the next dividend payment by im, incorporated, will be $1.48 per share. the dividends are anticipated to maintain a growth rate of 5 percent forever. the stock currently sells for $27 per share. a. what is the dividend yield? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b. what is the expected capital gains yield? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Answer 1

a. The dividend yield can be calculated by dividing the annual dividend per share by the current market price per share. In this case, the annual dividend per share is expected to be $1.48, so the dividend yield is: Dividend Yield = ($1.48 / $27) x 100% = 5.48%


Therefore, the dividend yield is 5.48%.

b. The expected capital gains yield can be calculated as the difference between the expected future price of the stock and the current price, divided by the current price. Assuming that the stock price will grow at the same rate as the dividend, the future price of the stock can be calculated as:

Future Price = Current Price x (1 + Growth Rate)

= $27 x (1 + 0.05) = $28.35

Therefore, the expected capital gains yield is: Capital Gains Yield = ($28.35 - $27) / $27 x 100% = 5.00%

The dividend yield is a measure of the return on investment from the dividend payment, while the capital gains yield is a measure of the return on investment from the change in stock price. In this case, the dividend yield is higher than the capital gains yield, which means that investors in this stock are receiving a higher return from the dividend payment than from the expected increase in stock price.
A. The dividend yield is 5.48%.

To calculate the dividend yield, you can use the following formula:

Dividend Yield = (Dividend per Share / Current Stock Price) x 100

In this case, the dividend per share is $1.48 and the current stock price is $27. Plugging these values into the formula:

Dividend Yield = ($1.48 / $27) x 100 = 0.0548 x 100 = 5.48%

B. The expected capital gains yield is 5%.

Since the dividends are anticipated to maintain a growth rate of 5% forever, the expected capital gains yield will be equal to the growth rate of the dividends, which is 5%.

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Related Questions

economies of scale refer to the fact that as a question 23select one: a. quantity of product produced in a given period increases, the cost of manufacturing each unit increases b. quantity of product produced in a given period increases, the cost of manufacturing each unit decreases c. quantity of product produced in a given period decreases, the cost of each unit produced decreases. d. quantity of product produced in a given period increases, the cost of manufacturing each unit remains constant

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As the quantity of product produced in a given period increases, the cost of manufacturing each unit decreases.Economic scale refer to the phenomenon where the cost of producing a product decreases as the scale of production increases.

When a company increases its production scale, it benefits from economies of scale which allows for cost savings. This is because as production increases, the fixed costs associated with the production process, such as rent, utilities, and equipment, are spread over a larger number of units, thereby reducing the cost per unit. Additionally, larger production runs also allow for better negotiation power with suppliers for lower prices on raw materials and components. This further lowers the cost of each unit produced.

This is because as the quantity of products produced increases, the fixed costs associated with producing each unit are spread over a larger number of units. This results in a lower cost per unit.Moreover, larger production runs may also allow companies to invest in more efficient production methods and technologies that further reduce the cost of production per unit.

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true or false? in recent years, many pharmaceutical companies have changed their promotional strategies from a push to a pull strategy in terms of their communication approach in order to get physicians to write scripts for their brand of drugs.

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True. In recent years, many pharmaceutical companies have shifted their promotional strategies from a push approach to a pull approach in terms of their communication with physicians.

This means that instead of bombarding doctors with ads and sales reps, companies are now focusing on providing valuable information and resources to physicians, such as clinical data and patient support programs.

The goal is to establish trust and credibility with doctors, ultimately leading to increased prescription rates for their brand of drugs. This shift in communication approach reflects a growing recognition that traditional push strategies are often ineffective and can even damage the reputation of pharmaceutical companies.
True. In recent years, many pharmaceutical companies have shifted their communication approach from a push to a pull strategy. This change in promotional strategies is aimed at encouraging physicians to write prescriptions for their specific brand of drugs. By focusing on effective communication and providing valuable information, pharmaceutical companies can build trust and credibility with healthcare professionals, ultimately influencing their prescribing decisions.

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Today, about __ percent of oil reserves are controlled by states in some form.

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Today, about 90 percent of oil reserves are controlled by states in some form, according to the United States Energy Information Administration (EIA).

