lee sun's has sales of $3,900, total assets of $3,600, and a profit margin of 5 percent. the firm has a total debt ratio of 41 percent. what is the return on equity? multiple choice 5.00% 9.18% 4.76% 10.89% 5.42%

Answers

Answer 1

The correct answer is 9.18%. The return on equity (ROE) is a financial ratio that measures the profitability of a company by showing how much profit it generates with the money shareholders have invested. To calculate the ROE, we need to use the formula: ROE = net income / shareholder's equity.

In the given problem, we have the sales of $3,900, total assets of $3,600, and a profit margin of 5 percent. Therefore, the net income can be calculated as $3,900 x 5% = $195. We also know that the total debt ratio is 41 percent, which means that the equity ratio is 59 percent (100% - 41% = 59%).
Now, we can calculate the shareholder's equity as total assets - total debt = $3,600 x 59% = $2,124.
Using the formula for ROE, we get: ROE = $195 / $2,124 = 9.18%.
Therefore, the correct answer is B) 9.18%.
In summary, the return on equity for Lee Sun's is 9.18%, which means that the company is generating a profit of 9.18 cents for every dollar invested by shareholders.

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Related Questions

homemade flying machines has a capital structure of 29% debt, 10% preferred stock and 61% common stock. the pre-tax cost of debt is 6%, the cost of preferred stock is 8% and the cost of equity is 14%. the firm's marginal tax rate is 21%. attempt 1/20 for 1.5 pts. part 1 what is the company's weighted average cost of capital?

Answers

We need to add the weighted costs of each financing source together to get the WACC. In this case, the WACC for Homemade Flying Machines is 10.08%.

The weighted average cost of capital (WACC) is a calculation of the average cost of the different sources of financing for a company, weighted by the proportion of each source in the company's capital structure. To calculate the WACC for Homemade Flying Machines, we need to multiply the cost of each financing source by its proportion in the capital structure, then add them together.

The cost of debt is 6%, which is multiplied by the proportion of debt in the capital structure (29%) to get a weighted cost of 1.74%. The cost of preferred stock is 8%, multiplied by the proportion of preferred stock (10%) to get a weighted cost of 0.80%. The cost of equity is 14%, multiplied by the proportion of common stock (61%) to get a weighted cost of 8.54%.
WACC = (29% x 6%) + (10% x 8%) + (61% x 14%) = 1.74% + 0.80% + 8.54% = 10.08%.

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Which of the following is true of the call to action in persuasive messages?
a.) In internal persuasive messages, the call to action is always implicit.
b.) In external persuasive messages, the call to action is specific and implicit.
c.) The call to action is the concluding step in persuasive messages.
d.) In the post-trust era, the call to action should involve a hard sell.
e.) The call to action is more likely to be explicit for controversial change ideas

Answers

e.) The call to action is more likely to be explicit for controversial change ideas.

The call to action is the part of a persuasive message that encourages the recipient to take a specific action. In external persuasive messages, the call to action is typically specific and explicit, as the goal is to get the recipient to take a specific action, such as making a purchase or attending an event. In internal persuasive messages, the call to action may be more implicit, but it is still important to clearly communicate what action is expected of the recipient. In the post-trust era, a hard sell approach to the call to action is generally not effective, and a more authentic and transparent approach is recommended. For controversial change ideas, the call to action is more likely to be explicit, as the message may need to be more persuasive in order to convince the recipient to take action.

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Which of the following best places the events of the last decade in proper sequence?
Increased consulting services to auditees
Enron and other scandals
Sarbanes-Oxley Act
Prohibition of most consulting work for auditees
Establishment of PCAOB.

Answers

A) The proper sequence of events of the last decade is Enron and other scandals, increased consulting services to auditees, prohibition of most consulting work for auditees, Sarbanes-Oxley Act, and establishment of PCAOB.

In the late 1990s and early 2000s, accounting scandals such as Enron and WorldCom exposed the shortcomings of the accounting industry's self-regulatory practices. As a result, there was increased scrutiny on the relationship between auditors and their clients, and the potential conflicts of interest that arose from providing both audit and consulting services to the same company.

In response, the accounting industry took steps to address these concerns. The first was an increase in consulting services provided to auditees. However, this led to further questions about auditor independence, resulting in the prohibition of most consulting work for auditees.

