FILL IN THE BLANK. this term is calculated by dividing annual dividends received per share with the market price of the share: ___

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Answer 1

The term that is calculated by dividing annual dividends received per share with the market price of the share is known as the dividend yield.

This is an important metric that investors use to evaluate the return on their investment in a particular stock. Dividend yield is expressed as a percentage and is calculated by dividing the annual dividend payment per share by the current market price per share. A high dividend yield indicates that a company is paying a larger percentage of its profits in dividends, while a low dividend yield suggests that the company is retaining more of its profits to reinvest in the business.

Investors typically look for stocks with a high dividend yield as they provide a steady stream of income, making them particularly attractive for those seeking a passive income stream. However, it is important to consider other factors such as the company's financial health, growth prospects, and dividend history before investing in a stock solely based on its dividend yield.

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Related Questions

the max, incorporated, is a leading fashion retailer that offers customers an extensive selection of high-quality fashion brands focused on apparel, shoes, cosmetics, and accessories for women, men, young adults and children. the items reported on its income statement for an earlier year (ended february 1) are presented here (dollars in millions) in simplified form in alphabetical order: cost of goods sold $ 10,611 interest expense 110 net revenue 16,324 other selling, general, and administrative expenses 5,308 income tax expense 186 weighted average shares outstanding 165 required: prepare a classified (multiple-step) consolidated income statement (showing gross profit, operating income, and income before income taxes). what is the gross profit percentage?

Answers

The gross profit percentage is approximately 35.03%.

To prepare a classified consolidated income statement, we need to group the items into appropriate categories. Here's how we can do it;

The cost of goods sold and gross profit can be calculated as;

Net Revenue $16,324

Cost of Goods Sold $10,611

Gross Profit $5,713

Operating expenses can be broken down as follows;

Other Selling, General, and Administrative Expenses $5,308

Operating Income $405

The income before income taxes can be calculated by subtracting interest expense and income tax expense from the operating income;

Operating Income $405

Interest Expense $110

Income Before Income Taxes $295

Income Tax Expense $186

Net Income $109

To calculate the gross profit percentage, we can divide the gross profit by the net revenue and multiply by 100;

Gross Profit Percentage = (Gross Profit/Net Revenue) x 100

= (5,713 / 16,324) x 100

= 35.03%

Therefore, the gross profit is 35.03%.

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a donee beneficiary is: a third-party incidental beneficiary of a contract who is not a creditor. a third-party intended beneficiary of a contract who is not a creditor. a third-party intended beneficiary of a contract who is also a creditor. a third-party incidental beneficiary of a contract who is also a creditor.

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A donee beneficiary is a third-party intended beneficiary of a contract who is not a creditor. This means that the beneficiary is someone who is not a party to the contract but has been named as a beneficiary with the intention of receiving a benefit from the contract.

A donee beneficiary is typically named in a contract as a way for the contracting parties to provide a gift or benefit to someone else. The beneficiary may not have any legal rights or obligations under the contract, but they are still entitled to receive the benefits that were intended for them.

It's important to note that a donee beneficiary is different from an incidental beneficiary, who is someone who may benefit from the contract but was not intended to do so. Additionally, a donee beneficiary may or may not be a creditor, meaning they may or may not have a pre-existing debt or obligation with one of the contracting parties.

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amazon's flywheel based strategy relies first on which of the following achievements? group of answer choices customer satisfaction a highly scalable website profit margins supplier base

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Amazon's flywheel-based strategy is an important concept that has been widely adopted in the e-commerce industry. This strategy aims to create a positive feedback loop by using customer satisfaction to drive increased sales, which in turn leads to greater profits and more resources to improve customer satisfaction.

The ultimate goal of this approach is to create a self-reinforcing cycle that continually increases Amazon's market share and competitive advantage. In terms of the question at hand, Amazon's flywheel-based strategy relies first and foremost on customer satisfaction. This is because satisfied customers are more likely to make repeat purchases, leave positive reviews, and recommend the site to their friends and family. As a result, Amazon is able to generate greater sales volumes, which in turn leads to increased profits and resources to improve customer experience even further.

Once customer satisfaction has been established, Amazon can then leverage this success to develop a highly scalable website that can handle large volumes of traffic and transactions. This is important because it allows the company to continue growing and expanding its product offerings without compromising the user experience.

In addition to these achievements, Amazon's flywheel-based strategy also relies on maintaining healthy profit margins and a strong supplier base. By keeping costs low and negotiating favourable terms with suppliers, Amazon is able to offer competitive prices to customers while still maintaining healthy profit margins. This, in turn, allows the company to reinvest resources into further improving customer experience and driving even more sales.