This means that a vast majority of the world's oil production and reserves are owned and managed by national oil companies or governments, rather than private or publicly traded oil companies.

The reasons behind the state control of oil reserves vary by country and can be influenced by factors such as economic, political, and environmental considerations. For example, some countries with large oil reserves may choose to nationalize their oil industry to ensure that the profits from oil sales benefit the state and its citizens, while others may seek to attract foreign investment through partnerships with international oil companies.

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consult the following marginal cost (mc) and average total cost (atc) information for a typical firm. quantity mc atc 3 3.5 11 4 5 9.5 5 7 9.0 6 10 9.2 7 13 9.7 8 17 10.6 suppose that in the long-run if a firm invests additional capital it will face the following costs: quantity mc atc 3 3 11.7 4 4 9.8 5 6 9.0 6 9 9.0 7 10 9.1 8 10 9.3 how many units will the firm produce if the market is in long-run equilibrium?

Answers

In the short run, the firm will produce where marginal cost (MC) equals marginal revenue (MR) in order to maximize profits. Using the information provided, we can see that the profit-maximizing output level is 5 units, where MC = $7 and ATC = $9.0.

In the long run, the firm will adjust its capital and production levels to minimize its average total cost (ATC) and remain competitive in the market. Based on the new cost information provided, we can see that the long-run equilibrium output level for the firm is where MC = ATC.

Using the new information, we can see that the long-run equilibrium output level is also 5 units, where MC = $6 and ATC = $9.0. Therefore, the firm will continue to produce 5 units in the long run in order to remain competitive in the market and minimize its costs.

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Variable costing treats ______ manufacturing costs as product costs.

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Variable costing is a cost accounting method that only considers variable manufacturing costs as product costs. These costs include direct materials, direct labour, and variable overhead expenses.

Under variable costing, fixed manufacturing costs, such as rent and salaries, are considered period expenses and are not included in the cost of goods sold. The reason variable costing treats only variable manufacturing costs as product costs is that they vary in direct proportion to the level of production. For example, if a company increases production, it will need to purchase more direct materials and hire more labour, resulting in an increase in variable manufacturing costs. On the other hand, fixed manufacturing costs remain constant regardless of the level of production.

Variable costing provides a clearer picture of the true cost of producing a product because it considers only the costs that are directly attributable to the product. This method is particularly useful for decision-making purposes, such as pricing and product mix decisions. It can also help identify the breakeven point, which is the point at which a company's revenues cover its variable and fixed costs.

In summary, variable costing treats only variable manufacturing costs as product costs, while fixed manufacturing costs are considered period expenses. This method provides a more accurate reflection of the cost of producing a product and can aid in decision-making and break-even analysis.

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Which of the following factors could explain why Spartan Financial's net income increased sharply from the previous year, yet its net cash provided from operations declined?
A) Spartan Financial's cost of goods sold increased.
B) Spartan Financial's depreciation expense declined.
C) Spartan Financial's dividend payment to common stockholders declined.
D) Spartan Financial's interest expense increased.
E) Spartan Financial's expenditures on fixed assets declined.

Answers

The fact that Spartan Financial's depreciation expenditure decreased may help to explain why, despite a dramatic rise in net income from the prior year, net cash supplied by operations decreased. Option B is Correct.

The net amount of cash and cash equivalents coming into and going out of a business is referred to as cash flow. Money spent and money received reflect inflows and outflows, respectively. Increased revenues result in higher net income, and higher net income results in higher stockholders' equity.

The whole selling price of long-lived assets is counted as part of investment activity. A cash flow statement's numbers are unchangeable. "Bottom Line" The net increase (decrease) in cash and cash equivalents is the statement's final line item. It is calculated by adding together all cash inflows and outflows. Option B is Correct.

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steve would like to purchase a $1,000,000 20-year endowment policy. he is 21-years old at the time the policy is set up. what will be his annual premium?

Answers

Consulting with a life insurance agent or company to obtain the necessary information and determine the exact annual premium for his 20-year, $1,000,000 endowment policy.

To calculate the annual premium for Steve's 20-year endowment policy with a face value of $1,000,000, we'll need to consider a few factors such as the mortality rate, interest rate, and his age at the time the policy is set up. However, without that specific information, I cannot provide an exact amount for his annual premium.