The Sarbanes-Oxley Act was then passed in 2002, which established new requirements for corporate governance and financial reporting. Finally, in 2003, the Public Company Accounting Oversight Board (PCAOB) was established to oversee the auditing profession and enforce compliance with the Sarbanes-Oxley Act.

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organizational commitment exists to the degree that the person is satisfied with his or her job T/F

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False.

job satisfaction can be a contributing factor to organizational commitment, it is not the sole determinant of an employee's level of commitment to their organization.



While job satisfaction can be a factor in organizational commitment, it is not the only or even the most important factor. Organizational commitment refers to the extent to which an employee identifies with and is dedicated to their organization, and is willing to put forth effort to help the organization achieve its goals.

Organizational commitment can be influenced by a variety of factors, including job satisfaction, but also other factors such as the employee's relationship with their supervisor, their perceptions of their coworkers, the organizational culture and values, and the perceived opportunities for career growth and development.

Therefore, while job satisfaction can be a contributing factor to organizational commitment, it is not the sole determinant of an employee's level of commitment to their organization.

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a key part of being an authentic leader is to be passionate about your purpose. (True or False)

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True. Authentic leadership requires a deep sense of purpose that drives the leader's actions, decisions, and values. Passion for this purpose is a key component of being an authentic leader, as it enables the leader to inspire and motivate others to follow their vision.

When a leader is passionate about their purpose, they are more likely to be committed to achieving their goals, and to stay true to their values and principles. Passionate leaders are also able to connect with others on a deeper level, as they are able to communicate their vision with conviction and enthusiasm.

Moreover, passion helps to sustain a leader through difficult times, providing the energy and resilience needed to overcome obstacles and persevere in the face of adversity.

Ultimately, being passionate about one's purpose is a defining characteristic of authentic leadership, and is essential for creating positive change and achieving long-term success.

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several years ago, nipher paid $70,000 to purchase equipment to use in its business. this year, it sold the equipment for $76,500. accumulated macrs depreciation through date of sale was $18,000. determine the amount and character of nipher's gain recognized.

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Nipher's gain recognized is $24,500 and it is considered a combination of ordinary income and capital gain.

To determine the amount and character of Nipher's gain recognized, we need to calculate the adjusted basis of the equipment at the time of sale. The adjusted basis is the original purchase price minus the accumulated depreciation:

Adjusted basis = $70,000 (purchase price) - $18,000 (accumulated depreciation) = $52,000

Next, we need to find the gain by comparing the adjusted basis to the sale price:

Gain = $76,500 (sale price) - $52,000 (adjusted basis) = $24,500

The character of the gain is a combination of ordinary income and capital gain. The ordinary income portion is equal to the amount of accumulated depreciation ($18,000), and the remaining gain is treated as a capital gain ($24,500 - $18,000 = $6,500). Therefore, Nipher's gain recognized is $24,500, consisting of $18,000 in ordinary income and $6,500 in capital gain.

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The textbook uses which of the following terms to describe a payment which results in a creditor receiving payments from a debtor which need to be set aside because the creditor is paid more than they would have been as part of the bankruptcy proceeding?
a. Fraudulent transfer
b. Preferential transfer
c. Adequate protection payment
d. Exempt property

Answers

The textbook uses the term (b) Preferential transfer to describe a payment that results in a creditor receiving payments from a debtor which need to be set aside because the creditor is paid more than they would have been as part of the bankruptcy proceeding.

The textbook uses the term "preferential transfer" to describe a payment which results in a creditor receiving payments from a debtor which need to be set aside because the creditor is paid more than they would have been as part of the bankruptcy proceeding. This term refers to a payment made by a debtor to a creditor before the bankruptcy filing, which gives that creditor an unfair advantage over other creditors in the distribution of assets.

It is important to note that preferential transfers can be avoided by the bankruptcy trustee, who has the power to recover such payments and distribute them equitably among all creditors.

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Which of the following fraud schemes might be detected through the use of a bank cutoff statement?
A. Checks were written near year-end to reduce the balance in accounts payable, but were not mailed until a week after year-end.
B. Checks received by the cashier were not deposited and accounts receivable was not appropriately reduced.
C. Checks were written in amounts in excess of invoice amounts in a collusion scheme in which the accounts payable clerk was misappropriating refunds of excess payments.
D.Checks were written to nonexistent payees and mailed to the home addresses of officers.