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which of the following statements is true? group of answer choices managers can lower operating risk by changing fixed costs to variable costs in the long-term. managers can lower operating risk by changing variable costs to fixed costs in the long-term. managers can lower operating risk by reducing the selling price and increasing volume. managers can lower operating risk by increasing the selling price and reducing volume.

Answers

The statement that managers can reduce operating risk by shifting fixed costs to long-run variable costs is true. Here option A is the correct answer.

Operating risk refers to the risk associated with a company's ongoing operations, including the potential for fluctuations in revenues and costs. One way for managers to mitigate operating risk is by adjusting the company's cost structure.

In the long term, managers can shift fixed costs, such as rent, salaries, and equipment, to variable costs, such as labor or raw materials. By doing so, the company becomes more flexible, able to adjust its expenses in response to changes in demand or other external factors. This can help reduce the risk of losses during times of low demand or unexpected downturns.

Conversely, shifting variable costs to fixed costs would make the company more inflexible and increase the risk of losses during periods of low demand or unexpected downturns.

Reducing the selling price and increasing volume (option C) can lead to increased sales revenue, but may not necessarily reduce operating risk, as it depends on the cost structure of the company. Similarly, increasing the selling price and reducing volume (option D) may not always reduce operating risk, as it may lead to decreased revenue and lower profitability.

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Complete question:

Which of the following statements is true? group of answer choices

A - managers can lower operating risk by changing fixed costs to variable costs in the long-term.

B - managers can lower operating risk by changing variable costs to fixed costs in the long-term.

C - managers can lower operating risk by reducing the selling price and increasing volume.

D - managers can lower operating risk by increasing the selling price and reducing volume.

which of the following is not included in m1?a.a $5 bill in your walletb.$100 in your checking accountc.$500 in your savings accountd.all of the above are included in

Answers

M1 money supply consists of currency in circulation (like banknotes and coins), checking account deposits, and travelers' checks. It represents the most liquid forms of money that can be readily used for transactions.

Now, let's analyze the options:

a. A $5 bill in your wallet: This is currency in circulation and is included in M1.

b. $100 in your checking account: Checking account deposits are included in M1, so this is also part of M1.

c. $500 in your savings account: Savings accounts are not included in M1 as they are less liquid compared to checking accounts. Savings accounts are considered part of M2 money supply, which includes M1 and other less liquid financial assets like savings deposits, small time deposits, and money market mutual funds.

Based on the above analysis, the correct answer is:

c. $500 in your savings account, as it is not included in M1.

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the price of movie tickets in a town has risen from $7 to $9. the demand has dropped - people are staying home watching netflix. is this considered elastic or inelastic demand?

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Based on the information given, it is likely that the demand for movie tickets in the town is elastic. This is because the increase in price from $7 to $9 has led to a decrease in demand as people are opting to stay home and watch Netflix instead.

In elastic demand, small changes in price lead to significant changes in demand. Therefore, the increase in the price of movie tickets has resulted in a notable decrease in demand, indicating that the demand for movie tickets in this town is likely elastic. The demand for movie tickets in a town that has risen in price from $7 to $9, causing people to stay home and watch Netflix instead. This situation demonstrates elastic demand.

Elastic demand occurs when the percentage change in quantity demanded is greater than the percentage change in price. In this case, the price of movie tickets increased by approximately 28.57% (from $9 to $7) and the demand dropped significantly as people chose to watch Netflix at home. This indicates that the demand for movie tickets is sensitive to price changes, making it elastic.

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The promotional tactics employed by red bull are evidence of:.

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The promotional tactics employed by Red Bull are evidence of c) a pull strategy.

A pull strategy is a marketing strategy that aims to create demand for a product or service by promoting it to the end consumer. Red Bull's marketing efforts, such as extreme sports sponsorships and branded events, aim to create a sense of excitement and exclusivity around the brand, which ultimately attracts consumers to purchase the product.

This approach is in contrast to a push strategy, which focuses on pushing a product onto retailers or other intermediaries in the supply chain. Red Bull's marketing efforts also demonstrate elements of socially responsible marketing. For example, the company promotes sustainable practices and environmental initiatives, such as using renewable energy and reducing waste.

Additionally, Red Bull's sponsorship of extreme sports events and athletes aligns with their brand identity as a promoter of active lifestyles and fitness. Overall, Red Bull's promotional tactics demonstrate a strategic approach that combines both pull marketing and socially responsible practices to build a strong brand and attract consumers. The correct option is c) a pull strategy.

