all of the following are normally found in a corporation's stockholders' equity section except a. excess of issue price over par b. common stock c. retained earnings d. dividends in arrears

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Answer 1

Your query has "d. dividends in arrears" as the response. All of the other options—excess of issue price over par, common stock, and retained earnings—are commonly found in a corporation's stockholders' equity section.

Dividends in arrears refer to dividends that have been declared by the company's board of directors but have not yet been paid to shareholders. This is typically reported as a liability on the company's balance sheet rather than as part of stockholders' equity.
The stockholders' equity section typically includes:
a. Excess of issue price over par: This is the amount received from issuing stock that is above the par value of the stock.
b. Common stock: This represents the ownership interest of the shareholders in the corporation.
c. Retained earnings: These are the cumulative net earnings of the corporation that have not been distributed as dividends to the stockholders.

Dividends in arrears are not included in the stockholders' equity section because they represent unpaid dividends on cumulative preferred stock. These unpaid amounts are a liability for the corporation and are typically reported in the liabilities section of the balance sheet.

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3i.which of the following is a correct statement about this market? circle or identify all that are correct.a. the amount of driving selected by michigan drivers is b.b. the amount of driving selected by michigan drivers is a.c. the economically efficient amount of driving in michigan is c.d. because of the pollution cost, the economically efficient amount of driving in michigan is zero.e. the cost per mile driven in michigan is $.45.

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Options C and D are correct statements about the market. Option C states that the economically efficient amount of driving in Michigan is "c," which means it is not too much or too little, but just the right amount to maximize societal welfare. Option D states that because of pollution costs, the economically efficient amount of driving in Michigan is zero, meaning that driving should be reduced or eliminated altogether to minimize negative externalities.

Option A states that the amount of driving selected by Michigan drivers is "b," but this is not necessarily true since drivers may not be aware of the socially optimal amount of driving. Option B states that the amount of driving selected by Michigan drivers is "a," which may or may not be true, but it does not address whether that amount is economically efficient or not. Option E states that the cost per mile driven in Michigan is $.45, but this information alone does not tell us anything about the efficiency of driving in Michigan or the externalities it generates.

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when acting under the terms of a brokerage agreement, licensees must promote their clients' interests by seeking a sale or purchase that is acceptable to whom?

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 When acting under the terms of a brokerage agreement, licensees must promote their clients' interests by seeking a sale or purchase that is acceptable to the client. The client is the party for whom the licensee is acting as an agent, and it is the licensee's duty to represent the client's interests above all else. In practical terms, this means that licensees must take steps to understand their client's needs, goals, and preferences when seeking out potential buyers or properties. They must also communicate with their client regularly to keep them informed of any developments in the transaction and to seek their input and feedback.

Ultimately, the goal of the licensee is to secure a sale or purchase that meets the client's needs and objectives while also complying with any legal and ethical obligations that apply to their role as an agent. This may involve negotiating the terms of a deal, providing guidance and advice to the client, and working with other parties involved in the transaction to ensure a smooth and successful outcome.

Overall, licensees must always act in the best interests of their clients and promote their interests at every step of the transaction. This is the foundation of their role as agents and is critical to maintaining trust and building long-term relationships with clients in the real estate industry.

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Describe a time you had to motivate a co-worker(s) to do something without having formal authority.

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To motivate a co-worker without formal authority, you need to understand their perspective, create a positive work environment, provide clear expectations.

Imagine you are working on a project with a co-worker who is not fully committed to the task. You have noticed that their lack of motivation is affecting the overall progress of the project, and you need them to be more proactive to complete the task on time.

To motivate your co-worker, start by understanding their perspective and what may be causing their lack of motivation. Perhaps they feel overwhelmed, unsure of their role, or not confident in their abilities. Once you have identified the underlying issues, you can address them.

Next, create a positive and encouraging work environment. Recognize and celebrate their successes, no matter how small they may be. This will boost their confidence and encourage them to take on more tasks.

Provide your co-worker with clear instructions and expectations. Make sure they understand the importance of their role in the project and how their contributions will impact the outcome. Encourage them to ask questions, offer feedback, and suggest ideas.

Finally, lead by example. Be proactive and show enthusiasm for the project. Your positive attitude will be contagious, and your co-worker will be more likely to follow your lead.

By doing so, you will help your co-worker feel more engaged, motivated, and committed to the task at hand.

