DMG Compnay reissues 10,000 shares of treasury stock for $100 per share when they were initially repurchased at a cost of $105 per share. The par value of the stock is $20 per share. Prepare the appropriate journal entry to record the reissuance.

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Answer 1

The DMG Company Journal Entry is given below.

Date Account Debit Credit

Copy code

   Cash                   $1,000,000

  Treasury Stock         $1,050,000

   Paid-in Capital - Excess of Par Value     $50,000

Explanation:

Cash is debited for the amount received from the re-issuance of the treasury stock. In this case, it is $100 per share multiplied by 10,000 shares, which equals $1,000,000.

Treasury Stock is credited for the cost of repurchasing the shares from the market, which was $105 per share multiplied by 10,000 shares, totaling $1,050,000.

Paid-in Capital - Excess of Par Value is credited for the difference between the cash received and the cost of repurchasing the shares. In this case, it is $1,000,000 - $1,050,000 = $50,000. This represents the additional amount received over the par value of the shares.

By recording this journal entry, the re-issuance of the treasury stock is properly accounted for, reflecting the cash inflow and the adjustments to the relevant equity accounts.

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which of the following is accurate with regard to team process training? multiple choice it enables trainees to transport what they learn about teamwork from one team context and apply it in another. it involves instruction at three different levels of depth: personal clarification, positional modeling, and positional rotation. it facilitates the development of team processes related to goal setting, interpersonal relations, problem solving, and role clarification. it occurs in the context of a team experience, which facilitates effective functioning and performance of a team as an intact unit. it involves training members in the duties and responsibilities of their teammates to develop shared mental models of what is involved in each of the roles in the team.

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The following option is accurate with regard to team process training: It facilitates the development of team processes related to goal setting, interpersonal relations, problem-solving, and role clarification.

Team process training is designed to improve the effectiveness of a team's functioning and performance. It involves training members in the various aspects of teamwork such as setting goals, establishing positive relationships, solving problems, and clarifying roles. By developing these team processes, team members can work more efficiently and effectively together. The other options listed may also be components of team process training, but they are not accurate or comprehensive descriptions of the overall process.

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the deadweight loss associated with producing a product that has an external cost occurs because

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The deadweight loss associated with producing a product that has an external cost occurs because the market equilibrium quantity is not at the socially optimal level.

When a product is produced that creates negative externalities, such as pollution or traffic congestion, the costs are not fully borne by the producer or consumer, but by society as a whole. As a result, the market equilibrium quantity is greater than the socially optimal level, resulting in a deadweight loss.

Deadweight loss is a loss of economic efficiency that occurs when the market equilibrium quantity deviates from the socially optimal quantity. In the case of negative externalities, the market price does not fully reflect the true cost of production, resulting in an overproduction of the product. This overproduction leads to a deadweight loss, which is the area between the supply and demand curves from the socially optimal level to the market equilibrium level. The deadweight loss represents the value of goods and services that could have been produced and consumed if the market was at the socially optimal level, but are not due to the negative externalities associated with the production of the product. Thus, the deadweight loss associated with producing a product that has an external cost occurs because the market equilibrium quantity is not at the socially optimal level, leading to a loss of economic efficiency.

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augustus, inc., manufactures cookies. augustus provided the following information for the month of june:units produced: 150,000 packagesstandard direct labor hours per package: 0.50 hoursstandard variable overhead rate (per direct labor hour): $3actual variable overhead costs: $235,750actual hours worked: 77,800calculate the total variable overhead variance.

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The total variable overhead variance for the month of June is $10,750

To calculate the total variable overhead variance, we need to determine the standard variable overhead costs & then compare them with the actual variable overhead costs. Heres how to calculate it:-

Calculate the standard variable overhead costs:-

Standard variable overhead costs = Standard direct labor hours per package × Standard variable overhead rate

Standard direct labor hours per package = 0.50 hours

Standard variable overhead rate = $3

Standard variable overhead costs = 0.50 hours × $3 = $1.50 per package

Calculate the expected variable overhead costs based on the standard rate:-

Expected variable overhead costs = Standard variable overhead costs × Units produced

Units produced = 150,000 packages

Expected variable overhead costs = $1.50 per package × 150,000 packages = $225,000

Calculate the total variable overhead variance:-

Total variable overhead variance = Actual variable overhead costs - Expected variable overhead costs

Actual variable overhead costs = $235,750

Expected variable overhead costs = $225,000

Total variable overhead variance = $235,750 - $225,000 = $10750

Therefore, the total variable overhead variance for the month of June is $10750

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copies of the sales order can be used for all of the following except a. purchase order b. shipping notice c. packing slip d. credit authorization

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While sales orders can be used for many different purposes, they are typically not used as a document for a credit authorization. Therefore, the answer is d. credit authorization.

