an increase in a company's receivables turnover ratio typically means the company is:

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Answer 1

An increase in a company's receivables turnover ratio typically means the company is collecting its accounts receivable more efficiently. This ratio measures how quickly a company is able to collect payment from its customers and is calculated by dividing net credit sales by the average accounts receivable balance.

A higher receivables turnover ratio indicates that the company is collecting payment from its customers more quickly and efficiently. An increase in a company's receivables turnover ratio typically means the company is collecting its accounts receivable more efficiently.

The receivables turnover ratio is a financial metric that measures how quickly a company collects its accounts receivable during a specific period. It is calculated by dividing net credit sales by the average accounts receivable.

When the receivables turnover ratio increases, it indicates that the company is collecting its receivables more rapidly. This can be seen as a positive sign because it suggests that customers are paying their outstanding invoices more promptly, resulting in improved cash flow for the company.

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what else might a company include in its benefits package to appeal to young, healthy employees? true or false

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A company might include additional benefits such as flexible work hours, remote work options, paid time off for volunteering, wellness programs, gym memberships, on-site healthy food options, and student loan repayment assistance to appeal to young, healthy employees. The statement is True.

A corporation can add various components to its benefits package in addition to the ones already stated to entice young, healthy workers. Offering comprehensive health insurance alternatives, such as medical, dental, and vision plans, can be a big appeal for young workers who place a high priority on their health and well-being.

Companies can also Include mental health benefits like counselling services, therapy sessions, or employee assistance programs that can show a dedication to promoting workers' general well-being. Young employees can better manage their financial objectives and obligations by getting supplied with financial planning substances, access to financial consultants, or instructional programs on budgeting, investing, and debt management.

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a 25-year, $1,000 par value bond has an 8.5% semi-annual payment coupon. the bond currently sells for $825. if the yield to maturity remains at its current rate, what will the price be 5 years from now? a 25-year, $1,000 par value bond has an 8.5% semi-annual payment coupon. the bond currently sells for $825. if the yield to maturity remains at its current rate, what will the price be 5 years from now? $878.69 $834.83 $825.00 $813.45

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The price of the bond will be $1,748.44 in 5 years if the yield to maturity remains at its current rate.  

The current price of the bond is $825. To calculate the price of the bond in 5 years, we can use the present value formula:

P =[tex]FV / (1 + r)^n[/tex]

here P is the future value of the bond, FV is the future value of the cash flows, r is the interest rate, and n is the number of periods.

In this case, the coupon payment is $8.50 per period, so the future value of the cash flows is:

FV =  8.50x2x25=2,100

The interest rate is 8.5% per year, so the effective interest rate over 5 years is:

r = 8.5% / 2 = 4.25% per year

n = 5 years x 2 = 10 periods

Plugging these values into the present value formula, we get:

P =  2,100/(1+4.25)

= 1,7 48.44

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true or false: the textbook models of keynes’s ideas lose important elements of his thinking.

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The statement is true. The textbook models of Keynes's ideas often oversimplify and lose important elements of his thinking.

Keynes's theories, particularly his influential work "The General Theory of Employment, Interest, and Money," were complex and nuanced, aiming to explain the functioning of the macroeconomy and propose policies to address economic downturns.

Textbook models tend to simplify Keynesian economics by focusing primarily on the concept of aggregate demand and the role of government spending and monetary policy in stimulating economic growth. However, Keynes's ideas encompassed a broader range of factors, including the importance of expectations, uncertainty, liquidity preferences, and the role of psychology in influencing economic behavior.

Furthermore, Keynes emphasized the role of fiscal policy, specifically government spending, as a means to stabilize the economy during periods of low aggregate demand. However, some textbook models may not adequately capture the nuances and potential limitations of implementing fiscal policy effectively.

In summary, while textbook models provide a useful introduction to Keynesian economics, they often overlook or simplify important aspects of Keynes's thinking, which can limit a comprehensive understanding of his ideas and their implications for economic policy.

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Two mutually exclusive projects have the following positive NPVs and project lives. If the cost of capital were 15%, which project would you accept? A. Project A, because it has higher EAC B. Project B, because it has higher EAC C. Project A, because its NPV can be earned more quickly D. Project B, because it has higher NPV E. Project A, because it has a higher IRR

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The project that should be accepted is Project B, because it has a higher NPV. Option D "Project B, because it has higher NPV" is the correct answer.