Answers

The fraud scheme that might be detected through the use of a bank cutoff statement is option B: "Checks received by the cashier were not deposited and accounts receivable was not appropriately reduced."

A bank cutoff statement is a report from a bank that shows all transactions processed by the bank for the company's account between two specific dates. The cutoff statement provides an independent record of transactions and can be used to reconcile a company's cash balance with the bank's balance.

In the fraud scheme described in option B, checks received by the cashier were not deposited, which means that they would not appear on the bank cutoff statement as a deposit. If accounts receivable was not appropriately reduced to reflect the fact that the checks were not deposited, then the company's cash balance would be overstated. By comparing the company's cash balance with the bank's balance as reflected in the cutoff statement, the fraud scheme could be detected.

Option A describes a scheme to reduce the balance in accounts payable, which is unrelated to the bank cutoff statement. Option C describes a collusion scheme to misappropriate refunds of excess payments, which may be detected through other means, such as analyzing accounts payable and vendor records. Option D describes a scheme to write checks to nonexistent payees, which may also be detected through other means, such as reconciling canceled checks with vendor records.

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if you initiated the telephone call, it is okay to give your credit card account number when ordering or purchasing from major catalog houses, airlines, hotels, and so on. group of answer choices true false

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It is generally safe to give your credit card account number over the telephone when ordering or purchasing from reputable companies such as major catalog houses, airlines, hotels, and so on.


When making a purchase over the telephone, it is important to ensure that you are dealing with a reputable company before providing your credit card account number. This can be done by verifying the company's contact information and reputation through independent sources such as the Better Business Bureau.

Once you have confirmed that the company is trustworthy, it is generally safe to provide your credit card information over the phone. However, it is important to take precautions such as making sure that you are speaking to a representative of the company and not a scammer, and avoiding giving out personal information such as your Social Security number or driver's license number unless absolutely necessary.

Overall, while it is generally safe to provide your credit card account number over the telephone when ordering or purchasing from reputable companies, it is important to remain vigilant and take precautions to protect your personal information.

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How willing a person is to take chances and her decision process indicate a persons what?

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The willingness of a person to take chances and their decision-making process can indicate a person's risk tolerance. Risk tolerance refers to the degree of uncertainty or potential loss an individual is willing to withstand in their investment or decision-making activities. People with high-risk tolerance are more likely to take risks, even if the outcome is uncertain, while those with low-risk tolerance are more cautious and prefer to avoid taking chances.

Factors that can influence a person's risk tolerance include their personality traits, past experiences, cultural background, and personal goals. For example, someone who is naturally more adventurous and enjoys taking risks may have a higher risk tolerance than someone who is more risk-averse. Additionally, a person's past experiences with successful or unsuccessful risk-taking can also impact their willingness to take chances in the future.

Overall, a person's risk tolerance and decision-making process are important factors to consider when evaluating their approach to risk-taking and decision-making.

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six months ago, you purchased 1,500 shares of abc stock for $35.81 a share. you have received dividend payments equal to $.70 a share. today, you sold all of your shares for $38.95 a share. what is your total dollar return on this investment?

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Your total dollar return on the investment is $5,760.

From the question above,The number of shares you purchased = 1,500. The cost of each share = $35.813.

The amount received as dividends per share = $0.704.

The amount sold per share = $38.95

We need to calculate the total dollar return on the investment.

Total dollar return on an investment is given as:

Total dollar return = Total earnings – Total expenditure

Total expenditure = (Number of shares) × (Cost per share) = 1,500 × $35.81 = $53,715

Total earnings = (Number of shares) × (Amount sold per share) + (Number of shares) × (Amount received per share)

Total earnings = 1,500 × $38.95 + 1,500 × $0.70= $58,425 + $1,050= $59,475

Total dollar return = Total earnings – Total expenditure= $59,475 – $53,715= $5,760

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the classical view of performance appraisals is that they are a(n) . a. motivational tool b. self-evaluation tool c. engagement tool d. measurement tool

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The classical view of performance appraisals is that they are a(n) d. measurement tool.

Traditionally, performance appraisals have been used primarily as a means to measure an employee's performance, skills, and competencies.

This evaluation helps managers identify areas where an employee excels or needs improvement, as well as to make decisions about promotions, compensation, and other work-related matters.



