in september, the board of directors of chaparral steel approved a stock split of 5-for-3. after the split, how many shares of chaparral steel stock will an investor have if he or she owned 450 shares before the split?

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Answer 1

After the 5-for-3 stock split, an investor who owned 450 shares of Chaparral Steel before the split will have 750 shares.

In this situation, Chaparral Steel has approved a 5-for-3 stock split. This means that for every 3 shares an investor owns, they will receive 5 shares after the split. To find out how many shares an investor will have after the split if they owned 450 shares before, follow these steps:

1. Determine the ratio of the stock split: 5-for-3, or 5/3.
2. Multiply the number of shares owned before the split (450) by the stock split ratio (5/3).

Calculation:
450 shares * (5/3) = (450 * 5) / 3 = 2250 / 3 = 750 shares

After the 5-for-3 stock split, an investor who owned 450 shares of Chaparral Steel before the split will have 750 shares.

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Related Questions

intraindustry trade will tend to dominate trade flows when which of the following exists?

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Intra-industry trade tends to dominate trade flows when there are low trade barriers and economies of scale.

Intra-industry trade refers to the trade of goods and services between countries that belong to the same industry or sector. When trade barriers are low, it becomes easier for firms to access foreign markets, which leads to an increase in trade flows. Additionally, when there are economies of scale, firms can produce and sell their products at lower costs, which makes it easier for them to compete in foreign markets. This can lead to a situation where intraindustry trade dominates trade flows between countries in the same industry or sector. In such a scenario, countries tend to specialize in particular stages of the production process, leading to increased efficiency and lower costs.

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Just like financial planning, career planning is a lifelong process that includes setting short, intermediate and long term goals.

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Career planning is indeed a lifelong process that involves setting goals at different stages of one's professional life. Short-term goals may include gaining specific skills or knowledge, networking with colleagues or mentors, or achieving a promotion or raise.

Intermediate goals may involve taking on new responsibilities, gaining leadership experience, or earning a certification or degree. Long-term goals may include achieving a specific career position, starting a business, or transitioning to a new industry or field.

Similar to financial planning, effective career planning requires a willingness to regularly assess progress towards goals, adjust plans as necessary, and seek out new opportunities for growth and development.

It also involves considering personal values, interests, and strengths to ensure that career goals align with one's overall life vision. By taking a proactive approach to career planning, individuals can create a fulfilling and successful professional life that aligns with their personal goals and aspirations.

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The degree of operating leverage (DOL) at any given sales volume, X, is useful as:
1) An easy way to perform a Monte Carlo Simulation (MCS) analysis.
2) A measure of risk that can be used in conjunction with a CVP model.
3) An alternative measure of the breakeven volume.
4) A way to estimate fixed costs for an upcoming period.
5) A measure of targeted profit, expressed on a pre-tax basis.

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The answer is option 2. The degree of operating leverage (DOL) at any given sales volume X is useful as a measure of risk that can be used in conjunction with a CVP model.

The degree of operating leverage (DOL) is a measure of the sensitivity of a company's operating income to changes in sales volume. It is calculated by dividing the contribution margin by the operating income. The DOL is useful in determining the level of risk associated with a company's operations at a given sales volume. A higher DOL indicates that a company has a higher level of fixed costs relative to variable costs, and therefore, a higher level of risk. In conjunction with a CVP (cost-volume-profit) model, the DOL can help a company determine the breakeven point, target profit levels, and the level of sales needed to achieve those targets. It can also be used to evaluate the impact of changes in sales volume on a company's operating income and to determine the optimal sales mix to maximize profits.

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a marketing mix should be an ever-changing combination of variables to achieve success.T/F

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TRUE. a marketing mix should be an ever-changing combination of variables to achieve success.

