The sale of company a financial compensation that is above and beyond the normal payment expectations of its recipient.
What kind of payment is a bonus?
the bonus, any additional incentive-based or equity-based pay received, and the profits from the sale of the company, respectively.
A bonus is a financial payment that exceeds the recipient's typical payment expectations. A corporation may give bonuses as an incentive or to recognize excellent performance. Signing, referral, and retention incentives are examples of incentive bonuses that a business could offer to employees.
Employers may decide to provide incentive pay as a form of compensation in order to encourage good performance. To put it another way, incentive pay differs from base pay in that it is intended to motivate rather than serve as a requirement for payment by the company or a bonus for the employee.
To learn more about financial compensation visit:
https://brainly.com/question/13755469
#SPJ4
Assume that the economy begins in long-run equilibrium. Then the Fed reduces the money supply. In the short run ______, whereas in the long run prices ______ and output returns to its original level.
Assume that the economy begins in long-run equilibrium. Then the Fed reduces the money supply. In the short run output decreases and prices are unchanged, whereas in the long run prices fall and output returns to its original level.
The money supply refers to the total amount of currency held by the public at any given time. There are several definitions of "money," the most common of which are currency in circulation and demand deposits.
The money supply is important because inflation will occur if the money supply grows faster than the economy's ability to produce goods and services. Furthermore, if the money supply does not grow quickly enough, it can lead to decreases in output, which can lead to an increase in unemployment.
To know more about money supply, click here.
https://brainly.com/question/24249291
#SPJ4
after its first year of business, best measures, inc.'s sales revenue were $100,000 of which $90,000 was collected and total expenses of $60,000 of which $20,000 was paid. which of the following statements is correct? (select all that apply.) multiple select question. accrual-basis net income equals $80,000. accrual-based net income equals $70,000. cash-basis net income equals $80,000. cash-basis net income equals $40,000. cash-basis net income equals $70,000. accrual-basis net income equals $40,000.
This assertion is true. Net income on an accrual basis is $40,000. Net income on a cash basis is $70,000.
What are accounts on an income statement?Income Statement Accounts: What Are They? The accounts inside the general ledger utilized in a company's profit and loss are known as income statement accounts. Typically, these accounts appear inside the general ledger following the accounts that were utilized to create the balance sheet. a more substantial company.
Do you have several accounting inquiries?You probably have a gazillion ideas, worries, and inquiries running through your brain. You need to manage accounting in addition to your management duties. You probably have a lot of accounting questions because accounting is such a specialized and intricate profession.
To know more about income visit:
https://brainly.com/question/14732695
#SPJ4
Ragle Corp. issues 1,000 shares of its $5 par value common stock in exchange for equipm The book value of the equipment on the investor's books was $40,000, and its catalog list price was $45,000. The equipment could be purchased in the market for $42,000. The stock was not publicly traded. Which of the following entries will be included in the journal entry to record the issuance of the stock? Click the answer you think is right
Debit equipment $42,000.
Debit equipment $45,000.
Credit common stock $45,000.
Credit common stock $42,000.
Credit additional paid-in capital $40,000.
The journal entry for the common stock should be made as follows; Debit equipment $42,000.
What is common stock?
A security that symbolizes ownership in a firm is called common stock. Common stock owners choose the board of directors and cast ballots for corporate rules. Long-term rates of return are often higher with this type of stock ownership. The rights of common shareholders to a company's assets in the case of liquidation, however, begin only after bondholders, preferred shareholders, and other debt holders have been fully compensated. In the stockholders' equity section of a company's balance sheet, common stock is disclosed. A security that symbolizes ownership in a firm is called common stock. After creditors, bondholders, and preferred stockholders have been paid, whatever assets are left over after a liquidation go to common stockholders. In the market, various kinds of equities are traded.
To know more about common stock check out:
https://brainly.com/question/29724384
#SPJ4
The objective of a(n) _____ is to create a new capability for the asset, but not necessarily extend its useful life.
The objective of a rearrangement is to create a new capability for the asset, but not necessarily extend its useful life.
Which five intangible assets are there?Goodwill, brand equity, intellectual properties (trade secrets, patents, trademarks, and copyrights), licensing, customer lists, and R&D are the key categories of intangible assets. Intangible asset values are typically not disclosed on the balance sheet.