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which of the following are outcomes of ethical leadership? (select three) a. ethical leaders do not need to be concerned with providing motivations for ethical behavior. b. ethical leaders communicate and monitor an organization's values, ensuring that employees are familiar with the company's purpose and beliefs. c. ethical leadership can lead to higher employee satisfaction and commitment. d. working for a company with ethical leaders can raise costs for the firm as well as serve to decrease employee productivity. e. ethical leaders encourage employees to act in an ethical manner in their day-to-day work environment.

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The three outcomes of ethical leadership are:

1. Ethical leaders communicate and monitor an organization's values, ensuring that employees are familiar with the company's purpose and beliefs (option b).
2. Ethical leadership can lead to higher employee satisfaction and commitment (option c).
3. Ethical leaders encourage employees to act in an ethical manner in their day-to-day work environment (option e).

Ethical leadership focuses on fostering a positive and ethical environment within the organization. This involves clearly communicating the company's values and purpose, as well as monitoring their implementation.

As a result, employees are more likely to feel satisfied, committed, and motivated to act ethically in their daily work. Ethical leadership does not entail ignoring motivations for ethical behavior, nor does it lead to increased costs or decreased productivity. Instead, it creates a culture of trust, integrity, and accountability that can contribute to the overall success of the organization.

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sardi inc. is considering whether to continue to make a component or to buy it from an outside supplier. the company uses 17,000 of the components each year. the unit product cost of the component according to the company's cost accounting system is given as follows:

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Sardi Inc. should consider the cost implications of continuing to make the component versus buying it from an outside supplier. If the unit product cost of the component is higher than the cost offered by a supplier, it may be more cost-effective to buy the component from the supplier.

However, if Sardi Inc. has a reliable and efficient manufacturing process for the component, it may be more beneficial to continue making it in-house. Ultimately, the decision will depend on factors such as the availability and reliability of the supplier, the quality of the components, and the impact on production schedules and costs.
It sounds like Sardi Inc. is evaluating whether to continue manufacturing a component in-house or to purchase it from an external supplier. To make an informed decision, Sardi Inc. should compare the unit product cost of manufacturing the component internally with the cost of buying the same component from an outside supplier.

They should also consider factors such as quality, lead time, and potential risks associated with each option. Since they use 17,000 components per year, this decision could have a significant impact on the company's overall costs and efficiency.

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amble company reports cash of $40,000, accounts receivable of $60,000, inventory of $150,000, equipment of $350,000, and current liabilities of $100,000. what is jamble's acid-test ratio?

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Amble's acid-test ratio is 1.

The acid-test ratio, also known as the quick ratio, is a measure of a company's ability to pay off its current liabilities with its most liquid assets.

To calculate the acid-test ratio, we need to subtract the inventory from the current assets and divide the result by the current liabilities.
Current assets = cash + accounts receivable + inventory = $40,000 + $60,000 + $150,000 = $250,000
Quick assets = current assets - inventory = $250,000 - $150,000 = $100,000
Acid-test ratio = quick assets / current liabilities = $100,000 / $100,000 = 1

Therefore, Amble's acid-test ratio is 1. This means that Amble has just enough quick assets to pay off its current liabilities.

A higher ratio would indicate that Amble has a stronger ability to meet its short-term obligations.

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If the output of a firm doubles when the firm doubles all inputs, the firm is experiencing
Economies of scale
Increasing returns to scale
Constant returns to scale
Decreasing returns to scale
Diseconomies of scale

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When a firm doubles all its inputs (such as labor, capital, and materials) and the output more than doubles, it is experiencing increasing returns to scale. B- Increasing returns to scale.

In this situation, the firm is benefiting from economies of scale, where the cost per unit of output decreases as the scale of production increases. This could be due to factors such as specialization, better utilization of resources, and the ability to negotiate better prices with suppliers. However, if the output increases less than proportionally to the inputs, the firm would experience decreasing returns to scale. If the output increases in proportion to the inputs, it is constant returns to scale. Finally, if the cost per unit of output increases as the scale of production increases, the firm is experiencing diseconomies of scale.

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A gain or loss on disposal of a plant asset is determined by comparing the.

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The gain or loss on disposal of a plant asset is determined by comparing the book value of the asset at the time of disposal to the amount received from its sale or disposal. Here option B is the correct answer.

If the amount received from the sale or disposal is greater than the book value, the result is a gain. This occurs when the asset is sold for more than its net book value, indicating that the asset was able to generate a profit for the company. On the other hand, if the amount received from the sale or disposal is less than the book value, the result is a loss.