Summary: In the classical view, performance appraisals are considered a measurement tool for evaluating an employee's performance and assisting managers in making work-related decisions.

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The underlying assumption of the dividend growth model is that a stock is worth:
A. the same amount to every investor regardless of their desired rate of return.
B. the present value of the future income which the stock generates.
C. an amount computed as the next annual dividend divided by the market rate of return.
D. the same amount as any other stock that pays the same current dividend and has the same required rate of return.
E. an amount computed as the next annual dividend divided by the required rate of return.

Answers

The correct answer is E)  an amount computed as the next annual dividend divided by the required rate of return. The underlying assumption of the dividend growth model is that a stock is worth the present value of the future income which the stock generates.

The dividend growth model is a method used to estimate the intrinsic value of a stock based on its future dividend payments. It assumes that a stock's value is determined by the present value of its future cash flows, which are represented by its future dividend payments. This means that the model takes into account the expected growth rate of the company's earnings and dividends, as well as the investor's required rate of return.

The other options listed in the question are not correct because they do not accurately represent the underlying assumption of the dividend growth model. Option A suggests that a stock has the same value to every investor, regardless of their required rate of return, which is not accurate since different investors have different investment objectives and risk tolerances. Option C implies that the stock's value is based solely on the next annual dividend payment, while option D suggests that all stocks with the same current dividend and required rate of return are worth the same amount, which is not true. Finally, option E only considers the next annual dividend payment and ignores the growth rate of the company's earnings and dividends.

In conclusion, the underlying assumption of the dividend growth model is that a stock's value is based on the present value of its future income, taking into account the expected growth rate of the company's earnings and dividends and the investor's required rate of return.

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price ($) per pound of coffee beans price ($/lb) brazil quantity demanded (lb) brazil quantity supplied (lb) bulgaria quantity demanded (lb) bulgaria quantity supplied (lb) 8 180 500 155 210 7 200 460 180 180 6 250 410 200 160 5 280 360 220 140 4 320 320 240 125 3 350 280 260 115 in autarky, what would the equilibrium price and quantity be in brazil and bulgaria?

Answers

In autarky, the equilibrium price and quantity of coffee beans in Brazil would be $5/lb and 360 lbs, respectively. In Bulgaria, the equilibrium price and quantity would be $6/lb and 160 lbs, respectively.

In autarky, the equilibrium price and quantity of coffee beans in Brazil and Bulgaria would be determined by the intersection of their respective demand and supply curves. At this intersection point, the quantity demanded by buyers in each country would be equal to the quantity supplied by producers, resulting in a market-clearing price.

Looking at the table provided, we can see that as the price of coffee beans decreases, the quantity demanded by buyers increases while the quantity supplied by producers decreases. This relationship between price and quantity demanded/supplied is consistent with the law of demand and supply.

To find the equilibrium price and quantity in each country, we need to identify the price at which the quantity demanded and supplied are equal. In Brazil, the equilibrium price would be $5/lb, with a quantity of 360 lbs demanded and supplied. In Bulgaria, the equilibrium price would be $6/lb, with a quantity of 160 lbs demanded and supplied.

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merchandise the journal entry to record the payment for merchandise previously purchased on account includes a . (select all that apply.) multiple select question. debit to inventory debit to accounts receivable credit to cash credit to accounts payable credit to accounts receivable debit to accounts payable

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The journal entry to record the payment for merchandise previously purchased on account includes a debit to accounts payable and a credit to cash.


To record the payment for content-loaded merchandise previously purchased on account, the journal entry includes the following:
a. Debit to Accounts Payable
b. Credit to Cash
The step-by-step explanation is:
a. Debit Accounts Payable: This reduces the amount owed to the supplier for the merchandise purchased on account.
b. Credit Cash: This records the decrease in cash due to the payment made for the merchandise.
In this journal entry, there is no need to involve Inventory, Accounts Receivable, or a Credit to Accounts Receivable.

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Appraisers commonly use the Comparative Market Analysis to determine value. True False

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True. Appraisers often use the Comparative Market Analysis (CMA) method to determine the value of a property.

This method involves analyzing the recent sales prices of similar properties in the same area to determine an estimated market value for the property being appraised. The appraiser will gather information on the size, age, condition, and location of the property being appraised, and then compare it to similar properties that have recently sold in the area. By analyzing these sales and adjusting for any differences between the properties, the appraiser can determine a fair market value for the property. The CMA method is widely used by appraisers and real estate professionals to determine the value of residential properties.