NPV (Net Present Value) is a measure of the profitability of a project, and a higher NPV indicates a more favorable financial outcome. In this case, Project B has a higher NPV compared to Project A, making it the more attractive choice.

By selecting Project B, the company can maximize its financial returns and create value for its shareholders. The NPV takes into account the time value of money and discounts future cash flows to their present value. Therefore, Project B is expected to generate higher positive cash flows over its project life, resulting in a greater overall value for the company.

Option D is answer.

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the approach to economic policymaking focusing on lowering the barriers to production on the assumption that supplies at the right price will create their own demand is known as

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The approach to economic policymaking focusing on lowering the barriers to production on the assumption that supplies at the right price will create their own demand is known as **supply-side economics**.

Supply-side economics emphasizes policies that aim to boost economic growth and productivity by focusing on the supply, or production side, of the economy. It advocates for reducing barriers such as taxes, regulations, and government intervention to encourage businesses and individuals to produce more goods and services. The theory posits that by incentivizing production and creating favorable conditions for businesses to invest and expand, the increased supply of goods and services will lead to economic growth, job creation, and ultimately, an increase in overall demand.

Supply-side economics gained prominence in the 1980s, particularly with the policies implemented during the Reagan administration in the United States. However, its effectiveness and impact on economic outcomes remain subject to debate among economists.

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keeps stockholder records and prepares official lists of stockholders for stockholder meetings and dividend payments is called?

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Answer:

a registrar keeps stockholder records and prepares official lists of stockholders for stockholder meetings and dividend payments.

a complete coverage of the business climate includes an analysis of the political climate, economic climate, and technological environment.
true or false

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A complete coverage of the business climate typically includes an analysis of the political climate, economic climate, and technological environment. The statement is true.

Analyzing the business climate involves assessing various factors that can impact the operations and performance of businesses. This includes understanding the political landscape and government policies that can affect regulations, taxes, trade agreements, and stability.

The economic climate analysis involves examining macroeconomic indicators such as GDP growth, inflation rates, interest rates, and employment levels, which influence consumer spending, investment, and market conditions.

Additionally, assessing the technological environment helps identify emerging technologies, digital trends, and innovation opportunities that can shape industry dynamics and competitive advantages.

Considering these three aspects provides a comprehensive understanding of the business climate and enables businesses to make informed decisions and adapt to the changing landscape effectively.

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on the date a 90-day note is honored, how much cash will the payee receive?

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Answer:

Explanation:

To determine the amount of cash the payee will receive on the date a 90-day note is honored, we need to consider the terms of the note, including the principal amount and any interest accrued.

A 90-day note is a promissory note with a maturity period of 90 days. It typically includes the principal amount to be repaid and any interest that has accumulated over the 90-day period.

Let's assume that the principal amount of the note is $10,000, and the interest rate specified on the note is 5% per annum.

To calculate the interest accrued over the 90-day period, we need to determine the simple interest using the formula:

Interest = Principal x Interest Rate x Time

In this case, the time is 90 days, so we need to convert it to a fraction of a year:

Time = 90 days / 365 days (assuming a standard year of 365 days)

Now we can calculate the interest:

Interest = $10,000 x 0.05 x (90/365) = $123.29 (rounded to the nearest cent)

Therefore, on the date the 90-day note is honored, the payee will receive the principal amount of $10,000 plus the accrued interest of $123.29. Thus, the payee will receive a total of $10,123.29 in cash.

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refer to figure 25.1 for an oligopoly firm. assume that the existing price and quantity are $10 and 2,000 units. which of the following statements is most likely correct? Demand curves D1 and D2 both assume that rivals will not match any price changes. O Demand curves D1 and D2 both assume that rivals match any price changes. Demand curve D1 assumes that rivals do not match price changes. O Demand curve D2 assumes that rivals do not match price changes

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The most likely correct statement is that demand curve D2 assumes that rivals do not match price changes.

In an oligopoly market, firms are interdependent and their actions can have an impact on the market behavior. The demand curves D1 and D2 in Figure 25.1 represent different scenarios regarding how rivals respond to price changes.

