when a corporation sells stock to the general public for the first time, it is referred to as a(n): multiple choice investment bank offering. primary stockholder opportunity. secondary market offering. initial public offering. primary market opportunity.

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Answer 1

When a corporation sells stock to the general public for the first time, it is referred to as initial public offering.

An initial public offering or stock launch is a public offering through stock market and also in which shares of a company are sold to institutional investors and usually also to retail investors.

An IPO is underwritten by one or more investment banks, who also arrange for the shares to be listed on one or more stock exchanges.

An IPO allows a company to raise equity capital from public investors through stock market and share market. The equity is ownership in a particular business of shares buys and capital is that free of debt such as stock.

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Related Questions

Which of the following best describes the Platform as a Service (Paas) cloud computing service model?O Paas delivers everything a developer needs to build an application onto the cloud infrastructure.

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PaaS provides all of the tools a developer needs to create a cloud-based application.

What is cloud computing?

A sort of computing service that uses shared computing resources over the Internet rather than local servers and hard drives might be referred to as cloud computing in the context of computer technology.

the many cloud service categories.

In general, there are three (3) main service models used in cloud computing, including the following:

Service-based software (SaaS).

Technology as a Service (IaaS).

Software as a Platform (PaaS).

In conclusion, platform as a service is a type of cloud computing service that provides software application developers with a pre-configured hosting and testing environment to enable them to create new software applications (PaaS).

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KNOWLEDGE CHECK Here is the WACC function for U.S. drug company Merck. The WACC calculation has been hidden. What is the WACC? 88.8% 2.0% 11.2% 8.1% W YROT Click to open/close chart. HE MRK US $ 83.14 +0.51 m ..... At 15:17 d Vol 4,044,276 MRK US Equity 1 Create Report Merck & Co Inc Cost of Capital - Current Market Value m N83.14 83. 15 T 175 0 83.00PH 83.30D L 82.71D Val 336.065M Joutput to Excel Weighted Average Cost of Capital Period MR - 2018 Q4 Capital Structure (Millions of USD) 3) Equity 4) Debt Cost (A-T) 5) Preferred Equity WACC Weight 88.8% 11.2% 0.0% Cost WxC 8.9% 1.9% 0.0% Market Cap ST Debt LT Debt Pref. Eqty Total 198,694.8 5,308.0 19,806.0 0.0 223,808.8 88.8% 2.4% 8.8% 0.0% 100.0% 6) History WACC EVA ROIC EVA Spread Track 2 Annotate 9 Zoom Economic Value Added (Millions of USD), 7) Net Operating Profit 8) Cash Operating Taxes NOPAT 7930.00 2991.45 4938.55 9) Total Investment Capital Capital Charge 58065.00 4726.29 Economic Value Added 212.26 ROIC EVA Spread 8.51% 0.37% 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018

Answers

The WACC of the U.S. drug company Merck is 8.1%

What does weighted average capital cost (WACC) mean?

The weighted average cost of capital (WACC), which gives each category of capital a proportional weight, serves as a proxy for a company's cost of capital. Businesses and investors sometimes use the WACC as a benchmark rate to assess the viability of a particular project or acquisition. The WACC is occasionally used as the discount rate for future cash flows in discounted cash flow analyses.

Given:

WACC = Weight of debt × after tax cost of debt + weight of equity × cost of equity + weight of preferred stock × cost of preferred stock

WACC = 0.888 × 0.089 + 0.112 × 0.019 + 0 × 0

WACC = 0.079032 + 0.002128 + 0

WACC = 0.081 or 8.1%

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The complete question is:

Here is the WACC function for U.S. drug company Merck. The WACC calculation has been hidden. What is the WACC?

after collecting and analyzing your data, you will need to organize it. choose an organizational strategy, and then outline your report. what is enhanced by skillful organization of the information presented in a report?

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As you start to put your report together, consider the following: Where should I put the recommendations and conclusions? What format should I use for the findings?

How should a report be structured?

The introduction, background, or problem section would be written first in the report. Your conclusions or suggestions are next. These are supported by the section on justifications or support, which provides specifics about the evidence. The concluding paragraph usually contains some kind of additional commentary, evaluation, or summary.

The organizational strategy provides direction for how a business can accomplish its goals. In order to achieve their objectives and create strategic plans, businesses use these strategies.

Therefore, Organizational strategies frequently include in-depth analyses outlining what the business must accomplish.

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if a business places several different assets in service during the year, must it use the same depreciation method for all assets? if not, what restrictions apply to the business's choices of depreciation methods?

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The Tax Cuts and Jobs Act altered tax credits, expensing, depreciation, and deductions. Limits are based on the kind of business and revenue.

The MACRS depreciation technique is what?

In the early years of an asset's life, the MACRS depreciation technique permits higher deductions; in the latter years, it permits lesser deductions. Contrast this with straight-line depreciation, which allows you to claim the same tax benefit every year until the asset's useful life is completed.

What do the depreciation needs and restrictions mean?

Depreciation is the term used to describe the gradual decline in value of a company's assets brought on by usage, deterioration, and obsolescence. In other words, it is a way for spreading out an asset's cost throughout the course of its useful life.

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all transportation decisions should be evaluated based on their effect on

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All transportation decisions should be evaluated based on their effect on total costs.

How does the bullwhip effect happen?

The bullwhip effect happens when consumer demand changes at the retail level, prompting businesses to overreact and alter their demand prediction in an extreme fashion. The entire supply chain may create more or less of a good than necessary as a result of one retailer's erroneous demand analysis.