What tangible examples are there?You can touch something that is actually tangible. Both a rock and a damaged window are palpable; if the rock is laying close to the window, it may be visible proof of vandalism. When we remark that a room's tension is "palpable," we imply that we can almost physically feel it there.
To learn more about Tangible Asset here:
https://brainly.com/question/20734391
#SPJ4
which of the following should not be in an incident response team charter? group of answer choices mission organizational structure for team members roles and responsibilities detailed line budget
Team Charters are documents that define the team's purpose, how it will function, and the expected outcomes. An incident response team charter should not include detailed line budget.
What is a team charter?A team charter is a document that outlines the team's objectives, assets, and challenges. It's similar to a product roadmap, but it's only for a single team. It is solely concerned with their deliverables and how to best map them out over time.
A team charter clearly defines everyone's roles and responsibilities. It ensures a smooth process over time, even during major transitions. It also includes the company's mission, and organizational structure for team members.
Therefore, detailed line budget is not included in a team charter.
To learn more about team charter, click here:
https://brainly.com/question/15049056
#SPJ1
Your question is incomplete, but most probably the full question was,
Which of the following should not be in an information response team charter?
A Mission
B Organizational structure
C Detailed line budget
D Roles and responsibilities
Fillon Corporation owns and operations include two manufacturing facilities, one in State A and one in State B. The plant located in A generated $200,000 of income, and the plant located in B generated a loss of $50,000. Therefore, Fillon's total taxable income is $150,000. By applying the statutes of each state, Fillon determines that its apportionment factors for A and B are .70 and .30, respectively. How much of Fillon's income is apportioned to
A. state A?
B. state B?
Income of 200,000 (50,000) taxable income of 150,000; apportionment factor of 0.7 0.3; approved income of 105,000 45,000.
How much of your income is taxable?Any earned gross income that is used to determine your tax liability is referred to as taxable income. Simply put, it is your adjusted gross income less any deductions you may have taken. This includes all salaries, tips, bonuses, and wages paid by employers.
What is an example of taxable income?The amount of your income that can be taxed is your taxable income. Salary, wages, tips, bonuses, employer-provided benefits, and investment interest are all common forms of taxable income. Inheritances and child support are two examples of income that may not be subject to taxation.
To learn more about taxable income here
https://brainly.com/question/17961582
#SPJ1
which sentence is grammatically correct? my work plan schedule states that on february, 16 2009, i will have completed the following tasks for my annual report, gathering secondary and primary data, accurately recording publication information, and matching graphics with my objectives. my work plan schedule states that on february, 16 2009 i will have completed the following tasks for my annual report; gathering secondary and primary data, accurately recording publication information, and matching graphics with my objectives. my work plan schedule states that on february 16, 2009, i will have completed the following tasks for my annual report: gathering secondary and primary data, accurately recording publication information, and matching graphics with my objectives.
According to my work plan schedule, I will have finished the aforementioned activities for my annual report by February 16, 2009: collecting secondary and primary data, precisely recording publication information, and matching graphics with my objectives.
As interim milestones, the work plan schedule must provide the due dates for significant activities and deliverables. Unless the project managers agree differently, milestones must be determined according to the needs of the work to be done, with at least one milestone every twelve months.
What distinguishes a work plan from a schedule?These two ideas are distinguished from one another, nevertheless, by a few key distinctions. The primary distinction between planning and scheduling is that planning establishes what work has to be done and how much of it. whereas scheduling establishes who will do the procedures and when.
To know more about work plan schedule visit:-
https://brainly.com/question/14982584
#SPJ4
On May 10, a company issued for cash 1,500 shares of no-par common stock (with a stated value of $2) at $14, and on May 15, it issued for cash 2,000 shares of $15 par preferred stock at $58.
Journalize the entries for May 10 and 15, assuming that the common stock is to be credited with the stated value. If an amount box does not require an entry, leave it blank.
Cash 21000
Common Stock 3000
Paid-In Capital in Excess of Stated Value-Common Stock 18000
May 15
Cash 116000
Preferred Stock 30000
Paid-In Capital in Excess of Par-Preferred Stock 86000.
What is preferred stock?Preferred stock is a type of stock that combines traits from both stocks and bonds. Similar to bonds, preferred shares pay out cash, frequently at a greater yield than bonds, while also providing larger dividend returns and lower risk than common stock.