Sales orders are typically used as a document for a purchase order because they contain information about the goods or services requested, including the type, quantity, and price. They can also be used as a document for a shipping notice because they often include information about the delivery date and location. Similarly, they can be used as a document for a packing slip because they include information about the items to be shipped, including their quantities and special instructions. However, a credit authorization typically requires different information, such as the buyer's credit card information and the amount to be charged, which is not typically included in a sales order.

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Which of the following items has the most inelastic demand, in all likelihood?
A) Sunglasses
B) Donuts
C) Bran cereal
D) Shoes
E) Gun cleaning kits

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Based on the given options, the item that has the most inelastic demand, in all likelihood, is E) Gun cleaning kits.

Inelastic demand refers to a situation where a change in price does not result in a significant change in demand. Since gun cleaning kits are specific and necessary items for gun owners to maintain and clean their firearms, they are more likely to have an inelastic demand compared to the other options listed.
In all likelihood, the item with the most inelastic demand among the given options is E) Gun cleaning kits. Inelastic demand refers to a situation where the quantity demanded does not change significantly with changes in price. Since gun cleaning kits are essential for maintaining firearms and have limited substitutes, their demand is likely to remain relatively stable regardless of price changes.

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when an information system does not meet business requirements, causes might include ____.

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When an information system fails to meet the business requirements - One of the reasons could be the inadequate analysis of the business requirements, resulting in a gap between the needs of the business and the system capabilities.

Inadequate communication between the stakeholders, developers, and users may also lead to a mismatch between the requirements and the system's functionality.

Additionally, a lack of expertise or experience in implementing such systems could result in incomplete or inadequate development, further leading to failure in meeting the business requirements.Another cause could be the insufficient testing and validation of the system before deployment. Inadequate testing can lead to an insufficient understanding of the system's capabilities, leading to mismatches with business requirements. Failure to ensure that the system is compatible with other software and hardware used by the business can also result in incompatibility and failure to meet the required functionality.Furthermore, changes in the business environment or its requirements may occur during the development process, which could lead to new demands and needs that were not initially considered.In conclusion, various reasons could lead to an information system not meeting business requirements, and it is essential to ensure effective communication, planning, and testing to mitigate such issues.

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wright inc. reported net income of $200,000 for the year ended december 31, 2022. during the year, inventories decreased by $40,000, accounts payable decreased by $60,000, depreciation expense was $45,000 and a gain on disposal of equipment of $15,000 was recorded. net cash provided by operating activities in 2022 using the indirect method was

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Wright Inc. had net cash provided by operating activities of $210,000 in 2022 using the indirect method.

To calculate the net cash provided by operating activities using the indirect method, we need to make adjustments to net income. We start by adding back non-cash expenses such as depreciation expense, which is $45,000 in this case. Then, we adjust for changes in current assets and liabilities. Inventories decreased by $40,000, so we add that amount back. Accounts payable decreased by $60,000, so we subtract that amount. Finally, we adjust for any gains or losses on the sale of assets. In this case, there was a gain on disposal of equipment of $15,000, so we subtract that amount. Therefore, the net cash provided by operating activities using the indirect method is:
Net Income: $200,000
Add back Depreciation: +$45,000
Add Decrease in Inventories: +$40,000
Subtract Decrease in Accounts Payable: -$60,000
Subtract Gain on Disposal of Equipment: -$15,000
Net Cash Provided by Operating Activities: $210,000
Therefore, Wright Inc. had net cash provided by operating activities of $210,000 in 2022 using the indirect method.

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which of the following is a potential beneficial effect of mergers? mergers may improve credit access. mergers may reduce the chances of an oligopoly forming. mergers tend to reduce barriers to entry in that market. mergers may lead to lower market concentration.

