A 5.5%, 20 year municipal bond is currently priced to yield 7.2%. for a taxpayer in the 33% marginal tax bracket, this bond would offer an equivalent taxable yield of Equivalent taxable yield = Yield / ( 1 - Tax% ) = 7.2% / ( 1 - 33% ) 10.75%
Find the reciprocal of your tax rate (1 – your tax rate). If you pay 25% tax, your reciprocal would be (1 - . 25) =. 75, or 75%.
Divide this amount into the yield on the tax-free bond to find out the TEY. For example, if the bond in question yields 3%, use (3.0 / . 75) = 4%.
The tax-equivalent yield is the yield on a taxable bond that an investor would have to earn to match the return on a comparable tax-free municipal bond. Municipal bonds generally have a low expected return, so the full impact of investing in them due to tax savings is often not quantified completely.
Learn more about tax-equivalent yield here
https://brainly.com/question/25656290
#SPJ4
Apple pay is marketed at both consumers and retailers who choose to accept it for payment. retailers represent which type of business market?
Reseller markets is the type of business market as Apple pay is marketed at both consumers and retailers who choose to accept it for payment .
What is meant by Reseller markets ?
An organization that purchases products or services to resell rather than use itself. This generally holds true for affiliate marketers in e-commerce. Retailers are regarded as resellers because they sell products to final customers. The fact that wholesalers sell the products they buy to retailers again makes them resellers as well.
A retailer will purchase items from a producer that he would then sell on to his consumer for a marked-up price, making a profit as a reseller. From the manufacturer through the merchant to the customer, each link in the reselling chain will notice an increase in price, with them all profiting from the resale of the items.
To learn more about Reseller markets checkout the link below :
https://brainly.com/question/25888151
#SPJ4
Explain why manufacturing overhead cost shifts from model n500 to model n800 xl under activity-based costing
Overheads are transferred from the high-volume product The Boot to the low-volume product Club. Allocating overhead in ABC usually results in higher unit prices for lower volume products.
When activity-based costing is used, traditional costing systems assign product-level costs to all products using direct labor hours or other relevant Cost shifts from high-volume products to low-volume products. volume.
The cost flow is the same as in activity-based costing systems with one exception. Instead of using factory-wide overhead rates to allocate or apply overhead to products, the ABC system uses multiple overhead rates to allocate overhead. Activity-Based Costing ABC allocates manufacturing overheads to products in a more logical way than the traditional approach of simply allocating costs based on machine hours.
Learn more about Overhead Costs here:-https://brainly.com/question/13963007
#SPJ9
In a process with rework, we find the bottleneck as the resource with the highest implied utilization. True or false?.
In a process with rework, we find the bottleneck as the resource with the highest implied utilization.
The given statement is True
What is bottleneck process?
Products are usually produced through a lot of processes in a factory, but takes a lot of time and cost to plan the capacities for all processes. Bottleneck process refers to the process where products that require focused plans and controls are manufactured, and includes the processes requiring the machine/equipment whose quantity is limited, mold tool, and special skills. It makes the control more effective than across-the-board control to intensively control these processes by setting them as bottleneck process.
To learn more about bottleneck process, refer to:
brainly.com/question/13302820
#SPJ4
The worldwide trend toward fuller and more standardized disclosure rules should ________ the cost of equity capital.
The worldwide trend toward fuller and more standardized disclosure rules should decrease the cost of equity capital, according to the U.S. school of thought.
What is equity capital?Equity in the context of finance refers to ownership of assets that may be accompanied by debts or other liabilities. Liabilities are subtracted from asset values to calculate equity for accounting purposes.
Equity share capital, also called share capital, is the money a company raises by selling shares. It is the money that business owners and investors put toward a company's capital and use to grow or expand the operations of their venture.
By offering an investor a piece of your company, you can raise equity capital. You don't have to pay interest on a loan because the investor owns a portion of the company and receives a cut of the profits.
To learn more about equity capital visit:
https://brainly.com/question/16530476
#SPJ4
Suppose again that furniture production is more capital-intensive relative to clothing production, which is more labor-intensive. If the relative price of furniture to clothing rises, this will.
