the following operation benefits from appreciation of the firm's local currency: a. borrowing in a foreign currency and converting the funds to the local currency prior to the appreciation b. receiving earnings dividends from foreign subsidiaries c. purchasing supplies locally rather than overseas d. exporting to foreign countries

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Answer 1

Option a. borrowing in a foreign currency and converting the funds to the local currency prior to the appreciation benefits from appreciation of the firm's local currency.

A foreign currency is the currency utilized by a foreign u . s . a . as its diagnosed form of monetary alternate. This particular forex is the most effective form of alternate that the relevant authorities lets in for use for getting and selling inside its borders

To favor the trade of budget among unique countries; we can locate nations with excess liquidity and others that need liquidity. To finance worldwide trade, whose transactions constitute a enormous part of the foreign money market.

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Related Questions

when making keep or replace decisions, management should consider the: (check all that apply.) multiple select question. sale of the existing equipment variable manufacturing cost of the new equipment variable manufacturing cost of the existing equipment original cost of the existing equipment book value of the existing equipment

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when making keep or replace decisions, management should consider the:

sale of the existing equipment

variable manufacturing cost of the new equipment

book value of the existing equipment

When purchasing a new piece of equipment, take into account the price of the item, its lifespan, potential salvage value, operational costs, and any potential revenue growth. Take into account an item's remaining useful life, maintenance expenses, market worth, and potential salvage rate.

The expense and difficulty of the repairs that machines require will continuously rise as they get older. The 50/50 percent threshold rule is a useful formula for deciding what to do with a machine. According to this rule, you shouldn't replace a machine until the cost of repairs is greater than 50% of the cost of a replacement.

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in 2021, the u.s. president declared a federal disaster due to the flooding in houston. danielle lives in that area and lost her home in the flood. what choice best reflects her options regarding when she can claim the loss on her tax return?

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in 2021, the US. president declared a federal disaster due to the flooding in Houston. Danielle lives in that area and lost her home in the flood. She claimed in 2018 or 2019.

The Federal Emergency Management Agency is an agency of the United States Department of Homeland Security, originally created under President Jimmy Carter under Presidential Reorganization Plan No. 2. Implemented by his two Executive Orders of March 3, 1978 and April 1, 1979.

A disaster declaration is a formal declaration by a jurisdiction that a disaster or emergency has exceeded its ability to respond and/or recover. Declarations are generally made after a disaster occurs, but may be made when a disaster is judged to be imminent.

A disaster is a severe disruption in the functioning of a community, beyond its ability to cope. Disasters can be caused by natural disasters, man-made disasters, technological disasters, and various factors that affect the vulnerability and vulnerability of communities.

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the balance sheets of davidson corporation reported net fixed assets $620,000 at the end of year 1 and $340,000 at the end of year 2. net sales for year 2 totaled $1,440,000. what is the fixed-asset turnover ratio for year 2?

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The fixed asset turnover ratio is 3.0

Net fixed assets for year 1 = $620,000

Net fixed assets for year 2 = $340,000

Net sales for year 2 = $1,440,000

Analysts typically utilize the fixed asset turnover ratio (FAT) to gauge operating performance. This efficiency ratio assesses a company's capacity to generate net sales from its fixed-asset investments, specifically property, plant, and equipment (PP&E). It compares net sales (income statement) to fixed assets (balance sheet) (PP&E).

Fixed Asset turnover ratio is given by:

= Net sales for years 2/{(Net fixed assets for year 1 + net fixed assets for year 2)}/2

= 1440000/{(620000+340000)}/2

= 3.0

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a client is looking for a very safe instrument that will not produce any current income but will provide a payout in ten years, providing funds that can then be deployed towards an educational goal. what is the most appropriate choice for this client?

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The most appropriate choice for this client is treasury strip.

    Bonds known as Treasury STRIPS are offered for sale below their face value. When the bonds mature, the investor is given their entire face value back rather than receiving interest payments. Separate Trading of Registered Interest and Principal of Securities, or STRIPS, is an acronym. Since they do not pay interest or coupons, these bonds are frequently referred to as zero-coupon bonds.

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which statement is true of the marketing environment? multiple choice unemployment problems are a part of regulatory forces affecting the marketing environment. the public's opinions belong to the competitive forces influencing the marketing environment. a marketing manager can influence some environmental variables. environmental forces remain static. the forces in the marketing environment cannot be controlled under any circumstance.