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One potential beneficial effect of mergers is that they may lead to lower market concentration. This can benefit consumers by increasing competition and potentially lowering prices. Additionally, mergers may reduce the chances of an oligopoly forming, which can also be beneficial for competition.

However, it is important to note that mergers may also have negative effects, such as reducing the number of firms in a market and potentially limiting choices for consumers. Furthermore, while mergers may improve credit access for the merged companies, they may also make it more difficult for smaller firms to access credit and compete in the market. Overall, the potential effects of mergers depend on the specific circumstances and context of the market.
A potential beneficial effect of mergers is that they may improve credit access. When two companies merge, their combined resources and financial stability can make it easier for them to obtain loans or other forms of financing, thus enhancing their credit access. This can enable the merged entity to invest in growth opportunities and achieve economies of scale, which can ultimately benefit consumers, employees, and shareholders.

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Which of the following consists of quality control procedures companies must install in all facets of their operations that can be audited by independent quality control experts or registrars?
ISO 9000
Statistical process control
Six Sigma
ISO 1000

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Answer:

Explanation:

The quality control procedures companies must install in all facets of their operations that can be audited by independent quality control experts, or registrars are known as ISO 9000.

ISO 9000 is a set of international standards for quality management systems that provides guidelines and requirements for ensuring that a company's products and services consistently meet customer requirements and regulatory standards. Statistical process control and Six Sigma are methodologies and tools companies use to improve quality and reduce defects in their operations. However, they are not themselves quality control procedures that can be audited by independent quality control experts or registrars. ISO 1000 is not a recognized standard or system related to quality control.

if a multinational firm fails to effectively integrate their acquisitions, this can result in

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Answer:

It can result in divestiture

an overview of systems thinking includes input, process, output, and finances.
T/F

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Systems thinking is an approach to problem-solving that involves understanding how different components within a system interact with each other to produce certain outcomes.

The approach typically involves breaking down a system into its constituent parts and analyzing how they work together. In this context, input refers to the resources or information that is fed into a system, process refers to the steps or activities involved in transforming those inputs into outputs, output refers to the end result or product of the system, and finances refer to the financial resources required to operate the system. By taking a holistic view of a system and understanding the interdependencies between its various components, systems thinking can help organizations to identify opportunities for improvement and optimize their operations.

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a cost plus contract with incentive places most of the project risk on the . a. contractor(s) or subcontractor(s) b. attorneys who wrote the contract c. insurer d. client

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A cost-plus contract with incentive places most of the project risk on the (a) contractor(s) or subcontractor(s).

In a cost-plus contract with incentive, the contractor is reimbursed for allowable costs and receives an additional amount as a reward for achieving specific performance objectives.

The contractor or subcontractor bears most of the project risk because they are responsible for completing the project within the agreed-upon cost and performance parameters to receive the incentive.



Summary: In this type of contract, the majority of the project risk lies with the contractor or subcontractor, as their incentives depend on meeting cost and performance goals.

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one of the accounting concepts upon which adjustments for prepayments and accruals are based is:

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The accounting concept upon which adjustments for prepayments and accruals are based is the matching principle. The matching principle requires that expenses be recognized in the same period as the related revenue. Prepayments and accruals are adjustments made at the end of an accounting period to ensure that expenses and revenues are properly matched.

Prepayments occur when a company pays for goods or services in advance, before they are actually used or consumed. Examples of prepayments include prepaid insurance, prepaid rent, and prepaid subscriptions. To properly match expenses with revenues, the company needs to recognize the portion of the prepayment that relates to the current accounting period as an expense. The remaining balance of the prepayment is carried forward to the next accounting period. Accruals, on the other hand, are expenses that have been incurred but have not yet been paid for or recorded. Examples of accruals include salaries payable, interest payable, and taxes payable. These expenses need to be recognized in the same period as the related revenues, even if payment has not yet been made.
In summary, the matching principle is the accounting concept that underlies adjustments for prepayments and accruals. These adjustments ensure that expenses are properly matched with revenues and are recognized in the appropriate accounting period. Failure to make these adjustments can result in distorted financial statements that do not accurately reflect the company's financial performance.

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False, The matching principle is an accounting concept that guides adjustments for prepayments and accruals.According to the matching principle, costs must be recorded at the same time as corresponding revenues.

Adjustments are done at the conclusion of an accounting period to ensure that expenses and revenues are appropriately matched, including prepayments and accruals.