This indicates that the asset was sold for less than its net book value, resulting in a loss for the company. It's important to note that the original cost of the plant asset, the market value of the asset at the time of disposal, and the salvage value of the asset are all relevant factors when calculating depreciation expense and determining the book value of the asset.

However, when it comes to calculating the gain or loss on the disposal of a plant asset, the book value at the time of disposal is the key factor in determining the outcome.

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Complete question:

A gain or loss on disposal of a plant asset is determined by comparing the.

A) The original cost of the plant asset

B) The book value of the plant asset at the time of disposal

C) The market value of the plant asset at the time of disposal

D) The salvage value of the plant asset at the time of disposal

russell company reports sales revenue of $30,000 and interest revenue of $5,000. its comparative balance sheet shows that accounts receivable decreased $4,000 and interest receivable increased $1,000. compute cash provided by operating activities using the direct method.

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Uhe direct method, Russell Company's cash provided by operating activities is $38,000.

1. Sales Revenue: The company reported sales revenue of $30,000.

2. Accounts Receivable: The comparative balance sheet shows a decrease in accounts receivable of $4,000. Since this is a decrease, it means that the company has collected more cash from customers than the sales revenue reported. So, we need to add this decrease to the sales revenue.

3. Interest Revenue: Russell Company reported interest revenue of $5,000.

4. Interest Receivable: The comparative balance sheet shows an increase in interest receivable of $1,000. This means that the company has not yet collected all the interest revenue in cash. So, we need to subtract this increase from the interest revenue.

Now, let's compute the cash provided by operating activities:

Cash from Customers = Sales Revenue + Decrease in Accounts Receivable
Cash from Customers = $30,000 + $4,000 = $34,000

Cash from Interest = Interest Revenue - Increase in Interest Receivable
Cash from Interest = $5,000 - $1,000 = $4,000

Cash provided by Operating Activities = Cash from Customers + Cash from Interest
Cash provided by Operating Activities = $34,000 + $4,000 = $38,000

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zari works at a car dealership. she specializes in used vehicles. she receives an inventory report that lists the cost of each vehicle and the asking price. if zari sells a car at an amount more than the vehicle cost the dealership to acquire, she has earned a .

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Zari works at a car dealership. she specializes in used vehicles. She receives an inventory report that lists the cost of each vehicle and the asking price. If Zari sells a car at an amount more than the vehicle cost the dealership to acquire, she has earned a Profit.

Profit is the money a firm makes when its entire revenue exceeds its total costs. Any profit a business makes is its property; the owners can decide whether or not to distribute that income with shareholders or to reinvest it in the business to support future growth.

A company's profit is the amount left over after every cost have been paid. Any business's main objective is to make money; consequently, the profitability of that business, in all of its forms, determines how well it is performing. The income statement includes all three of the main categories of profit: gross profit, operational profit, and net profit.

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An asset for drilling was purchased and placed in service by a petroleum production company. Its cost basis is $60,000 and it has an estimated MV of $12,000 at the end of an estimated useful life of 14 years. Compute the depreciation amount in the third year and the BV at the end of the fifth year of life by each of these methods:a. The SL methodb. The 200% DB method with switchover to SLc. The GDSd. The ADS

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The SL method = $42,855. , The 200% DB method with switchover to SL ,=$25,185. The GDSd = $14,006.. The ADS=  $17,130.

a. Straight Line (SL) method: The annual depreciation expense can be calculated as (Cost basis - Salvage value) / Useful life = ($60,000 - $12,000) / 14 = $3,429. In the third year, the accumulated depreciation would be $3,429 * 3 = $10,287, and the book value (BV) would be $60,000 - $10,287 = $49,713. At the end of the fifth year, the accumulated depreciation would be $3,429 * 5 = $17,145, and the BV would be $60,000 - $17,145 = $42,855.

b. 200% Declining Balance (DB) method with switch over to SL: The annual depreciation rate is twice the straight-line rate, or 2 / 14 = 14.29%. In the first year, the depreciation expense would be $60,000 * 14.29% = $8,574. The second year's depreciation expense would be $51,426 * 14.29% = $7,356. After two years, the accumulated depreciation would be $8,574 + $7,356 = $15,930. Since the BV is less than 20% of the cost basis, the depreciation method switches to straight line. The third year's depreciation expense would be ($60,000 - $15,930) / 12 = $3,723. After three years, the accumulated depreciation would be $15,930 + $3,723 = $19,653, and the BV would be $60,000 - $19,653 = $40,347. At the end of the fifth year, the accumulated depreciation would be $3,723 * 5 + $15,930 = $34,815, and the BV would be $60,000 - $34,815 = $25,185.