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A marketing manager can influence some environmental variables is a true statement of the marketing environment.

The marketing environment refers to all inner and outside elements, which without delay or indirectly have an impact on the company's decisions associated with advertising activities. internal elements are inside the manipulate of an corporation; whereas, external elements do now not fall within its control.

Market environment and enterprise environment are advertising and marketing terms that talk to factors and forces that affect a company's capacity to construct and preserve successful customer relationships.

A advertising surroundings encompasses all of the internal and external elements that power and have an impact on an corporation's advertising sports. advertising managers need to stay privy to the marketing surroundings to hold fulfillment and address any threats or possibilities which can affect their work.

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all of the following are benefits of economic growth except a. improved health. b. urban congestion. c. reduction in illiteracy. d. political stability.

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Urban congestion is not a benefit of economic growth.

What is economic growth?Economic growth describes the increase in quantity and quality of economic goods and services produced and consumed by society. Economic growth is easy to define, but very difficult to measure.Economic growth increases national efficiency and the supply of public goods. As the economy grows, the state taxes these revenues, providing the capacity and resources necessary to provide the public goods and services that citizens need, such as health care, education, social protection, and basic public services. You can get Average Annual Growth Rate – This is the average change for each of the four quarters. For example, if there are four quarterly growth rates of 2%, 3%, 1.5%, and 1% in 2022, the annual compound growth rate for that year is 7.5% ÷ 4 = 1.875%.

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a trust is a(n): group of answer choices form of property ownership created by the common law that prevents people from stealing inheritance money from their co-inheritors form of property ownership created by the common law that combines the legal and beneficial ownership of property form of property ownership created by the tort law that separtaes the legal and beneficial ownership of property a form of property ownership created by the common law that separtates the legal and beneficial ownership of property none of the other choices are correct

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Form of possessions ownership created by the standard law that separates the legal and practical ownership of property

What is possessions ownership?Ownership is the legal possession and control of property, which can be any tangible or intangible asset. Ownership can involve multiple rights, referred to collectively as title, that can be separated and held by different parties. Ownership entails absolute rights and a legal claim to an object. It means that the owner owns the object. Possession is more about having physical control over an object. A car owner, for example, could lend it to someone else to drive. That driver would then be the owner of the vehicle. However, simply lending the car to someone else does not transfer ownership.

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jack took part in a survey in which he was asked to rank the importance of certain features of the smart television he had recently purchased. the result was then used by the surveying firm to assess the different attributes of the ranking. this survey would most accurately be termed a .

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This survey would be accurately termed a Conjoint Analysis

Conjoint Analysis is a type of statistical analysis of data that is conducted in firms used in market research to understand the perspective of the people regarding the goods or services they are providing. It is done on the basis of breaking down the basic factors that affect a customer's reviews or the attributes that will directly affect a person's perception of the product.

The survey Jack took part in was regarding ranking the features of a smart television that he bought. The firm collected information about the attributes that are important while rating the product in order to get a proper analysis.

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true or false: personal nonrefundable credits should be applied to a taxpayer's tax liability before other types of credits. after personal nonrefundable credits, any business credits should be used followed by all personal refundable credits.

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Personal nonrefundable credits should be applied to a taxpayer's tax liability before other types of credits. after personal nonrefundable credits, any business credits should be used followed by all personal refundable credits.

This statement is True.

A non-refundable credit basically means that the credit cannot be used to increase your tax refund or create a tax refund if you have not already received it. In other words, your savings cannot exceed the amount of tax you owe. Foreign tax credit. Credits for Parenting and Dependence. lifelong learning credits.

Refundable tax credits are called 'refundable'. This is because if you are eligible for a refund and your deductible exceeds the amount of tax you owe, you will be refunded the difference. For example, if you have $800 in taxes and are eligible to receive a $1,000 refundable credit, you are entitled to a $200 refund.

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a company generates revenues of $120 million, gross profit of $70 million, operating income of $50 million and net income of $24 million. it has 10 million shares outstanding. what is the company's operating margin? answer in percent, rounded to one decimal place.

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A business generates $120 million in revenue, $70 million in gross profit, $50 million in operational income, and $24 million in net income. There are 10 million active shares. The operational margin of the business.