In general, the process to calculate the annual premium for an endowment policy involves the following steps:

1. Determine the mortality rate for Steve's age group. This can usually be found in a life insurance table.

2. Calculate the net single premium (NSP) using the mortality rate and the interest rate. The NSP represents the present value of the benefits provided by the policy.

3. Determine the policy reserve, which is the present value of future benefits minus the present value of future premiums.

4. Calculate the annual premium by dividing the net single premium minus the policy reserve by the present value of an annuity for the policy term.

Without the specific rates and values, it's not possible to give an exact premium amount for Steve's policy. I recommend consulting with a life insurance agent or company to obtain the necessary information and determine the exact annual premium for his 20-year, $1,000,000 endowment policy.

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when a production firm persuades a well-known actor to take a lower salary in exchange for getting a percentage of the money that the production firm earns from the distributor, this is known as:

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When production firm persuades a well-known actor to take a lower salary in exchange for getting a percentage of the money when the production firm earns from the distributor, this is known as profit sharing.

Profit sharing is a compensation arrangement in which an employee or a contractor receives a share of the profits or revenues generated by the business in addition to their regular salary or fee.

In the entertainment industry, profit sharing is often used as a way to incentivize actors, directors, and other talent to work on a project by offering them a lower upfront payment in exchange for a percentage of the profits that the project generates. This allows the production firm to reduce its upfront costs and share the risks and rewards of the project with the talent involved.

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--The given question is incomplete, the complete question is

"when a production firm persuades a well-known actor to take a lower salary in exchange for getting a percentage of the money that the production firm earns from the distributor, this is known as ----------."--

the production budget shows expected unit sales of 33000. beginning finished goods units are 4900. required production units are 37600. what is the desired number of units in ending finished goods>

Answers

The production budget shows expected unit sales of 33000. beginning finished goods units are 4900. required production units are 37600 number of units in ending finished goods is $4.76.

The months of January, February, and March are included in the first quarter's production budget. Since the materials are covered by the materials purchase budget, they are not included.

Sales are anticipated to total $390,000

(or 75,000 units), with a profit target of $33,000.

We must first figure out the total desired.

Cost:

Total desired cost = Sales - Total desired profit

Total cost desired = 390,000 - 33,000 = $357,000

The unitary desired cost is now:

Total cost / number of units equals unitary cost.

Cost per unit = 357,000/75,000

Cost per unit = $4.76.

Complete question:

the production budget shows expected unit sales of 33000. beginning finished goods units are 4900. required production units are 37600. what is the desired number of units in ending finished goods>?

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what does it mean to dollarize a currency? the central bank of a country pegs the country's exchange rate to be a proportion of the u.s. dollar. a group of countries merge the currencies of different countries into a single currency. a person or firms converts a foreign currency to the u.s. dollar. a foreign country uses the u.s. dollar as its currency.

Answers

The Dollarization can have both advantages and disadvantages. Advantages include greater monetary stability and lower transaction costs, while disadvantages include reduced control over monetary policy and the potential loss of seigniorage revenue (the profit earned by a government by issuing its own currency).

Dollarization refers to the adoption of the U.S. dollar as the official currency of a country, replacing the country's domestic currency. This can happen in several ways. One way is for a foreign country to use the U.S. dollar as its currency, which means that the country will no longer issue its own currency, and all transactions will be conducted in U.S. dollars. Another way is for a person or a firm to convert a foreign currency to the U.S. dollar, which involves exchanging one currency for another at an agreed-upon exchange rate.

In some cases, a country's central bank may choose to peg the country's exchange rate to be a proportion of the U.S. dollar. This means that the value of the country's currency is determined, in part, by the value of the U.S. dollar. Finally, a group of countries may merge the currencies of different countries into a single currency, such as the euro, which is used by multiple countries in the European Union.

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Experience the Tour de France (ETF) is a specialty travel agent. It arranges vacations for amateur cyclists who want to experience the Tour de France by riding through one or more stages in the race. It has five people who take calls from clients. Each call lasts on average 25 minutes, with a standard deviation of 50 minutes. A call arrives on average every 20 minutes with a standard deviation of 20 minutes.
On average, how many minutes does a caller wait before talking to an agent (minutes)?