Suppose again that furniture production is more capital-intensive relative to clothing production, which is more labour intensive. If the relative price of furniture to clothing rises, this will raise the income of capital owners
Along with raw materials, labour and capital are the two main agents of production. Even the resources of the planet cannot be used without labour, which is the main agent in satisfying human needs. Despite being indispensable, labour is comparatively unable to provide the necessities of a civilised existence without the help of capital. Labour needs supplies to work with, as well as accommodation, equipment, technology, and other productive tools, in order to produce successfully. These all require capital, which is a collection of prior earnings. It follows that whereas labour cannot advance past a condition of barbarism without capital, capital cannot function without labour.
To learn more about labour click here:
https://brainly.com/question/16690539
#SPJ4
A.+if+the+bond+is+priced+at+$,+the+current+yield+is+8.09%.+(round+to+two+decimal+places.)+the+annual+yield-to-maturity+with+semiannual+compounding+is:_________
To calculate the semi-annual bond fee, take 2% of the par price of $1,000, or $20, and divide it with the aid of two. The bond, consequently, will pay $10 semiannually. Divide $10 by using $900, and you get a semi-annual bond yield of 1.1%.
Yield to maturity = [Annual Interest + {(FV-Price)/Maturity}] / [(FV+Price)/2]
Annual hobby = Annual hobby Payout by the Bond.
FV = Face price of the Bond.
rate = contemporary marketplace price of the Bond.
adulthood = Time to adulthood i.e. wide variety of years till adulthood of the Bond.
Yield is a determine that suggests the return you get on a bond. The best version of yield is calculated through the following formula yield = coupon amount/fee. when the charge modifications, so do the yield.
Learn more about yield here
https://brainly.com/question/25996347
#SPJ4
Given a discount rate of 4.9 percent per year, what is the value at year 5 of a perpetual stream of $3,300 annual payments that begins at year 10?
The value of a permanent stream of $3,300 monthly payments that starts at year 10 at a discount rate of 4.9 percent per year? The answer to the question is 55618.07.
In order to calculate the value, we must first determine the PMT, which is displayed below:
= Payment ÷ Interest rate
= 3300 ÷ 4.9%
= 67346.9387755
Now the value at year 5 would be
= PMT + [tex](1 + interest rate)^{number of years}[/tex]
= 67346.9387755 ÷ [tex](1 + 4.9)^{5}[/tex]
= 55618.07
What is Annual payment?
The total amount of money you make from a job each year is your annual pay. Typically, this amount is determined per calendar year, which includes the months of January through December. And alternative is for a business to use the financial or fiscal year, which can run from October to September and is used for accounting and tax purposes. Your yearly income will be prorated if you start a job later in the year, which means that it will be lowered in proportion to the months that you actually worked.A corporation will pay you a yearly wage in exchange for the work you complete throughout the year.To know more about Annual payment example visit:
https://brainly.com/question/14685051
#SPJ4
A 15-year corporate bond pays $40 interest every six months. what is the bond's price if the bond's promised ytm is 5.5 percent?
A future sum of money or stream of cash flows' present value, or PV, is their current value at a particular rate of return.
1,253.12
Using FV $1,000,
PMT $40, N 15 years,
P/Y2 for semiannual,
I/Y 5.5 percent.
Bond price (PV) = 1,253.12 must be solved.
Calculator Formula:
N = 30
PMT = 40,
I/Y = 2
FV = 1,000.
The result is PV = $1,253.12.
What Is Present Value (PV)?
Future cash flows are discounted at the discount rate, so the higher the discount rate, the lower the present value of the future cash flows will be. Determining the appropriate discount rate is essential for appropriately valuing future cash flows, including earnings and debt obligations.
To learn more about PV from the given link.
https://brainly.com/question/20813161
#SPJ4
E. if the debit column total of the trial balance is $166,950 before correcting the error, what is the total of the credit column before correction?
The total of the credit column before correction is $304950.
The trial balance is a list of all the general ledger accounts contained in the general ledger of the company. This list will contain the name of each nominal ledger account and the value of that nominal ledger balance. Each nominal ledger account will have either a debit balance or a credit balance.
