False, In a year in which dividends are declared, preferred stockholders receive their portion of dividends after common stockholders receive theirs.
A dividend is a payment made by a corporation to its shareholders that is decided by the board of directors. Dividend payments are frequently made quarterly and might take the form of cash payments or stock reinvestments. A dividend is a gift that a business delivers to its shareholders, whether it be cash or something else. Dividends may be distributed in a number of ways, including stock dividends, cash payments, and other forms. The board of directors of a firm determines its dividend, which requires shareholder approval. Regular profit-sharing payments between a corporation and its investors are known as dividends. The price per share, as well as the timing and frequency of dividend payments, are decided by a company's board of directors. A source of income, which can be particularly important during periods of inflation, can be provided by dividend stocks. A dividend is money distributed from profits to shareholders. They often receive quarterly pay. For instance, AT&T has been making such distributions for a number of years, with the price per share for its 2021 third-quarter issuance set at $2.08.
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T/F is a method of entering a foreign market by associating with foreign companies to produce or market products or services.
A strategy for entering a foreign market is joint venture, in which one company partners with another to produce or market goods or services.
What exactly are joint ventures as a way to enter a new market?In order to break into new markets, joint ventures often involve forming a third company with another partner. The company can benefit from the partner's infrastructure, local knowledge, and reputation through a joint venture.
To enter a foreign market, what are the three marketing strategies?selling on marketplaces online. providing direct sales via e-commerce. selling through a third party that exports to the target market in an indirect manner.
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Full Question = ________ is a method of entering a foreign market by associating with foreign companies to produce or market products or services.
Direct exporting
Direct investment
Joint venturing
Indirect exporting
Importing
he stock price of a firm increases after the firm repurchases some of its shares. this statement is because if the stock price changes after a firm conducts its share repurchase, then there arbitrage opportunities. thus, the price of the stock remains the same after a repurchase.
Given statement is false, there would be possibilities for arbitrage if a company's stock repurchase result in a shift in the stock price.
A stock is a colloquial phrase for any company's ownership certificates. But at the other hand, a share alludes to a certain company's stock certificate. Owning a certain firm's share renders someone as shareholder. A stock is a type of instrument that denotes the holder's ownership interest in the issuing firm and is typically traded on stock markets. In order to raise money to conduct their business, corporations issue stock. The two primary stock categories are ordinary and preferred.
Over the long term, stocks have had the highest opportunities for development (capital appreciation) for investors. Investors who've already chosen to hold onto stocks for an extended amount of time let's two decades typically been awarded with strong, profitable returns.
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What would cause a taxpayer’s contribution to a traditional IRA to be non-deductible?
Answer:
A taxpayer's contribution to a traditional Individual Retirement Account (IRA) may be non-deductible if the taxpayer or their spouse is covered by a retirement plan at work and their income exceeds certain limits. The income limits for determining the deductibility of traditional IRA contributions are set by the IRS each year and depend on the taxpayer's tax filing status and the presence of a retirement plan at work.
For example, in 2021, if you are single and you are covered by a retirement plan at work, you can only claim a full deduction for your traditional IRA contribution if your modified adjusted gross income (MAGI) is less than $66,000. If your MAGI is between $66,000 and $76,000, you can claim a partial deduction. If your MAGI is above $76,000, you cannot claim a deduction for your traditional IRA contribution.
If you are married and you are covered by a retirement plan at work, the income limits are slightly higher. For example, in 2021, if you are married and filing jointly, you can only claim a full deduction for your traditional IRA contribution if your MAGI is less than $105,000. If your MAGI is between $105,000 and $125,000, you can claim a partial deduction. If your MAGI is above $125,000, you cannot claim a deduction for your traditional IRA contribution.
If you are not covered by a retirement plan at work but your spouse is, the income limits for determining the deductibility of your traditional IRA contribution are based on your spouse's coverage.
It's important to note that these income limits are subject to change each year, so it's a good idea to check with the IRS or a tax professional to determine whether your contribution to a traditional IRA will be deductible.
Explanation:
What are the 4 accounting concepts?