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division p of launch corporation has the capacity for making 75,500 wheel sets per year and regularly sells 60,500 each year on the outside market. the regular sales price is $105 per wheel set, and the variable production cost per unit is $69. division q of launch corporation currently buys 30,500 wheel sets (of the kind made by division p) yearly from an outside supplier at a price of $95 per wheel set. if division q were to buy the 30,500 wheel sets it needs annually from division p at $91 per wheel set, the change in annual net operating income for the company as a whole, compared to what it is currently, would be:

Answers

The company as a whole would experience a decrease in net operating income of $2,445,500

First, let's calculate the contribution margin per unit for division P:

Contribution margin per unit = Sales price per unit - Variable cost per unit

Contribution margin per unit = $105 - $69

Contribution margin per unit = $36

Now, let's calculate the incremental contribution margin per unit for division P if it sells to division Q:

Incremental contribution margin per unit = Sales price to division Q - Variable cost per unit

Incremental contribution margin per unit = $91 - $69

Incremental contribution margin per unit = $22

Since division P has the capacity to make 75,500 wheel sets per year and is currently selling 60,500 wheel sets per year on the outside market, it can sell an additional 15,000 wheel sets to division Q (75,500 - 60,500).

The incremental annual contribution margin for division P is:

Incremental annual contribution margin = Incremental contribution margin per unit × Additional units sold

Incremental annual contribution margin = $22 × 15,000

Incremental annual contribution margin = $330,000

The cost to division Q of buying 30,500 wheel sets from division P would be:

Cost to division Q = Price per unit × Units purchased

Cost to division Q = $91 × 30,500

Cost to division Q = $2,775,500

Therefore, the change in annual net operating income for the company as a whole would be:

Change in annual net operating income = Incremental annual contribution margin - Cost to division Q

Change in annual net operating income = $330,000 - $2,775,500

Change in annual net operating income = -$2,445,500

The company as a whole would experience a decrease in net operating income of $2,445,500 if division Q were to buy 30,500 wheel sets from division P at $91 per unit instead of from an outside supplier at $95 per unit.

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gleason, incorporated, elects its board of directors on a staggered basis using cumulative voting. this implies that:

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The use of staggered board elections and cumulative voting are two commonly used practices in corporate governance that can help to ensure continuity, stability, and fairness in the election of board members.

Staggered board of directors is a practice of electing members of the board of directors at different times, so that only a portion of the directors are elected in any given year. Cumulative voting is a method of voting that allows shareholders to cast all of their votes for a single candidate or to distribute them among multiple candidates as they see fit.

In the case of Gleason, Incorporated, electing its board of directors on a staggered basis using cumulative voting implies that each director is elected for a specific term, typically several years, and only a portion of the board seats are up for election each year. This system can help to ensure continuity and stability on the board of directors, as well as protect against sudden changes in leadership that could disrupt the company's operations.

The use of cumulative voting in this context means that shareholders can allocate all of their votes to a single candidate or distribute them among multiple candidates. This gives minority shareholders a greater say in the election of board members, as they can concentrate their votes on a single candidate, potentially increasing their chances of being elected to the board.

Overall, the use of staggered board elections and cumulative voting are two commonly used practices in corporate governance that can help to ensure continuity, stability, and fairness in the election of board members.

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in the recovery period, which type of firms have the best possible chance to create loyal customers by providing exceptional service? price skimmers brands sick units providers of superior services at lower prices

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In the recovery period, firms that provide superior services at lower prices have the best possible chance to create loyal customers by providing exceptional service.

This is because customers are more likely to remember and appreciate the value they received for their money during tough economic times. Additionally, when a company focuses on providing excellent service, it fosters a positive relationship with its customers. By going above and beyond their expectations, the company demonstrates a commitment to their satisfaction, which builds trust and loyalty. Price skimmers, on the other hand, are less likely to create loyal customers in the recovery period as they are often perceived as profiting from the economic difficulties. Brands that are perceived as sick units may struggle to maintain customer loyalty as customers may question their long-term viability. Ultimately, it's important for firms to focus on providing superior services at lower prices to create loyal customers during the recovery period.