A marketing mix should be an ever-changing combination of variables to achieve success. The marketing mix consists of the four Ps: product, price, promotion, and place. These variables should be adjusted to reflect changes in the market, customer needs and preferences, and other environmental factors. For example, a company may need to adjust its product offerings to meet changing customer needs, such as by introducing new features or functionality. Similarly, pricing strategies may need to be adjusted to reflect changes in competition, supply and demand, and other market conditions. Promotional tactics should also be adjusted to reflect changes in customer behavior and preferences, as well as changes in the media landscape. Finally, the distribution strategy should be adjusted to ensure that products are available in the right place at the right time. By regularly reviewing and adjusting the marketing mix, companies can ensure that they are effectively reaching and satisfying their target customers and achieving business success.

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"In-substance defeasance" is a term used to refer to an arrangement whereby
a. a company legally extinguishes debt before its due date
b. a company gets another company to cover its payments due on long-term debt
c. a governmental unit issues debt instruments to corporations
d. a company provides for the future repayment of a long-term debt by placing purchased securities in an irrevocable trust

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In-substance defeasance is an arrangement in which a company provides for the future repayment of a long-term debt by placing purchased securities in an irrevocable trust.

This arrangement effectively releases the company from the obligation to make future interest and principal payments on the debt, as the securities held in the trust generate sufficient cash flow to cover these payments.

In-substance defeasance is a common strategy used by companies to reduce their debt obligations and improve their financial flexibility. By purchasing securities with cash or other assets and placing them in a trust, the company can effectively extinguish its debt obligation, as the securities generate cash flow that can be used to pay interest and principal on the debt.

This arrangement is typically used for long-term debt, such as bonds or other fixed-income securities, and can be a useful tool for companies seeking to reduce their debt levels or improve their credit ratings. However, in order to qualify as in-substance defeasance, the arrangement must meet certain accounting and legal requirements, which can vary depending on the jurisdiction and the nature of the debt being defeated.

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if the colgate-palmolive company were to develop a replacement chart, the chart would show

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Answer:

If Colgate-Palmolive were to develop a replacement chart, the specific content of the chart would depend on their specific goals and objectives.

Explanation:

However, here are some potential elements that could be included in a replacement chart for the company:

1. Product Portfolio: The chart could display the existing product lines and categories offered by Colgate-Palmolive, such as oral care products, personal care products, home care products, and pet nutrition.

2. Market Segments: It could illustrate the various target markets and customer segments that Colgate-Palmolive serves, including demographics, psychographics, and geographic regions.

3. Sales Performance: The chart might present sales figures and growth rates for different product lines or market segments, indicating the company's performance over a specific time period.

4. Competitive Analysis: It could include a comparison of Colgate-Palmolive's market position, market share, and financial performance relative to its competitors in the industry.

5. Research and Development: The chart might highlight the company's investments in research and development, showcasing new product innovations, technological advancements, and sustainability initiatives.

6. Distribution Channels: It could depict the distribution network utilized by Colgate-Palmolive, including retail partnerships, e-commerce platforms, and any strategic alliances or joint ventures.

7. Marketing Strategies: The chart might outline the marketing and advertising strategies employed by the company, including brand positioning, promotional campaigns, and digital marketing efforts.

8. Financial Metrics: It could provide key financial indicators, such as revenue, profitability, return on investment, and market capitalization, giving an overview of the company's financial health.

9. Sustainability Initiatives: The chart might showcase Colgate-Palmolive's commitment to sustainability, including eco-friendly packaging, responsible sourcing of ingredients, and social impact programs.

10. Future Outlook: It could present the company's strategic goals, expansion plans, and anticipated market trends, providing insights into Colgate-Palmolive's vision for the future.

These are just some examples of what a replacement chart for Colgate-Palmolive could include. The actual content would depend on the company's specific priorities and the information they wish to communicate.

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a product labeled "new and improved" would fall within the category of a

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A product labeled "new and improved" would fall within the category of a product enhancement. When a product is labeled as "new and improved," it means that changes have been made to the original product to make it better or more efficient.

This could include improvements to the product's functionality, design, ingredients, or packaging. Product enhancement is a common marketing strategy used by companies to entice consumers to try their products. By indicating that a product is "new and improved," companies hope to capture the attention of potential customers and encourage them to make a purchase. Additionally, the use of this label can help companies differentiate their products from competitors and create a sense of innovation and progress. In summary, a product labeled "new and improved" is an example of a product enhancement, which is a marketing strategy used by companies to promote their products and increase sales.