The business's retained earnings for Year 8 would be $20 million and its EPS for Year 8 would be $2.50. The company's total earnings for Year 8 would be $10 million (net income of $50 million less interest charges of $10 million less dividend payments of $30 million = $10 million) if we calculate EPS and retained earnings. In Year 8, the corporation would have an EPS of $2.50 and $20 million in retained earnings (net income of $50 million less dividend payments of $30 million). the business's credit standing would be no less than an A as operating profit exceeds annual interest expenses by a factor of seven.

The company's retained earnings for Year 8 would be $10 million (net income of $50 million less interest costs of $10 million less dividend payments of $30 million). Its EPS for Year 8 would be $5.50. The operational profit of $70 million less interest expenses of $10 million, less dividend payments of $30 million, or $30 million divided by 20 million shares, would result in the company's EPS for Year 8 being $1.50 operational income.

Now, the query can be responded to as follows: business

We may calculate the following from the question:

EPS is calculated as Net Income / Outstanding Common Stock, which is $50 million / 20 million shares, or $2.50.

Dividend payments equal the number of outstanding shares of common stock Dividend per share equals 20,000,000 * $1.50, or $30,000,000.

Net income minus dividend payments equals retained earnings, or $50 million minus $30 million, or $20 million.

The company's retained earnings for Year 8 would be $20 million (net income of $50 million less dividend payments of $30 million) and its EPS for Year 8 would be $2.50 (B) operational income.

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suppose a firm is considering two mutually exclusive projects. one project has a life of 6 years; the other, a life of 10 years. both projects can be repeated at the end of their lives. might the failure to employ a replacement chain or eaa analysis bias the decision toward one of the projects? if so, which one and why?

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These methods are being used to assess projects with varying life spans.
Failure to use these methods may result in unfavourable outcomes.

What is projects?
A project is defined as a series of tasks that must be accomplished in order to achieve a specific outcome. This same Project Management Institute (PMI) defines a project as "any temporary endeavour with a definite beginning and end." It can be managed by a single person or hundreds, depending on its complexity. All of these constraints are determined by the project's goals and timeline. Deliverables are the end result of a project. A deliverable is anything created during the course of a project's development, such as records, plans, and progress reports. A deliverable can also be the end result of a project.

Presuming that the cash flows remain constant throughout their lives, the decision would favour the project with the longer life, which may not be the case.

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what is true for consumers when they choose how much to consume of a good? a. as the quantity consumed of a product rises, total utility rises, but marginal utility falls. b. as the quantity consumed of a product rises total utility falls, but marginal utility rises. c. as the quantity consumed of a product rises marginal utility rises. d. as the quantity consumed rises, total utility falls.

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The correct answer will be (a), as the quantity consumed of a product rises, total utility rises, but marginal utility falls.

The additional pleasure a consumer experiences from obtaining one additional unit of a good of an item or service is known as marginal utility. Economists employ the idea of marginal utility to predict the amount of something that customers will purchase.

When the total utility is enhanced by the intake of an additional item, positive marginal utility occurs. On the other side, negative marginal utility occurs whenever the overall utility is decreased by the consumption of one additional unit. Whenever the unit consumed by consumers rises, total utility rises whereas marginal utility falls.

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current liabilities are due a.but not receivable for more than one year b.but not payable for more than one year c.and payable within one year d.and receivable within one year

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Current liabilities are due and receivable within one year. Current liabilities are a business's short-term debts that are due in a year or within a typical operational cycle.

Current liabilities are usually settled through current assets, which are resources that are consumed within a year. Accounts payable, short-term loans, dividends, and notes payable are a few examples of current liabilities, along with any outstanding income taxes.

Investors and creditors alike value the examination of current liabilities. This might provide a picture of a business's ability to handle its existing responsibilities and maintain its financial stability. Commonly, current assets—assets that are depleted within a year—are utilized to satisfy current liabilities. The capacity of a business to continue making timely debt payments is largely due on the ratio of current assets to current liabilities.

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redesign the process so that it can achieve the desired output. b use an alternative process that can achieve the desired output c retain the current process but attempt to eliminate unacceptable output using 100% inspection d see whether specs could be relaxed without adversely affecting customer satisfaction. e all of the above

Answers

If the process is in control but not capable, I will redesign the process so that it can achieve the desired output.

