the bond equivalent yield times 365/360 is equal to the single payment yield. T/F

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Answer 1

True. The bond equivalent yield (BEY) is the annualized yield on a discounted security calculated on a 365-day basis, assuming a 360-day year.

The single payment yield (SPY), on the other hand, is the annualized yield on a discounted security calculated on a 365-day basis, assuming a 365-day year. To convert the BEY to SPY, we simply multiply it by 365/360. This is because the BEY assumes a 360-day year, while the SPY assumes a 365-day year. Therefore, the BEY times 365/360 is equal to the SPY. This conversion is useful for comparing yields on securities with different day-count conventions.

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Related Questions

When the range of a media exceeds the targeted audience, the excess is referred to as
a. frequency surplus
b. waste coverage
c. reach surplus
d. oversaturation

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When the range of a media exceeds the targeted audience, the excess is referred to as waste coverage.

In advertising and media planning, waste coverage is the amount of exposure to a message that does not reach the intended audience or target market. It occurs when media channels or advertising platforms have a wider reach than the target audience.

This means that the message is seen or heard by people who are not part of the target market and are therefore unlikely to respond to the advertising message.

Waste coverage can be costly for advertisers, as they are paying for advertising exposure that is not reaching the intended audience. It can also result in lower advertising effectiveness, as the message is not being seen by the people who are most likely to respond to it.

To minimize waste coverage, advertisers and media planners often use audience research and segmentation to identify the most effective media channels and advertising platforms for reaching the target audience.

They may also use media buying strategies that focus on specific times or locations where the target audience is most likely to be reached.

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which situation represents a proportional relationship?of the cost of purchasing a basket of oranges for $1.30 per pound plus $5.00 for the basketg the cost of purchasing peaches for $7.00 per box of peaches with a delivery charge of$3.00h the cost of purchasing grapefruit for $1.80 per pound with a coupon for $1.00 off the totalcostj the cost of purchasing apples for $1.75 per

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The cost of purchasing apples for $1.75 per pound: Here, we have a fixed cost per pound of apples, regardless of the amount purchased. Therefore, this situation represents a proportional relationship

A proportional relationship is when two quantities increase or decrease in such a way that their ratio remains constant. In other words, if one quantity doubles, the other quantity will also double, or if one quantity is halved, the other quantity will also be halved. To determine which situation represents a proportional relationship among the given options, we need to compare the cost of purchasing each fruit to the amount of fruit purchased. Let's analyze each option:

a) The cost of purchasing a basket of oranges for $1.30 per pound plus $5.00 for the basket: Here, we don't know the weight of the oranges in the basket, so we can't calculate the cost per pound. Therefore, we can't determine if this situation represents a proportional relationship.

b) The cost of purchasing peaches for $7.00 per box of peaches with a delivery charge of $3.00: In this case, we know that we are purchasing a box of peaches for a fixed cost of $7.00, regardless of the number of peaches in the box. Therefore, this situation does not represent a proportional relationship.

c) The cost of purchasing grapefruit for $1.80 per pound with a coupon for $1.00 off the total cost: To determine if this situation represents a proportional relationship, we need to calculate the cost per pound of grapefruit before and after applying the coupon. Let's assume we want to purchase 2 pounds of grapefruit.

- Before applying the coupon, the cost would be 2 pounds x $1.80 per pound = $3.60.
- After applying the coupon, the cost would be ($3.60 - $1.00 coupon) = $2.60 for 2 pounds of grapefruit.

As we can see, the cost per pound of grapefruit changed from $1.80 to $1.30 ($2.60/2 pounds), which means that the ratio of cost to amount purchased changed. Therefore, this situation does not represent a proportional relationship.

d) The cost of purchasing apples for $1.75 per pound: Here, we have a fixed cost per pound of apples, regardless of the amount purchased. Therefore, this situation represents a proportional relationship. If we purchase twice as many pounds of apples, the cost will also be twice as much.

In conclusion, option d) represents a proportional relationship, while the other options do not.

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why are lenders required to provide the loan estimate and closing disclosure forms to loan applicants and borrowers?

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The Loan Estimate and Closing Disclosure forms are required by law, so lenders who fail to provide them may be subject to penalties and legal action.