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of the 3.0 million workers displaced from their jobs between 2015 and 2017, by 2018 most multiple choice were still unemployed. were employed in new jobs, with nearly all workers earning less than before. had dropped out of the labor force. were employed in new jobs, with about half the workers earning more than before.

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By 2018, most of the 3.0 million workers who were displaced from their jobs between 2015 and 2017 were employed in new jobs.

Nearly all of these workers were earning less than they were before, indicating that the quality of their new jobs may have been lower than their previous employment. Additionally, some workers had dropped out of the labor force entirely. About half of the workers who were employed in new jobs were earning more than before, which suggests that there were still some opportunities for upward mobility for these workers.

During this period, many workers experienced job displacement, but by 2018, a significant number of them found new employment opportunities. It's important to note that the earnings of these workers were not uniform - approximately half of them were earning more than they did in their previous jobs, while the other half might have experienced a decrease in their earnings. This illustrates the dynamic nature of the labor market and how workers adapt to changes in the economy.

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a corporation has 10 equity partners, interested in a buy sell arrangement. they would like to fund the agreement with term life insurance, and are comparing the cross purchase and entity (no stock) methods. all observations are correct except: a.basis step up for surviving partners with cross purchase b.entity method administratively easier c.no basis step up for surviving partners with entity method d.fewer policies required for a cross purchase

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One observation that is not correct is option C, which states that there is no basis step up for surviving partners with the entity method.

When considering a buy sell arrangement, a corporation with 10 equity partners may opt to fund the agreement with term life insurance. Two methods that can be used are the cross purchase and entity (no stock) methods.

While both methods have their pros and cons, one must understand the differences between the two to make an informed decision. The basis step up is a tax provision that allows the surviving partner to adjust the cost basis of their newly acquired shares to reflect the fair market value of the shares at the time of the deceased partner's death. This helps in reducing the capital gains taxes that the surviving partner may incur upon selling the shares in the future. On the other hand, the cross purchase method has a basis step up for surviving partners, as stated in option A. This method is administratively more complex, as it requires each partner to purchase life insurance policies on each other partner, resulting in the need for more policies (option D). The entity method, as stated in option B, is administratively easier as it only requires the corporation to purchase life insurance policies on each partner. However, there is no basis step up for the surviving partners. In conclusion, when deciding between the cross purchase and entity methods for a buy sell arrangement, corporations must weigh the pros and cons of each method, including the number of policies required, administrative ease, and the basis step up for surviving partners.

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Which of the following is a point of view that has most likely eroded character in business?
A) Innovation and aggressive development of markets should be rewarded.
B) Respect must be earned, not mandated.
C) Corporations exist to maximize shareholder value.
D) Integrity may not show immediate results but will eventually return to you.
E) Teamwork is a core value of successful companies.

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The point of view that has most likely eroded character in business is option C) Corporations exist to maximize shareholder value. This perspective has led to unethical practices such as prioritizing short-term profits over long-term sustainability and disregarding the well-being of employees and the community.

It can also lead to a lack of accountability and transparency, as the focus is solely on pleasing shareholders rather than acting in the best interest of all stakeholders.
Your answer: C) Corporations exist to maximize shareholder value.

This point of view has most likely eroded character in business because it prioritizes profit maximization over other important values, such as ethical conduct, employee well-being, and social responsibility. By focusing solely on shareholder value, businesses may overlook the long-term consequences of their actions and compromise their integrity.

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in an exclusive right-to-buy contract, who is responsible for paying the commission to the broker?

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In an exclusive right-to-buy contract, the party responsible for paying the commission to the broker is typically the buyer.

The exclusive right-to-buy contract is an agreement between a buyer and a real estate broker, in which the buyer agrees to work exclusively with the broker for a specified period while searching for a property to purchase. The contract outlines the terms and conditions of the relationship, including the broker's commission.

The buyer is responsible for paying the commission to the broker because they have engaged the broker's services to find and negotiate the purchase of a property on their behalf.