Following the creation of strategies and plans, management's main task is to take action to see that they are carried out or, if circumstances call for it, amended. This is the primary management characteristic of redesign and control. Because management often involves guiding the actions of others, a key component of the control function is making sure other people carry out the necessary tasks.

Process redesign is a strategy for ensuring that a certain collection of interconnected tasks is carried out accurately and as effectively as possible. The management literature is replete with advice on how to improve manipulation. An overview of a few different types of dimensions and feedback procedures is typically included in this advice.

Complete Question

if the process is in control but not capable, what would you do? a redesign of the process so that it can achieve the desired output. b use an alternative process that can achieve the desired output c retain the current process but attempt to eliminate unacceptable output using 100% inspection d see whether specs could be relaxed without adversely affecting customer satisfaction. e all of the above.

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your 75-year-old grandmother expects to live for another 15 years. she currently has $1,000,000 of savings, which is invested to earn a guaranteed 7.5% rate of return. ignoring the effects of inflation, how much can she withdraw (to the nearest dollar) at the beginning of each year and keep the withdrawals constant in nominal terms until the balance goes to zero at the end of the 15th year?

Answers

$105,383 for every year is withdrawn by ignoring the effects of inflation.

75-year-old granny anticipates another 15 years of life.

She currently has $1,000,000 saved, which she has invested for a 7.5% guaranteed return.

The sum is determined as follows:

Annual withdrawals x [(1 - 1 / (1 + r)n) / r] = present value. x (1 + r)

Annual withdrawals x [(1 - 1 / (1 + 0.075)15) / 0.075] x 1.075 = $1,000,000

Annual withdrawals x 8.827119745 x 1.075 = $1,000,000

withdrawals per year = $1,000,000 / (8.827119745 x 1.075)

$1,000,000 / 9.489153726 is the annual withdrawal amount.

105,383 dollars in withdrawals per year approximately.

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What is the key problem of assessing performance using multiple performance measures? group of answer choices it is impossible to know whether overall performance has improved it is expensive to record numerous measures there will always be disagreement about what the measures should be some measures will be inaccurate not all the measures will be in financial terms

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Measurement resistance is also brought on by a lack of data knowledge, a lack of resources, poor experiences, a lack of data accuracy, and a lack of senior leadership involvement.

Why is it difficult to measure performance?The most frequent problems with performance management, along with solutions,a lack of coordination,any successful business relies on effective communication, micromanagement Lack of confidence,not establishing objectives or expectations.selecting the incorrect priorities. These indicators include turnover, employee happiness, and employee engagement.According to studies, increased customer satisfaction is related to higher employee engagement.Customers can tell when employees are satisfied at work and have faith in their brand or business. The lack of structure in the process is one factor contributing to performance management failure.It must be done more frequently because it is not a one-time process.If you don't have a well-designed structure for performance management, it is not possible. The largest issue with forced ranking may be unfairness, as the way the system is set up makes the decisions appear more and more random each year.Poor performers have typically already left most organizations after several years of a forced ranking system. Input, Output, Efficiency, Quality, and Outcome are the five distinct types of metrics that have been discovered, defined, and will be used throughout the Iowa State Government.

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Dante went to school to laern about hvac systems he laernred aerned a dagree that certifies he know's how to correctly and safley install larg ari condining units what compeny

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A large construction company building a new hospital in the Architecture and Construction career cluster that might be interested in hiring Dante .

What is career?This is the specialized job that a person has that allows him to earn a living.Variable-air-volume (VAV) systems with a packaged rooftop unit are three of the most commonly used systems for commercial buildings. System components include a chiller, a cooling tower, and a boiler. Water-source heat pump systems that include a cooling tower and a boiler.As a result, we can see that the company in the Architecture and Construction career cluster that may be interested in hiring Dante is a large construction company that is constructing a new hospital.This is due to his HVAC system certification, and the hospital would require several air-conditioning units.

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Answer:

A large construction company building a new hospital

Explanation:

I took the test

during 2024, the balboa software company incurred development costs of $2,000,000 related to a new software project. of this amount, $400,000 was incurred after technological feasibility was achieved. the project was completed in the middle of the year and the product was available for release to customers on july 1. revenues from the sale of the new software in 2024 were $500,000 and the company anticipated future additional revenues of $4,500,000. the economic life of the software is estimated at four years. what amount of the software development costs would be capitalized in 2024 (ignore amortization)?