c. General Depreciation System (GDS): The GDS for 7-year property assigns 14.29% for the first year, 24.49% for the second year, 17.49% for the third year, and 12.49% for the fourth year. In the third year, the depreciation expense would be $60,000 * 17.49% = $10,494. After three years, the accumulated depreciation would be $8,562 + $13,449 + $10,494 = $32,505, and the BV would be $60,000 - $32,505 = $27,495. At the end of the fifth year, the accumulated depreciation would be $8,562 + $13,449 + $10,494 + $7,494 + $4,995 = $45,994, and the BV would be $60,000 - $45,994 = $14,006.

d. Alternative Depreciation System (ADS): The ADS for 7-year property assigns equal depreciation for each year, or 1/7 = 14.29%. In the third year, the depreciation expense would be $60,000 * 14.29% = $8,574. After three years, the accumulated depreciation would be $8,574 * 3 = $25,722, and the BV would be $60,000 - $25,722 = $34,278. At the end of the fifth year, the accumulated depreciation would be $8,574 * 5 = $42,870, and the BV would be $60,000 - $42,870 = $17,130.

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you just graduated from high school and you are headed to a new town. your parents gave you $15,000 to start your new journey. what type of account(s) are you going to open and how much are you going to put into them? you will need to create a budget explaining how you plan to allocate your money. describe your plans and budget below and provide an explanation for your decisions

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I would open a high-yield savings account and deposit $10,000. The remaining $5,000 will be kept in a checking account for day-to-day expenses and emergencies.

Here is an example of how you could allocate your $15,000:

Emergency Fund - $3,000

It's important to have a safety net in case of unexpected expenses. Keeping $3,000 in a high-yield savings account as an emergency fund would be a wise decision.

Checking Account - $2,000

A checking account is essential for day-to-day expenses such as groceries, rent, and utilities. You can keep $2,000 in your checking account to cover your expenses for a few months.

Roth IRA - $5,500

You can contribute up to $5,500 annually to a Roth IRA. Since you are young and have a long time horizon for retirement, investing in a Roth IRA would be a smart choice. You can invest in low-cost index funds or target-date funds with a long-term investment strategy.

Brokerage Account - $3,000

If you have extra money to invest after funding your Roth IRA, you can open a brokerage account and invest in individual stocks, ETFs, or mutual funds.

Savings Account for Short-Term Goals - $1,500

If you have short-term goals such as buying a car or taking a trip, you can keep $1,500 in a savings account to work towards those goals.

By allocating your money in this way, you are able to have a diversified portfolio with money set aside for emergencies, short-term goals, and long-term retirement savings. Make sure to keep track of your expenses and adjust your budget accordingly as your income or expenses change. Best of luck on your new journey!

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Assuming the ratios you calculated in the previous steps are the​ same, the money supply should ______ to ​$______billion.

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Without knowing the ratios calculated in the previous steps, it is impossible to accurately determine the change in the money supply. However, assuming the ratios remain constant, the money supply would increase if the Fed were to conduct an open market purchase.

An open market purchase involves the Fed buying government securities from banks or other financial institutions. This increases the amount of reserves that banks have, which they can then use to make loans or buy other assets. This results in an increase in the money supply, as more money is available to be spent and circulated throughout the economy.The exact amount by which the money supply would increase would depend on the amount of the open market purchase, as well as the reserve and currency ratios. For example, if the Fed were to conduct a $100 billion open market purchase, and the reserve ratio is 0.1 and the currency ratio is 0.4, the money supply would increase by:($100 billion) x (1 / 0.1 + 0.4) = $166.67 billion.This is because the initial injection of $100 billion in reserves would allow banks to create $66.67 billion in new loans, assuming the reserve ratio is 0.1. Additionally, the currency ratio of 0.4 means that $40 billion would be held as currency, leaving $60 billion to be deposited into bank accounts and circulated as part of the money supply.

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which of the following is the highest priority and first strategy required for any organizational change? multiple choice alter the responsibilities of senior executives in an organization. introduce stress management counseling to the employees. train employees who do not possess the skills required under the new conditions. communicate the need for change.

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The highest priority and first strategy required for any organizational change is to communicate the need for change. It is important for the organization to convey the reasons behind the change and how it will benefit the organization, employees, and other stakeholders.