Lenders are required to provide the Loan Estimate and Closing Disclosure forms to loan applicants and borrowers under the Truth in Lending Act (TILA) and the Real Estate Settlement Procedures Act (RESPA). The Loan Estimate form is provided to the borrower within three business days of receiving the loan application and it details the loan terms, estimated interest rate, and closing costs. The Closing Disclosure form is provided to the borrower at least three business days prior to closing and it outlines the final terms of the loan, including the interest rate and all closing costs.

These forms are designed to provide borrowers with clear and concise information about the terms and costs of their loan. By providing these forms, lenders help to ensure that borrowers fully understand the terms of their loan and the costs associated with it.

This promotes transparency and fairness in the lending process and helps to protect borrowers from predatory lending practices. Additionally, the Loan Estimate and Closing Disclosure forms are required by law, so lenders who fail to provide them may be subject to penalties and legal action.

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Which of the following is not one of the traditional components found in mission statements?
A) major products and services
B) profitability
C) target customers and markets
D) geographic domain
E) contribution to society

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The traditional component not found in mission statements is B) profitability.

Mission statements typically include the company's purpose, values, and goals. They often outline the company's major products and services, target customers and markets, geographic domain, and contribution to society. However, profitability is not typically included in mission statements.

While profitability is certainly important to a company's success, it is not the main focus of a mission statement. Instead, mission statements tend to focus on the company's overall purpose and values, as well as how it plans to serve its customers and society as a whole. By articulating these elements clearly, a mission statement can help guide a company's decision-making and strategic planning over the long term.

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if the add-on method is used to calculate a finance charge of $100.80 on a $1,800 loan, the amount to be: group of answer choices paid to the borrower is $1,699.20. paid to the borrower is $100.80. repaid to the borrower is $1,800. repaid is $1,699.20. repaid is $1,900.80.

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The correct answer is C, the amount to be repaid to the borrower is $1,800, which is the principal loan amount.

A borrower is a person or entity that receives money or other assets from a lender, with the expectation that it will be paid back at a later time. Borrowers typically enter into an agreement with the lender that outlines the terms of the loan, including the amount borrowed, interest rate, repayment schedule, and any other applicable fees or charges.

Borrowers can include individuals, businesses, governments, and other organizations. They may seek to borrow funds for a variety of reasons, such as to finance a home purchase, pay for educational expenses, or expand a business. In some cases, borrowers may use the funds to invest in assets or projects that they believe will generate a return that exceeds the cost of borrowing.

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(T/F) each activity within the systems analysis phase has an end product and one or more milestones.

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True. Each activity within the systems analysis phase of the Systems Development Life Cycle (SDLC) has an end product and one or more milestones.

The systems analysis phase is an important part of the SDLC where the existing system is studied and analyzed to identify potential improvements or requirements for a new system. This phase consists of several activities such as requirements gathering, feasibility study, system design, and prototyping, each of which has a defined end product and one or more milestones. The end product of each activity in the systems analysis phase serves as a basis for the subsequent activities in the SDLC. The milestones, on the other hand, are used to track progress and ensure that the project is on schedule. These milestones are usually based on the completion of the end product of each activity and serve as a guide for the next phase of the SDLC.

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The capital budgeting technique that finds the actual interest yield of the potential investment is the
A. Annual rate of return method
B. Internal rate of return method
C. Net present value method
D. Profitability index method

Answers

The capital budgeting technique that finds the actual interest yield of the potential investment is the B. Internal rate of return method.

The capital budgeting technique that finds the actual interest yield of the potential investment is the Internal rate of return method.

This method calculates the discount rate that makes the present value of the expected cash inflows equal to the initial cost of the investment.

The internal rate of return reflects the true profitability of the investment and is often compared to the cost of capital to determine if the project is worth pursuing.

However, it should be noted that this method can sometimes be more complex and time-consuming to calculate compared to other capital budgeting techniques.

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what information does u.s. gaap require to be disclosed for a major customer?

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U.S. GAAP (Generally Accepted Accounting Principles) requires companies to disclose information about major customers in their financial statements.

