in trade receivables

Expected cash receipts from debtors = R14,000,000 - R800,000

Expected cash receipts from debtors = R13,200,000

Therefore, the expected cash receipts from debtors would be R13,200,000 (Option B).

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At a recent boat show, Nautica Bank was offering add-on interest installment boat loans for up to 5 years with an AR of 12:54 On new boots, a 20% down payment was required. Sort wanted to finance a $65.000 boat for 5 years (a) What would be the finance charge on the loan (in 5) (b) What would be the monthly payment in sy? (Round your answer to the nearest cent.)

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Finance charge on the loan for a $65,000 boat over 5 years would be $32,676.60. The monthly payment in this scenario would be $1,411.28.

(a) To calculate the finance charge on the loan, we first need to determine the total amount financed, which is the purchase price minus the down payment. The down payment is 20% of $65,000, which is $13,000. Therefore, the total amount financed is $65,000 - $13,000 = $52,000.

Next, we calculate the finance charge using the formula: Finance Charge = Total Amount Financed * Annual Interest Rate * Loan Term.

Finance Charge = $52,000 * 12.54% * 5 = $32,676.60. Therefore, the finance charge on the loan would be $32,676.60.

(b) To calculate the monthly payment amount, we divide the total amount financed plus the finance charge by the number of months in the loan term. Total Loan Amount = Total Amount Financed + Finance Charge = $52,000 + $32,676.60 = $84,676.60.

Monthly Payment = Total Loan Amount / Number of Months = $84,676.60 / (5 years * 12 months/year) = $1,411.28 (rounded to the nearest cent). Therefore, the monthly payment for the loan would be approximately $1,411.28.

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What are the signs of poor inventory management in a company and
what KPIs can be used to monitor the inventory management? Mention
at least 3 signs and 3 KPIs.

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Poor inventory management in a company can be indicated by signs such as stockouts, excess inventory, and high carrying costs. Key Performance Indicators (KPIs) used to monitor inventory management include inventory turnover ratio, fill rate, and order cycle time.

One sign of poor inventory management is frequent stockouts, where the company consistently runs out of stock for certain products. This can lead to lost sales, dissatisfied customers, and missed revenue opportunities. Conversely, excessive inventory levels can indicate poor management as it ties up capital, increases storage costs, and risks obsolescence or spoilage. Another sign is high carrying costs, including expenses related to warehousing, insurance, and financing. Excessive carrying costs can erode profitability and indicate inefficient inventory control. To monitor inventory management effectively, several key performance indicators (KPIs) can be used.

The inventory turnover ratio is a vital KPI that measures how quickly inventory is sold and replaced within a given period. A low turnover ratio may indicate overstocking or slow-moving items, while a high ratio could suggest stockouts or lost sales. The fill rate is another important KPI that measures the percentage of customer orders that can be immediately fulfilled from available stock. A low fill rate may indicate inadequate inventory levels or poor order fulfillment processes. Additionally, the order cycle time measures the time it takes from placing an order to receiving it. A lengthy order cycle time can lead to delays in fulfilling customer orders and impact customer satisfaction. In summary, signs of poor inventory management include stockouts, excess inventory, and high carrying costs. To monitor and improve inventory management, key performance indicators such as the inventory turnover ratio, fill rate, and order cycle time are essential.

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Which are the four categories of ‘pre-colonial’ systems of production discussed in the lecture?

1 point

Petty trading and merchants

Public officials

Mining and handicraft

Cattle keepers

Hunter-gatherers

Cash crop farming

Crop farmers

Answers

The four categories of 'pre-colonial' systems of production discussed in the lecture are:

Hunter-gatherers: This category refers to societies that primarily relied on hunting, fishing, and gathering wild plants for their subsistence. They typically lived in small, mobile groups and had a nomadic lifestyle.

Cattle keepers: This category includes societies whose primary economic activity revolved around raising and herding cattle. These societies often practiced transhumance, moving their livestock between different grazing areas in response to seasonal changes.

Crop farmers: This category encompasses societies that engaged in agricultural practices, cultivating crops for sustenance. They developed farming techniques and cultivated crops such as grains, vegetables, fruits, and other agricultural products.

Mining and handicraft: This category involves societies that specialized in mining and artisanal crafts. They extracted and processed minerals such as gold, copper, salt, and various other resources. Additionally, they had skilled artisans who produced crafts, textiles, pottery, and other handmade.