The four basic accounting principles in use are materiality, complete disclosure, consistency, and conservatism.
What is the essence of conservatism?A political philosophy known as conservatism emphasizes tradition & relies on the person to uphold society. François-René de Chateaubriand coined the phrase for the first time in 1818 as part of the Bourbon Restoration, an effort to undo the effects of the French Revolution.
What makes a person conservatism?They support minimal taxes, unrestricted markets, privatization, deregulation, and a reduction in government spending and debt. Social conservatives believe that secularism & moral relativism pose a challenge to traditional social values, which are frequently based in ways to combat and religion.
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Chair Company contracts to deliver a dozen suites of dining room tables and chairs to Purnit ure Store on May 1. On April 15. Chair tells Furniture that delivery will be delayed until June 1. Furniture may a. Awalt performance, sue Chair for Anticipatory Breach, or suspend its own performance b. Only await performance c. Only sue Chair d. Only suspend its own performance Chapter 22
Furniture may await performance, sue Chair for Anticipatory Breach, or suspend its own performance.
There are a few things to keep in mind when shopping for furniture. First, think about the style of the room you are furnishing. Second, take into account how much use the furniture will get. If you have kids or pets, you'll want to choose furniture that is durable and easy to clean.
Third, make sure to measure the space you have available before making any decisions. Based on the performance you want, you must decide the material. And finally, consider your budget. It's important to set a realistic budget before you start shopping.
Hence, the correct option is "A".
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18. Some recent economic research has suggested that African countries' economic growth may have been limited by A. population B. geography and climate C. government interventionisnm D. technological challenges 19. A nation's prosperity is sometimes measured in terms of A. GNP B. GDP C. GDP per capita D. economic output
Government corruption has been demonstrated by late monetary exploration to be the reason for African nations' limited economic growth.
What is economic growth?
Other cause of the limited growth of African country economies includes political instability, the cold War, poor governance, despotism, etc.
In conclusion, Government corruption has been shown by recent economic research to be the cause of African countries' limited economic growth.
Economic growth increases state limits and the inventory of public merchandise. At the point when economies develop, states can burden that income and gain the limit and assets expected to give the public labor and products that their residents need, similar to medical care, schooling, social security, and essential public administrations.
Government corruption has been demonstrated by late monetary exploration to be the reason for African nations' limited economic growth.
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Which of the following is NOT a reason why private goods markets alleviate goods to achieve Pareto EfficiencyA)Large external costs or benefitsB)goods are excludable and rivalC)full information about attributes of the goodsD)No hidden information about agents involved in the transaction
Private goods markets reduce goods to achieve Pareto Efficiency, but this is NOT because there is no secret information about the agents involved in the transaction.
Efficiency is the maximum level of performance, when the least number of inputs are required to produce the greatest quantity of output. Efficiency calls for minimizing the amount of unneeded resources, such as personal time and energy, used to create a particular product. Private goods markets reduce goods to achieve Pareto Efficiency, but this is Efficiency NOT because there is no secret information about the agents involved in the transaction.
Utilizing the proportion of usable output to total input, efficiency may be quantified. The waste of resources, including time, energy, and physical materials, is reduced when efficiency is improved while producing the required results.
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leasing is often referred to as off-balance-sheet financing because the assets and capital needed to acquire fixed assets do not always show up on the balance sheet. according to financial accounting standards board (fasb) statement no. 13, which of the following statements is true about leases that must be capitalized? leased assets should be reported as fixed assets on the balance sheet. the present value of all future lease payments should be reported as assets on the balance sheet.
Operating leases and partnerships are typical examples of off-balance-sheet financing. Although accounting regulations have been strengthened to limit their usage, operating leases have been commonly used.
An off balance sheet operational lease is what?When the lessor keeps the leased asset on its balance sheet, the lease is known as an OBS operational lease.
What does leasing mean?a contract in which a person, business, etc. pays to use property, a vehicle, etc. for a specific amount of time: For people who want a new car every two to three years, leasing may still be a wise financial decision.