Answers

On average, a caller would have to wait for 10 minutes before talking to an agent. We can use the M/M/1 queuing model to estimate the average waiting time for a caller before talking to an agent.

In this model:

Arrivals follow a Poisson distribution with a mean of λ arrivals per unit of time.

Service times follow an exponential distribution with a mean of 1/μ units of time per service.

There is one server.

Using the given information, we can calculate the arrival rate as:

λ = 1/20 calls per minute

And the service rate as:

μ = 1/25 calls per minute

The traffic intensity (or utilization) of the system can be calculated as:

ρ = λ/μ = (1/20)/(1/25) = 0.625

The average waiting time in the system can then be calculated as:

W = (ρ/μ) / (1 - ρ) = (0.625/(1/25)) / (1 - 0.625) = 10 minutes

Therefore, on average, a caller would have to wait for 10 minutes before talking to an agent.

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which of the following is not one of the problems and risks of cross-border strategic alliances, that is, between domestic and foreign firms?

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One of the main problems and risks of cross-border strategic alliances is the potential for cultural differences and miscommunication between the domestic and foreign firms.

Other issues can include differences in legal systems and regulations, conflicting business goals and objectives, and challenges with integrating different technologies and operations. However, one potential benefit of cross-border alliances is the ability to leverage each other's strengths and capabilities to achieve mutual success. It is important for companies to carefully consider these factors and develop a clear plan for managing and mitigating risks before entering into any cross-border strategic alliance.
One option that is NOT a problem or risk of cross-border strategic alliances between domestic and foreign firms would be "Efficient communication and understanding of cultural differences." This is because efficient communication and understanding of cultural differences are actually key factors that contribute to the success of cross-border strategic alliances, rather than posing problems or risks.

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how are non-normal cash flows modified for mirr purposes? select all that apply. multiple select question. all cash inflows are left unchanged. all cash inflows are moved to the end of the project all cash outflows are moved to time zero. all cash flows are moved to time zero.

Answers

Non-normal cash flows are modified for MIRR (modified internal rate of return) purposes by moving all cash outflows to time zero and all cash inflows to the end of the project.

When calculating the MIRR for a project with non-normal cash flows, it is important to adjust the cash flows in order to accurately reflect the project's profitability. In order to do this, all cash outflows are moved to time zero, which means they are assumed to occur at the beginning of the project. This is done because cash outflows are typically upfront costs, such as investments in equipment or facilities, that do not generate any revenue in the early stages of the project.

All cash inflows, on the other hand, are moved to the end of the project, which represents the time when the project's revenues are realized. This adjustment is made because the timing of cash inflows is often unpredictable and can vary significantly from project to project.

By making these adjustments, the MIRR calculation takes into account the time value of money and provides a more accurate measure of a project's profitability. It is important to note that in the process of modifying the cash flows for MIRR purposes, all cash inflows are not left unchanged and all cash flows are not moved to time zero.

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If a firm’s pages are not near the top of query results, customers may never discover its website. This has led to _____ becoming a critical function for many marketing organizations.

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Search engine optimization (SEO) has become a critical function for many marketing organizations, as it helps firms improve their website's visibility and ranking in search engine results.

With millions of websites competing for attention online, being at the top of the search results page is essential for driving traffic and increasing brand awareness. SEO involves various techniques such as keyword research, link building, and content optimization to make sure that a website is easily discoverable by search engines. By implementing SEO strategies, firms can increase their chances of attracting more customers and improving their online presence. As such, SEO has become an indispensable part of any digital marketing strategy, enabling businesses to stay ahead of the competition and reach their target audience more effectively.

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marlene, a self-employed 16-year-old whose parents are deceased, buys a dress on credit for $50. after receiving the dress and discovering that its reasonable value is only $25, marlene tries to disaffirm the deal before paying the $50. in this case:

Answers

As a self-employed individual, Marlene has the right to disaffirm the deal since she is not legally bound to pay for a transaction that was not reasonable.

The fact that the dress is only worth $25 and she was charged $50 means that the transaction was not reasonable. Therefore, Marlene can disaffirm the deal without having to pay the full amount.