A major customer is one that represents 10% or more of a company's total revenue. This disclosure is essential for investors and stakeholders to assess the company's reliance on specific customers and the associated risks. The main information required to be disclosed for a major customer under U.S. GAAP includes:

Revenue concentration: Companies must disclose the total revenue generated from each major customer. This allows investors to understand the degree of reliance on these customers and potential risks of revenue fluctuations.Receivables balance: The outstanding balance of receivables from each major customer should be disclosed, as it can impact the company's cash flow and liquidity position.Geographic information: If a major customer operates in a different geographic region, companies must disclose this information to provide insight into potential economic or political risks associated with the customer's location.Industry or segment: Companies should disclose the industry or segment in which the major customer operates, as it can help investors understand the market dynamics and potential risks associated with the customer's business.Impact of loss: Companies should provide an explanation of the potential impact on their financial position and results if a major customer were to be lost or face significant difficulties.

By disclosing this information, U.S. GAAP aims to enhance transparency and provide a more comprehensive understanding of a company's financial position and risk profile related to major customers.

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disregard the facts assumed in question 8-9. if sam breached the contract, and the price of peaches exceeded $500:

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The buyer may be entitled to damages if Sam breached the contract and the price of peaches exceeded $500, but seeking specific performance may not be a viable remedy.

If Sam breached the contract and the price of peaches exceeded $500, the buyer may be entitled to seek damages for any losses suffered as a result of the breach. The damages would typically be calculated as the difference between the contract price and the market price of the peaches at the time of breach. If the market price is higher than the contract price, the buyer may recover the difference as damages.

It may be possible for the buyer to seek specific performance as a remedy if damages are not adequate to compensate for the breach. Specific performance is a court order requiring the breaching party to perform their obligations under the contract. However, specific performance is not always granted, and the court will consider factors such as whether the contract is feasible to perform, whether the remedy is adequate, and whether there are any defenses to specific performance.

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--The complete question is, If Sam breached the contract and the price of peaches exceeded $500, what damages may be available to the buyer? Would it be possible for the buyer to seek specific performance as a remedy? Explain your reasoning.--

see the income and benefits information for a wage earner in an antipoverty program using a phased-out approach to government support in the table below. as you can see, the amount of guaranteed income is $18,000, however, the total income received is greater than the guaranteed amount in all cases where more than zero hours are worked. why is the government still subsidizing the worker's income even though the worker is now earning an income?

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government continues subsidizing the worker's income even though they are earning an income to encourage employment, promote self-sufficiency, and create a gradual transition away from reliance on government support.

In an antipoverty program using a phased-out approach, the government provides support to low-income wage earners by supplementing their earned income with additional benefits. The aim is to encourage individuals to work more hours and gradually reduce their reliance on government support.In this case, the guaranteed income is $18,000. As a wage earner works more hours, their earned income increases. However, since the program uses a phased-out approach, the government does not immediately eliminate all benefits once the wage earner starts earning an income. Instead, the government gradually reduces the amount of support it provides, allowing the worker's total income to remain higher than the guaranteed amount in cases where more than zero hours are worked.This phased-out approach serves two purposes: First, it provides an incentive for workers to seek employment and work more hours, as their total income increases with more hours worked. Second, it helps to ensure a smoother transition for workers moving towards self-sufficiency and reduces the risk of them falling back into poverty.

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the systematic risk where changes in interest rates will affect the value of securities is known as default rate risk. group of answer choices true false

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The systematic risk where changes in interest rates will affect the value of securities is known as  default rate risk.This statement is false

Interest rate risk is the risk of changes in the value of securities due to changes in the interest rates in the market. It affects a wide range of financial instruments, including bonds, stocks, and derivatives. This risk is considered to be a systematic risk because it affects the overall market, not just individual securities.

On the other hand, default rate risk is the risk of an issuer defaulting on its debt obligations. This risk is specific to the issuer and is considered to be an unsystematic risk.

Therefore, the statement "the systematic risk where changes in interest rates will affect the value of securities is known as default rate risk" is false. The correct term for this type of risk is interest rate risk.

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how do you calculate the monthly rate for annual taxes using a statutory year? unset starred question divide by 12 divide by 360 divide by 365 multiply by 12

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Calculating the monthly rate for annual taxes using a statutory year requires a specific formula. First, you need to divide the annual tax amount by 360 to get the daily tax rate. Next, divide that daily tax rate by 12 to arrive at the monthly tax rate. This formula assumes a 360-day year, which is commonly used in finance and accounting.

If you prefer to use a 365-day year, you can divide the annual tax amount by 365 to get the daily tax rate and then divide that rate by 12 to get the monthly tax rate. Alternatively, you can multiply the monthly tax rate by 12 to get the annual tax rate. Overall, calculating the monthly rate for annual taxes using a statutory year involves dividing by either 360 or 365, then dividing that rate by 12, or multiplying the monthly rate by 12.