Answers

The cost of developing the software would be capitalized in 2024 to the tune of $400,000.

How does technological feasibility work?

Technology feasibility and cost analysis are used to evaluate a process or technology's potential economic viability and to determine which technologies have the best chance of being successful commercially. Plans for developing a balanced portfolio and validating new technologies can benefit from the findings of technology feasibility analysis efforts.

A technology's economic viability is evaluated by comparing its implementation costs for a specific process to the costs associated with existing technology. These analyses are therefore helpful in identifying the projects with the best chances of success in the short, medium, and long terms.

Calculation:

Cost of development: $2,000,000

$40000 was spent after technological feasibility was attained.

Now,

The expenses for creating software that would be capitalized in 20X1

= Cost incurred after technological feasibility is attained

= $400,000

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business has increased such that a few years ago purple reign brought warehousing and distribution in-house to package and ship customer orders. with business continuing to expand, the company now is making the decision to continue to order boxes from box manufacturers or buy a corrugate machine that will manufacturer boxes to customized sizes on demand. the company expects to have 120,000 orders in 2022 and each order will use one box. when buying boxes from manufacturers, the company needs to buy different size boxes to account for different orders. this pushes the average cost of each box to $0.47. the box machine purple reign is considering costs $30,000, but lowers the variable cost of each box to $0.22 because the company is able to manufacture each box on-demand. if the company buys boxes from manufacturers, purple reign likes to have a contract with each to ensure needs are met to certain specifications. purple reign can have all contracts negotiated for $6,000. based on this information, and considering only the information we have based on 2022 projects, should purple reign purchase a box machine and make boxes on demand or should the company continue to buy boxes from outside providers? for 2022, what is the best economic decision?

Answers

When a corporation decides to manufacture its own boxes: $35,000 is the total fixed cost incurred ( Cost of Machine) Making one box typically costs $0.21. When a business decides to purchase boxes from manufacturers: Total Fixed Cost incur = $3000.

The total fixed cost formula is really an aggregation of all fixed costs that an organization incurs. By evaluating all costs as activity quantities change, these costs can be found. A cost is regarded as fixed if it does not change depending on the degree of activity. Some expenses are categorized as mixed expenses because they include both fixed and variable cost components.

Understanding how total costs are split between variable and fixed expenditures is essential for marketing. In order to accurately predict the revenue generated by various changes in unit sales and, consequently, the financial impact of suggested marketing initiatives, this distinction is essential.

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consider the assembly line of a laptop computer. the line consists of 10 stations and operates at a cycle time of 2.00 minutes per unit. their most error-prone operation is step 2. there is no inventory between the stations, because this is a machine-paced line. final inspection happens at station 10. what would be the information turnaround time for a defect made at station 2?

Answers

If station 2 is their most error-prone operation, then the information turnaround time for a fault created there would be cycle time of full line = 2 minutes/unit.

This means that one unit is made in 2 minutes. In the line of 10 stations the 2nd step is the most error prone.

Error made at step 2 means that unit must be processed by 8 other error-prone stations in order to be made and inspected at 10th station.

Thus, Information turnaround time = cycle time x number of stations after  cycle time error is made

= 2 x 8 = 16 minutes

The authors quantify coupling and strength ratios in software systems and utilize the ratios to pinpoint error-prone system structures using error-prone data bindings, which are metrics of data interaction. For the empirical analysis, a 148000 source line system from a prediction environment was chosen. Data on software errors were gathered from error-prone the high-level system design, system testing, and system field operation.

In order to determine a hierarchical description of each of the 77 subsystems of the system, the authors employ a clustering technique cycle time along with a set of five tools to calculate the data bindings automatically. A nonparametric analysis of variance model is used to categorize subsystems and individual routines that have either a lot of errors or not many errors, or a lot of or not much work put into error correction.

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noah wants to quit his job and return to school for a mba degree at the end of two years. he plans to save and deposit $2,000 per month, beginning immediately from the beginning of first month. he will make monthly deposits in an account that pays 3% nominal interest (0.25% monthly). under these assumptions, how much will he have accumulated at the end of two years?

Answers

Noah has accumulated $49,529 under these assumptions after two years.