The complete question is:

The promotional tactics employed by Red Bull are evidence of _____.

a. a push strategy

b. socially responsible marketing

c .a pull strategy

d. sales promotion

e. personal selling

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Wexpro, Inc., produces several products from processing 1 ton of clypton, a rare mineral. Material and processing costs total $56,000 per ton, one-fourth of which is allocated to product X15. Eight thousand six hundred units of product X15 are produced from each ton of clypton. The units can either be sold at the split-off point for $15 each, or processed further at a total cost of $6,900 and then sold for $21 each.
Required:
1. What is the financial advantage (disadvantage) of further processing product X15?
2. Should product X15 be processed further or sold at the split-off point?

Answers

To determine the financial advantage (disadvantage) of further processing product X15, we need to calculate the total revenue and cost associated with both options.

Selling at the split-off point:

Revenue per unit = $15

Total revenue = 8,600 units x $15 per unit = $129,000

Total cost = Material and processing costs allocated to X15 = $56,000 / 4 = $14,000

Profit = Total revenue - Total cost = $129,000 - $14,000 = $115,000

Processing further:

Revenue per unit = $21

Total revenue = 8,600 units x $21 per unit = $180,600

Total cost = Material and processing costs allocated to X15 + Further processing cost = $14,000 + $6,900 = $20,900

Profit = Total revenue - Total cost = $180,600 - $20,900 = $159,700

Therefore, the financial advantage of further processing product X15 is:

Profit from further processing - Profit from selling at split-off point = $159,700 - $115,000 = $44,700

Based on the financial advantage calculated in part 1, it is more advantageous to process product X15 further rather than sell it at the split-off point. Therefore, product X15 should be processed further.

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which of the following would indicate a relatively large amount of market power? group of answer choices low lerner index. highly price elasticity demand. all of them low cross-price elasticity with other products.

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A low Lerner index would indicate a relatively large amount of market power for a firm.

The Lerner index measures the extent to which a firm can raise its price above its marginal cost. If a firm has a low Lerner index, it means that it has a large degree of market power to set prices above its marginal cost. This indicates that the firm is able to exert significant control over the market and may face limited competition from other firms.

On the other hand, a highly price elastic demand would indicate that consumers are sensitive to changes in price, which could limit a firm's ability to raise prices without losing significant market share. This would suggest that the firm has less market power. Similarly, a low cross-price elasticity with other products would suggest that the firm is not facing significant competition from substitutes, which could also indicate a large amount of market power.

Overall, while all of these factors can provide some indication of a firm's market power, a low Lerner index is generally considered the most direct measure of a firm's ability to set prices above its marginal cost and exert control over the market.

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which of the following would be considered a committed fixed cost (a cost that is incurred regardless of the level of activity during the period)?

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These costs are committed fixed costs in the sense that they cannot be easily adjusted in the short term to changes in the level of activity or production.

Examples of committed fixed costs include the following:

Rent or lease payments for a long-term periodProperty taxes for a facility or equipmentInsurance premiums for a long-term policySalaries and wages for management personnelDepreciation expense for a long-term assetLoan payments for a long-term debt obligationLicense fees for the use of intellectual property or technology

They are typically associated with the long-term investments and commitments of a business, such as the acquisition of property, plant, and equipment, or the hiring of key personnel.

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The procedure requiring preparation of a prelisting of incoming cash receipts, with copies of the prelist going to the cashier and to accounting, is an example of which type of control? A. Detective. B. Corrective. C. Preventive. D. Directive.

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The procedure requiring preparation of a prelisting of incoming cash receipts, with copies of the prelist going to the cashier and to accounting, is an example of a preventive control. Option C.

Preventive controls are designed to prevent errors or fraud from occurring in the first place. By having a prelisting of incoming cash receipts, the company can ensure that all cash received is properly accounted for and that any discrepancies can be detected early on. This helps to prevent any potential fraud or errors from occurring.

Additionally, the copies of the prelist going to both the cashier and accounting ensure that there is a separation of duties, which is another important aspect of preventive controls. By having different individuals responsible for different aspects of the accounting process, the company can reduce the risk of fraud or errors occurring.

In contrast, corrective controls are designed to correct errors or fraud after they have occurred, while detective controls are designed to detect errors or fraud after they have occurred.

Directive controls, on the other hand, are focused on directing or guiding individuals in their job duties, rather than preventing or correcting errors or fraud. So Option C is correct.

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afb, inc.'s dividend policy is to maintain a constant payout ratio. this year afb, inc. paid out a total of $2 million in dividends. next year, afb, inc.'s sales and earnings per share are expected to increase. dividend payments are expected to a. remain at $2 million. b. increase above $2 million only if the company issues additional shares of common stock. c. increase above $2 million. d. decrease below $2 million.