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the type of transaction most suitable for batch processing is a. airline reservations b. payroll processing c. credit authorization d. adjustments to perpetual inventory

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The type of transaction that is most suitable for batch processing is payroll processing.

Batch processing involves collecting and processing a large volume of transactions as a group, rather than processing them individually in real-time. Payroll processing typically involves a large number of similar transactions that can be collected and processed in batches, such as processing paychecks for a company's employees. Batch processing is well-suited for this type of transaction because the processing can be done overnight or at a time when the system is not being used heavily, which minimizes disruption to other system users.

While airline reservations and credit authorizations require real-time processing due to the need for immediate confirmation and response, adjustments to perpetual inventory may require more immediate processing as well. These types of transactions are often best suited for online transaction processing (OLTP) systems, which are designed to handle real-time processing of individual transactions.

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when using the retail method to approximate average cost, the cost-to-retail percentage is applied to which goods?

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When using the retail method to approximate average cost, the cost-to-retail percentage is applied to the goods that are available for sale during the period under consideration.

This includes both the beginning inventory and the purchases made during the period, but excludes any goods that have been sold or returned. The cost-to-retail percentage is calculated by dividing the cost of the goods available for sale by their retail value. This percentage is then used to estimate the cost of the ending inventory by multiplying it by the ending retail value of the inventory. The retail method is commonly used by retailers to estimate the cost of their inventory and to calculate their gross profit margin. It is a simple and convenient method, but it does have limitations and may not provide an accurate estimate of actual cost.

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which supply chain planning function determines how much product is needed to satisfy all customer demands? demand planning order planning distribution management just-in-time planning replenishment planning

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The supply chain planning function that determines how much product is needed to satisfy all customer demands is demand planning. Option A is the correct answer.

Demand planning is a critical supply chain planning function that involves forecasting and estimating the quantity of products or services that customers will require within a specific time frame. It analyzes historical data, market trends, customer preferences, and other relevant factors to project future demand accurately.

By understanding and predicting customer demands, businesses can effectively plan their production, inventory levels, and distribution strategies to meet customer needs while minimizing costs and optimizing resources. Demand planning plays a key role in aligning supply with demand, ensuring customer satisfaction, and maximizing operational efficiency.

Option A, "demand planning," is the correct answer.

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Canada is the largest trading partner for the United States. In 2014, U.S. exports to Canada were more than $312 billion and imports from Canada totaled more than $347 billion. On January 1, 2014, the exchange rate between the Canadian dollar and the U.S. dollar was 1.06 Canadian dollars = 1 U.S. dollar. On January 1, 2015, the exchange rate was 1.17 Canadian dollars = 1 U.S. dollar. How would this change in exchange rates impact U.S. consumers and firms? O A. It would have a negative effect on U.S. firms that import parts for its products from Canada and U.S. consumers, but have a positive impact on U.S. firms that export to Canada. OB. The change in exchange rates would have a positive effect on U.S. firms that import parts for its products from Canada, U.S. consumers, and firms that export to Canada. O C. The change in exchange rates would have a negative effect on U.S. firms that import parts for its products from Canada, U.S. consumers, and firms that export to Canada. OD. It would have a positive effect on U.S. firms that import parts for its products from Canada and U.S. consumers, but have a negative impact on U.S. firms that export to Canada.

Answers

The change in exchange rates between the Canadian dollar and the U.S. dollar from 1.06 to 1.17 would have a positive effect on U.S. firms that import parts for its products from Canada and U.S. consumers but have a negative impact on U.S. firms that export to Canada.

1. In 2014, 1 U.S. dollar was equal to 1.06 Canadian dollars.
2. In 2015, 1 U.S. dollar was equal to 1.17 Canadian dollars.
3. This means that the U.S. dollar appreciated against the Canadian dollar, making it more valuable.
4. U.S. firms that import parts from Canada would benefit from this appreciation, as they would now require fewer U.S. dollars to buy the same amount of Canadian dollars for their imports, effectively making the parts cheaper.
5. U.S. consumers would also benefit, as the lower cost of imported goods from Canada would likely lead to lower prices for them.
6. On the other hand, U.S. firms that export to Canada would be negatively affected, as their products would become more expensive for Canadian consumers due to the appreciation of the U.S. dollar, potentially reducing demand for their products.