What is nominal interest?The nominal interest rate, also known as the nominal rate of interest, is one of two things: the rate of interest before inflation adjustment, or the rate of interest "as stated" without adjustment for the full effect of compounding. In banks and in the investment field, the nominal interest rate is frequently used to describe interest on various loans. For example, if the loan's nominal rate is 5%, you can expect to pay $50 in interest for every $1,000 borrowed. You'll pay $1,050 at the end of the year. The nominal interest rate (also known as the money interest rate) is the percentage increase in money you pay the lender for the use of borrowed funds.

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suppose that the airline industry is in long-run equilibrium when the price of gasoline increases, raising the cost of operating airplanes. in the long run, the number of airlines in business should:

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The airline industry is in long-run equilibrium when the price of gasoline increases, raising the cost of operating airplanes. in the long run, the number of airlines in business should decrease.

What is industry?
A group of businesses that are connected by their main lines of business are referred to as an industry. Numerous industry classifications exist in contemporary economies. Sectors are generally used to group together industry classifications into larger categories. According to their primary sources of income, individual companies are typically categorised into an industry. For instance, even though an automaker might have a financing division which contributes 10% to the company's overall revenues, this same company would be categorised in the automaker industry by the majority of classification systems. Based on the main product produced or sold, similar businesses are categorised into industries. In this way, industry groups are effectively formed, and these groups can later be used to separate businesses from those who engage in other types of activities.

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In a market without prices, where goods are allocated by a central planner, which is likely to happen?.

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In a market without prices, where goods are allocated by a central planner, then the prices will be centralized which will benefit the consumer.

In a free-market economy, assets are apportioned by costs. In this way, a showcase economy is self-regulating, permitting real-time coordination over millions of products and administrations, without any central authority knowing and setting all the costs.

The foremost clear way to designate assets over an economy is for a central authority to choose what to do. In a medieval economy, the ruler tells individuals what to develop and how to offer it.

The Soviet Union worked essentially, with the government deciding how much steel to deliver in Bulgaria and how much wheat to be developed in Ukraine.

These exchange costs have swell impacts all through the economy, with one cost in one division being transmitted to related divisions consequently, without passing through any central specialist. These costs decide how much of each asset gets utilized where.

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the milken company is offering you an investment that promises you $10,000 at the end of 8 years if you invest $ 7,886 today. what is the annual return on this investment?

Answers

The annual return on this investment in the Milken company is 3.4%

Define annual return.

An investment's average yearly return over a given time period is known as its annual return or annualized return. In order to depict what the yearly return compounded would appear to be, the return is annualized using a geometric average calculation. By dividing the total gain or loss at the end of the year by the initial investment made at the beginning of the year, the annual rate of return is determined.

Total returns at the end of 8 years = $10,000

Total investment today =   $ 7,886                      

Total returns from the investment =  $2,114

Annual return = $524 ($2,114/8)

= 3.4% ($264.25/$7,886 × 100)

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What is the mathematical formula that you would use to describe the financial activity on a bank statement?

Answers

The mathematical formula that you would use to describe the financial activity on a bank statement is: ending balance = previous balance + deposits- withdrawals.

What is bank statement?

Bank statement can be defined as the statement that help to show the transactions that happens in your accounts on a daily basis.

The transactions shown in your bank statement are the amount you withdraw and the amount you deposited which why a bank statement often has both a debit and a credit side.

Therefore we can conclude that the formula help to summarize the financial activity that take place in your account.

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The mathematical formula that will use to describe the financial activity on a bank statement is: Ending balance = previous balance + deposits- withdrawals.

What is a bank statement?

A bank statement is a list of all transactions of money of a person. It contains the amount of money a person deposits and the amount of money he withdraws. It contains the dates and times of deposition and withdrawal.

The money that is withdrawn is debited money, and the money deposit is credit money.

Therefore, the mathematical formula is ending balance = previous balance + deposits- withdrawals.

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a company has a retained earning statement that shows that it did not pay a dividend to shareholders last year. this may lead a potential investor to conclude:

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According to a company's retained earning statement, it did not distribute a dividend to shareholders last year. A potential investor might draw the conclusion from this that management might be concentrating on a growth strategy.

Enlist the types of dividend.

In general, a dividend is viewed as a cash payment made to the owners of firm stock.