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The number of defects after a hotel room cleaning (sheets not straight, smears on mirror, missed debris on carpet, fresh towels not folded, etc.) should be measured using what type of process control chart?
A) x-bar chart
B) R-chart
C) p-chart
D) c-chart

Answers

The number of defects after a hotel room cleaning should be measured using option C:  p-chart.

what type of process control chart?

A proportion chart, commonly referred to as a p-chart, is utilized to track the ratio or percentage of faulty occurrences or items within a process. This method is frequently applied while assessing categorical or attribute data, for instance, determining if defects are present or not.

When it comes to the cleaning of hotel rooms, the p-chart serves as a useful tool to monitor the percentage of rooms that have different types of faults such as wrinkled sheets, marked mirrors, leftover debris on the floor, and unfolded towels.

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LO 14-2, 14-3, 14-4 The following financial statements were drawn from the records of Campbell Shoes: Balance Sheets As of December 31 Year 2 Year 1 Assets Cash $ 29,480 $118,178 56,888 Accounts receivable 65,870 Merchandise inventory 125,955 113,960 Notes receivable 0 29,700 Equipment 148, 100 Accumulated depreciation-equipment Land (77,493) 253,900 (142,800) 49,000 78,500 Total assets $450,128 Liabilities Accounts payable $ 40,099 Salaries payable 26,800 Utilities payable 598 Interest payable 0 Notes payable (long-term) 0 Common stock Retained earnings 300,200 82,431 Total liabilities and equity $450,128 Sales revenue Cost of goods sold $ 580,130 (288,064) 292,066 Gross margin. Operating expenses Salaries expense Depreciation expense Utilities expense (188,070) (17,093) (11,280) 75,623 Operating income Nonoperating items Tntaract arnanea 12 7481 Income Statement For the Year Ended December 31, Year 2 < Prev $ 399,110 $ 46,400 21,440 1,195 1,700 60,500 243,300 24,575 $ 399,110 22 of 23 www Next (288,064) 292,066 (188,070) (17,093) (11,280) 75,623 (3,248) (1,330) Gross margin Operating expenses Salaries expense Depreciation expense Utilities expense Operating income Nonoperating items Interest expense Loss on the sale of equipment Net income $ 71,045 Additional Information 1. Sold equipment costing $105,800 with accumulated depreciation of $82,400 for $22,070 cash. 2. Paid a $13,189 cash dividend to owners. Required: Analyze the data and prepare a statement of cash flows using the direct method. (Amounts to be deducted and cash outflows should be indicated by a minus sign.) CAMPBELL SHOES Statement of Cash Flows For the Year Ended December 31, Year 2 Cash Flows From Operating Activities: Cash receipts from customers Cash Payments for nces Statement of Cash Flows For the Year Ended December 31, Year 2 Cash Flows From Operating Activities: Cash receipts from customers Cash Payments for: Total cash outflows Cash Flows from Investing Activities: Cash Flows from Financing Activities: Ending cash balance

Answers

The statement of cash flows of Campbell Shoes for the year ended December 31, Year 2, using the direct method, is shown below:Campbell ShoesStatement of Cash FlowsFor the Year Ended December 31, Year 2Cash Flows From Operating

Activities:Cash receipts from customers$399,110Cash payments for:Accounts payable(65,679)Salaries payable(9,603)Utilities payable(1,597)Interest payable(0)Income taxes payable(12,481)Net cash provided by operating activities$309,750Cash Flows from Investing Activities:Sale of equipment22,070Purchase of land(78,500)Purchase of equipment(33,000)Net cash used in investing activities(89,430)

Cash Flows from Financing Activities:Dividends paid(13,189)Net cash used in financing activities(13,189)Net increase in cash$207,131Beginning cash balance$29,480Ending cash balance$236,611Analysis:Cash received from customers: $399,110Cash paid for accounts payable: ($65,679)Cash paid for salaries payable: ($9,603)Cash paid for utilities payable: ($1,597)Cash paid for income taxes payable: ($12,481)Cash received from operating activities: $309,750Sale of equipment: $22,070Purchase of land: ($78,500)Purchase of equipment: ($33,000)Cash used in investing activities: ($89,430)Cash used in financing activities: ($13,189)Net increase in cash: $207,131Beginning cash balance: $29,480Ending cash balance: $236,611Therefore, t he statement of cash flown

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when the fair value of a company’s available-for-sale investments is lower than its book value, how should the unrealized loss be handled?

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When the fair value of a company's available-for-sale investments is lower than its book value, the unrealized loss should be recognized in the financial statements. The loss is typically reported as a separate component of comprehensive income, known as "unrealized loss on available-for-sale investments," and is reflected in the balance sheet.