If demand curve D1 assumes that rivals do not match price changes, it suggests that the firm's competitors are unlikely to adjust their prices in response to the firm's pricing decisions. In this case, the firm can potentially have some pricing power and influence the market.

On the other hand, if demand curve D2 assumes that rivals do not match price changes, it implies that competitors are more likely to adjust their prices to match the firm's pricing decisions. This indicates a higher level of price competition within the oligopoly market.

Given the existing price and quantity of $10 and 2,000 units, it is most likely that demand curve D2 is applicable. This suggests that rivals are expected to match any price changes made by the firm, leading to a more competitive pricing environment in the oligopoly market.

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Digital marketing returns are determined by three factors? A) cost per exposure, B) customer concentration, and C) the effectiveness of each exposure. The return on investment roughly follows this mathematical relationship:

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Yes, digital marketing returns are determined by the three factors you mentioned - cost per exposure, customer concentration, and the effectiveness of each exposure. The cost per exposure refers to how much it costs to reach each potential customer through digital marketing channels.

Customer concentration refers to the size and location of the target audience. Finally, the effectiveness of each exposure refers to how well the content loaded onto digital marketing channels is received by the target audience. The return on investment (ROI) can be calculated by considering the total cost of the digital marketing campaign and the revenue generated from it. Generally, the higher the ROI, the more successful the digital marketing campaign. These factors influence the return on investment (ROI) in content-loaded digital marketing campaigns, as they help measure the performance, reach, and impact of the marketing efforts on the target audience. The ROI can be calculated by evaluating the returns generated from these factors against the investment made in the marketing campaign.

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What are the benefits of the project planning phase?

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The project planning phase is an essential step in any project management process.

There are several benefits associated with this phase that help ensure the success of the project. Firstly, project planning allows for the identification of project objectives, goals, and deliverables. This helps to create a clear direction for the project and ensures that everyone involved is working towards the same goals. Secondly, project planning helps to identify potential risks and obstacles, allowing for the development of strategies to mitigate or avoid these issues. This reduces the likelihood of delays and cost overruns during the project. Additionally, project planning allows for the identification of necessary resources and the development of a realistic project timeline. This ensures that resources are allocated appropriately and that the project is completed within the given timeframe. Finally, project planning allows for the establishment of communication channels, roles, and responsibilities among the project team. This ensures that everyone is aware of their tasks and the expectations for the project, which helps to reduce confusion and improve overall collaboration. Overall, the benefits of the project planning phase include clearer direction, reduced risks, improved resource allocation and timelines, and better communication and collaboration.

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the -------------------phase covers selecting vendor, structuring the deal, negotiating the contract and delivering the deal and business case

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The **procurement** phase covers selecting a vendor, structuring the deal, negotiating the contract, and delivering the deal and business case.

During the procurement phase, organizations go through the process of acquiring goods, services, or resources from external vendors or suppliers. This phase involves various activities, including identifying potential vendors, evaluating their offerings, negotiating terms and conditions, finalizing contracts, and ensuring the delivery of the agreed-upon products or services.

The procurement phase is critical in ensuring that the organization obtains the necessary resources at optimal terms and conditions, aligning with its objectives and requirements. Effective vendor selection, deal structuring, contract negotiation, and successful delivery of the deal and business case are essential elements of this phase. By properly managing the procurement process, organizations can enhance efficiency, reduce costs, mitigate risks, and support their overall business objectives.

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net income for the year was $100. cash dividends were $24. the company did not dispose of any property, plant, and equipment. it did not issue any bonds payable or repurchase any of its own common stock. the following questions pertain to the company's statement of cash flows. The net cash provided by (used in) Operating activities for the year was:
$95
$99
$91
$43

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The net cash provided by operating activities for the year was $99.

To determine the net cash provided by operating activities, we start with the net income and make adjustments for non-cash items and changes in working capital. In this scenario, the net income for the year was $100. However, since the company did not dispose of any property, plant, and equipment, issue bonds payable, or repurchase its own common stock, there were no non-cash items or changes in these specific accounts affecting the cash flow from operating activities. Therefore, the net income of $100 represents the net cash provided by operating activities.

However, the question mentioned that cash dividends were $24. Cash dividends are considered a financing activity and not an operating activity. Therefore, they are not included in the determination of net cash provided by operating activities. Hence, the net cash provided by operating activities for the year remains $100, which is equal to the net income.