When a business makes a prepayment, it is doing so before the goods or services are actually used or consumed. Prepaid rent, insurance, and subscriptions are a few examples of prepayments. The corporation must account for the portion of the prepayment that relates to the current accounting period as an expense in order to correctly align expenses with revenues. The remaining prepayment balance is carried over to the following accounting period.

Complete question:

one of the accounting concepts upon which adjustments for prepayments and accruals are based is bad Debt. This statement is True or false?

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what are the largest categories of discretionary and mandatory spending? responses unemployment compensation unemployment compensation interest on debt and welfare interest on debt and welfare national defense and social securitynational defense and social security education and transportation

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When it comes to discretionary and mandatory spending, there are several categories that stand out as the largest. These categories include national defense and social security, interest on debt and welfare, and education and transportation.

National defense and social security are typically seen as two of the largest categories of mandatory spending. This is because they are designed to provide support for the country's security and well-being, respectively, and are considered essential programs that cannot be cut or eliminated.

Interest on debt and welfare are also significant categories of mandatory spending. Interest on debt is the cost of borrowing money to pay for government programs, while welfare refers to programs designed to provide support to low-income individuals and families.

Finally, education and transportation are two of the largest categories of discretionary spending. These programs are not considered essential to the country's security or well-being, but they are still important for maintaining and improving infrastructure and education standards.

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The issuing of new securities, mortgages, and other claims to wealth takes place in the:
a. secondary market
b. money market
c. primary market
d. securities market

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The issuing of new securities, mortgages, and other claims to wealth takes place in the primary market.

The primary market is where new securities, such as stocks and bonds, are issued for the first time by companies and other issuers to raise capital. This is done through an initial public offering (IPO) or other types of offerings, where the issuer sells its securities directly to investors.

In the primary market, the price of the securities is determined by the issuer and the demand from investors. The proceeds from the sale of the securities go directly to the issuer.

On the other hand, the secondary market is where previously issued securities are bought and sold by investors.

The secondary market provides liquidity to investors by allowing them to sell their securities to other investors, and it also allows new investors to purchase existing securities.

In the secondary market, the price of the securities is determined by supply and demand, and the proceeds from the sale of the securities go to the seller rather than the issuer.

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the fed can fix the interest rate or the money supply, but not both at the same time. please explain.

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The Fed uses monetary policy to influence the availability of credit and money in the economy in order to accomplish its macroeconomic goals, which include maintaining stable prices, a low unemployment rate, and moderate long-term interest rates.

In order to accomplish its macroeconomic goals the Federal Reserve is in charge of managing the country's monetary policy which includes influencing the availability of credit and money in the economy. The Fed's primary tool is determining interest rates. The Federal Reserve can influence borrowing costs by changing the federal funds rate target which can either increase or decrease investment and spending.

The Fed also controls the money supply as a tool. The Fed can alter the amount of money that is available for investment and spending by raising or lowering the money supply. However due to their interdependence the Fed is unable to adjust both the interest rate and the money supply at the same time.

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An agent making a proper contract with a third person on behalf of a disclosed principal:
a. has no personal liability on the contract.
b. is liable only to the principal on the contract.
c. is liable only to the third party on the contract.
d. is personally liable to both the principal and the third person on the contract.

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An agent making a proper contract with a third person on behalf of a disclosed principal has no personal liability on the contract.

The disclosed principal is the one responsible for fulfilling the contractual obligations and for any liabilities that may arise from the contract. In this scenario, the third party knows that the agent is acting on behalf of a principal and knows the identity of the principal. Therefore, the third party cannot hold the agent personally liable for any issues with the contract. However, the agent has a fiduciary duty to act in the best interest of the principal and follow their instructions, and failure to do so could result in liability for any damages caused.

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if labor supply exceeds labor demand, hr needs can best be met by:

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If labor supply exceeds labor demand, the HR department needs to come up with an effective strategy to utilize the surplus labor. One of the most common strategies is to adjust the hiring practices by reducing the number of new hires.