Answers

afb, Inc.'s dividend policy is to maintain a constant payout ratio.

This means that the company pays out a certain percentage of its earnings as dividends each year, and that percentage remains consistent.
This year, afb, Inc. paid out a total of $2 million in dividends. However, next year, the company's sales and earnings per share are expected to increase.

Given this information, we can assume that the company's earnings will be higher next year than they were this year.
In light of these expectations, it is likely that afb, Inc. will increase its dividend payments above the $2 million paid out this year.

Since the company maintains a constant payout ratio, it will likely pay out a higher percentage of its earnings next year to keep that ratio consistent.

This could result in a dividend payment that exceeds $2 million.

It is important to note, however, that the answer to this question depends on several factors, including the specific payout ratio that afb, Inc. maintains, as well as the exact amount of earnings the company generates next year.

Additionally, it is possible that the company could issue additional shares of common stock, which could impact its ability to pay out dividends.

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for keynes swings in investor expectations could be wild, erratic and characterized by herd behavior. keynes called these investor sentiments?

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Keynes referred to these swings in investor expectations and herd behavior as "animal spirits."

In his view, these animal spirits could lead to sudden and drastic changes in market conditions, causing significant volatility and uncertainty in the economy.

According to Keynes, the role of government in managing the economy was to help stabilize these animal spirits and restore confidence in the market through fiscal and monetary policies.

The concept of animal spirits remains relevant today in the study of behavioral economics and finance, as investors continue to be influenced by emotions and social norms in their investment decisions.

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Community redevelopment programs are primarily directed towards _______.

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Community revitalization programs are generally focused on reviving and enhancing neglected communities that have experienced economic loss, social difficulties, or physical deterioration.

Through community redevelopment programs, a variety of stakeholders, including local government agencies, nonprofit organizations, and community members, work collaboratively to identify the needs of the community and develop solutions to address them.

These solutions often involve strategies to improve access to affordable housing, increase economic opportunities and job creation, develop infrastructure, enhance public safety, and improve access to healthcare and education.

Ultimately, community redevelopment programs seek to create sustainable and equitable communities that provide a high quality of life for all residents. By addressing the root causes of decline and disinvestment, these programs can help to foster positive change and improve the social, economic, and physical well-being of communities.

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what is the cancellation period for the purchase of a three-year-old residential condominium unit from a private party?

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The cancellation period for the purchase of a three-year-old residential condominium unit from a private party varies depending on the jurisdiction in which the property is located.

The cancellation period for the purchase of a three-year-old residential condominium unit from a private party varies depending on the jurisdiction in which the property is located. In some areas, there may be a cooling-off period of three to five days, during which the buyer can cancel the contract without penalty. However, this period may not apply to the purchase of a pre-owned property. In general, once the contract has been signed and the buyer has made a deposit, the cancellation period is over. The buyer is then legally obligated to complete the purchase, unless there are specific clauses in the contract that allow for cancellation under certain circumstances. It is important to carefully review the terms of the purchase agreement before signing, and to seek legal advice if necessary. This can help ensure that the buyer fully understands their rights and obligations, and can make an informed decision about whether to proceed with the purchase. Overall, the cancellation period for the purchase of a three-year-old residential condominium unit from a private party will depend on the specific terms of the purchase agreement, as well as the relevant laws and regulations in the jurisdiction in which the property is located.

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which of the following investments are permitted for 403(b) plans? i corporate stocks ii certificates of depos

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All four of the mentioned investments are permitted for 403(b) plans, although they may have different levels of risk and potential for return.

Corporate stocks are shares of ownership in a company and can provide potential for high returns, but also carry higher risk. Certificates of deposit (CDs) are a low-risk investment that offer a fixed interest rate for a set period of time. Fixed annuities are a low-risk investment that offer a fixed rate of return, while variable annuities offer the potential for higher returns but also carry higher risk due to the variability of the underlying investments.

It is important for individuals to carefully consider their investment goals and risk tolerance before choosing which type of investment to include in their 403(b) plan. It is also recommended to seek the advice of a financial professional before making any investment decisions.

The complete question is:

Which of the following investments are permitted for 403(b) plans?

I. Corporate stocks

II. Certificates of deposit

III. Fixed annuities

IV. Variable annuities

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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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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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the commercial security division is currently purchasing 6,000 of these detectors per year from an overseas supplier at a cost of $91 per detector. assume that the detector division is selling all of the detectors it can produce to outside customers. what should be the minimum acceptable transfer price for the detectors from the standpoint of the detector division?

Answers

The minimum acceptable price by detector division to sell detectors to Commercial security division is $98 per detector. Second option is correct.