What distinguishes preferred stock from ordinary stock?The main difference between preferred and common stock is that common stock grants shareholders the power to vote, whereas preferred stock does not. Preferred shareholders make dividend payouts prior to common shareholders due to their priority over the company's income.
To know more about preferred stock visit:
https://brainly.com/question/29739867
#SPJ4
which of the following shows the earnings per share for a company whose price-to-earnings ratio is 6.75 times and whose common stock is currently selling at $12.50 per share?
According to the given information, the earnings per share for a company is 1.8518
Earnings per share = Market price of the stock / price-to-earnings ratio
Earnings per share = $12.50 / 6.75
Earnings per share = 1.8518
The term "earnings per share" (EPS) refers to a company's net profit divided by the total number of outstanding common shares.A popular metric for determining corporate value is earnings per share (EPS), which shows how much money a company makes for each share of its stock.A higher EPS denotes greater value because shareholders will pay more for a company's stock if they believe it is making more money than the price of its shares.EPS can be calculated in a number of ways, including on a diluted basis or by excluding unusual items and discontinued operations.Like other financial metrics, earnings per share is most useful when contrasted with similar businesses, companies in the same industry, or over time.Learn more about Earnings per share, here
https://brainly.com/question/15848731
#SPJ4
3. What kind of method of growth does McDonald’s apply in the case ? How does it contribute to the McDonald’s value chain
The kind of method of growth that McDonald’s apply in the case is Market penetration.
McDonald's value chain analysis identifies all the major actions and supporting activities that significantly enhance the company's end product, and the business carefully examines these activities in order to either save costs or increase differentiation.
What method did McDonald's employ?Offering food at affordable costs has long been McDonald's pricing approach. This has contributed to the restaurant's long-term success. This has significantly contributed to McDonald's development as one of the world's leading fast-food brands.
When a product or service is successfully sold in a particular market, this is referred to as market penetration. The sales volume of an existing good or service in relation to the overall target market for that good or service is used to measure it.
Learn more about Product at:
https://brainly.com/question/25922327
#SPJ1
on july 1 2022 blue spruce inc invested 788900 in a mine estimated to have 805000 tons of ore of uniform grade. during the last 6 months of 2022 131,000 tons of ore were mined. Required:
1) Calculate depletion cost per unit.
2) Prepare the journal to record depletion.
The depletion cost per unit of the ore will be $0.98, considering the investment and estimated tons of ore.
Calculation:
Investment in mine = $788,900
Tons of ore = $805,000
Depletion cost per unit = Amount invested / Estimated tons of ore
Depletion cost per unit = $788,900/$805,000 = $0.98
Journal entry to record depletion will be:
Dr Depletion account $128,380
Cr Coal mine Asset $128,380
Total depletion of ore = Number of ore ×Depletion cost per unit
Total depletion of ore = 131,000* 0.98 = $128,380
Depletion is an accrual - based method for allocating the cost of obtaining natural resources and energy, including lumber, minerals, and oil.
Depletion is a non-cash expense, similar to depreciation and amortization, that gradually reduces an asset's cost value through regular charges to income. Depletion is different from aging from out depreciable assets and ageing life of intangible things in that it relates to the progressive depletion of natural capital sources.
Learn more about depletion here:
https://brainly.com/question/29424795
#SPJ4
the declaration of a dividend results in blank . multiple select question. an increase in dividends no effect, since dividends are not recorded until the date of record an increase in liabilities
The declaration of a dividend results in
An increase in liabilities An increase in DividendsWhat are liabilities?Liabilities refer to liabilities owed by a company to third community creditors. Bills payable and bank payables may be part of accounts payable. Businesses borrow on debt to flourish faster. A company's balance of liabilities and assets stabilizes the company. In financial accounting, a liability is defined as a future waiver of economic benefits that a firm needs to provide to another firm as a result of past transactions or other past events. Assets are controlled by the company and liabilities are handed by the company. Which is a financial document that shows the financial situation of the company. Assets less liabilities equals the owner's equity or net worth. Liabilities are interests owed by a company to third party givers. Bills payable and bank payables may be part of accounts payable.A company's balance of liabilities and assets stabilizes the company.To learn more about liabilities from the given link :
https://brainly.com/question/18484315
#SPJ4
If Congress engages in contractionary fiscal policy, we can expect that
a. the short-run Phillips curve will shift left.
b. the short-run Phillips curve will shift right.
c. the long-run Phillips curve will shift right.
d. there will be a movement to the right along the short-run Phillips curve.
e. there will be a movement to the left along the short-run Phillips curve.