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The two types of white-collar deviance are corporate deviance and occupational deviance.true/false

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The two types of white-collar deviance are corporate deviance and occupational deviance which is false.

The two types of white-collar deviance are corporate deviance and occupational deviance. White-collar deviance refers to non-violent, financially motivated illegal activities committed by individuals or organizations in professional or business settings. Corporate deviance refers to illegal actions committed by corporations or organizations as a whole, such as fraud, embezzlement, or environmental violations. Occupational deviance, on the other hand, refers to illegal activities carried out by individuals within their professional roles, such as insider trading or bribery. These two types of white-collar deviance highlight different aspects of illegal behavior in the business and professional world.

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in ohio, tenants must allow the landlord a reasonable amount of time to respond to maintenance issues before using any of the special remedies available to tenants. what amount of time does ohio consider reasonable?

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Ohio considers a reasonable amount of time for landlords to respond to maintenance issues before tenants can use any special remedies available to them.

According to Ohio law, landlords are required to maintain their rental properties in good and safe condition, and tenants are entitled to certain rights in case of maintenance issues. However, tenants must allow their landlord a reasonable amount of time to address any maintenance problems before they can exercise their rights.

Ohio law does not specify a specific amount of time that constitutes a reasonable period for landlords to respond to maintenance issues. Instead, it depends on the nature and severity of the issue, as well as the availability of resources, such as materials, tools, and personnel. For instance, if a tenant reports a non-emergency issue such as a leaky faucet, the landlord may have a few days to fix the problem. However, if the issue involves a hazardous condition such as a gas leak or broken stairs, the landlord must respond immediately. In general, a reasonable amount of time means a timeframe that is practical and appropriate given the circumstances. It should also take into account any relevant factors, such as the size of the property, the complexity of the repair, and the time of year. If the landlord fails to respond to a maintenance issue within a reasonable amount of time, tenants may have the right to withhold rent, terminate the lease, or make repairs themselves and deduct the cost from their rent. However, tenants should always follow the proper legal procedures and consult with an attorney before taking any action.

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Required information [The following information applies to the questions displayed below. Matt works for Fresh Corporation. Fresh offers a cafeteria plan that allows each employee to receive $15,000 worth of benefits each year. The menu of benefits is as follows: Benefit Health insurance-single Health insurance-with spouse Health insurance-with spouse and dependents Dental and vision Dependent care-any specified amount up to $5,000 Adoption benefits-any specified amount up to $5,000 Educational benefits-any specified amount (no limit) Cash-any specified amount up to $15,000 plan benefit 401 (k)-any specified amount up to $10,000 Cost $5,000 $ 8,000 $11,000 1,500 Variable Variable Variable Variable Variable For each of the following independent circumstances, determine the amount of income Matt must recognize (ignore FICA taxes): (Leave no answer blank. Enter zero if applicable
a. Matt selects the single health insurance and places $10,000 in his 401(k).
b. Matt selects the single health insurance, is reimbursed $5,000 for MBA tuition, and takes the remainder in cash.
c. Matt selects the single health insurance and is reimbursed for MBA tuition of $10,000.
d. Matt gets married and selects the health insurance with his spouse and takes the rest in cash to help pay for the wedding.
e. Matt elects to take all cash.

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For situation a, Matt's taxable income would be $5,000 ($15,000 - $5,000 for health insurance - $10,000 for 401(k)).
For situation b, Matt's taxable income would be $5,000 ($15,000 - $5,000 for health insurance - $5,000 for educational benefits - $5,000 in cash).
For situation c, Matt's taxable income would be $0 because the educational benefits have no limit.
For situation d, it depends on the cost of the health insurance plan with his spouse. Let's assume it's $12,000. Then, Matt's taxable income would be $3,000 ($15,000 - $12,000 for health insurance - remainder in cash).


For situation e, Matt's taxable income would be $15,000 because he elected to take all cash and did not use any of the benefits offered by Fresh Corporation.
a. Matt's income recognition: $0 (single health insurance costs $5,000 and the 401(k) contribution is not taxable).
b. Matt's income recognition: $3,500 (single health insurance costs $5,000, educational benefits of $5,000 are not taxable, and the remaining $5,000 is taxable cash).
c. Matt's income recognition: $0 (single health insurance costs $5,000 and educational benefits of $10,000 are not taxable).
d. Matt's income recognition: $6,000 (health insurance with spouse costs $8,000 and the remaining $7,000 is taxable cash).
e. Matt's income recognition: $15,000 (electing to take all cash).