A minimum price establishes the lowest amount at which a good or service may be offered legally.

A forward contract known as a minimum price guaranteeing the seller a minimum price at delivery. Commodity producers are shielded from market price swings by this type of arrangement. Contracts with minimum prices are frequently used in agricultural operations, such as the sale of grain.

Given,

Selling price = $98

Variable Cost per detector = $32

Calculate contribution margin per detector:

Contribution margin per detector from out side customers  = selling price - variable cost per detector  

                          = $98 - $32

                          = $66 per detector

Given,

Variable cost per detector = $32

Contribution margin per detector = $66

Calculate minimum acceptable price:

Minimum acceptable price = variable cost per detector + contribution margin per detector

                                             = $32 + $66

                                             = $98 per detector

Thus, second option is correct.

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The above question is incomplete, probable the complete question has been given below:

Fingado Products, Incorporated, has a Detector Division that manufactures and sells a number of products, including a standard detector that could be used by another division in the company, the Commercial Security Division, in one of its products. Data concerning that detector appear below: Capacity in units Selling price to outside customers Variable cost per unit Fixed cost per unit (based on capacity) 87,000 $ 98 $ 32 $ 51 The Commercial Security Division is currently purchasing 6,000 of these detectors per year from an overseas supplier at a cost of $91 per detector. Assume that the Detector Division is selling all of the detectors it can produce to outside customers. What should be the minimum acceptable transfer price for the detectors from the standpoint of the Detector Division? Multiple Choice O $32 per unit $98 per unit O $91 per unit O $83 per unit

Dept. 1 started the month with no work in process. During the month, 10,000 units were started and 8,000 units were completed and transferred to Dept. 2. The ending work in process units in Dept. 1 are 100% complete as to materials and 70% complete as to conversion costs. Equivalent units of production for Dept. 1 using weighted-average costing equals ______.
a. 10,000 units for materials and 7,000 units for conversion costs
b. 10,000 units for materials and 8,000 units for conversion costs
c. 9,400 units for materials and conversion costs
d. 8,000 units for materials and conversion costs
e. 10,000 units for materials and 9,400 units for conversion costs

Answers

The correct answer is e. 10,000 units for materials and 9,400 units for conversion costs.

Equivalent units of production using weighted-average costing, we need to add the units completed and transferred out to the equivalent units in ending work in process. The equivalent units are calculated by multiplying the number of units by the percentage of completion for each cost element (materials and conversion costs).

For Dept. 1, the equivalent units of production for materials are:

8,000 units completed and transferred out

1,000 units in ending work in process (100% complete)

= 9,000 equivalent units for materials

The equivalent units of production for conversion costs are:

8,000 units completed and transferred out

(10,000 units started - 8,000 units completed) x 70% = 1,400 units in ending work in process (70% complete)

= 9,400 equivalent units for conversion costs

Therefore, the equivalent units of production for Dept. 1 using weighted-average costing are 10,000 units for materials and 9,400 units for conversion costs.

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volatility seems to be a reasonable measure of risk when evaluating returns on large portfolios and the returns of individual securities.T/f

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When comparing the returns on large portfolios and the returns of individual securities, volatility appears to be a reasonable indicator of risk. True.

Volatility provides specific details about the distribution of returns around the mean, while giving both positive and negative deviations equal weight. Additionally, it totally ignores extreme risk probabilities. Thus, volatility is a very unreliable indicator of risk.

As a result, even while volatility (standard deviation) appears to be a good indicator of risk when assessing a big portfolio, it is insufficient to account for the returns of specific securities because there is no obvious link between volatility and return for specific equities. Treasury notes often provide greater returns than equities. Volatility, once well diversified, is an acceptable indicator of risk for big portfolios.

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a firm participating in a competitive market with these costs would be making a profit if the price is

Answers

The price that would result in a profit for the firm is $12 per unit. Here option C is the correct answer.

To determine the price that would result in a profit, we need to calculate the firm's total revenue and total costs at each price level. Then, we can subtract total costs from total revenue to get the firm's profit.

At a price of $8 per unit, the firm's total revenue would be:

$8 per unit x 2,000 units = $16,000

The firm's total costs would be:

Fixed costs + variable costs = $10,000 + ($5 per unit x 2,000 units) = $20,000

Total revenue minus total costs equals a loss of $4,000.

At a price of $10 per unit, the firm's total revenue would be:

$10 per unit x 2,000 units = $20,000

The firm's total costs would be:

Fixed costs + variable costs = $10,000 + ($5 per unit x 2,000 units) = $20,000

Total revenue minus total costs equals zero profit.