In this case, Marlene, as a self-employed 16-year-old, is considered a minor in most jurisdictions. Minors have the legal right to disaffirm contracts, which means they can cancel the agreement. Since the dress she bought on credit has a reasonable value of only $25, Marlene is justified in attempting to disaffirm the deal before paying the full $50.

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Carl and Jenny adopt a Korean orphan. The adoption takes 2 years and two trips to Korea and is finalized in 2022. They pay $8,000 in 2021 and $7,500 in 2022 for qualified adoption expenses. In 2022, Carl and Jenny have AGI of $150,000.
If an amount is zero, enter "0".
If required, carry any division out to four decimal places and round final answers to the nearest dollar.
a. What is the adoption credit Carl and Jenny can claim in 2022?
b. How much credit could they claim if the adoption falls through and is never finalized?
c. How much credit could they claim if their AGI was $229,410?

Answers

Their total qualified adoption expenses are $7,500. Thus, the credit would be 20% of $7,500, which equals $1,500.

a. The adoption credit Carl and Jenny can claim in 2022 is calculated as 20% of their qualified adoption expenses, up to a maximum of $14,440. Their absolute qualified reception costs are $7,500. Hence, the credit would be 20% of $7,500, which approaches $1,500.

b. If the adoption falls through and is never finalized, Carl and Jenny would not be eligible for the adoption credit since the credit is available only for finalized adoptions.

c. If their AGI was $229,410, the phase-out threshold for the adoption credit would apply. The credit begins to phase out when AGI exceeds $216,660 and is completely phased out when AGI reaches $256,660. Since their AGI falls within this range, the credit amount they could claim would be reduced. The exact reduction depends on their AGI and is calculated using a formula provided by the IRS.

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a state-chartered legal entity with authority to act and have liability separate from its owners is a

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A corporation is a state-chartered legal entity with authority to act and have liability separate from its owners.

Generally, a corporation is owned by shareholders, who appoint a board of directors, who in turn appoint officers to manage the corporation. A corporation is a distinct legal entity, separate from its owners, and is subject to state and federal laws regarding formation and operation. Corporations have the authority to enter into binding contracts and other legal agreements, and can sue or be sued in its own name.

Corporations have limited liability in that shareholders are generally not liable for the debts of the corporation. It is also possible for a corporation to go public by selling ownership shares to the public. Corporations are subject to corporate taxes and are required to file periodic reports with the Securities and Exchange Commission.

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The components of M2 that are not also in M1:
A. sum to an amount that is smaller than the sum of the components of M1
B. pay lower rates of interest than do the components of M1
C. are not usable for making payments
D. are usable for making payments, but at a greater cost or inconvenience than currency or checks

Answers

Are usable for making payments, but at a higher cost or inconvenience than cash or checks, hence option D is the correct one.

M2 is a measure of the money supply that includes all the components of M1 (currency, coins, demand deposits, and traveller's checks) plus several other types of deposits that are not included in M1. These additional components of M2 include savings deposits, time deposits, and money market mutual funds. While the components of M2 are all liquid assets that can be converted into cash relatively quickly, they may have limitations on their use for making payments. For example, savings deposits and time deposits may have withdrawal restrictions or penalties for early withdrawal, which can make them less convenient for making payments compared to currency or checks. Therefore, the components of M2 that are not also in M1 are still usable for making payments, but may come at a greater cost or inconvenience than currency or checks, which are the most liquid components of M1.

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the information below was taken from the job cost sheets of igmund manufacturing. job number manufacturing costs as of june 30 manufacturing costs in july 101 $ 4,300 102 3,400 103 890 $ 2,000 104 2,200 4,200 105 6,300 106 3,100 during july, jobs no. 103 and 104 were completed, and jobs no. 101, 102, and 104 were delivered to customers. jobs no. 105 and 106 are still in process at july 31. a. compute the work in process inventory at june 30. b. compute the finished goods inventory at june 30. c. compute the cost of goods sold during july. d. compute the work in process inventory at july 31. e. compute the finished goods inventory at july 31.