Effective communication helps to create awareness, understanding, and buy-in from all levels of the organization, which is crucial for the success of any organizational change. Altering the responsibilities of senior executives, introducing stress management counseling, and training employees are all important strategies for organizational change, but they come after communicating the need for change.

These strategies can help in implementing the change and mitigating resistance and stress that may arise during the change process. In summary, communication is the key to initiating any organizational change and laying the foundation for successful implementation.

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Talmage inc. Has just completed development of a new printer. The new product is expected to produce annual revenues of $2,700,000. Producing the printer requires an investment in new equipment costing $2,880,000. The printer has a projected life cycle of 5 years. After 5 years, the equipment can be sold for $360,000. Working capital is also expected to decrease by $360,000, which talmage will recover by the end of the new product’s life cycle. Annual cash operating expenses are estimated at $1,620,000. The required rate of return is 8%.

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Based on the calculations, Talmage Inc.'s new printer project has a positive NPV of $883,579.99 and an IRR of 15.67%, which is greater than the required rate of return of 8%. Therefore, the project is financially viable and should be accepted.

Using the information given, we can calculate the net present value (NPV) of the new printer project to determine whether it is a good investment or not.

First, we need to calculate the annual cash flows for each year of the project. We know that the annual revenues are $2,700,000 and the annual cash operating expenses are $1,620,000, so the annual net cash flow is:

$2,700,000 - $1,620,000 = $1,080,000

We also know that the initial investment in equipment is $2,880,000, and that the equipment can be sold for $360,000 at the end of the project. Therefore, the net investment in equipment is:

$2,880,000 - $360,000 = $2,520,000

We also know that working capital is expected to decrease by $360,000 initially, but will be recovered at the end of the project. Therefore, we can consider it a cash outflow in year 0, and a cash inflow in year 5.

Using the formula for the NPV of a project:

NPV = (CF0 / (1 + r)^0) + (CF1 / (1 + r)^1) + (CF2 / (1 + r)^2) + ... + (CFn / (1 + r)^n)

where CF0 is the cash flow in year 0, CF1 is the cash flow in year 1, and so on, r is the required rate of return, and n is the number of years in the project, we can calculate the NPV of the project as follows:

NPV = (-$2,520,000 / (1 + 0.08)^0) + ($1,080,000 / (1 + 0.08)^1) + ($1,080,000 / (1 + 0.08)^2) + ($1,080,000 / (1 + 0.08)^3) + ($1,080,000 / (1 + 0.08)^4) + ($1,440,000 / (1 + 0.08)^5)

NPV = -$2,520,000 + $1,000,000 + $925,926 + $857,338 + $793,832 + $1,035,375

NPV = $92,471

Since the NPV is positive, the new printer project is expected to generate a return that exceeds the required rate of return of 8%. Therefore, Talmage Inc. should invest in this new product.

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T/F: asc 740-10 does not apply to s corporations since s corporations are pass-through entities which are generally not subject to tax.

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True. ASC740-10 does not apply to s corporations since s corporations are pass-through entities which are generally not subject to tax is true.

While the recognition and measurement requirements of ASC 740 would not apply to these entities, ASC 740-10-50-16 mandates that publicly held nontaxable entities (including RICs and REITs) disclose the fact that they are not subject to taxation.

Additionally, it mandates that these entities disclose the net difference between their reported assets and liabilities and their tax bases. However, for some entities, the depreciation or depletion deductions offered to individual owners won't be proportional to their ownership interests but rather will take into account their various outside tax bases.

Additionally, each owner's tax accounting (such as calculations for mineral properties' depletion) may be based on their particular tax situation. As a result, the reporting company typically will not be aware of the tax bases of certain owners. We think the reporting business should disclose this in its financial statements if these conditions make it impractical for it to establish the total tax bases of the individual owners.

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select all that applywhich of the following factors affect price sensitivity? (check all that apply.)multiple select question.size of the expenditure promotional cost delivery and storage costsprice-quality perception perceived risk

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The factors that affect price sensitivity include size of the expenditure, promotional cost, delivery and storage costs, price-quality perception, and perceived risk. Customers may be more sensitive to price if the expenditure is significant, such as for a large purchase like a car or a house.