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Which of the following types of unemployment is most directly related to real GDP growth?
A. Frictional unemployment
B. Seasonal unemployment
C. Structural unemployment
D. Cyclical unemployment

Answers

The type of unemployment most directly related to real GDP growth is cyclical unemployment, option D.

Cyclical unemployment is closely tied to changes in the economy, such as fluctuations in real GDP growth. When the economy is expanding and experiencing growth, cyclical unemployment tends to decrease.

Conversely, when the economy is contracting, cyclical unemployment tends to increase. This type of unemployment is most directly related to the ups and downs of the business cycle, which affects real GDP growth.

Therefore, the correct option is D. Cyclical unemployment.

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Final answer:

Cyclical unemployment is most directly related to real GDP growth as it changes with the ups and downs of the business cycle and the economic situation.

Explanation:

The type of unemployment most directly related to real GDP growth is Cyclical unemployment. Real GDP growth refers to the increase in value of all goods and services produced in an economy, accounting for inflation. When the economy is in an expansion or growth phase, output increases, and businesses require more labour, reducing unemployment.

Conversely, in a recession or downturn, output decreases, and businesses lay off workers, leading to more unemployment. Therefore, cyclical unemployment directly relates to the business cycle, and thus, real GDP growth.

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Mark fails to reveal a material fact in a business deal with Nancy. This constitutes fraud O if Mark is unaware of the fact and the failure. O if the amount of consideration received is grossly inadequate. O if the fact concerns a serious defect known to Mark and unlikely to be known by Nancy. O under any circumstances.

Answers

The correct option is: O if the fact concerns a serious defect known to Mark and unlikely to be known by Nancy.

Fraud occurs when one party intentionally misrepresents or fails to disclose a material fact in a business deal, causing harm or deception to the other party. In the given scenario, if Mark is aware of a serious defect that is unlikely to be known by Nancy and intentionally fails to disclose it, this constitutes fraud. The materiality of the fact, its significance in the transaction, and Mark's knowledge of it are crucial factors in determining whether fraud has taken place.

The other options provided are not accurate descriptions of fraud in this specific context. Fraud does not occur if Mark is unaware of the fact and the failure to disclose it, nor does it depend on the adequacy of consideration received or apply under any circumstances. It is the deliberate withholding or misrepresentation of a material fact that constitutes fraud.

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through a certain transaction, corporate properties, inc., acquires all of the shares of downtown realty corporation for some of corporate properties's shares. both corporate properties and downtown realty continue to exist. this is a consolidation. a share exchange. a short-form merger. a hold-up.

Answers

Through this transaction, Corporate Properties, Inc. acquires all of the shares of Downtown Realty Corporation for some of Corporate Properties's shares, and both companies continue to exist. This is a type of transaction called a **share exchange**.

A share exchange is a type of business combination where one company acquires another by exchanging its own shares for the shares of the other company. In this case, Corporate Properties, Inc. is acquiring Downtown Realty Corporation by exchanging some of its own shares for all of the shares of Downtown Realty Corporation. As a result of the share exchange, Downtown Realty Corporation becomes a subsidiary of Corporate Properties, Inc., but it continues to exist as a separate legal entity. This type of transaction is also sometimes referred to as a "stock-for-stock" transaction, as shares of one company are exchanged for shares of another company.

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which of the following is not a factor driving distribution strategy? a. response time b. customer experience c. packaging d. product variety

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The factor that is not a driving force in determining distribution strategy among the given options is (c) packaging. Distribution strategy mainly focuses on the efficient delivery of products to the end customers, which is influenced by factors such as response time, customer experience, and product variety.

(a) Response time refers to how quickly products can be delivered to customers after an order is placed. A shorter response time can lead to higher customer satisfaction.

(b) Customer experience involves meeting or exceeding customer expectations throughout the entire purchasing process, including delivery. A good distribution strategy aims to create a seamless and positive experience for customers.

(d) Product variety refers to the range of different products offered by a company. A distribution strategy must take into account the various types and quantities of products that need to be delivered to diverse locations.

Packaging, although important for protecting products during transportation and making them visually appealing, is not a primary factor in determining distribution strategy.

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by implementing certain activities and programs, retailers can make the shopping experience more rewarding for customers and increase the value they receive from the merchandise and services they purchase. this is referred to as

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The term that best describes the practice of implementing activities and programs to enhance the shopping experience and increase customer value is "customer engagement." Customer engagement involves creating opportunities for customers to interact with the brand, merchandise, and services in meaningful ways that build loyalty and drive sales.