Available-for-sale investments are financial assets that are not classified as held for trading or held to maturity. They are reported at fair value on the balance sheet. If the fair value of these investments decreases below their book value, it indicates an unrealized loss.

According to accounting standards, such as Generally Accepted Accounting Principles (GAAP) or International Financial Reporting Standards (IFRS), the unrealized loss on available-for-sale investments must be recognized in the financial statements. It is typically reported as a component of comprehensive income, which captures changes in equity from non-owner sources. The unrealized loss is reported in the statement of comprehensive income or in a separate statement of comprehensive income, depending on the reporting framework.

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9. What are the key items you should review on a renters'
application?
10. What are some ways you can increase cash flow?

Answers

Key items to review on a renter's application Before a landlord can accept a new renter, they need to verify that the potential tenant is reliable, trustworthy, and can pay the rent on time. As a landlord, you should review the following items on a renter’s  Credit score and report

The credit score indicates a potential renter's ability to pay back debts, including rent payments. It is essential to verify a renter's credit score since it gives you an idea of their creditworthiness.Employment and income verificationA reliable renter should have a stable income that can comfortably cover rent payments. Checking the applicant's current employer and salary confirms their ability to make the monthly rent payments.Background checkTo determine whether a renter is responsible, landlords should run a background check. This process allows you to verify that the renter has not been evicted before, has a criminal history, and more.Personal referencesChecking with a renter's previous landlord or personal references can reveal insights into the person's character. Reaching out to references will help you determine whether the applicant is a suitable tenant or not.10.

Increasing cash flow as a landlord The objective of every landlord is to maximize their profits while providing suitable housing to tenants. Here are some ways to increase cash flow as a landlord: Raising rent Without a doubt, the most apparent way to increase your cash flow is by raising the rent. But be careful; raising rent can lead to losing current renters. Consider raising the rent only when it is necessary, and when the rental market supports it. Taking advantage of tax deductions To increase cash flow, landlords can take advantage of tax deductions such as property repairs, maintenance, and depreciation. Make sure to keep all receipts and expenses records for these deductions to be applicable .Implementing late fees Implementing late fees is an excellent way to get renters to pay their rent on time

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You are long in bonds for developing countries and short in bonds for developed countries. You finance your investment by borrowing and using underlying bonds as collateral All of a sudden, Country X, a developing country, defaults on its debt obligations. Investors fear that all developing countries will default. [20 points]
The bond prices of developing countries will ________ because ____________________
The bond prices of developed countries will _________ because ____________________
Furthermore, collateral requirements will ___________ because ______________________
The value of your bond portfolio will ______________ and you will receive a ___________.

Answers

Answer:

The bond prices of developing countries will decrease because of increased risk and uncertainty associated with the default of Country X. The default raises concerns about the creditworthiness of other developing countries, leading to a higher risk of investing in bonds. As a result, investors demand higher yields, causing bond prices to decline.

The bond prices of developed countries may increase or remain relatively stable because they are perceived as safer investments compared to developing countries. In times of uncertainty, investors tend to seek safe-haven assets from developed countries, resulting in increased demand and higher bond prices.

Furthermore, collateral requirements will increase because of the higher  risk and volatility in the bond market. Lenders and counterparties may require additional collateral to protect themselves from potential losses  or market downturns.

The value of your bond portfolio will decrease due to the decline in bond prices of developing countries. You will receive a margin call from your lenders or counterparties, as the decrease in the value of your bond portfolio may trigger additional collateral to maintain margin levels.

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Amounts charged to Work in Process during production are
recorded at the standard costs for the number of units
produced.
True or False

Answers

True. Amounts charged to Work in Process during production are recorded at the standard costs for the number of units produced. This helps in accurately tracking and assigning costs to the specific units being produced, based on the predetermined standard costs established for the production process.

Amounts charged to Work in Process during production are recorded at the standard costs for the number of units produced. This means that the costs incurred for producing each unit are based on predetermined standard costs, which include direct materials, direct labor, and manufacturing overhead. These standard costs are established based on factors such as historical data, industry standards, and management's expectations. By recording the costs at standard, any variances between the standard costs and the actual costs can be analyzed separately and used for performance evaluation and cost control purposes. This approach allows for better cost management and helps in identifying areas where improvements can be made to enhance efficiency and profitability.