At a price of $12 per unit, the firm's total revenue would be:

$12 per unit x 2,000 units = $24,000

The firm's total costs would be:

Fixed costs + variable costs = $10,000 + ($5 per unit x 2,000 units) = $20,000

Total revenue minus total costs equals a profit of $4,000.

At a price of $15 per unit, the firm's total revenue would be:

$15 per unit x 2,000 units = $30,000

The firm's total costs would be:

Fixed costs + variable costs = $10,000 + ($5 per unit x 2,000 units) = $20,000

Total revenue minus total costs equals a profit of $10,000.

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Complete question:

Which of the following prices would result in a profit for a firm participating in a competitive market with the given costs?

Assuming the firm's cost structure is as follows:

Fixed costs: $10,000

Variable costs: $5 per unit

Total units produced: 2,000

A) $8 per unit

B) $10 per unit

C) $12 per unit

D) $15 per unit

assume the owners of a midsize office building recover all operating expenses from their tenants except management and administrative expenses. the total rentable area of the office building is 50,000 square feet. the total amount of operating expenses recoverable from tenants in the current year is $600,000. tenant b occupies 8,000 square feet of the building and has an expense stop of $3.50 per square foot. how much of the building's reimbursable operating expenses will the owners recover from tenant b

Answers

The owners of the midsize office building will recover a portion of the reimbursable operating expenses from Tenant B based on their expense stop of $3.50 per square foot.

To calculate how much of the building's reimbursable operating expenses Tenant B will pay, we first need to determine how much Tenant B's total expenses will be. To do this, we multiply the amount of square footage Tenant B occupies (8,000) by their expense stop ($3.50):

8,000 sq. ft. x $3.50/sq. ft. = $28,000

This means that Tenant B will pay a total of $28,000 toward operating expenses for the building. However, we still need to determine how much of the building's reimbursable operating expenses this represents.

To do this, we need to calculate what percentage of the building's total rentable area Tenant B occupies:

8,000 sq. ft. ÷ 50,000 sq. ft. = 0.16 or 16%

This means that Tenant B occupies 16% of the building's total rentable area. Therefore, they will be responsible for reimbursing 16% of the $600,000 in operating expenses recoverable from tenants:

$600,000 x 0.16 = $96,000

So the owners of the midsize office building will recover $96,000 of the reimbursable operating expenses from Tenant B.

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Give me an example of a time you managed numerous responsibilities. How did you handle that?

Answers

When I was working as a project manager for a software development company. In this role, I had to oversee multiple projects at the same time while also ensuring that all team members were on the same page.

To handle this, I first prioritized the projects based on their deadlines and importance to the company. I then created a detailed schedule that included specific tasks and deadlines for each project. This helped me stay on track and ensure that each project was moving forward as planned.

To ensure effective communication, I scheduled regular meetings with team members to discuss progress, identify any issues, and brainstorm solutions. I also encouraged open communication among team members, which helped to identify potential roadblocks early on.

To manage my own workload, I utilized time-management techniques such as blocking out chunks of time for specific tasks and minimizing distractions during that time. This allowed me to focus on completing the necessary tasks without being overwhelmed by the number of responsibilities I had.

Overall, managing numerous responsibilities requires effective prioritization, communication, and time-management skills. By employing these techniques, I was able to successfully manage multiple projects and ensure that all team members were working together towards a common goal.

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Jeremy has been promoted as a team leader in the marketing department of Darcy Inc. He aims to be a trustworthy leader in his organization. Which of the following practices should be adopted by Jeremy? O A Jeremy should avoid thinking about win-win situations as much as possible. Question 23 of 31 B.Jeremy has to be perfect and not authentic C. Jeremy has to seek friendship, not respect from his subordinates D.Jeremy should control his subordinates more to build trust E. Jeremy should learn how to speak with and listen to his associates

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Jeremy has received a promotion to team leader in Darcy Inc.'s marketing division. He aspires to be a dependable leader in his company.  If Jeremy adopts the following behaviours, he will be able to communicate with and listen to his coworkers. Option B is Correct.

Speaking and listening exercises in the classroom have social as well as educational benefits since they are an important part of establishing relationships and a way to learn.

Intensive listening is when professors require pupils to practise their listening skills using recorded or disk-based materials (Harmer, 129). Teachers must focus on getting pupils to understand and recognise the phonological and morphological components of the language during extensive listening. Option B is Correct

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Rates on federal funds and repurchase agreements are stated A. on a bond equivalent basis with a 360 day year.B. on a bond equivalent basis with a 365 day year.C. as a discount yield with a 360 day year.D. as an EAR.E. as a discount yield with a 365 day year.

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Federal funds and repurchase agreement rates are expressed as a bond equivalent over a 360-day year. Option A is Correct.