Retailers can implement various customer engagement strategies, including loyalty programs, personalized product recommendations, social media campaigns, interactive in-store displays, and mobile apps. These programs and activities can incentivize customers to return and make repeat purchases, and they can also help retailers collect valuable data about customer preferences and behavior.

By making the shopping experience more rewarding and engaging for customers, retailers can create a competitive advantage and increase the lifetime value of their customer base. Engaged customers are more likely to refer friends and family, leave positive reviews, and become brand advocates, leading to sustained growth and success for the business.

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determine the effect of the overhaul on cash flow from operating activities for 2022, 2023 and 2024 if the cost were recognized as maintenance expense, not capital.

Answers

If the cost of the overhaul was recognized as maintenance expense, the entire amount of $700,000 would be recognized as an expense in 2022, resulting in a decrease in cash flow from operating activities in that year. There would be no effect on cash flow from operating activities in 2023 and 2024.

If the cost of the overhaul is recognized as maintenance expense, not capital, the effect on cash flow from operating activities for 2022, 2023 and 2024 would be as follows:

2022: The entire cost of the overhaul would be recognized as an expense in 2022, which would decrease the net income for the year. As a result, the cash flow from operating activities would increase by the amount of the non-cash expense, which is $900,000.

2023: Since the overhaul cost was recognized as an expense in 2022, there would be no additional impact on cash flow from operating activities in 2023.

2024: Similarly, there would be no additional impact on cash flow from operating activities in 2024.

Overall, recognizing the overhaul cost as a maintenance expense would result in an increase in cash flow from operating activities of $900,000 in 2022. However, it would not have any impact on cash flow from operating activities in 2023 and 2024.

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domestic partnerships are select one: a. recognized by most fortune 500 companies. b. the same as common-law marriages. c. only allowed for heterosexual couples. d. not offered by state or government agencies.

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Domestic partnerships are a type of legal relationship that grants certain rights and benefits to unmarried couples who live together and share a domestic life.

The specific rights and benefits associated with domestic partnerships vary by state and jurisdiction, but they typically include things like hospital visitation rights, health insurance benefits, and inheritance rights.In terms of which of the options provided is correct, it is important to note that none of them are entirely accurate. While domestic partnerships are recognized by many large companies and some state and local governments, they are not universally recognized or regulated in the same way as marriages.Specifically, option (a) is partially correct - many Fortune 500 companies do recognize domestic partnerships and offer benefits to employees in such relationships. However, this is not true across the board and not all companies offer these benefits.Option (b) is incorrect - while domestic partnerships may share some similarities with common-law marriages (such as the fact that they are both forms of legal recognition for unmarried couples), they are not the same thing and are typically regulated separately.Option (c) is also incorrect - domestic partnerships are not limited to heterosexual couples. While same-sex couples were initially the primary beneficiaries of domestic partnership laws, these laws have expanded in many places to include opposite-sex couples as well.Option (d) is partially correct - domestic partnerships are not offered by all state or government agencies, but they are recognized in many states and some local jurisdictions.

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Suppose there is an increase in money supply, as a result interest rates will
Multiple Choice
rise and the quantity of money will increases.
fall and the quantity of money will remain constant.
rise and the quantity of money will decrease.
fall and the quantity of money will increases.

Answers

An increase in money supply typically leads to a decrease in interest rates as there is more money available for lending, causing competition among lenders and resulting in lower interest rates.

This is because the increase in money supply lowers the cost of borrowing, leading to an increase in borrowing and spending, which can boost economic activity.
However, the quantity of money in circulation will increase as a result of the increase in money supply.

This can lead to inflation as there is more money chasing the same amount of goods and services, causing prices to rise.

In order to combat inflation, the central bank may increase interest rates to reduce borrowing and spending, which can decrease the money supply and lower inflation.
In summary, an increase in money supply can lead to a decrease in interest rates and an increase in the quantity of money in circulation.

However, this can also lead to inflation, which may require an increase in interest rates to combat.

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to reduce the cost of holding too much inventory, many companies have implemented:

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To reduce the cost of holding too much inventory, many companies have implemented various strategies. One such strategy is called Just-in-Time (JIT) inventory management.