The short-term Phillips Curve moves to the right if anticipated inflation rises.
The rise in product and service prices is referred to as inflation. The purchasing power may tend to decline in a nation with inflation. Based on the notion that the short-term Phillips Curve will move to the right, an increase in inflation can often have an impact on the demand curve. An illustration of the correlation between inflation and unemployment is the Phillips curve. In the short run, unemployment and inflation have opposite relationships. According to the Phillips curve, rising inflation is a price to be paid for achieving economic growth. Low unemployment is associated by economic growth. Long-term trade-offs between unemployment and inflation do not exist.
Learn more about Inflation here:
https://brainly.com/question/29725076
#SPJ4
the duties that an agent owes a principal must be set forth in the agency agreement because they do not arise by operation of law.
The duties that an agent owes a principal must be set forth in the agency agreement because they do not arise by operation of law is a false statement.
Which of the following is a responsibility a principal owes to an agent?
As a fiduciary, the agent owes the principal a duty of loyalty, which typically calls for the agent to act solely in the principal's best interests (and not theirs or others) in matters pertaining to the agency.
In the event that an agent breaches a duty, the principal has the right to sue the agent for damages. Agent's obligations include: an agent must act within the bounds of the power granted to him by his principal. Additionally, he must adhere strictly to his principal's instructions.
Therefore, When the parties' contractual obligations are terminated, the contract is said to be discharged by operation of law.
Learn more about the operation of law from the given link.
https://brainly.com/question/2949729
#SPJ4
a hedge fund a hedge fund has its shares registered with the federal reserve is a public financial institution has actively traded shares is open to a select number of individual investors
A hedge fund a hedge fund has its shares registered with the federal reserve is a public financial institution has actively traded shares is open to a select number of individual investors .its true .
In an effort to improve performance, a hedge fund is a pooled investment entity that trades in relatively liquid assets and has access to a number of more sophisticated trading, portfolio construction, and risk management tools, such as short selling, leverage, and derivatives. Financial restrictions normally only allow approved investors, wealthy individuals, and organizations to promote hedge funds. Hedge funds are what is meant by "alternative investments." They are distinct from regulated investment funds available to regular investors, commonly known as mutual funds and ETFs, in that they can utilize leverage and use more complex investment methods. Hedge funds differ from private equity funds and other comparable closed-end funds since they often invest in highly liquid assets and are typically open-ended.
Learn more about hedge fund from
brainly.com/question/25536383
#SPJ4
(True or False) both bonds payable and notes payable are obligations that usually arise from borrowing money. this statement is___
Both bonds payable and notes payable are obligations that usually arise from borrowing money. this statement is True.
Bonds Payable:Bonds securities are a type of debt financing issued by corporations, governments, and other entities to raise capital. As part of the financing, the issuer of the bond is obligated to make periodic interest payments over the term of the loan and to repay the principal when due.
What is notes payable?A notes payable is a long-term liability that represents money a company owes to a lender such as a bank or other financial institution or other source of funding such as a friend or family member. Long term as they are paid over 12 months, but usually he is within 5 years.
Learn more about notes payable:
brainly.com/question/25148915
#SPJ1
in addition to recording current costs, the also provides valuable information when bidding on similar jobs in the future. (enter only one word per blank.)
In addition to recording current costs, the also provides valuable information when bidding on similar jobs in the future. A job cost sheet
What name is given to a record of all costs that relate to a particular job?A job cost sheet is a document or record that lists every expense related to a certain job. It is a method for a business to divide costs. A business can better understand how much it spent on each unit of each product produced by separating the costs.
In a job-order costing system, a job-cost sheet is used to record all manufacturing costs. These costs include direct material, direct labor and manufacturing overhead. Actual direct material and actual direct labor costs will generally be used since these costs are traceable to the product.
To know more about job cost sheet, refer:
https://brainly.com/question/28295481
#SPJ4
From year one to year two the ratio of sales to fixed assets declined significantly. This is a possible indication that:
a. The client is over depreciating fixed assets
b. The client is capitalizing costs that should be expensed
c. The client has used debt to finance acquisitions of fixed assets.
d. The client has treated capital leases as operations leases.
