Saudi Vision is shifting the dependency of Saudi Economy from
Oil sectors to Non-Oil Sectors. Yes, or No? Discuss your opinion in
minimum 200 Words.
PLEASE IN WRITING

Answers

Answer 1

Yes, Saudi Vision is indeed shifting the dependency of the Saudi economy from oil sectors to non-oil sectors. This strategic initiative, known as Vision 2030, was introduced by Crown Prince Mohammed bin Salman in 2016 with the goal of diversifying the Saudi economy and reducing its reliance on oil revenues.

The Saudi Arabian economy has long been heavily dependent on oil exports, with oil accounting for a significant portion of government revenue and GDP. However, this heavy reliance on a single commodity makes the economy vulnerable to fluctuations in oil prices and global market dynamics. To mitigate these risks and foster long-term sustainable growth, Saudi Vision aims to promote non-oil sectors such as tourism, entertainment, manufacturing, technology, and renewable energy.

The implementation of Vision 2030 involves a comprehensive set of reforms and initiatives. It includes the development of economic cities, investment in infrastructure, promotion of entrepreneurship and innovation, and the expansion of the private sector. The government has also introduced various policy measures to attract foreign investment and create a more business-friendly environment.

These efforts have already shown promising results. Non-oil sectors in Saudi Arabia have been growing steadily, with increased contributions to GDP. The entertainment sector, for example, has witnessed significant growth with the introduction of cinemas and the hosting of international events. The tourism sector has also seen a boost with the launch of tourist visas and the development of tourist attractions.

While the transformation from an oil-dependent economy to a diversified one is a complex and long-term process, Saudi Vision has laid a strong foundation for achieving this goal. However, challenges and risks remain, including the need for continued investment, overcoming cultural barriers, and ensuring a skilled workforce to support the growth of non-oil sectors.

In conclusion, the Saudi Vision is actively working towards reducing the dependency of the Saudi economy on oil sectors and promoting the growth of non-oil sectors. This shift is crucial for long-term economic stability, resilience, and sustainable development. The successful implementation of Vision 2030 will not only reduce the vulnerability of the Saudi economy to oil price fluctuations but also create new opportunities, enhance competitiveness, and improve the overall quality of life for Saudi citizens.

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Related Questions

When translated into a project network, one or more work packages may become a. An activity b. A free slack c. A milestone d. A critical path

Answers

a. An activity When translating a project into a network diagram, work packages are typically represented as activities.

Activities represent the individual tasks or actions that need to be completed within a project. They are the building blocks of the project schedule and are usually depicted as nodes or boxes in a network diagram, connected by arrows to show their sequence and dependencies. Work packages are decomposed into activities to provide a more detailed breakdown of the work required to complete the project. Each activity represents a specific action or task that has a defined duration, dependencies, and resources assigned to it. By breaking down work packages into activities, project managers can effectively schedule and manage the execution of tasks, allocate resources, and monitor progress throughout the project lifecycle. Therefore, the correct answer is: a. An activity

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On 30 June 2019 the Debtors Control account shows a balance of $12300. Fred decided to create a Provision for Doubtful Debts account at 5% of total Debtors to make provision for future bad debts.
The following values will appear in the Income statement and Balance Sheet on 30 June 2019:
Bad Debts $ ______
Bad and Doubtful Debts $ ______
Debtors Control $ ______
Provision for Doubtful Debts $ ______

Answers

On 30 June 2019, Fred created a Provision for Doubtful Debts account at 5% of total Debtors to account for potential bad debts. The Income statement and Balance Sheet on that date will include the following values: Bad Debts, Bad and Doubtful Debts, Debtors Control, and Provision for Doubtful Debts.

To calculate the values for Bad Debts, Bad and Doubtful Debts, Debtors Control, and Provision for Doubtful Debts, we need more information about the total amount of Debtors. The Debtors Control account balance on 30 June 2019 is given as $12,300, but the total Debtors amount is not provided. Once we have the total Debtors figure, we can calculate the values as follows:

1. Bad Debts: Bad Debts represent the actual amount of debtors that are deemed to be uncollectible. Without the total Debtors amount, we cannot determine the specific Bad Debts value.

2. Bad and Doubtful Debts: Bad and Doubtful Debts refer to the combined amount of debtors that are either known to be bad (uncollectible) or are considered doubtful (potentially uncollectible). Again, without the total Debtors amount, we cannot determine the specific Bad and Doubtful Debts value.

3. Debtors Control: The Debtors Control account balance is given as $12,300 on 30 June 2019.

4. Provision for Doubtful Debts: Fred decided to create a Provision for Doubtful Debts account at 5% of total Debtors. Since the total Debtors amount is not provided, we cannot calculate the specific Provision for Doubtful Debts value.

To accurately determine the values for Bad Debts, Bad and Doubtful Debts, Debtors Control, and Provision for Doubtful Debts, we need the total Debtors amount. Once that information is available, the calculations can be performed accordingly.

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The cost of producing 360360 DVDs is $⁢3470. Producing 690 DVDs would cost $⁢3572.30
Find the average cost per DVD of the additional 330 DVDs over 360.
What is the $ per DVD?

Answers

Marginal cost refers to the additional cost incurred by producing one more unit of a product. The average cost per DVD of the additional 330 DVDs over 360 is $0.31.