How are financing leases handled by lessees in their balance sheets?Due to their interest as a possible owner of the asset and their needed payment, the lessee records the lease as both an asset and a liability on the balance sheet. On the income and cash flow statements, they also list individual lease payments as expenses.
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Which of the following sales transactions is eligible for recognizing the gain under the installment method (assuming the terms of the sale meet the definition of an installment sale)?
A sale of inventory
A sale of equipment where the gain is due to depreciation recapture
A sale of land
A sale of marketable securities
Answer:
Explanation:
a sale of land
A sale of land, of the sales transactions is eligible for recognizing the gain under the installment method (assuming the terms of the sale meet the definition of an installment sale). Thus, option (c) is correct.
What is installment?The term “installment” refers to one part of payment that is divided into multiple parts of payment. The debtors are borrowing money from financial institutions and other sources. The fixed payment is divided into small amounts of money to be paid on a monthly basis.
A land-sale contract occurs when the owner of land sells it on the provision that the seller retains ownership to the land until the buyer pays the entire purchase price. Land sales are based on the approach of installment transactions. The installment plans provide a respite from the actual payout plus interest.
As a result, the sale of land, of the sales transactions is eligible for recognizing the gain under the installment method. Therefore, option (c) is correct. Therefore, option (c) is correct.
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which of the following theories is consistent with the notion that the short-run aggregate supply curve may be vertical after all?
Neo-classical economic theories are consistent with the notion that the short-run aggregate supply curve may be vertical after all.
Which of the following results in a rightward shift in the aggregate supply curve over the short term?
Because firms can produce more output at all price levels with increased productivity, the SRAS curve moves to the right as productivity increases.
Since capital is one of the production factors, a decrease in the price of capital will result in a decrease in the production costs for businesses. The short-run aggregate supply therefore rises and moves to the right as the production cost decreases.
Therefore, The broad theory of neoclassical economics emphasizes supply and demand as the primary factors influencing the creation, valuation, and consumption of goods and services.
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The government of Eastlandia uses measures of monetary aggregates similar to those used by the United States, and the central bank of Eastlandia imposes a required reserve ratio of 10%. Given the following information, answer the questions below. Bank deposits at the central bank = $200 million Currency held by public = $150 million Currency in bank vaults = $100 million Checkable bank deposit = $500 million Traveler´s checks = $10 million a) What is M1? b) What is the monetary base? c) Are the commercial banks holding excess reserves?
The checkable bank deposits can increase by $2,500 million.
(a) Calculate M1 -
M1 = Currency held by public + Checkable bank deposits + Traveller’s checks
= $150 million + $500 million + $10 million
= $660 million
(b) Calculate the Monetary base:-
Monetary base = Bank deposits at the central bank + Currency in bank vaults + Currency held by public
= $200 million + $100 million + $150 million
= $450 million
(c) Required reserves = CD * RR
= $500 million * 0.10
= $50 million
Excess reserves = Total reserves - Required reserves
Excess reserves = Bank deposits at the central bank + Currency in bank vaults - Required reserves
Excess reserves = $200 million + $100 million - $50 million
= $250 million
(d) Yes, the commercial banks can increase checkable bank deposits.
Calculate the increase in checkable bank deposits -
Increase = Excess reserves * (1/reserve ratio)
Increase = $250 million * (1/0.10)
Increase = $2,500 million
Thus,
The checkable bank deposits can increase by $2,500 million.
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review problem 6.34 in your textbook. using the questions provided as a guide, explain how you think the performance report presented may impact the company. please review the posts of your classmates before responding to problem 6.34; discuss three weaknesses that are different than what your classmates' posted, or provide a different explanation as to why the item poses a weakness. to participate in follow up discussion, ask questions and post comments regarding classmates' posts, or respond to follow-up questions posted by the instructor. please include proper citations in your discussion post. points will be deducted if proper citations are not used.
The actual sales revenue, is contrasted with budgeted revenue.
What are operating expenses?a) 3 weakness in June performance report:-
The planned variable cost for the budgeted quantity is contrasted with the actual production variable cost.
b) Sara's comments to ken is based on Performance of Division. cara is convinced that department has not performed well during the month. Since the comments are based on performance of division ken is not corniced about it.