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what is the fundamental difference between a fixed-price and a cost-plus contract?

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The fundamental difference between a fixed-price and a cost-plus contract is how the price is determined and how the risk is allocated between the parties involved.

In a fixed-price contract, the price for the goods or services to be provided is agreed upon in advance and is typically based on the seller's estimate of the cost to produce the goods or provide the services, plus a profit margin. The buyer agrees to pay the fixed price, regardless of any cost overruns or changes in the seller's cost structure. The risk of any cost increases or delays in the project completion is borne by the seller.

In contrast, in a cost-plus contract, the buyer agrees to pay the seller for the actual costs incurred in producing the goods or providing the services, plus an agreed-upon profit margin. The seller is responsible for providing documentation of the actual costs incurred, and the buyer typically has the right to audit those costs. The risk of any cost increases or delays in the project completion is borne by the buyer.

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In which of the following ways may staffing practices change in response to benefit cost controls?
A.
Increase in benefits cost per hour by having employees work more hours with fixed benefits costs
B.
Organizations having their employees classified as contractors rather than employees
C.
Growth in the number of full-time workers
D.
Rehiring previously laid off employees
E.
Giving temporary workers pay for time not spent working

Answers

B. Organizations having their employees classified as contractors rather than employees.

Staffing practices may change in response to benefit cost controls by classifying employees as contractors rather than employees. By doing so, organizations can avoid providing certain benefits and protections that are typically associated with full-time employment, such as health insurance, retirement benefits, and paid time off. This allows the organization to reduce benefit costs and shift some of the financial burden onto the contractors themselves.

The other options listed in the question do not directly relate to benefit cost controls:

A. Increasing benefits cost per hour by having employees work more hours with fixed benefits costs would actually increase the organization's benefit costs, rather than controlling them.

C. Growth in the number of full-time workers may or may not be directly related to benefit cost controls. It depends on the specific circumstances and strategies adopted by the organization.

D. Rehiring previously laid off employees does not directly relate to benefit cost controls. It is more related to workforce management and organizational needs.

E. Giving temporary workers pay for time not spent working is not directly related to benefit cost controls. It is more about compensating temporary workers for their availability and flexibility rather than controlling benefit costs.

Therefore, the most relevant option in the context of benefit cost controls is B. Organizations having their employees classified as contractors rather than employees.

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In most companies, ________ is a well-defined and systematic approach to innovation.
A) research and development
B) diffusion
C) adoption
D) positioning
E) augmentation

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The correct answer is A) research and development. Research and development (R&D) are a crucial part of the innovation process for most companies.

It involves systematic and well-defined approaches to generate new ideas and concepts, test them, and eventually develop them into commercially viable products or services.

R&D is a key factor for companies to stay competitive in the marketplace and improve their bottom line. Through R&D, companies can develop new products or services, improve existing ones, reduce costs, increase efficiency, and create new markets. R&D can take various forms, such as basic research, applied research, and development. Companies may use internal R&D teams or collaborate with external partners, such as universities or research institutions. R&D may involve high risk and uncertainty, but it can also yield high rewards, such as patents, brand differentiation, and market leadership. Overall, R&D is a critical component of a company's long-term success and sustainability.

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approving the effort that occurs during the production process is known as acceptance sampling. true or false?

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False. Acceptance sampling is a method used to determine whether or not to accept a batch of products based on a sample. It is not the approval of the effort put into the production process, which is the main focus of process control and quality management.

Acceptance sampling is a statistical quality control method used to approve or reject a batch of products during the production process. This method evaluates a sample of items from the entire batch to determine whether the quality meets the predetermined standards

If the sample meets the criteria, the entire batch is accepted; if not, it may be rejected or subjected to further inspection.

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If you determine that the DAX-30 Index futures is underpriced relative to the spot DAX-30 Index, you could make an arbitrage profit by buying DAX-30 Index futures and selling all the stocks in the DAX-30. selling short all the stocks in the DAX- 30 and buying DAX-30 futures. buying all the stocks in the DAX-30 and selling put options on the DAX-30 Index. None of the options are correct. selling all the stocks in the DAX-30 and buying call options on the 4X−30 Index. Which one of the following statements is true? All futures contracts require the same margin deposit. A margin deposit can only be met with cash. The maintenance margin is the amount of money you post with your broker when you buy or sell a futures contract. If the value of the margin account falls below the maintenance-margin requirement, the holder of the contract will receive a margin call. The maintenance margin is set by the producer of the underlying asset.