This will help in balancing the demand and supply equation. Another approach is to increase the number of part-time employees or freelancers, which will help in reducing the costs associated with full-time employment. Additionally, HR can encourage employee retention by offering attractive compensation packages, flexible work arrangements, and opportunities for career growth. Training and development programs can also help in upskilling existing employees, which will enhance their productivity and reduce the need for additional employees. Overall, HR needs to be creative and innovative in managing surplus labor to ensure the organization's sustainability and growth.
When labor supply exceeds labor demand, HR needs can best be met by implementing strategies to enhance employee retention, skill development, and internal promotions. These measures ensure that the available workforce is efficiently utilized and that employees remain engaged, satisfied, and loyal to the organization. Additionally, HR can also focus on optimizing recruitment processes, attracting talent with diverse skillsets, and strategically planning workforce distribution to maintain a balanced and productive workforce. This approach helps businesses to maintain a competitive edge and adapt to fluctuating market conditions.

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Because there are multiple people interested in creating a business organization, the fraternity brothers cannot form which of the following?

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Answer:

The fraternity brothers cannot form a sole proprietorship. A sole proprietorship is a business owned and operated by one person. If there are multiple people involved in the business, it cannot be a sole proprietorship.

The fraternity brothers could form a partnership, a corporation, or a limited liability company (LLC). A partnership is a business owned by two or more people. A corporation is a business that is owned by its shareholders, who are not personally liable for the debts of the business. An LLC is a hybrid of a partnership and a corporation, with some of the benefits of each.

Explanation:

mma's emporium provides the following information for 2017. what amount should emma report as current liabilities on the december 31, 2017 balance sheet? do not use the $ sign or decimal in the answer. commas are ok. accumulated depreciation 94,000 notes payable due feb. 1, 2019 48,000 accounts payable 79,000 revenues 185,000 allowance for doubtful accounts 9,000 estimated warranty liability 16,000 bonds payable due 2018 121,000 wages payable 33,000 interest payable 43,000 unearned revenue 15,000 purchases discounts 7,000 retained earnings 252,000 mortgage payable due in annual installments of $16,000 128,000 common stock 469,000

Answers

Thus, as the $-631,000 is negative, which means that the company does not have any current liabilities at all.

MMA's Emporium should report a total of $243,000 as current liabilities on the December 31, 2017 balance sheet.

Current liabilities are obligations that are due within one year or within the normal operating cycle of the business, whichever is longer. Based on the information provided, the following items should be classified as current liabilities:

- Notes payable due Feb. 1, 2019: $48,000
- Accounts payable: $79,000
- Estimated warranty liability: $16,000
- Bonds payable due in 2018: $121,000
- Wages payable: $33,000
- Interest payable: $43,000
- Unearned revenue: $15,000
- Purchases discounts: $7,000
- Mortgage payable due in annual installments of $16,000: $16,000 (only the portion due within the next year should be included)

Adding up these amounts, we get a total of $378,000. However, we need to subtract any amounts that are not considered current liabilities. The following items do not meet the definition of current liabilities:

- Accumulated depreciation: this is a contra-asset account that represents the total amount of depreciation that has been recorded on the company's assets over time. It is not a liability.
- Revenues: this is not a liability, but rather a source of equity.
- Allowance for doubtful accounts: this is a contra-asset account that represents the estimated amount of accounts receivable that the company expects will not be collected. It is not a liability.
- Retained earnings: this is the cumulative amount of earnings that the company has retained over time. It is not a liability.
- Common stock: this represents the amount of equity that has been invested by the company's owners. It is not a liability.

Subtracting these amounts from the total current liabilities, we get:

$378,000 - $94,000 - $185,000 - $9,000 - $252,000 - $469,000 = $-631,000

This result is negative, which means that the company does not have any current liabilities at all. However, this is clearly not the case. The most likely explanation is that there is an error in the data provided.

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c. what are the amount and character of the gain or loss canon will recognize on the sale, assuming that it is a corporation and the sale proceeds were increased to $60,000?

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Assuming that Canon is a corporation and the sale proceeds were increased to $60,000, the amount and character of the gain or loss it will recognize on the sale can be calculated as follows:

First, we need to determine Canon's adjusted basis in the printer. Assuming that Canon acquired the printer for $50,000 and has not taken any depreciation or other deductions, its adjusted basis in the printer is also $50,000.