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Suppose a typical household purchases the basket of goods and services shown in the table below, which also shows the prices of such basket for 2019, 2020, and 2021. Qty 2019 2020 2021 Amount Amount Amount Items Price Price Price Spent Spent Spent Dog food 2 $12.00 $24.00 $12.00 $24.00 $28.00 Books 5 $20.00 $25.00 $125.00 Mango juice 20 $2.50 $50.00 $3.50 $70.00 $3.75 $75.00 Pasta 35 $8.50 $8.50 $297.50 $12.50 Use the above table to answer the following questions. i. Calculate the cost of the market basket of goods and services for all years. Note that some of the total amount spend per item has been calculated. ii. Construct the price index for the hypothetical basket of goods in each year using 2019 as the base year. iii. Use the price index you calculated in the previous question to compute the inflation rate from 2020 to 2021.

Answers

i. Calculation of the cost of the market basket of goods and services for all years. ii. Construction of the price index for the hypothetical basket of goods in each year using 2019 as the base year. iii. Calculation of the inflation rate from 2020 to 2021.

Here, the base year is 2019. It is calculated as follows:Qty201920202021Amount Amount Amount Items Price Price Price Dog food$2.00$12.00$24.00$12.00$24.00$28.00Books$5.00$20.00$25.00$125.00Mango juice$20.00$2.50$50.00$3.50$70.00$3.75$75.00Pasta$35.00$8.50$8.50$297.50$12.50Total spent$422.50$501.25$516.25 Index base-year100100100202096.8395.24101.5632020105.66101.19397.402021106.62298.68381.383iii.

Calculation of the inflation rate from 2020 to 2021:The inflation rate measures the percentage change in the price index between two years. Here, we are to calculate the inflation rate from 2020 to 2021, using the formula; Inflation rate = (Index current year - Index previous year) / (Index previous year) x 100%.Using the price index calculated in the previous question, we have; Inflation rate = (101.563 - 97.40) / (97.40) x 100%Inflation rate = 4.27%Therefore, the inflation rate from 2020 to 2021 is 4.27%.

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Which of the following statements is CORRECT?

A. One advantage of dividend reinvestment plans is that they enable investors to avoid paying taxes on the dividends they receive.

B. If a company has an established clientele of investors who prefer a high dividend payout, and if management wants to keep stockholders happy, it should not adhere strictly to the residual dividend model.

C. If a firm adheres strictly to the residual dividend model, then, holding all else constant, its dividend payout ratio will tend to rise whenever its investment opportunities improve.

D. If Congress eliminates taxes on capital gains but leaves the personal tax rate on dividends unchanged, this would motivate companies to increase their dividend payout ratios.

E. Despite its drawbacks, following the residual dividend model will tend to stabilize actual cash dividends, and this will make it easier for firms to attract a clientele that prefers high dividends, such as retirees.

Answers

Statement C is true as the Residual Dividend Model is a method that deals with paying dividends in accordance with a firm's available investment opportunities. Option C is the statement that is correct.

The residual dividend model is a technique that determines the dividend payout based on the leftover earnings of the company after all necessary investment is made. In other words, residual income is the sum of earnings that are left over after a company has fulfilled its investment commitments. Since investment opportunities will fluctuate over time, this technique is an approach that is dynamic in nature.

The dividend payout is decided only after the company has taken care of its capital budgeting, which includes capital expenditure and the reinvestment of any profits. When there is money left over after reinvesting, it is distributed to the shareholders in the form of dividends. The dividend payout ratio rises as investment opportunities increase and falls as investment opportunities decrease if a company adheres to the residual dividend model. Therefore, statement C is the correct option.

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the pricing of a business' products should support the business' overall stated objectives/goals. T/F

Answers

The statement "The pricing of a business' products should support the business' overall stated objectives/goals" is True.

Pricing is a critical element in the overall strategic decision-making process of a business. The pricing of a business' products or services should align with and support the business' overall stated objectives and goals. Setting the right price for products or services involves considering various factors such as the target market, competition, cost structure, value proposition, and desired positioning in the market. The pricing strategy should be aligned with the business' objectives, whether it is maximizing market share, achieving profitability, creating a premium brand image, or targeting a specific customer segment.

For example, if a business aims to position itself as a premium brand offering high-quality products, it may choose to set higher prices to reflect the perceived value and exclusivity. On the other hand, a business targeting price-sensitive customers may adopt a competitive pricing strategy to attract a larger customer base. By aligning pricing decisions with the business' overall objectives and goals, a company can optimize its revenue generation, profitability, market positioning, and customer perception. Therefore, it is important for a business to ensure that its pricing strategy supports its broader objectives to drive its success in the market.

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