The decline of sales to fixed assets ratio is a possible indication that b) the client is capitalizing costs that should be expensed
A sale is an exchange of goods or services for a predetermined amount of money. An asset that cannot be readily converted into cash is referred to as a fixed asset in accounting. Long-lived assets, property, plant, and equipment are other names for it. Current assets, which include liquid assets like cash and bank accounts, are different from fixed assets. The sales to fixed asset ratio, a measure of asset utilization, can be used by investors to determine how well a company utilises its assets to generate revenue. This ratio shows how frequently the corporation transfers its fixed assets on an annual basis.
To learn more about sales to fixed assets ratio: https://brainly.com/question/28025792
#SPJ4
which of the following is a market entry strategy in which independent companies form a partnership to collaborate in the foreign market but do not invest in each other?
Alliance strategy is a market entry strategy in which independent companies form a partnership to collaborate in the foreign market but do not invest in each other.
A strategic alliance is an agreement between two or more parties to work together to achieve a certain set of goals while still operating as independent businesses. The alliance is a cooperative or synergistic effort in which each member anticipates that the benefits of the alliance will outweigh the results of their separate efforts. Technology transfer, economic specialization, shared costs, and risk sharing are common elements of alliances. A strategic alliance is typically formed between two enterprises when they each have one or more company assets or skills that will benefit the other by advancing their respective industries.
Learn more about Alliance from
brainly.com/question/28287869
#SPJ4
Consider a hypothetical closed economy in which households spend $0.80 of each additional dollar they earn and save the remaining $0.20.
The marginal propensity to consume (MPC) for this economy is0.8 , and the spending multiplier for this economy is5 .
Suppose the government in this economy decides to increase government purchases by $300 billion. The increase in government purchases will lead to an increase in income, generating an initial change in consumption equal to . This increases income yet again, causing a second change in consumption equal to . The total change in demand resulting from the initial change in government spending is .
The following graph shows the aggregate demand curve (AD1AD1) for this economy before the change in government spending.
Use the green line (triangle symbol) to plot the new aggregate demand curve (AD2AD2) after the spending multiplier effect takes place.
Hint: Be sure that the new aggregate demand curve (AD2AD2) is parallel to the initial aggregate demand curve (AD1AD1). You can see the slope of AD1AD1 by selecting it on the graph.
The total change in demand resulting from the initial change in government spending is $1.5 trillion to the right
What is an MPC?
The percentage of an overall salary increase that a customer spends on purchasing goods and services rather than saving is known as the marginal propensity to consume (MPC) in economics. The Keynesian macroeconomic theory includes a concept known as the marginal propensity to consume, which is determined as the change in consumption divided by the change in income.
A consumption line, which is a sloped line made by charting the change in income on the horizontal "x" axis and the change in consumption on the vertical "y" axis, is used to represent MPC.
The percentage of additional income that is spent on consumption is known as the marginal propensity to consume.Depending on income, MPC fluctuates.MPC tends to be lower at higher income levels.The Keynesian multiplier, which describes the impact of additional investment or government spending as an economic stimulus, is mostly determined by MPC.MPC=0.8
Multiplier=1/(1-MPC)=1/(1-0.8)=5
$300 billion more in government purchases
The initial change in consumption is equal to $300 billion times 0.8, or $240 billion.
$240 billion*0.8 to equal $192 billion for the second shift in consumption.
Demand fluctuation as a whole = $300 billion*5 = $1500 billion
$500 billion
the AD curve moves $1.5 trillion to the right.
Learn more about MPC from the link below
https://brainly.com/question/29645795
#SPJ4
Hilton International is considering investing in a new Swiss hotel. The required initial investment is $1.5 million (or SFr 2.38 million at the current exchange rate of $0.63 = SFr 1). Profits for the first ten years will be reinvested, at which time Hilton will sell out to its partner. Based on projected earnings, Hilton's share of this hotel will be worth SFr 3.88 million in ten years.
a. What factors are relevant in evaluating this investment?
b. How will fluctuations in the value of the Swiss franc affect this investment?
c. How would you forecast the $:SFr exchange rate ten years ahead?
a)This present value figure should then be compared to $1.5 million, the current cost of the investment (2,380,000 x .63), b)Thus, if PPP holds, nominal currency changes shouldn't affect Hilton's Swissinvestment;c) using nominal interest differentials between U.S. and Swiss bonds with maturities of tenyears; (2) project relative price levels changes in Switzerland and the U.S, Hilton International is considering investing in a new Swiss hotel.