A flexible budget should be prepared to monitor pesformence of actual against same level of activities. A flexible budget performance report will give meaningful variance analysis.
4) Based on below flexible Budget performance report ken shall be convinced that his department. has not done well in comparison to a flexible budget. Sara's observations were so accurate, and Ken should accept criticism with grace and do his best to improve.
spritzer speciality furniture
Bookcase production performance report
for the month Ended June 30
Actual Flexible Budget Variance
Units 3000 3000 0
Sales Revenue $161000 $165000 $4000 U
Variable production expenses:
Direct material $23100 $24000 $900 F
Direct Labor $18,300 $18000 -$300 U
Over head $60,200 $61500 $1300 F
Fixed production expense:
Indirect labor $9400 $6000 $3400 U
Depreciation $5500 $5500 $0
Taxes $2400 $2300 -$100 U
Insurance $4500 $4500 $0
Administrative expense $12000 $9000 -$3000 U
Marketing expense $8300 $7000 -$1300 U
Research and development $6000 $4500 -$1500 U
Operating profit $11300 $22700 $11400 U
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The one-year futures price on a particular stock-index portfolio is 1,610, the stock index currently is 1,600, the one-year risk-free interest rate is 2.0%, and the year-end dividend that will be paid on a $1,600 investment in the index portfolio is $15. By how much is the contract mispriced? (Input the amount as positive value.)
The futures price is $_ _ _, its "proper" or parity value.
The one-year futures price on a particular stock-index portfolio is 1,610. The calculated parity value is $ 1,610.
An index fund is a portfolio of stocks or bonds designed to mimic the composition and performance of financial market indices. Index funds have lower costs and fees than actively managed funds. Index funds follow a passive investment strategy.
Calculating the problem:
F= 1610 x 1.04 - 22
= $1652.4
Actual F0 is 2,365, so the future price is $5 below its proper or parity value.
A portfolio is a living and changing collection of records that reflects your achievements, skills, experiences, and attributes. We'll highlight some examples of your best work, along with your life experiences, values, and accomplishments.
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adult workers can actively affect their future cognitive development through the choices they make, since those who seek more stimulating opportunities are likely to remain sharp.
Through their leadership decisions, adult workers may actively influence how their brains will develop in the future since those who seek out more exciting chances are more likely to stay mentally sharp.
Adult cognitive development comprises a drop in information processing speed and a stronger ability to combine emotion and reasoning while making judgments. Late-life cognitive development is characterized by memory changes, intellectual shifts, and neurocognitive problems. You probably think of wisdom as something that comes with age. One prevalent misconception regarding aging is that wisdom increases with age.
The capacity to tolerate uncertainty, reach judgments, and resolve disagreement are all components of wisdom. While some research indicates that wisdom increases steadily between the ages of 13 and 25 and remains stable until the age of 75, other research indicates that people in their 70s and older have greater wisdom than people in their 20s. In either case, it may be unwise to assume that older people are wise simply because of their age.
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Which of the following does not allowed as deduction while computing the business income?
Fees paid to the lawyer for drafting the partnership deed are not allowed as deduction while computing the business income.
Most businesses will generate the majority of their income through the sale of products or services. To generate income through product sales, businesses need to offer goods or services that customers are willing and willing to pay for. Businesses can generate income through advertising by selling advertising space to other businesses.
Sponsorships can be another source of income for businesses, especially if the business is involved in a sport or other activity that attracts sponsors. Investment income can be generated if the business owns assets such as property or stocks and bonds.
The question is incomplete, the complete question is:
_____________ are not allowed as deduction while computing the business income.
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AccuBlade Castings Inc. casts blades for turbine engines. Within the Casting Department, alloy is first melted in a crucible, then poured into molds to produce the castings. On May 1, there were 230 pounds of alloy in process, which were 60% complete as to conversion. The Work in Process balance for these 230 pounds was $32,844, determined as follows:
Description Dollar amount
Direct materials (230 x $123) $28,290
Conversion (230 x 60% x $18) 2,484
Total direct materials 30,774
The total direct materials cost of $30,774 for the 230 pounds of alloy in process includes the cost of the raw materials used to make the alloy.