To find the average cost per DVD of the additional 330 DVDs over 360, we can use the concept of marginal cost. Marginal cost refers to the additional cost incurred by producing one more unit of a product.

The total cost of producing 360 DVDs is $3470, and the total cost of producing 690 DVDs is $3572.30. To calculate the cost of the additional 330 DVDs, we subtract the cost of producing 360 DVDs from the cost of producing 690 DVDs:

$3572.30 - $3470 = $102.30

Now, we divide this cost difference by the number of additional DVDs:

$102.30 / 330 = $0.31 (rounded to two decimal places)

Understanding the average cost per unit is important for businesses to assess profitability and make informed decisions regarding pricing, production levels, and resource allocation.

Therefore, the average cost per DVD of the additional 330 DVDs over 360 is $0.31.

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g the current real rate of return demanded by investors is 2%. inflation is currently estimated to be 8.3%. disregarding any other influences like risk or length of loan, what must the current lending rate be for investors to anticipate earning their desired real return?

Answers

10.3% must the current lending rate be for investors to anticipate earning their desired real return. To anticipate earning the desired real return, investors need to account for inflation and the real rate of return. The real rate of return is the return adjusted for inflation, and in this case, it is 2%.

To calculate the lending rate that investors would require to earn their desired real return, we need to add the inflation rate to the real rate of return.

Lending rate = Real rate of return + Inflation rate

= 2% + 8.3%

= 10.3%

Therefore, the current lending rate would need to be 10.3% for investors to anticipate earning their desired real return of 2%. This takes into account the expected inflation rate and ensures that investors are compensated for the erosion of purchasing power due to inflation.

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Produce a statement of work (SOW) and decompose overall project
goals.
please provide
this statement of work in 300 words with references

Answers

The provided statement of work (SOW) outlines project objectives, deliverables, timeline, responsibilities, and decomposes overall project goals.

[Your Name/Organization]

[Date]

Statement of Work (SOW)

Project Title: [Title of the Project]

Project Duration: [Start Date] - [End Date]

1. Introduction:

The purpose of this Statement of Work (SOW) is to outline the objectives, deliverables, timeline, and responsibilities for the [Project Title]. This project aims to [provide a brief overview of the project's goals and objectives].

2. Scope of Work:

The scope of work for this project includes, but is not limited to, the following:

- [List the major tasks and activities to be performed during the project]

- [Specify the deliverables to be produced]

- [Define any specific milestones or checkpoints]

3. Project Goals:

The overall goals of this project are:

- [Goal 1]:

- [Goal 2]:

- [Goal 3]:

- [Etc.]

4. Decomposition of Project Goals:

To achieve the overall project goals, the project will be decomposed into the following sub-goals and corresponding tasks:

Goal 1: [Provide a breakdown of sub-goals and tasks]

- Sub-goal 1.1:

- Sub-goal 1.2:

- Etc.

Goal 2: [Provide a breakdown of sub-goals and tasks]

- Sub-goal 2.1:

- Sub-goal 2.2:

- Etc.

Goal 3: [Provide a breakdown of sub-goals and tasks]

- Sub-goal 3.1:

- Sub-goal 3.2:

- Etc.

5. Timeline and Milestones:

The project timeline and major milestones are as follows:

- [Provide a timeline with key dates and milestones]

6. Roles and Responsibilities:

The following roles and responsibilities are assigned for the successful completion of this project:

- [List the project team members and their roles]

- [Specify any external stakeholders and their involvement]

7. References:

[List any references or sources that were used in developing this Statement of Work]

By signing below, all parties involved acknowledge their understanding of and commitment to the contents of this Statement of Work.

[Project Sponsor/Client]                                  [Project Manager/Authorized Representative]

[Signature]                                                      [Signature]

[Date]                                                                [Date]

Note: This is a sample Statement of Work (SOW) and should be customized to fit your specific project requirements and organizational guidelines.

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the assumption of ceteris paribus is important because it:

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The assumption of ceteris paribus is important because it allows researchers to isolate the effect of a specific variable on a phenomenon by assuming that all other relevant factors remain constant. This helps in analyzing relationships between variables, making predictions, and formulating general principles or laws in social sciences.

The assumption of ceteris paribus, which means 'all other things being equal' in Latin, is an important concept in social sciences. It is used to isolate the effect of a specific variable on a phenomenon by assuming that all other relevant factors remain constant.

This assumption is particularly important in economics, where it allows economists to analyze the relationship between variables without the interference of confounding factors. By holding other factors constant, economists can study the impact of changes in a single variable, such as price or income, on the behavior of consumers, producers, and markets.

Ceteris paribus helps in understanding cause-and-effect relationships and formulating general principles or laws in social sciences. It allows researchers to make predictions and build economic models that can explain and predict real-world phenomena.

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A company sells widgets where the cost per unit of labor is $w, and the cost of capital is $r. The company's production technology is given the following Cobb-Douglas function Q=KaLb where Q is number of widgets produced, while K is the amount of capital used, and L is the total amount of labour employed.
(a) Using the Lagrangian multiplier method, what is the cost minimizing quantity of capital K∗, and labour L∗ given Q=Q∗ ? (10 marks)
(b) Assume that a=b=1,w=2,r=8, and Q∗=100. Using the Lagrangian multiplier, estimate the increase in cost (in terms of percentage) when production rises from 100 to 102 widgets.