Answers


The job cost sheets of Igmund Manufacturing provide information on the manufacturing costs of various jobs as of June 30 and July, which allows us to calculate the work in process inventory, finished goods inventory, and cost of goods sold during July.

a. To compute the work in process inventory at June 30, we need to add up the total manufacturing costs of jobs that were still in process at the end of the month. Based on the information provided, jobs 105 and 106 were still in process at the end of June. Therefore, the work in process inventory at June 30 is:

Work in process inventory at June 30 = Manufacturing costs of job 105 + Manufacturing costs of job 106
Work in process inventory at June 30 = $6,300 + $3,100
Work in process inventory at June 30 = $9,400

b. To compute the finished goods inventory at June 30, we need to add up the total manufacturing costs of jobs that were completed but not yet delivered to customers. Based on the information provided, jobs 101, 102, and 103 were completed but only jobs 101 and 102 were delivered to customers. Therefore, the finished goods inventory at June 30 is:

Finished goods inventory at June 30 = Manufacturing costs of job 103
Finished goods inventory at June 30 = $890

c. To compute the cost of goods sold during July, we need to add up the total manufacturing costs of jobs that were delivered to customers during July. Based on the information provided, jobs 101, 102, and 104 were delivered to customers during July. Therefore, the cost of goods sold during July is:

Cost of goods sold during July = Manufacturing costs of job 101 + Manufacturing costs of job 102 + Manufacturing costs of job 104
Cost of goods sold during July = $4,300 + $3,400 + $4,200
Cost of goods sold during July = $11,900

d. To compute the work-in-process inventory on July 31, we need to add up the total manufacturing costs of jobs that were still in process at the end of July. Based on the information provided, jobs 105 and 106 were still in process at the end of July. Therefore, the work-in-process inventory on July 31 is:

Work in process inventory at July 31 = Manufacturing costs of job 105 + Manufacturing costs of job 106
Work in process inventory at July 31 = $6,300 + $3,100
Work in process inventory on July 31 = $9,400

e. To compute the finished goods inventory on July 31, we need to add up the total manufacturing costs of jobs that were completed but not yet delivered to customers. Based on the information provided, only job 104 was completed but not yet delivered to customers at the end of July. Therefore, the finished goods inventory at July 31 is:

Finished goods inventory at July 31 = Manufacturing costs of job 104
Finished goods inventory at July 31 = $4,200

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section 179 expensing, bonus depreciation, and macrs depreciation rates are available for listed property if its business-use percentage exceeds ___%

Answers

For listed property, such as vehicles or computers, the business-use percentage must exceed 50% to qualify for Section 179 expensing, bonus depreciation, and MACRS depreciation rates.

Bonus depreciation is a tax incentive that allows businesses to immediately deduct a percentage of the cost of qualifying property in the year it is placed in service, instead of depreciating the cost over several years. Bonus depreciation is intended to stimulate business investment and economic growth by providing an immediate tax benefit to companies that invest in new equipment, machinery, or other eligible assets.

Under the Tax Cuts and Jobs Act (TCJA) of 2017, businesses can deduct 100% of the cost of qualified property placed in service after September 27, 2017 and before January 1, 2023. This provision applies to both new and used property, as long as the property meets certain requirements. After 2022, the bonus depreciation percentage will be gradually phased down over several years.

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Under the Secured Transactions Article of the UCC, which of the following requirements is necessary to have a security interest attach?
~~Debtor has rights in the collateral
~~Proper filing of a security agreement
~~Value given by the creditor
a.
Yes
Yes
No
b.
No
Yes
Yes
c.
Yes
Yes
Yes
d.
Yes
No
Yes

Answers

The requirements necessary to have a security interest attach under the Secured Transactions Article of the UCC are:

The debtor must have rights in the collateral

Value must be given by the creditor

There must be an agreement that creates a security interest in the collateral (either written or oral

Therefore, the correct answer is:

a. Yes, Yes, No

Proper filing of a security agreement is not necessary for attachment, but it is necessary for perfection of a security interest.

Secured Transactions is an area of law that governs the creation and enforcement of security interests in personal property. A security interest is a creditor's interest in a debtor's personal property (i.e. not real property) that is pledged as collateral for a loan or other obligation.