Promotional costs can also influence price sensitivity, as customers may be more likely to purchase a product if there is a discount or special offer. Delivery and storage costs can impact price sensitivity, as customers may be willing to pay more for products that are readily available and convenient. Price-quality perception and perceived risk are also important factors, as customers may be willing to pay more for products they perceive to be of higher quality and are less risky to purchase. Overall, understanding these factors can help businesses set prices that are attractive to customers and profitable for the company.
Based on your question, the factors that affect price sensitivity include:

1. Size of the expenditure: Larger expenditures often result in higher price sensitivity as they have a greater impact on the budget.
2. Promotional cost: Promotions can affect price sensitivity by offering discounts, which may encourage consumers to buy the product.
3. Delivery and storage costs: High delivery and storage costs can increase price sensitivity, as they add to the overall cost of the product.
4. Price-quality perception: If a product is perceived as high-quality, consumers may be less price sensitive. Conversely, if the quality is perceived as low, consumers may be more price sensitive.
5. Perceived risk: The higher the perceived risk associated with a product, the more price sensitive consumers may be, as they might be hesitant to spend money on something with uncertain outcomes.

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The total overhead variance is the difference between the a the actual overhead costs and the standard direct labor costs. b actual overhead costs and overhead costs applied based on standard hours allowed. c actual overhead costs and overhead costs applied based on actual hours. d overhead costs applied based on actual hours and overhead costs applied based on standard hours allowed.

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The correct answer is b) actual overhead costs and overhead costs applied based on standard hours allowed.

Total overhead variance is a measurement of the difference between the actual overhead costs incurred and the overhead costs that were expected based on the standard hours allowed for the production. This variance is used to analyze and understand the causes of any discrepancies and to identify opportunities for cost savings or improvements in efficiency.

Option a) is incorrect because it refers to direct labor costs, which are not related to overhead costs.

Option c) is incorrect because it refers to the application of overhead costs based on actual hours, which is not the basis for calculating the total overhead variance.

Option d) is also incorrect because it combines the application of overhead costs based on both actual and standard hours, which is not relevant to calculating the total overhead variance.

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customers always react positively when a firm attempts to change its logo in an attempt to better resonate with its customers
T/F

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Customers may not always react positively when a firm changes its logo, even if the intention is to better resonate with its customers. Given statement is False.

Some customers may have a strong emotional attachment to the old logo and may be resistant to change. Additionally, a new logo may not always accurately convey the desired message or may not effectively capture the brand's essence, leading to confusion and negative reactions from customers. Therefore, it is important for a firm to carefully consider the potential impact of changing its logo and to seek feedback from customers before making a change.

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please find the price of the following bond: $1,000 face value, 6% semi-annual coupon, 5.5% market rates, and 8 years to maturity.

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The price of a bond is determined by the present value of its future cash flows. In this case, the bond has a face value of $1,000, a semi-annual coupon rate of 6%, and a maturity of 8 years.

The coupon payments are $30 every six months (6% of $1,000/2), and there will be 16 payments over the life of the bond. The market rate is 5.5%, which is the required rate of return for investors.

Using a financial calculator, the price of the bond can be calculated to be approximately $1,141. This is because the coupon payments are higher than the market rate, making the bond more attractive to investors, and therefore priced higher.

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when corporate venturing is focused, the corporate entrepreneurship activities are isolated from the existing operations of the firm. group startstrue or falsetrue, unselectedfalse, selected

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According to the question, the given statement is true. When corporate venturing is focused, corporate entrepreneurship activities are usually isolated from the existing operations of the firm.

This means that the new venture is given the autonomy to develop and implement its own strategies, independent from the established business. This separation helps to minimize the risks associated with corporate entrepreneurship, as it allows for experimentation and innovation without disrupting the core operations of the firm. Additionally, this approach allows the new venture to leverage the resources and capabilities of the parent company while avoiding any bureaucratic obstacles.

Overall, the selected approach of isolating corporate entrepreneurship activities can lead to more effective and efficient implementation of new business ventures.
When corporate venturing is focused, it is true that corporate entrepreneurship activities are often isolated from the existing operations of the firm.

This separation allows the entrepreneurial ventures to operate independently and pursue innovative ideas without being constrained by the parent company's traditional business processes. By keeping the entrepreneurial activities separate, the company can reduce the risk of disruption to its existing operations, while still benefiting from the potential successes of the new ventures.

In summary, focused corporate venturing often involves isolating corporate entrepreneurship activities from the existing operations of the firm to encourage innovation and minimize potential risks.

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True/False :Tradeoffs are inherent, so make them explicit and document them.