Answers

a) The cost minimizing quantity of capital (K*) is one-fourth of the labor quantity (L*).

b) The increase in cost when production rises from 100 to 102 widgets is 2%.

To find the cost minimizing quantity of capital (K*) and labor (L*) given Q=Q*, we can use the Lagrangian multiplier method.

The cost function can be derived from the production function as follows:

Cost = rK + wL

We need to minimize the cost function subject to the constraint Q=Q*.

Let λ be the Lagrange multiplier. The Lagrangian function is defined as:

L(K, L, λ) = rK + wL + λ(Q - Q*)

To find the cost minimizing quantities, we need to solve the following system of equations:

∂L/∂K = r - λbKa^(b-1) = 0

∂L/∂L = w - λKa^b = 0

∂L/∂λ = Q - Q* = 0

From the first equation, we have:

r = λbKa^(b-1)

From the second equation, we have:

w = λKa^b

Dividing these two equations, we get:

w/r = (λKa^b) / (λbKa^(b-1))

w/r = a/b

Now, we can solve for K* and L* using the above ratio:

K*/L* = w/r

K*/L* = 2/8

K*/L* = 1/4

Therefore, the cost minimizing quantity of capital (K*) is one-fourth of the labor quantity (L*).

(b) Given a=b=1, w=2, r=8, and Q*=100, we can estimate the increase in cost when production rises from 100 to 102 widgets using the Lagrangian multiplier.

The cost function is:

Cost = rK + wL

For Q=100, we can find the optimal values of K and L using the ratio K*/L* = 1/4:

K* = (1/4)L*

Substituting this into the cost function, we have:

Cost = r(1/4)L* + wL*

Cost = (8/4)L* + 2L*

Cost = 2L* + 2L*

Cost = 4L*

When Q increases from 100 to 102 widgets, it means L increases by 2 units.

New cost = 4(L* + 2)

New cost = 4L* + 8

The increase in cost is given by:

Increase in cost = New cost - Old cost

Increase in cost = (4L* + 8) - (4L*)

Increase in cost = 8

The increase in cost is 8 units.

To calculate the increase in cost as a percentage, we can divide the increase by the old cost and multiply by 100:

Percentage increase in cost = (8 / (4L*)) * 100

Percentage increase in cost = (8 / (4*100)) * 100

Percentage increase in cost = 2%

Therefore, the increase in cost when production rises from 100 to 102 widgets is 2%.

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which of the following is true about corporate boards?

Answers

Corporate boards provide strategic guidance and oversight to the company. This is the true statement about corporate boards. The correct option is c.

A corporate board is a group of people chosen to control and steer a corporation. Shareholders typically elect a board of directors to oversee the corporation's management. A board's responsibilities can include selecting and dismissing key executives, establishing corporate strategy, and monitoring corporate performance.

Corporate boards are not responsible for day-to-day operational decisions, as these are typically delegated to the company's management. The board is responsible for providing guidance to the management and ensuring that they work towards the company's goals.

Corporate boards are typically composed of both company employees and outside individuals with relevant expertise and experience. The board's composition should be such that it can effectively oversee the company and provide guidance to management. In conclusion, corporate boards provide strategic guidance and oversight to the company. The correct option is c.

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NOTE- Complete question is given here  

Which of the following is true about corporate boards?

A) Corporate boards are responsible for day-to-day operational decisions.

B) Corporate boards are composed solely of company employees.

C) Corporate boards provide strategic guidance and oversight to the company.

D) Corporate boards are elected by the shareholders of the company.

corporate boards are responsible for overseeing the management and strategic direction of a company, protecting the interests of shareholders, and ensuring the long-term success of the company.

corporate boards play a crucial role in overseeing the management and strategic direction of a company. They are responsible for protecting the interests of shareholders and ensuring the long-term success of the company. Some key characteristics of corporate boards include:

composition: Corporate boards are typically composed of a mix of independent directors and executives from the company. Independent directors provide objectivity in decision-making as they do not have significant financial or personal ties to the company.governance: Corporate boards establish and enforce corporate governance policies and practices. This includes setting ethical standards, determining executive compensation, and managing risks. They also oversee the appointment and evaluation of senior executives.fiduciary duty: Directors have a fiduciary duty to act in the best interests of the company and its shareholders. They must exercise due care, loyalty, and good faith in their decision-making.committees: Corporate boards often have committees, such as audit, compensation, and nominating committees. These committees focus on specific areas of governance and oversight, ensuring specialized expertise and thorough examination of relevant issues.accountability: Corporate boards are accountable to the shareholders and provide regular reports on the company's performance and financial health. They are also responsible for addressing any concerns or conflicts of interest that may arise.

These characteristics may vary depending on the specific company and its governance structure.

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 "

Which of the following is a core ethical obligation of HITs?
A. Coding diseases and operations
B. Protecting patients' privacy and confidential communications
C. Transcribing medical reports
D. Performing quantitative analysis on record content

Answers

The core ethical obligation of Health Information Technology (HITs) is to protect patients' privacy and confidential communications.