Trial Balance is an accounting spreadsheet where the balances of all ledgers are aggregated into equal totals of debit and credit account columns.
Accounts Payable posting which needs to be posted correctly as credit with an amount of $ 16050 instead of that accounts payable is posted with a debit of $ 16050. This has resulted in a double impact on the debit balance with an amount of $32100 (16050*2).
So, the total of the credit column before correction
= $337050-$32100
=$304950
Learn more about trial balance here:- https://brainly.com/question/14476257
#SPJ4
Network design is a serious tactical concern for operations and supply chain management. true false
Answer:
true
Explanation:
ierkrjdjdududdhdskwow
A decrease in the price of ice cream is likely to cause a(n) _____ in the demand for ice cream cones, due to a change in _____.
When the price of ice cream rises, so does the demand for ice cream cones.
Explanation:Ice cream prices are said to have risen:
Price increases are inversely proportional to demand.
As a result, as the price of ice cream rises, so does the demand for it.
This is due to the fact that people prefer to eat or consume more items that are less expensive. Things with higher prices, on the other hand, are consumed less.
As a result, as the price of ice cream rises, so does the demand for ice cream cones.
To learn more about Market supply demand, refer
to https://brainly.com/question/1870140
#SPJ4
When one material weakness is present at the end of the year, management of a public company must conclude that internal control over financial reporting is:__________
When one material weakness is present at the end of the year, management of a public company must conclude that internal control over financial reporting is ineffective.
What happens when a company has a material weakness?Material weaknesses can unfavourably influence a company's reputation and, hence, its value. A company's stock cost may drop as a few investors regard the company as a risky investment. Depending on the result of the weakness, the company may use expansive sums to cover legal and extra outside auditing expenses.
A material weakness may be a lack, or a combination of deficiencies, in internal control over financial detailing, such that there's a sensible plausibility that a material error of the company's yearly or between times financial statements will not be anticipated or identified on a timely premise.
To learn more about Material weaknesses, visit;
https://brainly.com/question/15173884
#SPJ4
Based on the post-employment conflict of interest, over time regulatory agencies can develop a bias to support the.
Based on the post-employment conflict of interest, with time regulatory agencies can develop a bias to support the desires of the firms being regulated.
A conflict of interest arises when an employee's personal interests could improperly affect how well they carry out their official duties and obligations or when they misuse their position at the workplace for their own gain.
Governmental or quasi-governmental organizations that create, oversee, and uphold laws in their purview are referred to as regulatory agencies.
Regulations are in place to safeguard people and businesses, address market inefficiencies, and simplify many areas of our lives. Hence, Agencies should be impartial, except if impartiality is impractical or undesirable.
Learn more about conflict of interests at:
https://brainly.com/question/21648646
#SPJ4
Money is invested into an account earning 4.25% interest compounded annually. if the accumulated value after 18 years will be $25,000, approximately how much money is presently in the account? a. $5,875 b. $11,820 c. $19,125 d. $23,960 please select the best answer from the choices provided a b c d
The principal amount currently in the account is $11820. Hence, b is the correct option.
This is a question of compound interest. The interest on a loan or deposit that is calculated using both the initial principal and the accrued interest from prior periods is known as compound interest.
Rate of interest compounded annually = 4.25%
The time period in years = 18 years
Accumulated value = $25000
The formula for compound interest:
A = P(1 + r/100)^n
where A = total amount after n years
P = principal amount invested
r = rate of interest
n = number of years
Substituting the values in the formula we get:
25000 = P(1 + 4.25/100)^18
25000 = P(1.0425)^18
25000 = P*2.1152
P = 11819.21 or 11820
The principal amount currently in the account is $11820
So, the correct answer is b. $11820
Learn more about compound interest:
https://brainly.com/question/13155407
#SPJ4
Answer:
B
Explanation:
Economic development that meets the needs of the present generation without compromising the ability of future generations to meet their own needs, whether environmentally, socially or economically is called ______.
The correct answer is sustainable development.
Economic development that meets the needs of the present generation without compromising the ability of future generations to meet their own needs, whether environmentally, socially or economically is called sustainable development.