The Uniform Commercial Code (UCC) is the primary source of law governing secured transactions in the United States. The UCC has a specific Article (Article 9) that sets out the rules for creating and enforcing security interests in personal property. Article 9 of the UCC applies to any transaction that creates a security interest in personal property or fixtures, unless the transaction is governed by another law.

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who measures the proper length for the amount of distance covered by freddie's ship during the performance? explain your reasoning without making any calculations.

Answers

The proper length for the amount of distance covered by Freddie's ship during the performance is measured by an observer who is stationary relative to Freddie's ship.

This is because the length of an object, in this case the distance covered by the ship, is relative to the observer measuring it.

In this scenario, Freddie is traveling at a speed of 0.9c (90% of the speed of light) relative to Earth, which means that time and space are perceived differently by him and an observer on Earth. This is due to the effects of special relativity, which states that the observed length and time intervals between two events depend on the relative motion of the observer and the objects being observed.

Therefore, to accurately measure the distance covered by Freddie's ship during the performance, we need an observer who is stationary relative to Freddie's ship, as they will perceive the length of the distance covered to be the proper length. This observer will take into account the effects of time dilation and length contraction, which are the result of the ship's high speed relative to Earth.

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--The given question is incomplete, the complete question is

"Freddie mercury is on a rocket ship on his wat to mars. Hes travelling at a speed of v = 0.9c (relative to earth) when he signs a few songs for the crew onboard. He also uses a radio transmitter to broadcast the performance ack to his fans on earth. According to the ships crew, his performance last for 15 min. Who measures the proper length for the amount of distance covered by freddie's ship during the performance? explain your reasoning without making any calculations."--

how has the usps changed as a result of financial difficulties due to declining mail volume and the rise of digital communication

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The USPS has experienced significant changes due to financial difficulties caused by declining mail volume and the rise of digital communication.

The United States Postal Service (USPS) has been facing financial difficulties due to declining mail volume and the rise of digital communication for quite some time. This has led to a number of changes in the way that USPS operates.

In summary, the financial difficulties faced by USPS due to declining mail volume and the rise of digital communication have led to a number of changes in the way that the Postal Service operates. These include a reduction in the number of physical post offices and mail processing facilities, an expansion of package delivery services, and the exploration of new technologies.

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when corporate venturing is focused, the corporate entrepreneurship activities are isolated from the existing operations of the firm.
T/F

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When corporate venturing is focused, the corporate entrepreneurship activities are integrated and aligned with the existing operations of the firm. Given statement is False.

This integration helps to ensure that the new ventures are strategically aligned with the firm's core competencies and overall business strategy. By integrating the new ventures with the existing operations, the firm can also leverage its existing resources, capabilities, and relationships to support the development and growth of the new ventures. This approach can help to increase the likelihood of success for the new ventures and can also help to ensure that they contribute to the long-term strategic objectives of the firm.

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mc qu. 28 money owed to a business by credit... money owed to a business by credit customers is referred to as

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Money owed to a business by credit customers is referred to as accounts receivable. Accounts receivable is a term used in accounting to describe the amount of money that a business is owed by its customers for goods or services that have been sold on credit.

It is important for businesses to keep track of their accounts receivable, as it is a measure of their financial health. If too much money is tied up in accounts receivable, it can negatively impact the business's cash flow and ability to pay bills and expenses. On the other hand, if the accounts receivable balance is too low, it may indicate that the business is not selling enough on credit and may be missing out on potential revenue.

In summary, accounts receivable is the term used to describe the money owed to a business by its credit customers. This is an important aspect of a business's financial health, as it affects cash flow and revenue. Money owed to a business by credit customers is referred to as Accounts Receivable.

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a demand curve is a straight line sloping downwards at an angle of 45 degrees. we can conclude that its price elasticity is .

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About the price elasticity of the demand curve, we can conclude that it has unit elasticity which is a straight line sloping downwards at an angle of 45 degrees. Here option C is the correct answer.

The slope of a demand curve indicates how responsive consumers are to changes in price, which is a key factor in determining price elasticity. A straight line demand curve that slopes downwards at an angle of 45 degrees indicates that the percentage change in quantity demanded is exactly equal to the percentage change in price. This means that the demand curve has unitary elasticity.