The core ethical obligation of Health Information Technology (HITs) is to protect patients' privacy and confidential communications. HIT professionals are responsible for managing and safeguarding patients' health information, including medical records and personal data. They must ensure that sensitive information is kept confidential and secure, preventing unauthorized access and breaches.

Protecting patients' privacy involves implementing strict security measures, such as encryption and access controls, to prevent unauthorized individuals from accessing or disclosing patients' health information. HIT professionals must also comply with legal and ethical standards, such as the Health Insurance Portability and Accountability Act (HIPAA), which sets guidelines for the protection of patient privacy and the secure exchange of health information.

By prioritizing patients' privacy and confidential communications, HIT professionals contribute to maintaining trust and confidentiality in healthcare settings, ensuring that patients' sensitive information remains private and secure.

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If the nominal exchange rate is $1 equals 150 Japanese yen, and a Big Mac costs $2 in the U.S. and 300 yen in Japan, then the real exchange rate of U.S. Big Macs for Japanese Big Macs is:
Question options:

1.

2.

150.

300.

Answers

The real exchange rate of U.S. Big Macs for Japanese Big Macs is 150 when the nominal exchange rate is $1 equals 150 Japanese yen and a Big Mac costs $2 in the U.S. and 300 yen in Japan.

The Real Exchange Rate is defined as the price of the goods of two different countries that can be purchased at the same price in one country.In the present scenario, the nominal exchange rate is given as $1 equals 150 Japanese yen. Therefore, we can say that one Big Mac in the US is priced at $2 or 2/1 = 2 in terms of dollars per burger.On the other hand, in Japan, one Big Mac is priced at 300 yen. Hence, we can say that the Big Mac is priced at 300/150 = 2 in terms of yen per burger.The formula to calculate the Real Exchange Rate is as follows:Real Exchange Rate = (Nominal Exchange Rate * Domestic Price of Foreign Goods) / (Price of Home Goods)We can substitute the values in the formula as follows:Real Exchange Rate = (1 * 300) / 2Real Exchange Rate = 150Hence, the real exchange rate of U.S. Big Macs for Japanese Big Macs is 150.Answer: 150.

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Angel, who is head of household, sold his main home on January 1, Year 15, for $440,000. He lived in the home for 14 years before the sale. His purchase cost was $200,000 but he took a total of $30,000 of depreciation on his home office. How much gain can he exclude on the sale?

Answers

Angel can exclude up to $250,000 of gain on the sale of his main home. This exclusion applies because he meets the ownership and use tests for the home.

However, if Angel is married and filing a joint tax return, the exclusion limit increases to $500,000. To determine the gain that can be excluded, we need to calculate Angel's adjusted basis in the home. The adjusted basis is the purchase cost minus any depreciation claimed. In this case, Angel's purchase cost was $200,000, but he claimed $30,000 in depreciation for his home office.

Therefore, his adjusted basis is $170,000 ($200,000 - $30,000).

Next, we calculate the gain on the sale by subtracting the adjusted basis from the selling price. In this case, the selling price is $440,000 - $170,000, resulting in a gain of $270,000. Since the gain of $270,000 is less than the exclusion limit of $250,000 (or $500,000 if married filing jointly), Angel can exclude the entire gain from his taxable income. This means he won't have to pay taxes on the gain from the sale of his main home.

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Angel can exclude up to $250,000 of gain on the sale of his main home. This exclusion applies because he meets the ownership and use tests for the home.

However, if Angel is married and filing a joint tax return, the exclusion limit increases to $500,000. To determine the gain that can be excluded, we need to calculate Angel's adjusted basis in the home. The adjusted basis is the purchase cost minus any depreciation claimed. In this case, Angel's purchase cost was $200,000, but he claimed $30,000 in depreciation for his home office.

Therefore, his adjusted basis is $170,000 ($200,000 - $30,000).

Next, we calculate the gain on the sale by subtracting the adjusted basis from the selling price. In this case, the selling price is $440,000 - $170,000, resulting in a gain of $270,000. Since the gain of $270,000 is less than the exclusion limit of $250,000 (or $500,000 if married filing jointly), Angel can exclude the entire gain from his taxable income. This means he won't have to pay taxes on the gain from the sale of his main home.

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An aggregate demand/aggregate supply model is used to
study growth theory.
the theory of business cycles.
the theory of why businesses fail.
why gas prices go up in summer.

Answers

An aggregate demand/aggregate supply model is used to study growth theory, the theory of business cycles, and the theory of why businesses fail. However, it is not specifically designed to explain why gas prices go up in the summer.

The aggregate demand/aggregate supply (AD/AS) model is a macroeconomic tool used to analyze the overall behavior of an economy. It considers the aggregate demand, which represents the total spending on goods and services by households, businesses, and the government, and the aggregate supply, which represents the total output of goods and services produced by all firms in an economy. The model examines the interaction between aggregate demand and aggregate supply to understand various economic phenomena.

The AD/AS model is often applied to study growth theory, which focuses on factors that drive long-term economic growth, such as technological progress, capital accumulation, and productivity improvements. It also helps analyze the theory of business cycles, which studies the fluctuations in economic activity over time, including periods of expansion and recession.