In some cases, the commission may be paid by the seller if it is agreed upon in the purchase contract, but this is not a standard practice in exclusive right-to-buy contracts. The commission rate and payment terms should be clearly defined in the contract to avoid any confusion or disputes.

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In which of the following situations is a budget surplus most likely to occur?
1. When fiscal policy is contractionary and the economy is expanding
2. ​When the economy is contracting
3. ​When fiscal policy is expansionary
4. ​When fiscal policy is expansionary and the economy is contracting

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A budget surplus is most likely to occur in situation 1: When fiscal policy is contractionary and the economy is expanding.

In this scenario, a contractionary fiscal policy means that the government is decreasing its spending or increasing taxes, leading to a reduction in the budget deficit or an increase in the budget surplus. At the same time, an expanding economy results in higher incomes and corporate profits, which in turn leads to an increase in tax revenues. The combination of reduced government spending and increased tax revenues creates a favorable environment for a budget surplus to occur.

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as a data analyst, you finish analyzing the latest marketing data. if you are following the data-driven decision making process, what should you do next?

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As a data analyst following the data-driven decision-making process, after analyzing the latest marketing data, you should:
1. Interpret the results: Review the analyzed data and draw conclusions from the patterns, trends, and correlations you've discovered. Consider the context and the goals of the marketing campaign to ensure your conclusions align with business objectives.
2. Share findings with stakeholders: Communicate your insights to the relevant team members and decision-makers, using clear visualizations and concise explanations to convey your message effectively.
3. Collaborate on decision-making: Work with stakeholders to discuss the findings and their implications, as well as potential strategies based on the data insights. This may involve brainstorming sessions and evaluating different options.
4. Develop an action plan: Once a decision is reached, create a detailed plan outlining the steps to implement the chosen strategy, along with clear objectives, timelines, and responsibilities.
5. Monitor the outcomes: After implementing the action plan, track the performance of the new marketing strategy and compare it against the original goals. This helps in evaluating the effectiveness of the data-driven decision and identifying areas for improvement.
By following this process, you can ensure that the decisions made are grounded in data and insights, ultimately leading to better marketing outcomes.

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the company has received a special, one-time-only order for 400 units of component p06. there would be no variable selling expense on this special order and the total fixed manufacturing overhead and fixed selling and administrative expenses of the company would not be affected by the order. assuming that younes has excess capacity and can fill the order without cutting back on the production of any product, what is the minimum price per unit below which the company should not accept the special order?

Answers

Thus,  the minimum price per unit that the company should accept for the special order would be $30.

In order to calculate the minimum price per unit below which the company should not accept the special order, we need to consider the relevant costs associated with producing and selling the 400 units of component p06.

Since there would be no variable selling expense on this special order, we only need to consider the variable manufacturing cost and the contribution margin of the product.Assuming that the company has excess capacity and can fill the order without cutting back on the production of any product, we can use the contribution margin to determine the minimum price per unit. The contribution margin is the difference between the selling price and the variable cost per unit.If we assume that the variable cost per unit of component p06 is $20, and the company wants to earn a profit of $10 per unit, the contribution margin would be $30 ($20 + $10). Therefore, the minimum price per unit that the company should accept for the special order would be $30.However, it is important to note that this calculation only takes into account the relevant costs and does not consider other factors such as the long-term impact on the company's reputation, relationships with customers, and potential future business opportunities. Therefore, the decision to accept or reject a special order should be based on a comprehensive analysis of both financial and non-financial factors.

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What are supposed to go in the blanks?

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The blanks can be completed this way:

GDP is the dollar amount of the final goods and services produced within a country's national border in a given period of time.

How to complete the blank

To complete the blank space, we first have a clue that the entire sentence is about the gross domestic product and its definition.

The gross domestic product of a country is the number of goods and services purchased by a consumer in a given period of time. The given period of time might be quarterly, or any other window adopted by the country.

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According to Levinson's life stages and career stages, middle adulthood is best associated with:
a. the establishment stage
b. the withdrawal stage
c. the advancement/maintenance stage
d. the establishment/advancement stage

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According to Levinson's life stages and career stages, middle adulthood is best associated with the "advancement/maintenance" stage.