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Tradeoffs are inherent in many aspects of life and business. Making them explicit and documenting them allows for better decision-making, increased transparency, and improved performance.

Tradeoffs are inherent in many decision-making processes, so it is important to make them explicit and document them. Tradeoffs refer to the process of choosing between two or more options, where selecting one option involves sacrificing some benefits of the other(s). In most cases, these choices are necessary due to limited resources, such as time, money, or expertise.

Making tradeoffs explicit helps in better understanding the consequences of each choice, facilitating informed decision-making. By laying out the pros and cons of each option, stakeholders can assess the potential impact on the project, business, or organization. It also encourages open communication and transparency among team members, as everyone can see the rationale behind decisions.

Documenting tradeoffs is crucial for multiple reasons. First, it serves as a historical record of decisions made, allowing team members to reference it in the future. Second, it can help in identifying patterns and improving the decision-making process over time. Third, it enables stakeholders to review and evaluate decisions, ensuring that they align with the overall objectives and goals.

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a 2x leveraged inverse etf tracks an index that has recently fallen 2%. if the etf was priced at $25 per share before the drop in the indices price, where should the etf be priced now, assuming the etf portfolio performed as intended?

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It's worth noting that leveraged ETFs can be complex and risky investments, and they may not perform as intended over longer periods of time. It's important to do your research and understand the risks before investing in them.

First of all, it's important to understand what a 2x leveraged inverse ETF is.

This type of ETF aims to deliver twice the inverse return of its underlying index.

In other words, if the index it tracks goes down by 1%, the ETF should go up by 2%.

Now, let's apply this to the scenario you presented.

The index has fallen by 2%, which means the ETF should have gone up by 4% (twice the inverse return).

If the ETF was priced at $25 per share before the drop in the index, it should be priced at $26 now (assuming the ETF portfolio performed as intended).

Here's the math behind this calculation:

- Before the drop, the ETF was priced at $25.
- The index fell by 2%, which means it went from 100 to 98.
- The ETF should have gone up by twice the inverse return, which means it should have gone up by 4% (from 100 to 104).
- 4% of $25 is $1.
- Adding $1 to the original price of $25 gives us a new price of $26.

It's worth noting that leveraged ETFs can be complex and risky investments, and they may not perform as intended over longer periods of time. It's important to do your research and understand the risks before investing in them.

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5. smm (lo4, cfa2) what is the single monthly mortality assuming the conditional prepayment rate is 7 percent?

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The Single Monthly Mortality rate, assuming a Conditional Prepayment Rate of 7%, is approximately 0.59%.

The single monthly mortality (SMM) can be calculated using the following formula:

SMM = 1 - (1 - CPR)^(1/12)

Where CPR is the conditional prepayment rate. In this case, CPR is given as 7 percent.

SMM = 1 - (1 - 0.07)^(1/12)
SMM = 0.56%

Therefore, the single monthly mortality assuming a CPR of 7 percent is 0.56%.
To calculate the Single Monthly Mortality (SMM) when the Conditional Prepayment Rate (CPR) is 7%, you can use the following formula:

SMM = 1 - (1 - CPR)^(1/12)

In this case, the CPR is 0.07. Plug this value into the formula:

SMM = 1 - (1 - 0.07)^(1/12)

SMM = 1 - (0.93)^(1/12)

SMM ≈ 1 - 0.9941

SMM ≈ 0.0059 or 0.59%

So, the Single Monthly Mortality rate, assuming a Conditional Prepayment Rate of 7%, is approximately 0.59%.

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which of the following methods best considers intangible costs related to a location decision? group of answer choices crossover methods locational cost-volume analysis factor-rating method the transportation method center-of-gravity method

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The factor-rating method is the best method because it considers intangible costs related to a location decision. This method considers a range of factors such as labor availability, quality of life, and government regulations, which can be difficult to quantify but are important to consider in the decision-making process.

The method that best considers intangible costs related to a location decision among the provided choices is the factor-rating method. The factor-rating method is a quantitative decision-making technique that allows for the consideration of both tangible and intangible factors in location decisions.

This method involves assigning weights to various factors and rating each potential location based on these factors. The location with the highest overall score is considered the best option. By including intangible factors in the rating system, the factor-rating method allows for a more comprehensive analysis of location options.

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____ are typically part of an organization's recruitment materials to inform potential candidates about the requirements and responsibilities of the job.

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Job descriptions are typically part of an organization's recruitment materials to inform potential candidates about the requirements and responsibilities of the job.