Additionally, the model can be utilized to understand the theory of why businesses fail, by examining how shifts in aggregate demand and supply impact the profitability and viability of firms in an economy. However, it is not the primary tool for explaining why gas prices go up in the summer, which is influenced by factors such as increased demand for travel and changes in the supply of crude oil.

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A baseball player is gross. Pay is 12 million he played in 162 games during the season. What is his gross pay per game

Answers

answer:

74,074.07 gross per game

which of the following is not one of the five c’s of credit? (a) character (b) capital (c) capability (d) collateral

Answers

The option (c) capability is not one of the five C's of credit. The five C's of credit include character, capital, capacity, collateral, and conditions.

The five C's of credit are widely used to assess the creditworthiness of borrowers and evaluate their ability to repay loans. They include character, capital, capacity, collateral, and conditions. The option (c) capability is not one of the five C's of credit.

Character refers to the borrower's reputation, integrity, and willingness to repay debts. Capital represents the borrower's financial resources and the amount of money they have invested in the business. Capacity refers to the borrower's ability to repay the loan based on their income, cash flow, and existing financial obligations. Collateral refers to assets that can be pledged as security for the loan. Conditions refer to the external factors that may impact the borrower's ability to repay the loan, such as economic conditions or industry trends.

While capability may be important in evaluating a borrower's overall creditworthiness, it is not traditionally included as one of the specific C's in the widely recognized five C's of credit framework.

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You are acquiring a 100,000 sq. ft. office building for $10 million at a 7% cap rate. Operating expenses are $8 per sq. ft. plus a management fee of $75,000, other income of $108,000 and a 5% vacancy rate. What is the gross potential rent?

(A) $1,575,000

(B) $1,565,263

(C) $1,544,210

(D) None of the above

Answers

Option (d),  The gross potential rent for the 100,000 sq. ft. office building can be calculated by multiplying the total square footage by the rent per sq. ft. The rent per sq. ft. is calculated by subtracting the operating expenses, management fee, other income, and vacancy rate from the cap rate.

First, let's calculate the rent per sq. ft. using the cap rate. The cap rate is the net operating income divided by the purchase price. In this case, the purchase price is $10 million and the cap rate is 7%. So, the net operating income is $10 million multiplied by 7%, which is $700,000.

Next, let's calculate the operating expenses per sq. ft. Since the operating expenses are $8 per sq. ft., the total operating expenses would be $8 multiplied by 100,000 sq. ft., which is $800,000.

Now, let's calculate the management fee and other income. The management fee is given as $75,000 and the other income is given as $108,000.

Lastly, let's calculate the vacancy rate. The vacancy rate is 5% of the gross potential rent.

To calculate the gross potential rent, we subtract the operating expenses, management fee, other income, and vacancy rate from the rent per sq. ft.:
Rent per sq. ft. = Net operating income / Total sq. ft.
Rent per sq. ft. = $700,000 / 100,000 sq. ft.
Rent per sq. ft. = $7 per sq. ft.

Gross potential rent = (Rent per sq. ft. - Operating expenses per sq. ft. - Management fee - Other income) * (1 - Vacancy rate)
Gross potential rent = ($7 - $8 - $75,000 - $108,000) * (1 - 5%)
Gross potential rent = (-$175,000) * (0.95)
Gross potential rent = -$166,250

Therefore, none of the provided options (A, B, C) are correct.

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1a) CaloriNA Corp. wants to maintaining a profit margin of 9% and a dividend payout ratio of 34%. The company has a total asset turnover of 0.38. What is the debt–equity ratio that is required to achieve the firm's desired rate of sustainable growth of 2.4%? Explain your steps.

1b) What is the sustainable growth rate of the Mumu Melon Co. if the firm’s dividend payout ratio is 60%, total asset turnover is 1.40, profit margin is 5%, and equity multiplier is 1.75? Explain your steps.

Answers

a) Since the equation does not depend on the debt-equity ratio, the debt-equity ratio is not explicitly required to achieve the desired growth rate.  b) The sustainable growth rate of Mumu Melon Co. is 4.9%.

a) To determine the debt-equity ratio required to achieve the firm's desired rate of sustainable growth, we can use the sustainable growth rate formula:

Sustainable Growth Rate = Profit Margin * Total Asset Turnover * (1 - Dividend Payout Ratio)

Given:

Profit Margin = 9% = 0.09

Dividend Payout Ratio = 34% = 0.34

Total Asset Turnover = 0.38

Sustainable Growth Rate = 2.4% = 0.024

We need to solve for the debt-equity ratio.

Sustainable Growth Rate = 0.09 * 0.38 * (1 - 0.34)

0.024 = 0.09 * 0.38 * (1 - 0.34)

0.024 = 0.09 * 0.38 * 0.66

0.024 = 0.022572

To achieve the desired sustainable growth rate of 2.4%, the equation simplifies to:

0.024 = 0.022572

Since the equation does not depend on the debt-equity ratio, the debt-equity ratio is not explicitly required to achieve the desired growth rate. The sustainable growth rate can be achieved by adjusting other factors such as profit margin, total asset turnover, or dividend payout ratio.

b) To calculate the sustainable growth rate of Mumu Melon Co., we can use the formula:

Sustainable Growth Rate = Return on Equity * Retention Ratio

Given:

Dividend Payout Ratio = 60% = 0.60

Total Asset Turnover = 1.40

Profit Margin = 5% = 0.05

Equity Multiplier = 1.75

We need to solve for the sustainable growth rate.