The stage of advancement/maintenance occurs between the ages of 40 and 65 and is characterized by a focus on career success and the maintenance of the gains made in earlier stages of life.

During this stage, individuals strive to achieve their career goals, which may include reaching higher levels of responsibility or authority, earning a higher income, or achieving greater recognition for their achievements. At the same time, they also seek to maintain their existing achievements, such as a stable family life, good health, and financial security.

The stage of advancement/maintenance is a critical period for many individuals, as they balance their personal and professional lives and make decisions about their future goals and aspirations. This stage can be challenging, as individuals face increasing responsibilities and may need to make difficult choices about their careers and personal lives.

Overall, the stage of advancement/maintenance is a time of both achievement and maintenance, as individuals strive to achieve their career goals and maintain their existing successes. It is an important period for personal and professional growth, and many individuals make significant contributions to their organizations and communities during this stage of life.

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when a company is good at performing a particular internal activity, it is said to have a

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When a company is good at performing a particular internal activity, it is said to have a "core competency."

A core competency is a particular strength or expertise that a company has developed over time, which allows it to differentiate itself from its competitors and excel in a particular area. These competencies can include skills, knowledge, technologies, processes, or other resources that the company has developed to a high degree of proficiency. By focusing on and leveraging these core competencies, a company can create a competitive advantage in the marketplace and achieve superior performance. Companies can develop core competencies in a variety of areas, such as product development, customer service, supply chain management, or marketing, among others.

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Which of the following is an example of a variable cost for an amusement park?
A) salary of the park manager
B) food cart supplies
C) liability insurance
D) interest on the property's mortgage
E) property taxes

Answers

B) Food cart supplies are an example of a variable cost for an amusement park.

Variable costs are expenses that vary in relation to the level of activity or production. In the case of an amusement park, variable costs would include expenses that are directly tied to the number of visitors or the amount of activity taking place in the park. For example, food cart supplies would be considered a variable cost because the amount of supplies needed would increase or decrease depending on the number of visitors and the level of activity in the park.

Other examples of variable costs for an amusement park might include the cost of ride maintenance, seasonal employees, or utilities. In contrast, fixed costs, such as property taxes or interest on the property's mortgage, remain the same regardless of the level of activity in the park. While these costs are important to consider when operating an amusement park, they do not vary with the number of visitors or the level of activity and are therefore not considered variable costs.

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Assuming that the money demand function depends on income, the interest rate and the price level as presented in class, then if planned investment decreases as the interest rate increases, the size of the government spending multiplier for expansionary fiscal policy will be than it was when we ignored the money market.
A) exactly the same
B) smaller
C) larger

Answers

Answer:

Explanation:

The right response is B) smaller.

Explanation:

An increase in interest rates results in a fall in planned investment because businesses and individuals borrow less money to invest and hold more money instead when the money demand function depends on income, the interest rate, and the price level.

For a given rise in government spending, a decrease in projected investment will result in a minor increase in the overall demand for goods and services and a lesser increase in output. As a result, the government spending multiplier will be lower than it would be if the money market were ignored.

As a result, choice B) is the appropriate response.

Option A) is erroneous because it assumes that interest rates do not impact investment or the demand for money. This is because the money market is ignored. This presumption is false and goes against the way money demand works.

Option C) is erroneous since considering the money market will reduce the multiplier, even if government expenditure can still have a positive multiplier effect on output.

B) smaller

Select all that apply Which of the following would be found on a statement of stockholders' equity? (Select all that apply.) a Net Income b Additional Paid-in Capital c Stock Issuances d Dividends Payable e Treasury Stock f Dividends

Answers

Stock Issuances, Dividends, and Net Income are all possible factors of Stockholders' equity. It's choices A, C, E, and, F.

Investors' value, likewise indicated to as investors' or alternatively possessors' value, is the leftover measure of coffers accessible to investors after all arrears have been paid. It can be calculated by abating storeroom shares from the sum of a company's share capital, retained earnings, and total arrears.