Sustainable development is a strategy to a nation's economic growth without sacrificing the environment's quality for present and future generations. The cost of environmental harm is paid in the form of deforestation, air and water pollution, soil erosion, and other environmental deterioration in the name of economic progress. The negative effects can outweigh the benefits of producing more high-quality goods and services.
The clearance of forested land is known as deforestation. Forests have been cleared throughout history and into the present era to make room for agriculture and animal grazing as well as to obtain wood for fuel, manufacture, and construction.
To learn more about sustainable development, refer this link.
https://brainly.com/question/12592934
#SPJ4
Which company generated higher cash flow from each dollar of sales in the current year?
Which company generated higher cash flow from each dollar of sales in the current year: Integrated Devices with 21.4%
What is a fixed cost?Fixed costs, sometimes referred to as indirect costs or overhead costs in accounting and economics, are costs incurred by a corporation that are independent of the volume of goods or services the company produces. They frequently occur again and again, like monthly rent or interest payments. These expenses are often capital expenses as well.Costs that are fixed are those that don't change based on volume. Most fixed costs are expenses that depend more on time than on how much your company produces or sells. Rent and leasing charges, salary, energy prices, insurance, and loan repayments are a few examples of fixed costs.Rent and mortgage payments are two examples of fixed expenses. Auto loans. Additional loan paymentsTotal production costs — (Variable cost per unit multiplied by the number of units produced) = Fixed costs.Cash return on assets = Operating cash flows /Average total assets
Integrated devices
= 150,000/[(800,000+600,000)/2] = 21.4%
Allied corporation
= 120,000/[(750,000+500,000)/2] = 19.2%
To learn more about fixed costs, refer to:
brainly.com/question/20670674
#SPJ4
Markets comprised of securities with maturities of one year or less are generally referred to as:_________
Markets comprised of securities with maturities of one year or less are generally referred to as money markets or capital markets.
What are Money markets?
A part of the economy that offers short-term funding is the money market. Short-term loans are often made on the money market for a year or less.
The money market emerged as a segment of the financial market for assets involved in short-term borrowing, lending, purchasing, and selling with original maturities of one year or less when short-term securities turned into a commodity. Money market trading is wholesale and over the counter.
Most Western nations use a variety of money market products, such as federal funds, short-term mortgage- and asset-backed securities, commercial paper, banker's acceptances, deposits, certificates of deposit, bills of exchange, and treasury bills.
To learn more about the Money market, refer to:
https://brainly.com/question/17078982
#SPJ4
Sho needs to purchase a dress shirt for an upcoming job interview. He shops at kohl’s and sees that he can choose from different brands, including apt. 9, chaps, arrow, croft & barrow, and many more. The dress shirts come in a variety of colors, materials, and price points. Which type of competitor structure is illustrated?.
What type of competitor structure is illustrated is Monopolistic Competition.
Monopolistic competition market can be defined as one of imperfect competition market. This monopolistic competition market theory was deliberately developed because of dissatisfaction with the analysis of the perfect market competition model or the monopoly market.
However, if viewed from a monopolistic market structure, a monopolistic market is closer to a perfectly competitive market, but companies will participate more in that market to produce a product that is different and also has its own characteristics compared to other products.
This competitive market is one type of market with many consumers who produce different commodities and can also be referred to as a market where there are many sellers who offer one type of goods with many different products in terms of quality, shape, and also the size of the product.
In this competitive market, every consumer who buys a product will feel the difference in the characteristics of each product produced by a company with products produced by other companies.
The existence of these differences will reflect the actual differences between the products they will consume or just differences in consumer perceptions that the various products produced by various companies operating in the market are indeed very different.
You can learn more about Monopolistic Competition here brainly.com/question/28189773
#SPJ4
The law of diminishing returns states that as additional increments of resources ______________, the marginal benefit from those additional increments _______________.
The law of diminishing returns states that as additional increments of
resources are added, the marginal benefit from those additional
increments will decline eventually.
Explanation:
When the maximum capacity is reached, the point of diminishing returns begins. Any additional unit of production would result in a fall in output or little change at this point.When we increase one input while maintaining the other production factors constant or fixed, we eventually reach a point where additional additions of this input by one unit would only result in a decrease in output or cause output to fall.In conclusion, this law states that the marginal benefit of increments eventually decreases as more are added.