The raw materials used to make the alloy typically include metals such as aluminum, copper, nickel, and iron, among others. The cost of these materials would be the total of what was paid for each of the metals necessary to make the alloy.
The conversion cost of $2,484 for the 230 pounds of alloy in process reflects the cost of the labour and overhead associated with melting the alloy and pouring it into molds. This cost would include wages for the workers who are involved in melting and pouring the alloy, as well as any overhead costs such as electricity and gas used in the process.
The total Work in Process balance of $32,844 for the 230 pounds of alloy in process is the sum of the direct materials cost and the conversion cost. This amount reflects the cost incurred by AccuBlade Castings Inc. in producing the castings.
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in order to be cost effective, a person with a substance use disorder must remain in outpatient treatment for at least three months.T/F
The following statement, "In order to be cost effective, a person with a substance use disorder must remain in outpatient treatment for at least three months." is False.
There is no doubt that going green is not only good for the environment, but can also be cost effective for businesses and households. Not only will these measures save you money in the long run, but they will also help to reduce your carbon footprint.
There are many ways to be cost effective, but one of the most important is to make sure that you are using the most efficient methods possible. This means using the best technology available and making sure that you are not wasting any resources.
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Which of the following would be true regarding a randomized trial comparing efficacy and toxicity of two FDA-approved medications for hypertension to support a change in advertising?
As per the provided statement, the FDA must authorize this same revised protocol.
What does the FDA do?By ensuring the security, efficacy, and safety of pharmaceuticals for humans and animals, biopharmaceuticals, and medical devices, as well as the security of our country's food source, skincare, and radiation-emitting goods, the United states Food And drug is in charge of safeguarding the public's health.
What exactly does FDA approval mean?When a medicine is approved by the FDA, it implies that CDER has analyzed the drug's impact data and found that among the targeted respondents, the benefits of the drug outweigh any known or prospective dangers.
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In collecting information on a family, you learn that the father has been unemployed for nine months; the mother is struggling with diabetes; and the family does not feel supported in the community. With your knowledge as a social worker, to what might these factors lead?
depression
truancy for children
discrimination
substance abuse
If the mother is struggling with diabetes; and the family does not feel supported in the community. With your knowledge as a social worker, these factors might lead to: A. depression.
What is Depression?Depression can be defined as the way in which a person is often moody or feel sad and this can tend to occur as a result of life experience. A depressed person can begin to disassociated themselves with other in which in turn can have effect on their day to day activities.
Unemployment or Lack of job, struggling with sickness or illness, loneliness among others are some of the factors that can cause depression.
Therefore the correct option is A.
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most organizations spend more time and money on the systems____phase than on any of the other phases. A) Design B) Maintenance C) Development
Many organizations spend more time and money on the systems Maintenance phase than on any of the other phases.
In order to fix bugs, boost performance, or adapt to a changing environment, a software system or module must go through a process known as system maintenance.
One technique that assists in updating, modifying, and upgrading software to meet customer needs is system maintenance. Once the software is released or launched, maintenance work is done for a variety of reasons, such as enhancing the software as a whole, fixing errors or problems, boosting performance, and more.
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The management of River Corporation is considering the purchase of a new machine costing $380,000. The company's desired rate of return is 6%. The present value factor for an annuity of $1 at interest of 6% for 5 years is 4.212. In addition to the foregoing information, use the following data in determining the acceptability of this investment: The cash payback period for this investment is O 5 years O 4 years O 3 years O 20 years
The cash payback period for this investment is 4 years
How is the time frame for cash payback determined?To find the payback period, divide the investment amount by the annual cash flow. Account and fund managers take the payback period into account when determining whether to move further with an investment.
What is a payback period?The payback period in capital budgeting is the length of time it takes for your company to recover the cost of acquiring one customer. The payback period, for instance, is 13.9 months for a customer who costs $350 to acquire and contributes $25 monthly or $300 year.