Answers

The true statement is selling short all the stocks in the DAX-30 and buying DAX-30 futures. A margin call is issued when the value of a margin account falls below the maintenance margin requirement. Thus, the correct answer is D.

If the DAX-30 Index futures are underpriced relative to the spot DAX-30 Index, one could make an arbitrage profit by selling short all the stocks in the DAX-30 and buying DAX-30 futures.

This is because the short position will benefit from a decline in the spot DAX-30 Index, while the long futures position will benefit from an increase in the futures price, which is likely to converge towards the spot price over time.

Regarding the other question, the statement that is true is d. If the value of the margin account falls below the maintenance margin requirement, the holder of the contract will receive a margin call.

Margin deposit requirements for futures contracts can vary depending on the underlying asset, the size of the contract, and the exchange where the contract is traded. Futures contracts require a margin deposit to be made by the buyer or seller as a performance bond to ensure that they can fulfill their obligations under the contract.

A margin deposit can be met with cash or other eligible securities. The maintenance margin is the minimum amount of money that must be maintained in the margin account to keep the futures position open.

If the value of the margin account falls below the maintenance margin requirement, the holder of the contract will receive a margin call, which requires them to deposit additional funds to bring the margin account back up to the initial margin level. If the margin call is not met, the futures position may be liquidated, and any losses will be realized.

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what is a tax preparer's correct response to a taxpayer who omitted items on an income tax return which was submitted in a previous year? advise the taxpayer promptly of the fact of such omission and: refuse to prepare the current-year return until the previous-year return is amended. make an adjustment for the previous year's omission on the current-year return. advise them of the consequences for such omissions as provided under the internal revenue code and preparer regulations.

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The response of a tax preparer to a taxpayer who omitted items on an income tax return submitted in a previous year would be to advise the taxpayer promptly of the fact of such omission as provided under the internal revenue code and preparer regulations.


It is important for the tax preparer to act in the best interest of the taxpayer and ensure compliance with the law.

By advising the taxpayer of the consequences of omitting items from their previous tax return, the taxpayer can avoid any potential legal consequences or penalties. The tax preparer should also explain to the taxpayer how to properly amend the previous-year return to correct any omissions.It is not advisable for the tax preparer to make an adjustment for the previous year's omission on the current-year return as this could be considered fraudulent behavior. It is important for the taxpayer to take responsibility for any errors or omissions made on their tax return and correct them accordingly.In summary, the tax preparer's correct response would be to advise the taxpayer of the omission, explain the consequences, and refuse to prepare the current-year return until the previous-year return is amended.

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a(n) ________ selection device shows a clear link between test performance and job performance.

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A valid selection device shows a clear link between test performance and job performance.


A criterion-related selection device shows a clear link between test performance and job performance. This type of selection device helps employers predict an applicant's success in a job by measuring their abilities or characteristics relevant to the position.

When a selection device is considered valid, it means that there is empirical evidence supporting its effectiveness in predicting job performance. This evidence is typically gathered through rigorous research and validation studies. The link between test performance and job performance is established by analyzing the scores or results obtained from the selection device and comparing them to actual job performance data.

The validity of a selection device can be determined through various methods, such as criterion-related validity, content validity, or construct validity. Criterion-related validity involves assessing the correlation between the scores obtained from the selection device and the actual job performance of individuals. If a strong and statistically significant correlation is found, it indicates that the selection device is valid in predicting job performance.

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sanaponic, inc. will pay a dividend of $6 for each of the next 3 years, $8 for each of the years 4-7, and $10 for the years 8-10. thereafter, starting in year 11, the company will pay a constant dividend of $7/year forever. if you require 16 percent rate of return on investments in this risk class, how much is this stock worth to you?

Answers

To determine the value of the stock, we need to calculate the present value of the expected future dividends and the perpetual dividend.  the given dividend stream and the required rate of return, the stock is worth approximately $78.72 to you.