To learn more about the law of diminishing, refer
to https://brainly.com/question/25689052
#SPJ4
The normal balance of an expense account is a ________ while the normal balance of a revenue account is a ________.
The normal balance of an expense account is a debit while the normal balance of a revenue account is a credit.
What are the differences between a debit and a credit?
The way money transfers throughout a corporation determines the distinction between debit and credit in accounting.
A debit occurs when money leaves an account, whereas a credit occurs when money enters the account. In an accounting transaction, a debit is typically abbreviated as dr., whereas a credit is typically abbreviated as cr.
A debit transaction, such a credit card purchase, boosts an asset's worth or lowers a liability's total.
A credit account, on the other hand, has the opposite result. It raises the amount of the liability while decreasing the value of an asset.
To learn more about Credit and Debit, refer to:
https://brainly.com/question/14747768
#SPJ4
Economists refer to the series of induced increases in consumption spending that result from an initial increase in autonomous expenditures as the ________ effect.
Economists refer to the series of induced increases in consumption spending that result from an initial increase in autonomous expenditures as the multiplier effect.
The expenditure multiplier effect occurs when an initial increase in spending cycles through the economy and has a greater impact than the initial dollar funds spent. The reason for this is that a change in accumulated expenditures ripples through the economy: firms pay workers and suppliers, households buy from firms, workers and suppliers purchase goods from other firms, and so on. The original change in accumulated expenditures is thus spent more than once.
To learn more about the multiplier effect: brainly.com/question/15883095
#SPJ4
WHO EVER ANSWERS CORRECT I GIVE BRAINLIEST
As a last step before Mario hits send on a company press release, what should he do to ensure it is accurate
produce an outline to organize the content in the document
double-check all spellings and numbers in the document
evaluate the logic and persuasiveness of the document
change the font that is used in the document
Answer: Produce and outline
Explanation:
You wish to buy a $20,000 car. the dealer offers you a 6-year loan with an 8 percent apr. what are the monthly payments?
To buy a $20,000 car. the dealer offers you a 6-year loan with an 8 percent apr.
$72.88 are the monthly payments.
Given Amount = $20000
Months or time = 72 months
Rate of Interest = 8%
EMI = [P x R x (1+R)^N]/[(1+R)^N-1]
EMI = 20000* 0.0066667 * (1.0066667)^72)/ (1.006667)^72 -1
EMI = 133.334 * 1.6135/1.6135-1
EMI = 133.334 * 16135/0.6135
EMI = 350.66
So monthly payments are = $350.66
If I pay Interest only than payment would be = 350.66 - (20000/72) = 350.66 - 277.77 = $72.88.
In finance, a loan is the lending of money by one or more individuals, organizations, or other entities to other individuals and organizations, etc. The beneficiary incurs a debt and is generally required to pay interest on that debt until the debt is repaid as well as the principal amount borrowed.
Learn more about loans here: https://brainly.com/question/26011426
#SPJ4
With fixed costs of $200, a firm has average total costs of $5 and average variable costs of $3. its output is:_____.
a. need more information
b. 40 units.
c. 100 units.
d. 66.67 units.
The Output is 100 units
How do you find the average total cost from variable and fixed costs?
The formula for calculating average total cost is:
(Total fixed costs + total variable costs) / number of units produced = average total cost.
(Total fixed costs + total variable costs)
New cost - old cost = change in cost.
New quantity - old quantity = change in quantity.
The average total cost is the per-unit cost of the number of products that are made. This information is integral for making any decisions regarding product pricing. The product must be priced above the average total cost for the company to be profitable.The average total costs include both fixed and variable costs.
Fixed costs are expenses that are necessary for production but which don't change based on the number of products the company is producing.
To learn more about Average sum, refer
to https://brainly.com/question/25311149
#SPJ4
It is not important to determine who is a taxpayer’s dependent because taxpayers are not allowed to claim a deduction for dependents. True or false?.
This statement is false.