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Carns Company is considering eliminating its Small Tools Division, which reported a loss for the prior year of $215,000 as shown below.
Segment Income (Loss)
Sales $ 1,440,000
Variable costs 1,305,000
Contribution margin 135,000
Fixed costs 350,000
Income (loss) $ (215,000)
If the Small Tools Division is dropped, all of its variable costs are avoidable, and $105,000 of its fixed costs are avoidable. The impact on Carnsâs income from eliminating the Small Tools Division would be:
Multiple Choice
$63,500 decrease
$30,000 decrease
$350,000 decrease
$30,000 increase
$105,000 decrease
Carns Company is considering exiting its Small Tools division, which posted a loss of $215,000 last year, as shown below the $30,000 decline.
Contribution margin or dollar profit per unit is the selling price per unit minus the variable cost per unit. "Contribution" represents the portion of sales that is not consumed by variable costs and contributes to covering fixed costs.
This is an accounting term that helps business owners and managers track the profitability of their products. Understanding contribution margin is important. Because the contribution margin shows how much of a product's sales covers fixed costs and contributes to the company's profit.
This is an accounting term that helps business owners and managers track the profitability of their products. Understanding contribution margin is important. Because the contribution margin shows how much of a product's sales covers fixed costs and contributes to the company's profit.
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___involves allocating the overall cost estimate to individual work items to establish a baseline for measuring performance.
Determining the budget involves allocating the overall cost estimate to individual work items to establish a baseline for measuring performance.
Your net income serves as the cornerstone of an efficient budget. Your take-home pay is the sum of your income or salary less tax and employer-sponsored benefits like retirement plans and health insurance. Focusing on your gross pay instead of your net pay may drive you to overspend because you'll believe you have more money accessible than you actually have. Keep thorough records of your contracts and compensation if you're a freelancer, gig worker, contractor, or self-employed to help manage erratic revenue. Finding out where your money is going comes after determining how much you have coming in.
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identify a factor that has led to the elimination of time and distance as barriers to global marketing
Faster transportation has led to the elimination of time and distance as barriers to global marketing .The organization is impacted by the economy in many different ways.
This is more significant when it comes to international marketing because both the domestic and global economies have an impact on the company's bottom line. The economic environment affects the consumer patterns and the distribution channel. The UNO, World Bank, and WTO are three major institutions engaged in this level of global marketing. Some of the criteria include: cost; price elasticity of demand; competition; nature of products or industry; exchange rate fluctuations; distribution system; location of production facility; location and environment of the foreign market.
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Which question applies predictive thinking to a public policy solution?
What criteria should be used to judge the efficacy of the solution?
What reasons might people have for failing to comply with the new policy?
Which policy idea has the best chance at meeting all identified criteria?
Which organizations and individuals can best help identify policy solutions?
Correct option is B, question applies predictive thinking to a public policy solution is "What reasons might people have for failing to comply with the new policy?"
What is Public Policy?Senator John Smith is running for reelection in the United States Senate. He will debate Jane Doe, the person running against him for the Senate, tonight. Public policy, or the goals a government sets for the health, welfare, and safety of its citizens and the steps it takes to achieve those goals, is the subject of the discussion tonight. Domestic policy and international policy are the two broad categories into which public policy created and carried out by the United States can be divided. Let's look more closely.
Several essential characteristics of public policy include:
A need for attention-requiring issues or problems leads to the creation of policy.
The government's policy is what it decides to do (actually) or not do (implicitly) in relation to a specific topic or problem.
A policy could be a law, a regulation, or the collection of all the laws and regulations that apply to a specific problem or topic.
The "public" is represented while making policy.
A goal or desired state, such as the resolution of an issue, is the focus of policy.
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Assume that the operation of your business resulted in sales of $730,000 last year. Year-end receivables are $100,000. You are considering factoring the receivables to raise cash to help fi- nance your venture’s growth. The factor imposes a 7 percent discount and charges an additional 1 per- cent for each expected ten-day average collection period over thirty days.
Estimate the dollar amount you would receive from the factor for your receivables if the collection period were thirty days or less.