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Assume that this law holds for Quincy with ice cream and pretzels.
Quincy decides to eat less ice cream and more pretzels. As a result?
A. Quincy's marginal utility of ice cream decreases, and his marginal utility of pretzels increases.
B. Quincy's marginal utility of both ice cream and pretzels decreases.
C. Quincy's marginal utility of both ice cream and pretzels increases.
D. Quincy's marginal utility of ice cream increases, and his marginal utility of pretzels decreases.

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Option A is the correct answer. When Quincy decides to eat less ice cream and more pretzels, his marginal utility of ice cream decreases, and his marginal utility of pretzels increases.

Marginal utility refers to the additional satisfaction or utility gained from consuming one additional unit of a particular good or service. In this scenario, as Quincy shifts his consumption from ice cream to pretzels, his preferences and tastes change. By choosing to eat less ice cream, Quincy's marginal utility of ice cream decreases. This means that each additional unit of ice cream he consumes provides him with less satisfaction or utility than before. On the other hand, as Quincy starts consuming more pretzels, his marginal utility of pretzels increases. Each additional unit of pretzels he consumes brings him greater satisfaction or utility compared to the previous unit. Therefore, Option A accurately describes the outcome of Quincy's decision to eat less ice cream and more pretzels.

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The existence of a secondary market for stocks and bonds results in which of the following? Correct Answer(s) Drag appropriate answer(s) here + 4 Stocks and bonds become more desirable. The risks involved in buying a stock increase. + The cost of borrowing drops. The demand for stocks and bonds drops.

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The existence of a secondary market for stocks and bonds results in the demand for stocks and bonds dropping. Option 4 is Correct.

A secondary market is a market where investors can buy and sell securities that have already been issued. In a secondary market, investors can trade securities among themselves, rather than with the issuing company. This allows investors to buy and sell securities more easily and at a more stable price than if they had to negotiate directly with the issuing company.

The existence of a secondary market can make stocks and bonds less attractive to investors because it reduces the potential for large gains from buying and holding securities for a long period of time. Instead, investors may be more interested in buying and selling securities quickly for a profit, which can lead to a decrease in demand for the securities. This decrease in demand can result in a lower price for the securities and can make them less attractive to investors.

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Correct Question:

The existence of a secondary market for stocks and bonds results in which of the following?

1. Stocks and bonds become more desirable.

2. The risks involved in buying a stock increase.

3. The cost of borrowing drops.

4. The demand for stocks and bonds drops.

On January 1, 2010, Cyber Company established a noncontributory defined benefit plan covering all employees and contributed $200,000 to the plan. At December 31, 2010, Cyber determined that the 2010 service and interest costs on the plan were $64,000. The expected and the actual rate of return on plan assets for 2010 was 10% There are no other components of Cyber's pension expense. What amount should Cyber report in its December 31, 2010 income statement the net periodic pension cost? a.$200,000 b.$84,000 c.$64,000 d.$44,000

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Cyber Company should report $64,000 as the net periodic pension cost on its December 31, 2010 income statement.

The net periodic pension cost is the expense incurred by a company related to its defined benefit pension plan. It includes various components such as service cost, interest cost, expected return on plan assets, and amortization of prior service costs.

In this case, Cyber Company contributed $200,000 to the plan on January 1, 2010, which represents the funding of the plan. However, the net periodic pension cost is determined based on the service cost and interest cost for the year, as well as the expected return on plan assets.

The service and interest costs for 2010 are given as $64,000, which should be included in the net periodic pension cost. The expected return on plan assets is not considered in determining the net periodic pension cost.

Therefore, the correct amount to be reported as the net periodic pension cost on Cyber Company's December 31, 2010 income statement is $64,000 (option c).

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Programmed decisions are made using a rule, procedure, or quantitative method.a. Trueb. False

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Programmed decisions are made using a rule, procedure, or quantitative method, and this statement is true. Programmed decisions are structured decisions that are made using predetermined rules and procedures. These decisions are routine in nature and are usually made by lower-level employees in an organization.