Return on Equity = Profit Margin * Total Asset Turnover * Equity Multiplier

Return on Equity = 0.05 * 1.40 * 1.75 = 0.1225

Retention Ratio = 1 - Dividend Payout Ratio = 1 - 0.60 = 0.40

Sustainable Growth Rate = 0.1225 * 0.40 = 0.049

Therefore, the sustainable growth rate of Mumu Melon Co. is 4.9%.

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T/F Cooptation occurs when leaders from important sectors in the environment are made part of an organization.

Answers

True. Cooptation occurs when leaders from important sectors in the environment are made part of an organization.

Cooptation is a strategy used by organizations to gain support and influence from key stakeholders in their external environment. It involves the inclusion or integration of leaders or representatives from influential sectors, such as government officials, industry experts, or community leaders, into the decision-making processes of the organization. By involving these external stakeholders, organizations aim to gain their support, cooperation, and access to valuable resources, knowledge, and networks.

Cooptation helps organizations establish mutually beneficial relationships with external stakeholders, enabling them to align their interests and goals, reduce conflicts, and enhance their legitimacy and credibility. It also allows organizations to tap into the expertise and influence of these external leaders, gaining valuable insights and connections that can contribute to their success. Overall, cooptation helps organizations navigate their external environment more effectively and secure vital support from key stakeholders.

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All of the following benefits are available under Social Security EXCEPT:

A) old-age or retirement benefits.
B) disability benefits.
C) welfare benefits.
D) death benefits.

Answers

All of the following benefits are available under Social Security EXCEPT: C) welfare benefits.

Social Security primarily provides old-age or retirement benefits, disability benefits, and death benefits. It is a social insurance program designed to provide financial support to eligible individuals and their families in specific circumstances.

However, it does not typically offer general welfare benefits, which are usually provided through other government programs like Temporary Assistance for Needy Families (TANF) or Supplemental Nutrition Assistance Program (SNAP).

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the molecular structure of pcl5 would have which geometric shape?

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The molecular structure of PCl5 is trigonal bipyramidal.

The molecular structure of PCl5 is trigonal bipyramidal. In this structure, the central phosphorus atom is surrounded by five chlorine atoms. Three of the chlorine atoms are located in a plane, forming a triangular base, while the other two chlorine atoms are positioned above and below the plane. This arrangement gives PCl5 its trigonal bipyramidal shape.

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Ezzell Enterprises' noncallable bonds currently sell for $980.
They have a 12-year maturity, an annual coupon of $120, and a par
value of $1,000. What is their yield to maturity?

Answers

The yield to maturity of Ezzell Enterprises' noncallable bonds is approximately 12.21%. The bond's current price is $980, the annual coupon payment is $120, and the par value is $1,000.

The bond has a 12-year maturity. To calculate the YTM, we can use the formula: YTM = (Annual coupon payment + ((Par value - Current price) / Time to maturity)) / ((Par value + Current price) / 2).

Substituting the given values into the formula: YTM = (120 + ((1000 - 980) / 12)) / ((1000 + 980) / 2). Simplifying the equation: YTM ≈ 0.1221 or 12.21%.

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Hawk Corporation purchased 50% of Deacon Corporation's single class of stock on June 1 of this year. They purchased an additional 40% on December 20 of this year. The Sec. 338 election must be made on or before

a. June 30 of this year.

b. November 30 of this year.

c. August 15 of next year.

d. September 15 of next year.

Answers

The correct answer is option (d) September 15 of next year. The Sec. 338 election must be made on or before September 15 of next year.

The Sec. 338 election allows a purchasing corporation to treat the acquisition of another corporation as an asset purchase for tax purposes. In this scenario, Hawk Corporation purchased 50% of Deacon Corporation's stock on June 1 and an additional 40% on December 20 of the same year. To be eligible to make a Sec. 338 election, the purchasing corporation must acquire at least 80% of the target corporation's stock within a 12-month period.

In this case, Hawk Corporation reached the 80% ownership threshold on December 20. According to the regulations, the Sec. 338 election must be made on or before the 15th day of the ninth month following the acquisition. Counting from December, the ninth month would be September of the following year. Therefore, the correct deadline for Hawk Corporation to make the Sec. 338 election is September 15 of next year (not this year).

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Leadership training often fails because managers are not sutticiently motivated to change their own individual behaviors atter attending the training of the disconnect between research and practice (what science knows and whot business doesl. the cost is not worth the beneft after implernentation. managers are trapped in systerms that won't support individual betavior change. Question 7 A high degree of may lead to reduced innovativeness because employees are used to being directed to behave in a certain manner. finctional departmentalitation formalcation divisional depurtrentatization owentritiation

Answers

6) Leadership training fails when managers lack motivation to change behaviors (option a), and 7) high formalization hampers innovativeness by restricting employee autonomy. (option b)

6. Leadership training can be ineffective if managers lack the motivation or willingness to apply the skills and knowledge they learn during the training. Simply attending training sessions may not lead to behavioral change unless there is a genuine desire and commitment to implement the new concepts into their leadership practices. (Option A)

7. Formalization refers to the extent to which an organization has clear rules, procedures, and processes in place. While a certain level of formalization can provide structure and consistency, an excessively high degree of formalization can stifle creativity and innovation. When employees are strictly directed to behave in a particular manner, they may feel discouraged from thinking outside the box and proposing new ideas. This can hinder innovativeness within the organization. (Option B)

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An indifference curve is a graph that shows all the combinations
of goods that would give the same satisfaction (or utility) to an
individual. Question 10 options: True False

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False. An indifference curve is a graphical representation of different combinations of goods or services that provide the same level of satisfaction or utility to an individual.