JIT is a system that allows companies to reduce the amount of inventory they hold by only ordering and receiving goods when they are needed for production or sale. This means that companies can avoid having to store large amounts of inventory, which can be costly due to storage and maintenance fees.

Another strategy is called Vendor Managed Inventory (VMI). VMI is a system in which the supplier manages the inventory levels at the customer's location. This allows the supplier to keep track of the inventory levels and replenish them as needed, without the customer having to worry about managing the inventory themselves. This can save the customer time and resources that they would have spent managing the inventory, and it can also reduce the risk of stockouts.

Another approach is called ABC inventory management, which involves categorizing inventory items into three groups: A, B, and C. Group A items are those with the highest value and the lowest frequency of sales, while Group C items are those with the lowest value and the highest frequency of sales. Companies can then focus their inventory management efforts on the most important items while reducing the amount of inventory held for less important items.

Overall, reducing the cost of holding too much inventory requires careful planning and implementation of effective inventory management strategies. By implementing strategies such as JIT, VMI, and ABC inventory management, companies can reduce the amount of inventory they hold, lower their inventory costs, and improve their overall efficiency and profitability.

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exercise 19-17 (lo. 1) fred creates an irrevocable trust with $1,000,000 in cash, income payable to terri (age 13) for 10 years, remainder to madison (age 30). the appropriate irs valuation table factor for a term certain remainder is 0.613913 (for 10 years) and 0.231377 (for 30 years). question content area a. how much is fred's gift to terri?

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Fred's gift to Terri is $613,913 found using the RS valuation table factor.

The gift that Fred has made to Terri is the income payable from the trust for the next 10 years.

In this case, the income payable is determined by multiplying the value of the trust by the appropriate IRS valuation table factor for a term certain income, which is 0.613913 for a term of 10 years. Therefore, Fred's gift to Terri is calculated as follows:

Gift to Terri = Trust value x IRS valuation table factor for term certain income for 10 years
Gift to Terri = $1,000,000 x 0.613913
Gift to Terri = $613,913

Therefore, Fred's gift to Terri is $613,913.

It's important to note that this gift is considered a taxable gift and may be subject to gift tax. However, Fred can use his annual exclusion and lifetime exemption to reduce or eliminate the gift tax liability.

The annual exclusion for 2021 is $15,000 per recipient, and the lifetime exemption is $11.7 million for 2021. Fred should consult with a tax professional to determine the best course of action for his specific situation.

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george smiley recently retired and has accumulated $3,500,000 in retirement savings. his broker informs him he can find investments that will pay 12% annually. he does not want to reduce the balance of his investments via withdrawals, therefore, what type of annual annuity will his retirement savings provide?

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George Smiley's retirement savings will provide him with an annual annuity payment of $598,871.63 for 25 years, assuming he does not make any withdrawals.

An annuity is a financial product that provides a stream of payments over a set period of time. It is typically used as a retirement income source and can be either fixed or variable. A fixed annuity provides a guaranteed stream of payments, while a variable annuity's payments are tied to the performance of underlying investments. Given George Smiley's retirement savings of $3,500,000, his broker informs him that he can find investments that will pay 12% annually. To calculate the type of annual annuity his retirement savings will provide, we will need to use a formula.

The formula for calculating the annual annuity payment is:

Annual Annuity Payment = (Initial Investment / Annuity Factor) x (1 + Annual Interest Rate)

The annuity factor is a number that represents the present value of the annuity payments based on the interest rate and the number of payments.

To calculate the annuity factor, we can use the following formula:

Annuity Factor = [1 - (1 / (1 + Annual Interest Rate) ^ Number of Payments)] / Annual Interest Rate

In this case, George Smiley's initial investment is $3,500,000, and his annual interest rate is 12%. To determine the number of payments, we will assume that George Smiley will live for 25 years in retirement.

Using the above formulas, we can calculate the annuity factor and the annual annuity payment as follows:

Annuity Factor = [1 - (1 / (1 + 0.12) ^ 25)] / 0.12 = 7.412

Annual Annuity Payment = ($3,500,000 / 7.412) x (1 + 0.12) = $598,871.63

Therefore, George Smiley's retirement savings will provide him with an annual annuity payment of $598,871.63 for 25 years, assuming he does not make any withdrawals.

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