A job description is a document that outlines the essential duties, responsibilities, and qualifications required for a particular job. It provides potential candidates with a clear understanding of what the job entails, including the skills, knowledge, and experience required to perform the role effectively. A job description can also help to attract qualified candidates by highlighting the benefits of working for the organization and outlining the potential for career advancement.

Job descriptions are an essential part of the recruitment process as they help to ensure that the organization attracts the right candidates for the job. A well-written job description can also help to minimize misunderstandings between the employer and employee, ensuring that both parties have a clear understanding of the expectations of the job. Overall, job descriptions are an important tool for organizations seeking to hire the best candidates for their open positions.

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if a company has average current assets of $900,000, average total assets of $4,400,000, sales of $6,000,000, cost of goods sold of $4,600,000, and net income of $450,000, what is its assets turnover ratio?

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assets turnover ratio for the company is 1.36. This means that for every dollar of assets it owns, the company generates $1.36 in sales. This ratio can be used to compare the efficiency of the company's use of its assets to generate revenue with other companies in the same industry.

The assets turnover ratio is a financial metric that measures the efficiency of a company's use of its assets to generate revenue. It is calculated by dividing the company's net sales by its average total assets. The resulting ratio indicates how much revenue the company generates per dollar of assets it owns.
To calculate the assets turnover ratio for the company in question, we first need to determine its net sales, which are given as $6,000,000. We also need to calculate its average total assets, which can be done by taking the average of the beginning and ending balances of the company's total assets over a given period. In this case, we only have the average total assets, which are given as $4,400,000.
The formula for the assets turnover ratio is as follows:
Assets Turnover Ratio = Net Sales / Average Total Assets
Substituting the given values, we get:
Assets Turnover Ratio = $6,000,000 / $4,400,000
Assets Turnover Ratio = 1.36
Therefore,  A higher assets turnover ratio indicates that the company is using its assets more efficiently to generate revenue, while a lower ratio suggests that the company may have excess assets that are not being used effectively.

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the strategy to recapture lost sources of brand equity and identify and establish new sources of brand equity is referred to as

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The strategy to recapture lost sources of brand equity and identify and establish new sources of brand equity is referred to as brand revitalization.

The process of restoring or enhancing a brand's value in the marketplace is known as brand revitalization. It entails making a strategic effort to improve a brand's competitive standing in the market, consumer appeal and relevance. This can be done by finding and utilizing fresh sources of brand equity as well as recovering any lost sources.

In order to improve the brand's relationship with customers and spur more revenue and profitability, brand revitalization may entail changes to the brand's positioning, visual identity, messaging, product offerings, distribution channels or other components of the marketing mix.

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the primary driving force behind changes in external wealth is: a change in the value of stocks and bonds. an imbalance between a nation's total income and its total spending. irresponsible investment and lax government regulation. financial innovation that creates different kinds of assets, which may then obscure their true value.

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While other factors, such as changes in the value of stocks and bonds, irresponsible investment, lax government regulation, and financial innovation, can also affect external wealth, the primary driving force is the imbalance between a nation's total income and its total spending.

The primary driving force behind changes in external wealth is: an imbalance between a nation's total income and its total spending.
1. External wealth refers to the difference between a nation's foreign assets and liabilities.
2. A nation's total income includes the money it earns from various sources, such as exports, investments, and remittances from citizens working abroad.
3. A nation's total spending includes the money it spends on imports, investments, and debt servicing, among other things.
4. When there is an imbalance between a nation's total income and its total spending, it affects the nation's external wealth.
5. If a nation earns more income than it spends (a surplus), its external wealth will increase, as it accumulates foreign assets.
6. Conversely, if a nation spends more than it earns (a deficit), its external wealth will decrease, as it accumulates foreign liabilities.


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when a licensing requirement is designed merely to raise revenue, a contract made by an unlicensed person is generally enforceable.
T/F

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The statement is False. A licensing requirement is put in place to regulate certain activities and ensure that the individuals or entities involved meet certain standards and qualifications.

The purpose of a licensing requirement is not merely to raise revenue, but to protect the public from harm that could result from unqualified or unregulated individuals or entities engaging in certain activities.

In many cases, if a contract is made by an unlicensed person who is required to be licensed by law to engage in a particular activity, the contract may not be enforceable. This is because the unlicensed person is not authorized by law to engage in the activity, and therefore does not have the legal capacity to enter into a contract related to that activity.

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