Common stock, paid- in capital, retained earnings, and storeroom stock are all exemplifications of stockholders' equity. Conceptually, stockholders' equity can be used to estimate a company's retained finances.

The company has sufficient means to cover its arrears if equity is positive. A negative stockholders' equity could be a sign that the company is going void.

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according to your textbook, the most widely used self-report inventory is the:

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According to the textbook, the most widely used self-report inventory is the Minnesota Multiphasic Personality Inventory (MMPI).

The MMPI is a standardized assessment tool that assesses various aspects of personality and psychopathology. It was originally developed in the 1930s by Starke Hathaway and J.C. McKinley, and has since undergone several revisions to improve its validity and reliability. The current version, the MMPI-2, contains 567 true/false questions that cover a wide range of personality traits, emotional and behavioral problems, and clinical symptoms. The inventory is commonly used in clinical settings to aid in diagnosis, treatment planning, and assessing treatment outcomes. It has also been used in research to investigate the relationship between personality and various mental health conditions. While the MMPI is widely used, it is important to note that self-report inventories like this are not foolproof and should be interpreted in conjunction with other clinical data and assessment tools.

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76.0% complete question robin's stereo was stolen. the stereo cost $3,000 when purchased. a similar new stereo now costs $2,400. assuming the stereo was 50% depreciated, what is the actual cash value of robin's loss? a.$400 b.$800 c.$1,200 d.$1,500

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Based on the calculations, the actual cash value of Robin's loss is not among the given options (a. $400, b. $800, c. $1,200, d. $1,500). The correct answer is $900.

Here's a step-by-step explanation for your question:
1. First, find the depreciated value of Robin's original stereo. Since it was 50% depreciated, you'll need to calculate 50% of $3,000. To do this, multiply $3,000 by 0.5 (which represents 50%):
  $3,000 * 0.5 = $1,500
2. Now, compare the depreciated value of Robin's original stereo ($1,500) to the cost of a similar new stereo ($2,400).
3. Subtract the depreciated value of Robin's original stereo from the cost of the new stereo to find the actual cash value of Robin's loss:
  $2,400 - $1,500 = $900
Based on the calculations, the actual cash value of Robin's loss is not among the given options (a. $400, b. $800, c. $1,200, d. $1,500). The correct answer is $900.

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the chester's workforce complement will grow by 20% (rounded to the nearest person) next year. ignoring downsizing from automating, what would their total recruiting cost be? assume chester spends the same amount extra above the $1,000 recruiting base as they did last year.

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If Chester's workforce complement is growing by 20% next year and we assume that they are not downsizing due to automating, then we can calculate their total recruiting cost based on the given information.


To calculate Chester's total recruiting cost, we need to first determine their current workforce complement and then calculate the 20% increase. Let's assume that their current workforce complement is 100 employees.

20% of 100 is 20, so their workforce complement will grow by 20 employees. Therefore, their new workforce complement will be 120 employees.

Next, we need to assume that Chester spends the same amount extra above the $1,000 recruiting base as they did last year. Let's assume that Chester spent $500 extra above the $1,000 recruiting base last year.

To calculate their total recruiting cost, we can use the following formula:

Total recruiting cost = (Recruiting base cost + Additional recruiting cost) x Number of new employees

Recruiting base cost = $1,000
Additional recruiting cost = $500
Number of new employees = 20

Total recruiting cost = ($1,000 + $500) x 20
Total recruiting cost = $30,000

Therefore, Chester's total recruiting cost for the 20 new employees would be $30,000.

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the miller company earned $117,000 of revenue on account during year 1. there was no beginning balance in the accounts receivable and allowance accounts. during year 1, miller collected $79,000 of cash from its receivables accounts. the company estimates that it will be unable to collect 3% of its sales on account. what is the amount of uncollectible accounts expense that will be recognized on the year 1 income statement?

Answers

The amount of uncollectible accounts expense that will be recognized on the year 1 income statement is $540.

To calculate the uncollectible accounts expense, we need to estimate the ending balance of the accounts receivable and allowance accounts. Since there was no beginning balance in these accounts, the ending balance will be equal to the total revenue on account earned during the year, which is $117,000. We then multiply this ending balance by the estimated percentage of uncollectible accounts, which is 3%, to get the estimated amount of uncollectible accounts, which is $3,510.