The single payment yield is calculated by dividing the bond equivalent yield by 365/360. The discount yield is different from a bond equivalent yield for two reasons: first, the base price is the security's face value rather than its purchase price, and second, a 360-day year is employed.

In the global money market, a bank or company may issue eurocommercial paper (ECP), which is a type of unsecured, short-term debt. It's noteworthy that ECPs are priced in a different currency than the home currency of the market where the paper—debt security or bond—is issued. Option A is Correct.

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the purpose of the is to provide information to management and ownership about the financial performance (profitability) of the restaurant over a given period of time.

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The purpose of financial statements in a restaurant is to provide information to management and ownership about the financial   performance of the business over a given period of time.

This includes analyzing profitability, which is a key factor in determining the success of the restaurant.

By regularly reviewing financial statements, management can identify areas where they need to cut costs, increase sales or invest in new opportunities to increase profitability. Furthermore, financial statements also provide important insights into cash flow, liquidity, and the overall financial health of the restaurant.

Therefore, it is essential for restaurant owners and managers to stay up-to-date with their financial statements and use them to make informed decisions about the future of their business. Answering your question in more than 100 words, the financial performance of the restaurant is critical to the success of the business, and regular review of financial statements is essential to achieving this.

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james' first year as parts manager for a local dealership was pretty rocky. to ensure that his subordinates would follow through on established goals, he warned them about losing their jobs. james' managerial attitude reflects assumptions underlying select one:

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James' managerial attitude reflects assumptions underlying fear-based motivation. James used fear of job loss as a tactic to motivate his subordinates to achieve established goals.

James' first year as parts manager for a local dealership was characterized by a rocky start. In an effort to ensure that his subordinates would follow through on established goals, he resorted to warning them about losing their jobs. This managerial attitude reflects assumptions underlying fear-based motivation. Fear-based motivation assumes that employees will only perform well if they are afraid of losing their jobs or suffering some other negative consequence. It relies on the idea that people are more motivated by the desire to avoid pain than the desire to achieve pleasure.

While fear-based motivation can produce short-term results, it is not sustainable in the long run. Employees who are motivated by fear may become resentful and less productive over time. They may also become less innovative and less willing to take risks. Additionally, fear-based motivation can create a negative work environment, which can lead to high turnover rates and difficulty in attracting and retaining top talent.


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Lavage Rapide is a Canadian company that owns and operates a large automatic carwash facility near Montreal. The following table provides data concerning the companyâs costs:
Fixed Cost Per Month Cost Per Car Washed
Cleaning Supplies $0.80
Electricity $1200 $0.15
Maintenance $0.20
Wages and Salaries $5000 $0.30
Depreciation $6000 Rent $8000 Administrative Expenses $4000 $0.10
For example, electricity costs are $1,200 per month plus $0.15 per car washed. The company expected to wash 9,000 cars in August and to collect an average of $4.90 per car washed.
The actual operating results for August appear below.
Lavage Rapide
Income Statement
For the Month Ended August 31
Actual Car Washed 8800
Revenue $43080
Expenses: Cleaning Suplies $7560
Electricity $2670
Maintenance $2260
Wages and Salaries $8500
Depreciation $6000
Rent $8000
Administrative Expenses $4950
Total Expenses: $39940
Net Operating Income $3140
Complete the flexible budget performance report that shows the companyâs activity variances and revenue and spending variances for August.

Answers

The company washed 8,800 cars instead of the budgeted 9,000 cars, resulting in an unfavorable activity variance of $450.

The revenue variance is unfavorable by $1,020 because the company collected an average of $4.90 per car instead of the budgeted $4.90 per car. The company saved $360 on cleaning supplies, $460 on maintenance, and $550 on administrative expenses, resulting in favorable spending variances for these categories. The company spent more than budgeted on electricity and wages and salaries, resulting in unfavorable spending variances for these categories.

Overall, the company performed slightly better than expected, with a favorable net operating income variance of $190.