An asset or object purchased with the intention of generating income or appreciation is referred to as an investment. The term "appreciation" describes a rise in an asset's worth over time. When a person buys a product as an investment, they don't intend to utilize it right away; instead, they plan to use it to make money later on. By depositing funds into an online investment account, which can then be used to purchase shares of stock or stock mutual funds, beginners can learn how to invest in stocks in one of the finest ways possible. You can open a brokerage account and begin investing with as little as one share.
Learn more about investment here:
https://brainly.com/question/15353704
#SPJ4
an understatement of the ending inventory in year 1, if not corrected, will cause net income to be understated this year and net income to be overstated next year.
The given statement is True. Stock that is still unsold at the end of an accounting period is referred to as ending inventory. Several inventory valuation approaches can be used to value the ending inventory.
Work-in-progress items finished things, and raw materials are the three types of inventory. The beginning inventory of the following period will be overstated if the ending inventory for the current period is overstated. The exaggerated initial inventory will also result in an overstatement of the cost of goods sold, which will understate the net revenue for the following period. Both the income statement and the balance sheet are impacted by inventory. The assets on the balance sheet will likewise be overstated if the ending inventory is overstated.
To learn more about balance sheet please click on the given link: https://brainly.com/question/26323001
#SPJ4
Equity versus Debt Financing Indicate whether each of the following relates to equity (E) or debt (D) financing and whether it makes that form of financing more, or less, favorable1.Interest is tax deductible.2. Dividends are optional.3.It must be repaid.4. Additional stock issuances dilute existing stockholders’ control
1) Debt: Debt is preferable to equity due to the deductibility of interest.
Capital 2)
Equity is more advantageous due to the discretionary nature of dividends.
3) Debt Is less beneficial when the principal must be repaid.
Four) Equity
Equity is less appealing than debt to current stockholders because of the dilutive effect of fresh stock issuances.
Any individual, business, or organization that owns at least one share of a company's stock or unit in a mutual fund is referred to as a shareholder. With certain rights and obligations, shareholders effectively own the business. They are able to benefit from a company's success thanks to this type of ownership.
These benefits take the form of rising stock prices or financial gains paid out as dividends. On the other hand, when a company experiences a loss, the share price always falls, which can result in financial losses for shareholders or declines in their portfolios.
Learn more about stockholders here
https://brainly.com/question/18523103
#SPJ4
Cash comes from (and is used for) three types of activities. Which of the following does not represent one of those activities?
a. Cash from Fundraising Activities
b. Cash from Financing Activities
c. Cash from Investment Activities
d. Cash from Operating Activities
Cash from Investment Activities does not represent one of the three types of activities that cash comes from and is used for.
Explain the three types of activities that the Cash comes from (and is used for)?Operating activities refer to the cash generated from the day-to-day operations of a business, such as selling goods or services, paying expenses, and collecting payments from customers.
Financing activities refer to the cash generated from the borrowing and repayment of debt, as well as the issuance and repurchase of equity. Fundraising activities refer to the cash generated from the sale of new securities or other financial instruments to raise capital for the business.
Investment activities, on the other hand, refer to the cash generated from the purchase and sale of long-term investments, such as real estate, stocks, or bonds. These activities do not represent a source of cash for the business.
To know more about Financing activities, visit:
brainly.com/question/14122060
#SPJ4
place the steps in the pdca cycle in order, with the first step at the top and the final step at the bottom.
The PDCA cycle in order:
Plan desiredDo implementAct on lessons learnedCheck or Observe what happenedPlanning, doing, checking (or researching), and acting is the four steps that make up the PDCA/PDSA cycle. For problem-solving and change management, it offers a straightforward and efficient method. The model can be used to test improvement strategies on a small scale before revising working methods and processes. PDSA cycle is based on four stages: plan, do, check, and act. To adapt to market changes, improve efficiency, boost productivity, and meet the needs of your customers, having a method is required.