Programmed decisions are made in situations where the problem is well-defined, and the decision-making criteria are clear and objective. Examples of programmed decisions include decisions related to inventory management, order processing, and scheduling. In such situations, the decision-making process is automated, and the decision-maker simply follows a set of predefined steps.

Programmed decisions are made using a variety of quantitative methods, including statistical analysis, decision trees, and optimization models. These methods help decision-makers analyze large amounts of data and identify the best course of action based on predefined criteria. One advantage of programmed decisions is that they are quick and efficient. Since the decision-making process is automated, decisions can be made quickly and consistently. This helps organizations save time and resources.

In situations where the problem is not well-defined or where the decision criteria are subjective, programmed decisions may not be the best option. In conclusion, programmed decisions are made using a rule, procedure, or quantitative method, and this statement is true. Programmed decisions are useful in situations where the problem is well-defined and the decision criteria are clear and objective. However, in complex or unique situations, programmed decisions may not be the best option.

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if inflation is expected to be 8 percent, how long will it take for prices to double? a) 6 years b) 7 years c) 9 years d) 12 years e) 18 years

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The correct answer is: C, 9 years. This is because the rule of 72 can be used to estimate the number of years it takes for prices to double.

The rule of 72 is a simple mathematical formula that is used to estimate the number of years it takes for prices to double based on the expected inflation rate. It is a useful tool for predicting the effects of inflation on the economy and can help individuals and businesses plan for the future.

To find out how long it will take for prices to double, we can use the Rule of 72. The Rule of 72 is a simple formula to estimate the number of years it takes for a value to double, given a fixed annual rate of increase. The formula is:
Years to double = 72 / Annual rate of increase (inflation) . In this case, the annual rate of increase (inflation) is 8 percent. So, we can plug this value into the formula: Years to double = 72 / 8, Years to double = 9

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Suppose Stark Ltd. Just Issued A Dividend Of $1.91 Per Share On Its Common Stock. The Company Paid Dividends Of $1.60, $1.66, $1.73, And $1.84 Per Share In The Last Four Years. If The Stock Currently Sells For $45, What Is Your Best Estimate Of The Company’s Cost Of Equity Capital Using The Arithmetic Average Growth Rate In Dividends? (Do Not Round
Suppose Stark Ltd. just issued a dividend of $1.91 per share on its common stock. The company paid dividends of $1.60, $1.66, $1.73, and $1.84 per share in the last four years.
If the stock currently sells for $45, what is your best estimate of the company’s cost of equity capital using the arithmetic average growth rate in dividends? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
Cost of equity %
What if you use the geometric average growth rate? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
Cost of equity %

Answers

To estimate the company's cost of equity capital using the arithmetic average growth rate in dividends, we need to calculate the average growth rate first. Here are the steps:

Calculate the dividend growth rate for each year:

Year 1: ($1.66 - $1.60) / $1.60 = 0.0375

Year 2: ($1.73 - $1.66) / $1.66 = 0.0422

Year 3: ($1.84 - $1.73) / $1.73 = 0.0636

Calculate the average growth rate:

Average growth rate = (0.0375 + 0.0422 + 0.0636) / 3 = 0.0478

Estimate the cost of equity capital:

Dividend per share = $1.91

Stock price = $45

Cost of equity capital = (Dividend per share / Stock price) + Average growth rate

Cost of equity capital = ($1.91 / $45) + 0.0478

Now, let's calculate the cost of equity using the arithmetic average growth rate:

Cost of equity = ($1.91 / $45) + 0.0478 = 0.0424 + 0.0478 = 0.0902

Therefore, the estimated cost of equity capital using the arithmetic average growth rate is 9.02%.

Now, let's calculate the cost of equity using the geometric average growth rate:

Calculate the geometric average growth rate:

Geometric average growth rate = (1 + 0.0375) * (1 + 0.0422) * (1 + 0.0636)^(1/3) - 1

Estimate the cost of equity capital:

Cost of equity capital = (Dividend per share / Stock price) + Geometric average growth rate Cost of equity capital = ($1.91 / $45) + Geometric average growth rate

Now, let's calculate the cost of equity using the geometric average growth rate:

Cost of equity = ($1.91 / $45) + Geometric average growth rate

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The purchase of a new Boeing fighter jet by Israel is classified in the U.S. GDP accounts asA) export expenditure.B) consumption expenditure.C) investment expenditure.D) government expenditure.E) import expenditure

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The purchase of a new Boeing fighter jet by Israel is classified as government expenditure in the U.S. Option D is Correct.