An indifference curve is a fundamental concept in microeconomics used to analyze consumer preferences and choices. It depicts various combinations of two goods on a graph, with one good represented on the x-axis and the other on the y-axis.

Each point on the curve represents a specific combination of the two goods that yields the same level of satisfaction to the individual.

However, it is important to note that the curve does not represent a fixed level of satisfaction for the individual but rather reflects their preferences or indifference between different combinations.

The shape of the indifference curve reflects the individual's marginal rate of substitution, indicating the rate at which the individual is willing to trade one good for another while maintaining the same level of satisfaction.

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A long term employee has repeatedly performed well below
expected levels.
Discuss four phases in a progressive discipline system you
would
undertake and four phases of how to dismiss an incompetent
em

Answers

If a long-term employee has repeatedly performed well below the expected standard, there are a number of steps that an employer can take to address the issue.Firstly, it may be necessary to investigate the reasons why the employee's performance has declined.

This could involve a discussion with the employee, their colleagues, and their line manager, as well as a review of any relevant records or data that are available.Once the reasons for the employee's underperformance have been identified, it may be possible to address them through training and development, changes to their working arrangements, or other forms of support.

If the employee's performance does not improve despite these measures, it may be necessary to take disciplinary action. This could involve giving the employee a formal warning, placing them on a performance improvement plan, or ultimately, terminating their employment.

However, it is important to ensure that any disciplinary action is taken in accordance with the organization's policies and procedures, and that the employee is given the opportunity to respond and provide their perspective on the situation.

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1. Do GVCs contradict the notion of comparative advantage?

2. Give an example of a GVCs that uses agricultural inputs from Australia and leads to the final production of consumer goods for consumption in Australia or elsewhere.

Answers

1. GVCs complement the notion of comparative advantage. 2. Example: Australian agricultural inputs in the global wine production GVC.

1. GVCs do not contradict the notion of comparative advantage but rather expand its application. GVCs allow countries to specialize in specific stages of the production process where they have a comparative advantage, enabling global efficiency and cooperation.

2. One example of a GVC is the production of wine. Australia exports agricultural inputs such as grapes to countries like France, where they are processed and transformed into wine. The final product, the wine, is then imported back to Australia or consumed elsewhere. This GVC demonstrates how different countries can contribute their comparative advantages at different stages of the production process to create a final product for domestic or global consumption.

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SEFAOJ909 Corporation is a manufacturer The data for July operations is below. SEFAOJ909's beginhing balance in the raw materials account was $22,500 and the ending balance was $41,000. (ID#39707) SEFAOJ909s raw materials purchases during the month totaled $68,000. SEFAQJ1909ls manufacturing overhead cost incurred during the month was $113,500, of which $2,500 consisted of raw materials classified as indirect materials. Q. Whatwas Serfatoj909's direct materials cost for July? Multiple Choice $47,000 $86,500 $49,500 $68,000

Answers

SEFAOJ909 Corporation's direct materials cost for July is $49,500.

The direct materials cost for SEFAOJ909 Corporation in July can be calculated by subtracting the ending balance of raw materials from the sum of the beginning balance and raw materials purchases.

1. Beginning balance of raw materials: $22,500
2. Raw materials purchases during the month: $68,000
3. Ending balance of raw materials: $41,000

To calculate the direct materials cost, add the beginning balance and the purchases, and then subtract the ending balance:

$22,500 + $68,000 - $41,000 = $49,500

Therefore, SEFAOJ909 Corporation's direct materials cost for July is $49,500.

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The cash account of Vaughn Co, showed a ledger balance of $4,749.42 on June 30,2020 . The bank statement as of that date showed a balance of $4.980. Upon comparing the statement with the cash records, the following facts were determined.
1. There were bank service charges for June of $30.
2. A bank memo stated that Bao Dai's note for $1,440 and interest of $43.20 had been collected on June 29, and the bank had made a charge of $6.60 on the collection. (No entry had been made on Vaughris books when Bao Dai's note was sent to the bank for collection.)
3. Receipts for June 30 for $4,068 were not deposited until July 2.
4. Checks outstanding on June 30 totaled $2,563,26.
5. The bank had charged the Vaughn Co.'s account for a customer's uncollectible check amounting to $303.84 on June 29.
6. A customer's check for $108 (as payment on the customer's Accounts Receivable) had been entered as $72 in the cash receipts journal by Vaughn on June 15.
7. Check no. 742 in the amount of $491 had been entered in the cash journal as $419, and check no. 747 in the amount of $69.84 had been entered as $698.40. Both checks had been issued to pay for purchases and were payments on Vaughn's Accounts Payable.