Estimate the dollar amount you would receive from the factor for your receivables if the average col- lection period were sixty days.
Show how your answer in Part B would change if the factor charges an 8 percent discount and charges an additional 0.5 percent for each expected fifteen-day average collection period over thirty days.
If the $730,000 in sales last year were evenly distributed throughout the year, an average $100,000 in receivables outstanding would imply what average collection period? Given the original terms stated in the problem, what dollar amount would you expect to receive for your receivables?
It plays a crucial role in determining the Accounts Receivable Turnover. It is calculated by dividing the sum of the starting and ending balances of the accounts receivable by 2.
The average accounts receivable is calculated by dividing the beginning and ending receivables over a specified time period (typically monthly, quarterly, or annually) by two. The accounts receivable turnover ratio is used to forecast the balance sheet in financial modeling.
What is a good ratio for accounts receivable?
Companies should aim for a ratio of at least 1.0 to ensure that they collect the full amount of average accounts receivable at least once per period. In general, a higher accounts receivable turnover ratio is advantageous.
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the measures the difference between the actual fixed overhead costs incurred and the budgeted fixed overhead costs.
The difference between the actual fixed overhead expenditure incurred and the projected fixed overhead expense is the fixed overhead spending variance.
An unfavorable variance indicates that real fixed overhead expenditures exceeded expectations.
the discrepancy between the projected and actual fixed overhead costs The difference between the total fixed overhead planned cost and the total fixed overhead actually incurred during a particular accounting period is referred to as fixed overhead budget variance.
The difference between the amount projected for fixed overhead expenses based on production volume and the amount finally absorbed is referred to as the fixed overhead volume variation.
At the conclusion of a given period, this variation is assessed as part of the cost accounting reporting package.
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in 2016, angel purchased 260 shares of flowers r us stock at a cost of $9,600 as an investment. in 2021, when the fair market value was $11,400, angel gave the stock to a relative, alex. assuming no gift tax was paid, if the stock sells for $13,800, alex will recognize:.
Alex will recognize a gain of $4,200. Shares are created from a company's capital.
Each share serves as a unit of ownership in a company and is made available for sale in order to raise money for it.
Equity shares and preference shares are the two basic types into which shares can be separated. Equity shares allow their owners the ability to vote at annual general meetings and share in the company's profits. Such a stakeholder is responsible for both the company's losses and earnings.
In the given question,
Cost Price = $9,600
Selling Price = $13,800
Profit = Selling Price - Cost Price
= $13,800 -$9,600
= $4,200
Therefore, $4,200 is the required gain for Alex.
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allison is a sales representative at the weston appliance company. she receives compensation whereby payment is based on sales volume or profitability. this is referred to as .
We already know that Allison is a sales representative at Weston Appliance Company, through this job, she receives compensation for which payment is based on sales volume or profitability. This is called commission
The commissions according to Their StructureLinear: A commission of X% is paid when the seller achieves the sales goal of Y euros.By margin: In this case, the commission is applied on the margin obtained by the seller. That is, the commission percentage is applied to the relationship between the effective sale price and the minimum sale price.Scale: Commissions are set according to the range of values where the sales are located.For more about the commissions here https://brainly.com/question/957886
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________ imply/implies that, holding the present value of government spending constant, budget deficits will not crowd out investment.
a. Ricardian equivalence
b. Lower taxes
c. Crowding in
d. Lower interest rates
a. Ricardian equivalence imply/implies that, keeping the prevailing price of presidency spending constant,budget deficits will now no longer crowd out investment.
The required details about Budget deficits is mentioned in below paragraph.
Budget deficits arise while costs exceed sales and for a nation, they could cause monetary instability, including inflation. Using monetary coverage to sell monetary boom to growth tax sales and reduce spending can lower a deficit.A budget deficit is noted as the state of affairs wherein the spending is extra than the income. Although it's far by and large used for governments, this will additionally be extensively implemented to people and businesses.A budget deficit happens while cash going out (spending) exceeds cash coming in (sales) at some stage in a described period.
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