To learn more about PDCA click here:
https://brainly.com/question/13262573?referrer=searchResults
#SPJ4
he stock price of a firm increases after the firm repurchases some of its shares. this statement is because if the stock price changes after a firm conducts its share repurchase, then there arbitrage opportunities. thus, the price of the stock remains the same after a repurchase.
Given statement is false, there would be possibilities for arbitrage if a company's stock repurchase result in a shift in the stock price.
A stock is a colloquial phrase for any company's ownership certificates. But at the other hand, a share alludes to a certain company's stock certificate. Owning a certain firm's share renders someone as shareholder. A stock is a type of instrument that denotes the holder's ownership interest in the issuing firm and is typically traded on stock markets. In order to raise money to conduct their business, corporations issue stock. The two primary stock categories are ordinary and preferred.
Over the long term, stocks have had the highest opportunities for development (capital appreciation) for investors. Investors who've already chosen to hold onto stocks for an extended amount of time let's two decades typically been awarded with strong, profitable returns.
Learn more about stock here:
https://brainly.com/question/14649952
#SPJ4
Which of the following is an example of a raw material that would be used in the production of a physical product?
a. Steel sheets b. Paper c. Plastic d. Timber e. Gasoline
Timber is an example of a raw material that would be used in the production of a physical product.
What is a physical product?An item that can be physically handled and transported to the buyer after purchase is referred to as a physical good. Clothing, accessories, and other tangible objects are examples of physical products that you can sell to clients. Tables, chairs, laptops, smartphones, and other tangible items are examples of physical products. Because a tangible product's purpose is typically obvious and simple to explain, it is much simpler to show its worth and higher value perception.
Physical goods are actual and palpable. They are frequently connected to a higher perceived worth as a result. Convenience goods, shopping goods, specialty goods, and unsought goods are the four categories of items, and each is categorized based on consumer preferences, pricing, and product features.
To learn more about physical products , visit:
https://brainly.com/question/28575327
#SPJ1
a rumor involves supposed company policies or practices that are threatening or ideologically undesirable to consumers.
Answer:
Planted rumor is a rumor that involves supposed company policies or practices that are threatening or ideologically undesirable to consumers.
Explanation:
RumorFalse information is passed from person to person through rumors. This is done primarily for amusement.
Rumors can occasionally have a negative impact on someone's emotional well-being.
Rumors are any news or information that has no real support or validation. Numerous rumors about different people are propagated on a daily basis.
However, there are occasionally rumors that are so bad they might even result in harassment. Therefore, it is important to avoid disseminating misleading information without a person's knowledge.
To learn more about rumors visit here:
https://brainly.in/question/12277160
#SPJ4
serve as brokers between financial market participants that take options positions in options markets.
Investors and traders (retail and institutional), as well as market makers (MMs) and specialists who maintain liquidity and provide two-sided markets, are typical players in the stock market.
They include every individual and entity that transacts business in the financial sector, from banks and other lenders to small-scale investors. Investors vs. speculators and institutional vs. retail participants are the two primary groups of financial market participants. The five functions of financial markets are to provide cheap transaction and information costs, guarantee liquidity by enabling investors to sell their financial assets, guarantee security for transactions involving financial assets, and facilitate interaction between investors and borrowers.
To learn more about market, click here.
https://brainly.com/question/13414268
#SPJ4
FILL IN THE BLANK. a publishing firm will use a(n)___budget to outline and plan the demand for young adult books in southeast asia in the coming year and determine what resources will be used to create them.
A publishing firm will use an operating budget to outline and plan the demand for young adult books in southeast Asia in the coming year and determine what resources will be used to create them.
A budget is a plan, typically financial but not always, for a predetermined time period, typically a year or a month. The budget can take into account resource counts, environmental and other consequences, asset and liability counts, cash flows, and predicted sales and revenue numbers.
For corporations, governments, families, and other groups, budgets provide a quantifiable tool to express their strategic action plans. The budget lists anticipated expenses as well as ideas on how to pay for them. When expenditure exceeds income or other available resources, a budget may reflect resources that are accessible for future use or a deficit.
Hence the correct option is C.
The above question is incomplete, the complete question is-
A publishing firm will use a(n) ______ budget to forecast and plan the demand for young adult books in Southeast Asia in the coming year.
A. labor
B. capital expenditures
C. operating
D. balance sheet
E. space
To know more about Budget here-
https://brainly.com/question/15683430
#SPJ4