Answers

The cash account of Vaughn Co. had a ledger balance of $4,749.42 on June 30, 2020. However, the bank statement showed a balance of $4,980 on the same date. After comparing the statement with the cash records, the following facts were determined:

1. Bank service charges for June amounted to $30.

2. A bank memo indicated that Bao Dai's note of $1,440 and interest of $43.20 had been collected on June 29. The bank made a charge of $6.60 on this collection. However, Vaughn Co. had not recorded this transaction in their books.

3. Receipts totaling $4,068, which were received on June 30, were not deposited until July 2.

4. Checks totaling $2,563.26 were issued by Vaughn Co. but had not cleared the bank as of June 30. These are considered outstanding checks.

5. The bank charged Vaughn Co.'s account for a customer's uncollectible check amounting to $303.84 on June 29.

6. On June 15, Vaughn Co. entered a customer's check for $108 as a payment on the customer's Accounts Receivable. However, it was mistakenly recorded as $72 in the cash receipts journal.

7. Check no. 742, with an amount of $491, was incorrectly entered in the cash journal as $419. Check no. 747, with an amount of $69.84, was also incorrectly entered as $698.40. Both checks were issued to pay for purchases and were payments on Vaughn Co.'s Accounts Payable.

To reconcile the bank statement balance with the ledger balance, we need to adjust for the following items:

- Subtract the bank service charges of $30 from the bank statement balance.
- Add the collection of Bao Dai's note and interest, which amounts to $1,440 + $43.20 - $6.60.
- Add the receipts that were not deposited until July 2, totaling $4,068.
- Subtract the outstanding checks of $2,563.26.
- Subtract the uncollectible check charge of $303.84.
- Adjust the cash receipts journal entry for the customer's check from $72 to $108.
- Adjust the cash journal entries for checks no. 742 and 747 to their correct amounts of $491 and $69.84, respectively.

By making these adjustments, we can determine the accurate cash balance for Vaughn Co. on June 30, 2020.

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Assume that Company XYZ is a profit-maximizing firm that hires its labor in a perfectly competitive labor market and sells its product in a perfectly

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In a perfectly competitive labor market, Company XYZ seeks to maximize its profits by optimizing its use of labor. As a profit-maximizing firm, XYZ will hire workers until the marginal cost of labor equals the marginal revenue product of labor.

The marginal cost of labor refers to the additional cost incurred by the company when it hires an additional unit of labor. This cost includes wages and any other associated expenses.

The marginal revenue product of labor, on the other hand, represents the additional revenue generated by the firm when it employs an additional unit of labor. It is derived from the marginal product of labor multiplied by the marginal revenue of the product.

Company XYZ will continue to hire more labor as long as the marginal revenue product of labor exceeds the marginal cost of labor. At the point where these two values are equal, the company has reached the optimal level of labor utilization, maximizing its profits in the perfectly competitive labor market.

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Which of the following is CORRECT regarding the amount of property that may be expensed under §179?
A. The amount cannot exceed the total amount of taxable income derived from the active conduct of any trade or business during the tax year.
B. The amount cannot exceed the total amount of adjusted gross income reported by the taxpayer.
C. The amount cannot exceed the total amount of self-employment income reported by the taxpayer.

Answers

Option A. The amount cannot exceed the total amount of taxable income derived from the active conduct of any trade or business during the tax year.

Section 179 of the Internal Revenue Code allows businesses to expense the cost of qualifying property, rather than depreciating it over time. However, there are limitations on the amount of property that can be expensed. Let's examine each option to determine the correct one:

A. The amount cannot exceed the total amount of taxable income derived from the active conduct of any trade or business during the tax year.

This option is correct. The amount of property that can be expensed under §179 is generally limited to the taxable income derived from the active conduct of any trade or business during the tax year. This means that the expense deduction cannot exceed the total taxable income generated by the business.

B. The amount cannot exceed the total amount of adjusted gross income reported by the taxpayer.

This option is incorrect. The §179 expense limitation is based on taxable income, not adjusted gross income. Adjusted gross income is a measure of income after certain deductions, but it does not determine the limit for expensing property under §179.

C. The amount cannot exceed the total amount of self-employment income reported by the taxpayer.

This option is also incorrect. The §179 expense limitation is based on taxable income from the active conduct of any trade or business, not solely self-employment income. Self-employment income is a component of taxable income for self-employed individuals, but it does not solely determine the §179 expense limit.

In conclusion, the correct option is A. The amount of property that may be expensed under §179 cannot exceed the total amount of taxable income derived from the active conduct of any trade or business during the tax year. This limitation ensures that the expense deduction is tied to the business's income and prevents excessive deductions that exceed the business's profitability.


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when a foreign currency is strong against the dollar, fewer units of the foreign currency are required to purchase one u.s. dollar. (True or False)

Answers

True. When a foreign currency is strong against the US dollar, it means that the exchange rate between the two currencies favors the foreign currency.

In other words, fewer units of foreign currency are needed to purchase one US dollar. This implies that the foreign currency has greater purchasing power relative to the US dollar.

For example, if the exchange rate between the US dollar and the euro is 1 USD = 0.85 EUR, it means that 0.85 euros can be exchanged for 1 US dollar.

In this case, the euro is considered strong against the US dollar because it takes fewer euros to acquire one US dollar.

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