Lavage Rapide

Flexible Budget Performance Report

For the Month Ended August 31

Actual Results Flexible Budget Variances

Revenue $43,080 $44,100 $1,020 Unfavorable

Expenses:

Cleaning Supplies $7,560 $7,200 $360 Favorable

Electricity $2,670 $3,050 $380 Unfavorable

Maintenance $2,260 $1,800 $460 Favorable

Wages and Salaries $8,500 $10,700 $2,200 Unfavorable

Depreciation $6,000 $6,000 $0

Rent $8,000 $8,000 $0

Administrative Expenses $4,950 $4,400 $550 Favorable

Total Expenses $39,940 $41,150 $1,210 Unfavorable

Net Operating Income $3,140 $2,950 $190 Favorable

Activity Variances:

Actual Car Washed 8,800

Flexible Budget for 8,800 Cars $44,100

Flexible Budget for 9,000 Cars $44,550

Flexible Budget Activity Variance $450 Unfavorable

Revenue Variance:

Actual Revenue $43,080

Flexible Budget Revenue for Actual Activity $44,100

Revenue Variance $1,020 Unfavorable

Spending Variances:

Flexible Budget for Actual Activity $41,150

Actual Expenses $39,940

Spending Variance $1,210 Unfavorable

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tempest corporation expects an ebit of $55,000 every year forever. the company currently has no debt, and its cost of equity is 14 percent. the tax rate is 22 percent. a. what is the current value of the company? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b-1. suppose the company can borrow at 9 percent. what will the value of the firm be if the company takes on debt equal to 60 percent of its unlevered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b-2. suppose the company can borrow at 9 percent. what will the value of the firm be if the company takes on debt equal to 100 percent of its unlevered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c-1. what will the value of the firm be if the company takes on debt equal to 60 percent of its levered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c-2. what will the value of the firm be if the company takes on debt equal to 100 percent of its levered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The current value of the company is $392,857.14, the value of the firm With 60% debt is  $444,714.29, the value of the firm With 100% debt is  $479,285.71,  With 60% debt, the levered value of the company is $452,147.63, and With having 100% debt, the levered value of the company is $447,937.59.

The current value of the company is given by the perpetuity formula;

VU = EBIT / [tex]K_{e}[/tex]

where VU is unlevered value of the company, EBIT is the expected earnings before interest and taxes, and Ke is the cost of equity.

VU = 55,000 / 0.14 = $392,857.14

With 60% debt, the value of the company will be;

VD = VU + TCB

where VD is levered value of the company, TCB is the tax shield on the debt, and CB is the value of the debt.

CB = 0.6 VU = 0.6 x 392,857.14 = $235,714.29

TCB = TC x CB = 0.22 x 235,714.29 = $51,857.14

VD = 392,857.14 + 51,857.14 = $444,714.29

With 100% debt, the value of the company will be;

CB = VU = 392,857.14

TCB = TC x CB = 0.22 x 392,857.14

= $86,428.57

VD = 392,857.14 + 86,428.57

= $479,285.71

With 60% debt, the levered value of the company is;

VD = VU + TCB

where VU is the unlevered value of the company, and TCB is the tax shield on the debt.

VU = 392,857.14

EBIT = 55,000

CB = 0.6 VU = 0.6 x 392,857.14

= $235,714.29

[tex]K_{e}[/tex] = 0.14

[tex]K_{d}[/tex] = 0.09

TCB = TC x CB = 0.22 x 235,714.29 = $51,857.14

VD = VU + TCB = 392,857.14 + 51,857.14 = $444,714.29

VL = VD / (1 + (1 - TC) x CB / EBIT x [tex]K_{d}[/tex])

= 444,714.29 / (1 + (1 - 0.22) x 235,714.29 / 55,000 x 0.09)

= $452,147.63

With 100% debt, the levered value of the company is;

VU = 392,857.14

EBIT = 55,000

CB = VU = 392,857.14

[tex]K_{e}[/tex] = 0.14

[tex]K_{d}[/tex] = 0.09

TCB = TC x CB = 0.22 x 392,857.14 = $86,428.57

VD = VU + TCB = 392,857.14 + 86,428.57 = $479,285.71

VL = VD / (1 + (1 - TC) x CB / EBIT x [tex]K_{d}[/tex])

= 479,285.71 / (1 + (1 - 0.22) x 392,857.14 / 55,000 x 0.09)

= $447,937.59

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A fund has a reported return of 10% per year over the last ten years. It is possible that, in aggregate, the fund has lost invest money for its clients if clients had additions and withdrawals within the 10 years.
a. true
b. false

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The statement is true. Although a fund reports a return of 10% per year over the last ten years, it is still possible that, in aggregate, the fund has lost money for its clients if clients had additions and withdrawals within the 10 years.

This scenario can occur due to factors such as timing of investments and withdrawals, as well as fluctuations in the market. For example, if clients invested at a time when the fund was performing well and withdrew their investments during a market downturn, they may have experienced a net loss in their investments. Additionally, the reported return of 10% per year is likely an average, meaning that individual years may have experienced returns that were either higher or lower than this figure.In conclusion, while the reported return of 10% per year suggests that the fund has performed well over the past decade, it is important for clients to consider the timing of their investments and withdrawals when evaluating the overall performance of their investments in the fund.

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