Of all the dividend forms, cash dividends are by far the most prevalent. The board of directors decides to pay a certain dividend amount in cash to shareholders who held the company's stock on the day of declaration.A stock dividend is the free distribution of common shares by a firm to its common shareholders.Scrip dividends, which are effectively promissory notes (which may or may not include interest) to pay shareholders at a future date, are sometimes issued by companies that may not have enough cash on hand to pay dividends in the near future. A note payable is created by this dividend.A liquidation dividend is declared when the board of directors wants to return the capital that shareholders initially invested as a dividend. This action could signal that the company will eventually close.An organization may choose to distribute a non-cash dividend to investors rather than paying out in cash or stock. Record this distribution at the assets that were distributed's fair market value. The fair market value of the assets is probably going to differ significantly from their book value, thus the corporation will probably record the difference as a gain or loss. This accounting rule may occasionally cause a company to purposefully pay property dividends in an effort to change its reported and/or taxed income.

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a portfolio business that generates operating cash flows over and above internal requirements, thereby providing financial resources that may be used to finance new acquisitions, fund share buyback programs, or pay dividends, is commonly called a multiple choice cash hog. cash cow. star business. question mark. cash dog.

Answers

A cash cow is a portfolio business that generates operating cash flows over and above internal requirements, thereby providing financial resources that may be used to finance new acquisitions, fund share buyback programs, or pay dividends.

What is portfolio?
A portfolio is a group of financial investments such as stocks, bonds, commodity markets, cash, and cash equivalents, which may include closed-end funds and exchange traded funds (ETFs). People commonly believe that stocks, securities, and cash form the foundation of a portfolio. While this is frequently the case, it does not have to be the rule. A portfolio may include a diverse range of assets, such as real estate, art, and investments.

You can hold and manage your portfolio a do, or you can have it managed by a money manager, money manager, or another finance professional.

Therefore, the correct option is (B) cash cow
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jasper incorporated prepares its financial statements according to international financial reporting standards. at the end of its fiscal year, the company chooses to revalue its equipment. the equipment cost $810,000, had accumulated depreciation of $360,000 at the end of the year after recording annual depreciation, and had a fair value of $495,000. after the revaluation, the equipment account will have a balance of:

Answers

The accumulated depreciation account will have a balance of    $220,000

Calculation to determine what the accumulated depreciation account will have a balance of:

$360,000 x ($495,000/810,000) = 220,000

$220,000

What is accumulated depreciation?

On a company's balance sheet, the accumulated depreciation account is a counter asset account. A credit balance is represented by it. It appears as a decrease from the reported gross quantity of fixed assets. The amount of wear on an item over the course of its useful life is calculated using accumulated depreciation.

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the decision-making technique that involves graphically displaying alternatives considered in a decision and the outcomes expected as a result is termed a .

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The decision-making technique that involves graphically displaying alternatives considered in a decision and the outcomes expected as a result is termed as decision tree.

What is decision tree and the decision involving graphically displaying alternatives is termed as what?Decision tree is a significant tool used for classification and categorization for various kind of tasks and include regression tasks also.A decision tree for if or else conditions would be better for the understanding values and further processing.Decision tree is significant and plays a pivotal role for the data analysis and algorithms are also used in decision tree and ID3 is one of the algorithm used in decision tree.Here the decision tree is depicted as the technique involving graphically displaying alternatives considering in a decision and the outcomes expected as a result .The decision tree is named so because the data, decisions in decision tree is represented like a tree model or like the structure of tree.Hence decision tree is the decision making technique that involves graphically displaying alternatives considered in a decision and the outcomes expected as a result .

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merchandise invoiced at $9,500 is sold on terms 1/10, n/30. if the buyer pays within the discount period, what amount will be reported on the income statement as net sales?

Answers

Net sales are what are left over after subtracting all returns, allowances, and sales discounts from gross sales.Net sales, which includes all forms of sales and associated deductions, is often the overall amount of revenue reported by a company on its income statement.

Solve the problem ?

Sales Revenue is listed at the top of the Income Statement in the Revenue portion. It's typically broken out from Total Revenue and may be broken down into revenue streams, as well (more on those in the next section).

The formula for net sales explained

   Net Sales = Gross Sales – Sales Returns – Allowances – Discounts.

   Net Sales = (Total Units Sold x Sale Per Unit Price) – Sales Returns – Allowances – Discounts.

   Net Sales = (25,000 x $20) - $40,000 - $60,000 - $20,000 = $380,000.

The net sales will be computed with the formula net sales = gross sales – returns – allowances – discounts.

$9500 - 950

8550

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