Next, we need to calculate the amount of the gain or loss. The gain or loss on the sale of an asset is calculated by subtracting the adjusted basis from the amount realized (i.e., the sale proceeds). In this case, the amount realized is $60,000, so the gain or loss is:

$60,000 (amount realized) - $50,000 (adjusted basis) = $10,000 (gain)

Finally, we need to determine the character of the gain. The character of a gain or loss is determined by the nature of the asset sold. In this case, the printer is a capital asset, so the gain is a capital gain. If Canon held the printer for more than one year before selling it, the gain would be a long-term capital gain and would be subject to a lower tax rate than a short-term capital gain.

Therefore, assuming that Canon is a corporation and the sale proceeds were increased to $60,000, it will recognize a $10,000 capital gain on the sale of the printer.

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9) suppose that changes in bank regulations expand the availability of credit cards so that peoplecan hold less cash.a) how does this event affect the demand for money?b) what will happen to the price level if the fed does not respond to this event?c) if the fed wants to keep the price level stable, what should it do

Answers

The expansion of availability of credit cards due to changes in bank regulations can have a significant impact on the demand for money. As people start using credit cards more frequently, they will need less cash on hand. Therefore, the demand for money will decrease.

People will be more inclined to use credit cards to make purchases rather than using cash, which will reduce the demand for cash. If the Fed does not respond to this event, the price level could increase. As the demand for money decreases, the supply of money will remain constant. Therefore, the money supply will exceed the demand for money, leading to inflation. The prices of goods and services will increase due to the excess money supply in the market. This can have adverse effects on the economy, leading to a decrease in consumer purchasing power and an increase in the cost of living.
To keep the price level stable, the Fed should take certain measures. It can reduce the money supply in the market by increasing the interest rates. By increasing the interest rates, people will be less inclined to borrow money, and they will start saving more. This will reduce the excess money supply in the market, and the price level will remain stable. The Fed can also sell government securities to reduce the money supply. These measures will help to maintain the stability of the economy.

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which one of the following accurately describes the three parts of the du pont identity?

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The DuPont identity, also known as the DuPont analysis or the DuPont equation, is a financial analysis tool that breaks down return on equity (ROE) into three components.

The three parts of the DuPont identity are:

1. Profit Margin: This component measures the company's ability to generate profits from its sales. It is calculated by dividing the net income by the total revenue. A higher profit margin indicates a more efficient and profitable operation.

2. Asset Turnover: This component evaluates the company's efficiency in utilizing its assets to generate sales. It is calculated by dividing the total revenue by the average total assets. A higher asset turnover suggests that the company is utilizing its component  effectively to generate revenue.

3. Financial Leverage: This component assesses the company's use of debt to finance its operations. It is calculated by dividing the average total assets by the average shareholders' equity.

When these three components are multiplied together, they provide the return on equity (ROE) figure, which measures the profitability of a company relative to the equity invested by shareholders.

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A student finds centre of mass of triangular lamina PQR. Determine centre of mass

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The center of mass of triangular lamina PQR is at the point where the medians intersect, known as the centroid of the triangle.

To determine the center of mass of a triangular lamina PQR, you need to follow these steps:
1. Identify the midpoints of each side: Find the midpoint of each side of the triangle (PQ, QR, and RP) by averaging the coordinates of the two vertices forming each side.
2. Draw medians: Connect each vertex to the midpoint of the opposite side. These lines are called medians.
3. Locate the centroid: The point where all three medians intersect is the centroid of the triangle, which represents the center of mass of the triangular lamina.
The centroid can be calculated by finding the average of the x-coordinates and the average of the y-coordinates of the vertices P, Q, and R.

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According to the CAPM, investors are compensated for all but which of the following?
a. Expected inflation
b. Systematic risk
c. Time value of money
d. Residual risk

Answers

According to the Capital Asset Pricing Model (CAPM), investors are compensated for all factors except for residual risk. This means that investors are compensated for the time value of money, expected inflation, and systematic risk.

The CAPM is a widely used financial model that helps investors determine the expected return on an investment based on its risk. According to the CAPM, investors are compensated for taking on risk, and the expected return on an investment should increase with the level of risk. The model assumes that there are two types of risk: systematic risk and residual risk. Systematic risk refers to the risk that is inherent in the entire market or a particular segment of the market, while residual risk is the risk that is specific to an individual investment.