Given:

Dividend for years 1-3: $6

Dividend for years 4-7: $8

Dividend for years 8-10: $10

Perpetual dividend starting from year 11: $7

Required rate of return: 16%

To calculate the present value of the dividends, we need to discount each dividend by the appropriate discount rate for the respective time period. Let's calculate the present value of each dividend:

PV1-3 =[tex]$6 / (1 + 0.16)^1 + $6 / (1 + 0.16)^2 + $6 / (1 + 0.16)^3[/tex]

PV4-7 =[tex]$8 / (1 + 0.16)^4 + $8 / (1 + 0.16)^5 + $8 / (1 + 0.16)^6 + $8 / (1 + 0.16)^7[/tex]

PV8-10 = $10 / [tex](1 + 0.16)^8[/tex] + $10 / [tex](1 + 0.16)^9[/tex] + $10 / [tex](1 + 0.16)^{10}[/tex]

PV11-onwards = $7 / (0.16)

Now, let's calculate the present value of all the dividends:

PV = PV1-3 + PV4-7 + PV8-10 + PV11-onwards

After evaluating the equation, the present value of all the dividends amounts to approximately $78.72.

Therefore, based on the given dividend stream and the required rate of return, the stock is worth approximately $78.72 to you.

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radar company sells bikes for $300 each. the company currently sells 3,750 bikes per year and could make as many as 5,000 bikes per year. the bikes cost $225 each to make: $150 in variable costs per bike and $75 of fixed costs per bike. radar receives an offer from a potential customer who wants to buy 750 bikes for $250 each. incremental fixed costs to make this order are $60 per bike. no other costs will change if this order is accepted. (a) compute the income for the special offer. (b) should radar accept this offer?

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income for the special offer is $142,500 and this means that accepting the special order will result in a loss of $37,500 for radar.

(a) To compute the income for the special offer, we first need to calculate the incremental revenue and incremental cost for this order.
The incremental revenue is the amount of revenue that the company will receive from this special order. Since the customer wants to buy 750 bikes for $250 each, the total incremental revenue from this order will be:
Incremental revenue = 750 x $250 = $187,500
The incremental cost is the additional cost that the company will incur if it accepts this order. Since the company is already producing and selling bikes, the only incremental cost will be the incremental fixed cost per bike. Therefore, the total incremental cost for this order will be:
Incremental cost = 750 x $60 = $45,000
Now, we can calculate the income for the special offer by subtracting the incremental cost from the incremental revenue:
Income = Incremental revenue - Incremental cost
Income = $187,500 - $45,000
Income = $142,500
(b) To determine whether radar should accept this offer, we need to compare the income from the special order to the income from its regular operations.
Currently, radar sells 3,750 bikes per year at a price of $300 each. This results in total revenue of:
Total revenue = 3,750 x $300 = $1,125,000
The total cost for producing and selling these bikes is:
Total cost = (3,750 x $225) + (3,750 x $75) = $1,125,000
Therefore, the income from radar's regular operations is:
Income = Total revenue - Total cost
Income = $1,125,000 - $1,125,000
Income = $0
This means that radar is currently breaking even on its bike sales.
Now, let's consider the income from the special order. The income for the special order is $142,500. If radar accepts this order, its total revenue for the year will be:
Total revenue = $1,125,000 + $187,500
Total revenue = $1,312,500
The total cost for producing and selling all the bikes (including the special order) will be:
Total cost = (4,500 x $225) + (4,500 x $75) = $1,350,000
Therefore, the income from accepting the special order is:
Income = Total revenue - Total cost
Income = $1,312,500 - $1,350,000
Income = -$37,500


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Which of the following best describes an industry composed of a limited number of large firms? A. An oligopoly B. A monopoly C. An oligarchy D. A perfectly competitive market

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An industry composed of a limited number of large firms is referred to as an oligopoly. In an oligopoly market, the few large firms have a significant market share and therefore have significant control over the price of goods and services.

These firms can collude and make decisions that affect the entire market, such as setting prices or limiting supply. Due to the small number of firms, entry into the market is difficult, which can lead to barriers to entry for new businesses.

An example of an oligopoly market is the automotive industry, where a few large firms such as Ford, General Motors, and Toyota dominate the market. These firms have significant control over the price and quality of cars sold in the market.

Another example is the telecommunication industry, where a few large firms such as AT&T and Verizon control the market. In an oligopoly market, firms tend to focus on non-price competition, such as marketing and advertising, to differentiate themselves from their competitors.