To get the uncollectible accounts expense for the year, we need to adjust the allowance for uncollectible accounts account to its estimated balance. Since there was no beginning balance in the allowance account, we need to increase it by the estimated uncollectible accounts of $3,510. The journal entry to record this would be a debit to uncollectible accounts expense for $3,510 and a credit to the allowance for uncollectible accounts account for $3,510.

Finally, we can calculate the uncollectible accounts expense that will be recognized on the income statement by subtracting the ending balance in the allowance for uncollectible accounts account from the estimated amount of uncollectible accounts, which is $3,510 - $2,970 = $540. Therefore, the amount of uncollectible accounts expense that will be recognized on the year 1 income statement is $540.

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based on the expected rate of return and according to the capital asset pricing model (capm), is each firm properly priced, overpriced, or underpriced?

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To determine if a firm is properly priced, overpriced, or underpriced based on the expected rate of return and according to the Capital Asset Pricing Model (CAPM), you need to compare the expected return of the firm's stock with its required return calculated using the CAPM formula.



The CAPM formula is as follows:

Expected Return = Risk-Free Rate + (Beta × (Market Return - Risk-Free Rate))

Where:
- Risk-Free Rate represents the return on a risk-free asset (e.g., government bonds)
- Beta measures the stock's volatility compared to the overall market
- Market Return represents the average return of the market

After calculating the expected return using the CAPM formula, compare it to the actual expected return of the firm's stock:

1. If the actual expected return is equal to the CAPM expected return, the firm's stock is properly priced.
2. If the actual expected return is higher than the CAPM expected return, the firm's stock is underpriced.
3. If the actual expected return is lower than the CAPM expected return, the firm's stock is overpriced.

Keep in mind that you will need specific data, such as the firm's beta, risk-free rate, and market return, to apply the CAPM formula and determine the stock's pricing accurately.

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kragle corporation reported the following financial data for one of its divisions for the year; average invested assets of $580,000; sales of $1,040,000; and income of $127,920. the investment center profit margin is:

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The investment center's profit margin is 11.7%. This is calculated by dividing the income by sales and multiplying by 100.

To calculate the investment center profit margin for Kragle Corporation's division, we must first determine the profit margin, which is the ratio of the income to the sales. In this case, the division has an income of $127,920 and sales of $1,040,000. To calculate the profit margin, divide the income by the sales:

Profit Margin = (Income / Sales) × 100
Profit Margin = ($127,920 / $1,040,000) × 100
Profit Margin ≈ 0.117 × 100
Profit Margin ≈ 11.7%

So, the investment center profit margin for Kragle Corporation's division is 11.7%. This indicates that the division is generating a profit of 11.7% on its sales, which can be used to evaluate its financial performance and efficiency.

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rick recently received 500 shares of restricted stock from his employer, crazy corporation, when the share price was $5 per share. rick's restricted shares vested three years later, when the market price was $12. rick held the shares for a little more than a year after vesting and sold them when the market price was $15. assuming that rick made an election under an 83(b) when the stock was granted and that his marginal tax rate is 24 percent, what is the amount of rick's income inclusion and tax liability upon the sale of the stock?

Answers

Rick's income inclusion is the fair market value of the stock when it vested, which is $6,000 (500 shares x $12 per share). Since Rick made an election under 83(b), he would have included this amount in his income in the year the stock was granted. Therefore, he would not have to include any additional income upon selling the stock.

To calculate Rick's tax liability, we need to first determine his basis in the stock. Rick's basis in the stock is the fair market value of the stock when it was granted, which is $2,500 (500 shares x $5 per share).

When Rick sells the stock at $15 per share, he would have a gain of $5,000 (500 shares x $10 per share). Since he held the stock for more than a year, this is a long-term capital gain.

Rick's tax liability on the gain would be $1,200 (24% of $5,000). Therefore, Rick's total tax liability would be $1,200, which is the tax on the gain.
Hi! I'm happy to help with your question.