The CAPM assumes that investors are compensated for taking on systematic risk but not residual risk. This means that investors are not rewarded for bearing the risk that is specific to an individual investment, such as the risk of a company going bankrupt or a product failing to meet expectations. Instead, investors are compensated for taking on the risk that is inherent in the market or a particular segment of the market. The model assumes that investors can diversify away residual risk by holding a well-diversified portfolio of investments.

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you have a portfolio that is equally invested in stock f with a beta of 1.10, stock g with a beta of 1.47, and the market. what is the beta of your portfolio? multiple choice 1.29 1.19 1.15 1.43 .86

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A portfolio that is equally invested in stock f with a beta of 1.10, stock g with a beta of 1.47, and the market. The beta of the portfolio is 1.19.

The beta of the portfolio can be calculated as follows:

Beta of Portfolio = (Weight of Stock F x Beta of Stock F) + (Weight of Stock G x Beta of Stock G) + (Weight of Market x Beta of Market)

Since the portfolio is equally invested in Stock F, Stock G, and the Market, the weight of each would be 1/3. Given the beta values of Stock F (1.10), Stock G (1.47), and the Market (1.00), we can substitute these values into the formula above and calculate the beta of the portfolio as follows:

Beta of Portfolio = (1/3 x 1.10) + (1/3 x 1.47) + (1/3 x 1.00) = 1.19

Therefore, the beta of the portfolio is 1.19.

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7. what is the medical center's net price per discharge? from a financial perspective, is this favorable or unfavorable compared to the peer group average found in chapter 17 of your textbook and why?

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The net price per discharge of the medical center cannot be determined without the necessary information.

To calculate the medical center's net price per discharge, we need to divide the total patient revenue by the total number of discharges.

Net price per discharge = Total Patient Revenue / Total Discharges

Without the information on total patient revenue and total discharges, it is not possible to calculate the net price per discharge.

Regarding whether the medical center's net price per discharge is favorable or unfavorable compared to the peer group average found in chapter 17 of a textbook, we need to know the average net price per discharge of the peer group to make a comparison. If the medical center's net price per discharge is lower than the peer group average, it would be considered favorable, and if it is higher, it would be considered unfavorable.

However, it is worth noting that comparing net price per discharge across healthcare organizations is not straightforward. The differences in patient mix, payers, case complexity, and geographic location can all affect the net price per discharge. Therefore, a more meaningful comparison would require adjusting for these differences using appropriate benchmarking methods.

In summary, the net price per discharge of the medical center cannot be determined without the necessary information. Additionally, comparing the medical center's net price per discharge to the peer group average would require appropriate benchmarking methods that take into account the differences in patient mix, payers, case complexity, and geographic location.

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the wto argues that removing tariff barriers and subsidies in the agricultural sector could:

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Removing tariff barriers and subsidies in the agricultural sector could benefit both developed and developing countries.

The World Trade Organization (WTO) argues that removing tariff barriers and subsidies in the agricultural sector could improve market access for farmers in developing countries. This could lead to increased competition, higher agricultural productivity, and increased income for farmers. In addition, it could also lower food prices for consumers in both developed and developing countries. However, some argue that removing subsidies could lead to job losses in the agricultural sector in developed countries. It is important to strike a balance between supporting domestic agriculture and promoting fair trade practices.

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How is depreciation expense handled for a plant asset that is disposed of mid-year? A. It is recorded for the fraction of the year that the asset was used prior to disposal. B. It is not recorded for the year that the asset was disposed. C. It is not recorded if the asset is sold and a gain results. D. It is recorded for the entire year that the asset was disposed.

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Answer:

A is the answer actually get more understanding from the internet

the site most often used when administering a medication using the intradermal route is the:

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The site most often used when administering a medication using the intradermal route is the inner forearm.

The intradermal route is a type of injection in which medication is injected just below the surface of the skin. This route is commonly used for allergy testing and certain diagnostic procedures. The inner forearm is the site most often used for intradermal injections, as the skin in this area is thin and easily accessible.

When administering an intradermal injection, it is important to clean the injection site with an alcohol swab and hold the syringe at a 10- to 15-degree angle to the skin. The needle should be inserted just below the surface of the skin and the medication injected slowly. The injection site should then be examined for any signs of swelling or redness, which may indicate an adverse reaction. Overall, the intradermal route is a safe and effective way to administer medication for certain purposes, and the inner forearm is the most commonly used site for this type of injection.

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