Who are Taxpayer’s Dependents?A person who lives with the taxpayer and is a tax dependent can be their child, spouse, parent, or even an unrelated acquaintance. A taxpayer may use dependents as an exemption to lower the amount of taxes that must be paid. Each one will reduce the amount of income that the taxpayer will be required to pay taxes on. The Internal Revenue Service refers to this as a dependent exemption.To learn more about Taxpayer’s Dependents, refer to:
https://brainly.com/question/3289608
#SPJ4
Usd 1 = myr 4.05 (malaysian ringgit) usd 1 = jpy 103.78 (japanese yen) what is the exchange rate between the jpy and the myr?
Exchange rate between the JPY and the MYR = 4.05 / 103.78 = 0.0390
JPY 1 = 0.0390 MYR.
Kuala Lumpur DBS Group Research ranked the Malaysian ringgit as the cheapest currency in a basket of Asian currencies excluding Japan, followed by the Indonesian rupiah and the Chinese yuan. Malaysians travel to Japan now. The current answer is no, but Japan has announced that it plans to open its borders to tourists as early as June 2022.
OANDA's currency converter allows you to see the latest average bid/ask rates for foreign exchange and convert between all major world currencies. OANDA Rates are exchange rates collected from leading market data providers. If the receipt is $5000 and the exchange rate is $1.5000, Euro, then share. You will receive 3333.33 euros. This is because for 1 euro he gets $1.5000.
Learn more about The exchange rates here:-https://brainly.com/question/21384395
#SPJ4
The chief financial officer of gigabite company has asked you to recalculate the following accounts and report to him by week's end. what should be the amount of total manufacturing cost?
$350,000 is the amount of total manufacturing cost.
What is manufacturing cost?Manufacturing costs are the costs incurred during the production of a product. These costs include the costs of direct material, direct labor, and manufacturing overhead. The costs are typically presented in the income statement as separate line items. An entity incurs these costs during the production process.Manufacturing overhead costs are applied to units of production based on a variety of possible allocation systems, such as by direct labor hours or machine hours incurred.To learn more about manufacturing cost, refer: https://brainly.com/question/17111259?referrer=searchResults
#SPJ4
Suppose it costs $50 to roll a pair of dice. you get paid 7 dollars times the sum of the numbers that appear on the dice. what is the expected payoff of the game? is it a fair game?
Expected Payoff will be 49 and it is not a fair game.
Let X = Payoff on the game
X = Y - 50
where, Y = Gain during the game
Therefore, Expected Payoff = E(X) = E(Y) - 50
E(Y) = ?
E(Y) = ∑yPr {Y=y}
E(Y) = (14 x 1/36) + (21 x 2/36) + (28 x 3/36) + (35 x 4/36) + (42 x 5/36) + (49 x 6/36) + (56 x 5/36) + (63 x 4/36) + (70 x 3/36) + (77 x 2/36) + (84 x 1/36)
= 882/18
= 49
Therefore, Expected Payoff = E(X) = 49 - 50 = (-1)
Expected Value = (-1) < 0
An event's expected value is calculated by dividing its likelihood by the number of times it will occur. By dividing the likelihood of each event by the amount of money earned or lost, you may determine the expected value of money made when expected value problems involve money. Each possible result must have an equal chance of occurring, or the expected value must be zero, for a game to be fair.
Therefore, it clearly states that it's not a fair game.
To know more about expected value and fair game, refer to this link :
brainly.com/question/14174993?referrer=searchResults
#SPJ4
Corporate strategy, business unit strategies, innovative thinking, and technology innovations are all _____.
A corporate strategy, business unit strategies, innovative thinking, and technology innovations are all the main drivers that set the organizational strategy and determine the future IT investment.
What is an organizational strategy?In a business, this kind of strategy are often a long-term plan that allocates how a company plans to use its resources to support business activities. An organizational strategy serves as a guidance for how a company can achieve its objectives; firm also use these strategies to help them meet their goals and develop strategic plan
In conclusion, the corporate strategy, business unit strategies, innovative thinking, and technology innovations are all the main drivers that set the organizational strategy and determine the future IT investment.
Read more about organizational strategy
brainly.com/question/1417340
#SPJ1
Extraversion, conscientiousness, and positive affectivity tend to have a substantial effect on becoming employed and coping with unemployment.
true/ false
Answer:
Explanation:
true