GDP accounts. This is because government expenditure is a component of GDP that measures the purchases made by the government, including the purchase of goods and services such as military equipment. The other options - export expenditure, consumption expenditure, investment expenditure, and import expenditure - do not accurately reflect the nature of the purchase.  

The other options you listed - export expenditure, consumption expenditure, investment expenditure, and import expenditure - do not accurately reflect the nature of the purchase. Export expenditure measures the expenditures made by foreign buyers on goods and services produced in the U.S.

Consumption expenditure measures the expenditures made by individuals and households on goods and services. Investment expenditure measures the expenditures made by businesses on new capital goods, such as buildings and equipment. Import expenditure measures the expenditures made by U.S. buyers on goods and services produced abroad.

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in 2018 the center on budget and policy priorities estimated that 28 million americans benefited from the eitc, and along with the child tax credit, pulled approximately 10.6 million individuals above the poverty line who otherwise would have fallen into poverty. true or false

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in 2018 the center on budget and policy priorities estimated that 28 million americans benefited from the eitc, and along with the child tax credit, pulled approximately 10.6 million individuals above the poverty line who otherwise would have fallen into poverty True.

The Center on Budget and Policy Priorities estimated that 28 million Americans benefited from the Earned Income Tax Credit (EITC) in 2018. The EITC, along with the Child Tax Credit, helped lift approximately 10.6 million individuals above the poverty line who would have otherwise fallen into poverty.

The Earned Income Tax Credit (EITC) is a tax credit for low to moderate-income working individuals and families. The EITC is designed to incentivize work and reduce poverty. In 2018, the Center on Budget and Policy Priorities estimated that 28 million Americans benefited from the EITC.  Additionally, the EITC, along with the Child Tax Credit, helped lift approximately 10.6 million individuals above the poverty line who would have otherwise fallen into poverty. The Child Tax Credit provides a credit of up to $2,000 per child for eligible taxpayers. Together, these tax credits have been effective in reducing poverty and providing support for working families.

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the real estate products division of pharoah co. is operated as a profit center. sales for the division were budgeted for 2022 at $1,264,000. the only variable costs budgeted for the division were cost of goods sold ($622,000) and selling and administrative ($86,000). fixed costs were budgeted at $139,000 for cost of goods sold, $129,000 for selling and administrative costs, and $101,000 for non controllable fixed costs. actual results for these items were as follows:sales $1,193,116 cost of goods sold variable 554,000 fixed 154,500 selling and administrative 94,000 106,000 variable fixed non controllable fixed (a) prepare a responsibility report for the real estate products division for 2022. (list variable costs before fixed costs.) pharoah co. real estate products division responsibility report 2022 difference favorable (i unfavorable budget actual not applicable $ $ $

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Pharoah Co. Real Estate Products Division

Responsibility Report 2022

Budget Actual Difference (Favorable - Unfavorable)

Sales $1,264,000 $1,193,116 $70,884 (U)

Cost of Goods Sold:

Variable Costs $622,000 $554,000 $68,000 (F)

Fixed Costs $139,000 $154,500 $15,500 (U)

Selling and Administrative Costs:

Variable Costs $86,000 $94,000 $8,000 (U)

Fixed Costs $129,000 $106,000 $23,000 (F)

Non-controllable Fixed Costs $101,000 $101,000 $0

Total Costs $1,077,000 $1,009,500 $67,500 (F)

Operating Income (Sales - Total Costs) $187,000 $183,616 $3,384 (F)

Sales were $70,884 less than budgeted, resulting in an unfavorable variance.

Variable costs for cost of goods sold were $68,000 favorable, indicating lower costs than expected.

Fixed costs for cost of goods sold were $15,500 unfavorable, indicating higher costs than budgeted.

Variable costs for selling and administrative expenses were $8,000 unfavorable, indicating higher costs than expected.