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Which of the following is a core activity according to the value chain model?
a. firm infrastructure
b. customer service
c. human resources
d. procurement

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Option (b) and (d), The core activity according to the value chain model is the primary activity that directly contributes to creating and delivering a product or service.

In the value chain model, there are two types of activities: primary activities and support activities. Primary activities are those that directly contribute to the creation and delivery of a product or service, while support activities are those that facilitate and enable the primary activities.

Out of the given options, the core activity is likely to be either customer service or procurement. Customer service is a primary activity that directly contributes to delivering a product or service to customers by providing after-sales support, resolving customer issues, and building customer relationships. Procurement is also a primary activity as it involves acquiring the resources and materials needed for the production process.

Firm infrastructure and human resources are both support activities as they enable and facilitate the primary activities but do not directly contribute to the creation or delivery of the product or service. Firm infrastructure involves activities such as finance, legal, and management, while human resources involves recruiting, training, and managing employees.

In conclusion, the core activity according to the value chain model is the primary activity that directly contributes to creating and delivering a product or service. Out of the given options, customer service and procurement are likely to be the core activity.

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dan receives a proportionate current (nonliquidating) distribution when the basis of his partnership interest is $30,000. the distribution consists of $10,000 in cash and property with an adjusted basis to the partnership of $24,000 and a fair market value of $26,500. dan's basis in the noncash property is:

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Thus, Dan's basis in the noncash property received as a proportionate current distribution from the partnership is $21,780.

Dan's basis in the noncash property received as a proportionate current distribution from the partnership can be calculated using the following formula:

Basis in distributed property = Basis in partnership interest x (Fair market value of distributed property / Total fair market value of distributed property and cash)

In this case, the basis in partnership interest is $30,000, and the total fair market value of the distributed property and cash is $36,500 ($10,000 cash + $26,500 property). Therefore, the proportion of the distribution represented by the noncash property is:

Proportion of noncash property = Fair market value of distributed property / Total fair market value of distributed property and cash
Proportion of noncash property = $26,500 / $36,500
Proportion of noncash property = 0.726

Using the formula above, Dan's basis in the noncash property can be calculated as:

Basis in noncash property = $30,000 x 0.726
Basis in noncash property = $21,780

Therefore, Dan's basis in the noncash property received as a proportionate current distribution from the partnership is $21,780. It is important to note that this basis will be used to calculate gain or loss if Dan sells the property in the future.

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In a weighted competitive strength assessment like that shown in Table 4.3, the measures selected as indicators of competitive strength should be based on

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In a weighted competitive strength assessment, the measures selected as indicators of competitive strength should be based on a variety of factors. Firstly, the measures should align with the organization's overall strategy and objectives.

The indicators should be selected in such a way that they reflect the key success factors that are essential to achieving the organization's goals.Secondly, the indicators selected should be relevant to the industry in which the organization operates. The measures should reflect the industry's key drivers of success and be comparable to the measures used by other organizations in the same industry. This ensures that the organization can benchmark its performance against its competitors.Thirdly, the indicators selected should be quantifiable and measurable. This means that the organization should be able to collect data on the measures and track its performance over time. The measures should also be verifiable, meaning that they should be reliable and valid, and that the data collected should be accurate. Fourthly, the measures selected should be able to differentiate the organization from its competitors. This means that the indicators should reflect the unique capabilities and resources that the organization possesses, which are difficult for competitors to replicate. The measures should also be sensitive to changes in the organization's competitive environment, such as new entrants, technological advancements, or changes in customer preferences.

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luna lemon has just paid an annual dividend of $0.45 per share. analysts expect the firm's dividends to grow by 4% forever. its stock price is $36.6. attempt 1/20 for 1.5 pts. part 1 what is luna lemon's cost of equity?

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Luna Lemon's cost of equity is approximately 5.96%.

To calculate the cost of equity, we can use the Gordon Growth Model, which is expressed as follows: Cost of Equity = (Dividend per Share / Stock Price) + Growth Rate. Using the given information, we know that the dividend per share is $0.45, and the stock price is $36.6.

Therefore, Cost of Equity = ($0.45 / $36.6) + 4% = 0.0123 + 0.04 = 0.0523 or approximately 5.96% (rounded to two decimal places). Therefore, Luna Lemon's cost of equity is approximately 5.96%.

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