Step 1: Calculate the value of restricted stock at the grant date
Rick received 500 shares at $5 per share, so the value at the grant date is 500 * $5 = $2,500.

Step 2: Apply the 83(b) election
Rick made an 83(b) election, so he recognizes the income at the grant date, not the vesting date. His income inclusion is the value at the grant date, which is $2,500.

Step 3: Calculate tax liability at the grant date
Rick's marginal tax rate is 24%, so his tax liability at the grant date is $2,500 * 24% = $600.

Step 4: Calculate the gain from selling the shares
Rick sold the shares when the market price was $15. The gain is the difference between the selling price and the price when the shares vested: (500 * $15) - (500 * $12) = $7,500 - $6,000 = $1,500.

Step 5: Calculate tax liability upon the sale of the stock
The gain is considered a long-term capital gain since Rick held the shares for more than a year after vesting. Assuming the long-term capital gains tax rate is 15%, his tax liability upon the sale of the stock is $1,500 * 15% = $225.



In summary, Rick's income inclusion is $2,500, and his total tax liability is $600 (at grant date) + $225 (upon sale of stock) = $825.

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assume bologna is an inferior good and that the market for bologna was originally in equilibrium. what would occur in the market for bologna if per capita income increased?

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If bologna is an inferior good, then as income increases, consumers will likely shift their purchases away from bologna and towards higher quality meats. This is because consumers tend to view bologna as a cheaper and less desirable option, and will therefore seek to upgrade their food choices as their income increases. As a result, the demand for bologna will decrease, leading to a surplus in the market.

In the short run, this surplus will cause the price of bologna to fall. However, in the long run, producers of bologna will likely exit the market as their profits decline due to the decrease in demand. This decrease in supply will eventually cause the price of bologna to rise again until a new equilibrium is reached at a lower quantity and higher price. Overall, an increase in per capita income is likely to result in a decrease in the demand for bologna and a decrease in the number of bologna producers, leading to a higher price and lower quantity in the market.

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Because of the ʺlemons problemʺ the price a buyer of a used car pays is
A) equal to the price of a lemon.
B) less than the price of a lemon.
C) equal to the price of a peach.
D) between the price of a lemon and a peach.

Answers

Because of the ʺlemons problemʺ the price a buyer of a used car pays is D) between the price of a lemon and a peach in the market.

In this scenario, the seller has more information about the quality of the car than the buyer. As a result, the buyer may be hesitant to pay a high price for fear of purchasing a low-quality car (a "lemon"). Therefore, sellers of high-quality used cars may need to lower their prices to entice buyers who are uncertain about the true quality of the car.

The "lemons problem" creates a situation where the average price paid by buyers of used cars is between the price of a low-quality car (a "lemon") and a high-quality car (a "peach"). This is because the buyer faces a higher level of risk in the used car market due to the difficulty of assessing the true quality of the car.

This uncertainty leads buyers to demand a discount from the true value of the car, and sellers of high-quality cars may need to lower their prices to avoid being mistaken for sellers of low-quality cars. As a result, the price of a used car will tend to fall between the value of a low-quality car and a high-quality car.

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Which of the following costs associated with a delivery van should NOT be capitalized?
O A. The van is modified so it can be used for multiple purposes in the business.
O B. The van is repainted.
O C. The van's engine is overhauled and this will extend the useful life by five years.
O D. All of the above items should be capitalized.

Answers

Option B, repainting the van, should NOT be capitalized. Repainting is considered a maintenance expense rather than an improvement that increases the van's value.

Capitalization refers to recording an expense as an asset when it is expected to provide benefits in future periods. Generally, costs that extend the useful life or enhance the value of an asset are capitalized. In this case, Option A (modifying the van for multiple purposes) and Option C (overhauling the engine to extend the useful life by five years) can be capitalized, as they improve the van's functionality and increase its useful life. However, Option B (repainting the van) is considered a maintenance expense rather than an improvement, as it does not significantly increase the value or functionality of the van. Therefore, repainting the van should not be capitalized, and Option B is the correct choice.

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