Fixed costs for selling and administrative expenses were $23,000 favorable, indicating lower costs than budgeted.

Non-controllable fixed costs were in line with the budget.

Overall, the division's operating income was $3,384 less than budgeted, resulting in an unfavorable variance.

Note: The "not applicable" column is left empty as there is no applicable variance for non-controllable fixed costs.

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One difficulty with self-imposed budgets is that they are not subject to any type of review.a. Trueb. False

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The answer is true. One of the challenges of self-imposed budgets is that they are not subject to any kind of external review or accountability.

This means that there is no one to check on the accuracy of the budget or to ensure that it is being followed properly. Without external oversight, it can be easy for individuals to cheat or make mistakes in their budgeting, which can lead to financial problems down the line. To address this issue, some people choose to work with financial advisors or use budgeting tools that provide additional checks and balances. By doing so, they can ensure that their budgets are accurate and effective, even without external oversight.

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dr. jonas had a taxable income of $150,000 in 2022. below is the tax table for single filers for 2022: tax rate bracket 10% $0-$10,275 12% $10,275-$41,775 22% $41,775-$89,075 24% $89,075-$170,050 32% $170,050-$215,950 35% $215,950-$539,900 37% $539,900 and over how much will dr. jonas pay in taxes?

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Dr. Jonas, with a taxable income of $150,000 in 2022, falls into the 24% tax rate bracket for single filers. Considering the provided tax table, Dr. Jonas will pay $33,695 in taxes.

To calculate the tax liability, we need to determine the applicable tax rate based on Dr. Jonas's taxable income. With an income of $150,000 falling within the range of $89,075 to $170,050, the corresponding tax rate is 24%. Applying this tax rate to Dr. Jonas's taxable income, his tax liability amounts to $36,000.
However, to determine the actual amount he will pay, we need to consider the progressive nature of the tax system. Dr. Jonas will pay taxes at different rates for different income brackets. Calculating the taxes for each bracket and summing them up, his total tax liability comes out to be $33,695.
Therefore, Dr. Jonas will pay $33,695 in taxes for the year 2022 based on his taxable income.

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suppose that an international incident occurs that creates uncertainty in the market. it is likely that this incident will the level of investment spending

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The occurrence of an international incident can indeed create uncertainty in the market, which may have an impact on the level of investment spending.

When an international incident takes place, it can lead to heightened uncertainty and risk in the global economic landscape. The nature and severity of the incident, along with the response from various countries and market participants, can contribute to market volatility and a decrease in investor confidence. Uncertainty regarding the future geopolitical or economic environment can make businesses hesitant to commit significant financial resources to long-term investments.

Investment decisions are influenced by a range of factors, including expected returns, interest rates, business confidence, and market stability. During periods of increased uncertainty, businesses tend to adopt a more cautious approach to investment. They may delay or scale back investment projects until there is greater clarity and a more favorable business environment.

Governments and policymakers often play a crucial role in managing the effects of international incidents on investment spending. Measures such as providing economic stability, enacting supportive policies, and fostering investor confidence can help mitigate the negative impact and encourage businesses to resume investment activities.

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T/F gdp it is likely that the final estimate will be higher than 2ecause there are omissions in the initial numbers

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True. It is likely that the final estimate of GDP will be higher than the initial estimate because there may be omissions or errors in the initial numbers that are corrected in subsequent estimates.

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companies can maximize and carry out effective interactive marketing by ________.

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Companies can maximize and carry out effective interactive marketing by utilizing a variety of strategies and tactics.

Firstly, they can create engaging and interactive content such as quizzes, polls, and surveys that encourage audience participation and provide valuable insights into customer preferences. Secondly, they can leverage social media platforms to engage with their audience and foster a sense of community around their brand. This includes responding to comments and messages promptly, sharing user-generated content, and running social media campaigns that encourage user participation. Additionally, companies can use data analytics tools to track and analyze customer behavior and tailor their marketing efforts accordingly. Personalized emails, targeted advertising, and product recommendations based on user preferences are just a few examples of how companies can use data to enhance their interactive marketing efforts. Finally, companies can also invest in new technologies such as augmented reality and chatbots to provide customers with unique and engaging experiences. By utilizing these strategies and tactics, companies can maximize their interactive marketing efforts and create lasting connections with their customers.

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