Unitary elasticity is a situation in which a change in price results in an equal change in quantity demanded, resulting in a constant level of total revenue for the seller. At this point, the demand curve is neither perfectly elastic nor perfectly inelastic. In other words, the consumer is neither too sensitive to price changes nor too insensitive to them.

Understanding the price elasticity of demand is critical for businesses when setting prices for their products or services. By knowing the elasticity of demand, businesses can determine the optimal price point that maximizes revenue. In the case of a demand curve with unitary elasticity, a business can set a price that maximizes revenue while avoiding a significant loss in demand.

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Complete question:

What can we conclude about the price elasticity of a demand curve that is a straight line sloping downwards at an angle of 45 degrees?

a) It is perfectly elastic

b) It is perfectly inelastic

c) It has unitary elasticity

d) It has zero elasticity.

true or false: in a world with incomplete information, consumers should always gather as much information about goods and services as possible. true false question. true false

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The statement is true that in a world with incomplete information, it is important for consumers to gather as much information about goods and services as possible in order to make informed decisions.

Without sufficient information, consumers may not be aware of all the available options, the true costs, or potential risks associated with a product or service. By gathering more information, consumers can make better choices that align with their preferences, needs, and values. However, it is also important to note that there may be limitations to the amount of information that is available or feasible to obtain, and consumers should prioritize their efforts accordingly.

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Why would the sale of a secondhand car not be included in a calculation of gdp?.

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The sale of a secondhand car is not included in the calculation of GDP because GDP only measures the value of goods and services produced within a country's borders during a specific time period, typically a year.

When a new car is produced, it is included in GDP because it represents a new addition to the economy's production of goods. However, when a used car is sold, it is not considered a new addition to the economy's production of goods, but rather a transfer of ownership. This is because the car was already included in GDP when it was originally produced and sold as a new car. Additionally, including the sale of secondhand cars in GDP calculations would lead to double-counting of economic activity. For example, if someone buys a used car and then sells it the following year, both transactions would be counted in GDP, even though the car only represents one unit of economic activity.

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assume the perpetual inventory system is used. determine the costs assigned to ending inventory when costs are assigned based on the fifo method.

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When using the FIFO (first-in, first-out) method to assign costs to ending inventory in a perpetual inventory system. The costs assigned to the ending inventory will be based on the assumption. The items that were purchased or produced first are also the ones that were sold first. This means that the cost of the most recently acquired items will not be included in the ending inventory calculation.

To calculate the costs assigned to ending inventory under the FIFO method, you would start with the oldest inventory items (those that were purchased or produced first) and assign their costs to the ending inventory until you have accounted for all the inventory on hand. The costs assigned would be based on the purchase or production costs of those items at the time they were acquired.
For example, let's say a company had the following inventory transactions during the year:
- Beginning inventory: 100 units at $10 each
- Purchase 1: 200 units at $12 each
- Purchase 2: 300 units at $15 each
- Sales: 400 units at various prices
Using the FIFO method, we would assume that the first 100 units sold were the ones from the beginning inventory, followed by 200 units from Purchase 1, and then 100 units from Purchase 2. This means that the costs assigned to ending inventory would be based on the remaining 200 units from Purchase 2, which cost $15 each. Therefore, the costs assigned to ending inventory would be $3,000 (200 units x $15 each).
In summary, when using the FIFO method to assign costs to ending inventory in a perpetual inventory system, the costs assigned will be based on the assumption that the oldest inventory items are sold first. The costs assigned will be the purchase or production costs of those items at the time they were acquired.

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In calculating EPS, preferred stock dividends are subtracted from the numerator because EPS represents earnings available to ________ shareholders.

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In calculating EPS, preferred stock dividends are subtracted from the numerator because EPS represents earnings available to common shareholders

Dividends received from common shares are not taken into account when calculating net income. Because the number of outstanding common shares can fluctuate throughout the year, the weighted average is used to calculate EPS.

Preferred dividends must be paid out before ordinary shareholders receive anything since only the earnings available to common shareholders are reflected by EPS, which is why they are subtracted from EPS.

For EPS calculations, preferred share dividends are subtracted from net income. Preferred shareholder dividends must be deducted from EPS calculations because common shareholders are not allowed to receive them.

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