Why is a bullwhip the inspiration for the bullwhip effect's name?

The mechanics of whip cracking is referenced in the effect's name. The comparatively tiny movement of the whip's wave patterns increasing in size as a result of the wrist snapping action of the person holding it.

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according to the capm, what is the market risk premium given an expected return on a security of 18.0%, a stock beta of 1.5, and a risk-free interest rate of 12%?

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The market risk premium given an expected return on a security of 18.0%, a stock beta of 1.5, and a risk-free interest rate of 12% is 4.00%.

The market risk premium, which is often defined by the yield on Treasury bills, is simply the difference between the expected rate of return on an investment and the risk-free rate.

Beta equals.75. Typically, beta is calculated as follows:

beta = covariance / variance

ERI=Rf+βI(ERm−Rf)

where:

ERI

return on investment anticipated

Rf=rate without risk

βI= investment's beta(ERm−Rf)

​The market risk premium.

The expected return of the stock based on the CAPM formula is 9.5%:

1.5 %, 1.3 times (18%- 12%),

4.00%=1.5%+1.3×(18%−12%)

Hence, 4.00 is correct.

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hen a customer is aware that a brand exists and considers it a possibility if his preferred brand is out, he exhibits brand a. loyalty. b. recognition. c. preference. d. acknowledgement. e. insistence.

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When a customer is aware that a brand exists and considers it a possibility if his preferred brand is out, he exhibits brand (c) recognition.

The correct option is 'c'.

A brand is a product, carrier or idea that is publicly distinguished from other products, services or ideas so that it is able to be effortlessly communicated and commonly advertised. Branding is the process of making and disseminating the brand name, its characteristics and personality.

A brand is a name, term, design, image or every other feature that distinguishes one vendor's appropriate or service from the ones of different sellers.

Branding is the manner of communicating a unique promoting proposition, or differential, that units a service or product other than the opposition. Examples of branding techniques consist of the use of emblems, taglines, jingles or mascots.

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a stock has a beta of 1.4 and an expected return of 13.53%. what is the risk-free rate if the market rate of return is 10.6%?

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A stock has a beta of 1.4 and an expected return of 13.53%. what is the risk-free rate if the market rate of return is 10.6% is 3.275%.

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

0.1353 = X + 1.4 ( 0.106-X)

0.1353 = X = 0.1484-1.4X

0.1353-0.1484 = -0.40X

X = [tex]\frac{0.0131}{0.40}[/tex] = 3.275%

The anticipated return is the amount of profit or loss an investor can count on receiving on an investment. An expected return is calculated by using multiplying ability effects by using the percentages of them happening and then totaling these consequences. The expected return is in reality a degree of possibility supposed to show the chance that a given investment will generate a superb go-back, and what the probable return will be. The cause of calculating the anticipated return on investment is to offer an investor an idea of likely income vs chance.

The principle significance of calculating the expected to go back is that it gives investors an idea of whether they will obtain an income or incur a loss. most investors would view a mean annual fee of going back of 10% or greater as a very good ROI for long-term investments inside the inventory marketplace.

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in which two market structures does it make the most sense for an individual producer to spend resources on advertising its product?

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The most widely recognized kinds of market structures are oligopoly and monopolistic market. In an oligopoly, there are a couple of firms, and everyone realizes who its opponents are. This is because such business sectors have almost no contest which implies that costs and benefits can be high. Examples of oligopolistic ventures incorporate aircraft and auto producers.

Monopolistic competition(MC) and oligopoly produce separated items and in this way use publicizing most frequently to raise their piece of the pie and contend with the adversary firms by charging more costs.

An oligopoly alludes to a market with a couple of vendors. Monopolistic rivalry alludes to circumstances where there are numerous merchants, however, the items are profoundly separated.

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_____ is a beautiful thing, but also might bury you.
A Tracking

B Budgeting

C Compound Interest

D Simple Interest

Answers

Answer:

C Compound Interest

Explanation:

Compound interest is a type of interest that is calculated on the initial principal and on the accumulated interest of previous periods. This means that the longer an investment is held, the more interest it will earn, resulting in exponential growth over time. While compound interest can be a powerful tool for building wealth, it can also be dangerous if not managed properly, as it can quickly grow to large amounts that are difficult to repay.

Budgeting, tracking, and simple interest are all related to compound interest, but they do not have the same potential for exponential growth.

Answer:

I will go for compound interest.

Explanation:

By taking money or something on interest we might solve our problem for sometime but when we need to pay interest back in case case of compounding, it may leave you broke.

on january 1, year 1, young company issued bonds with a face value of $130,000, a stated rate of interest of 14 percent, and a 10-year term to maturity. interest is payable in cash on december 31 of each year. the effective rate of interest was 13 percent at the time the bonds were issued. the bonds sold for $137,054. young used the effective interest rate method to amortize the bond premium.requireda. determine the amount of the premium on the day of issue.b. determine the amount of interest expense recognized on december 31, year 1.c. determine the carrying value of the bond liability on december 31, year 1.d. provide the general journal entry necessary to record the december 31, year 1, interest expense.

Answers

At the beginning of the year, the first-year bond premium was $6,931.

The price of a premium bond is?

It was previously mentioned that $25 is the minimum investment amount. Your investment in premium bonds is limited to a total of £50,000. There are no imposed minimum or maximum time limits, handling charges, or start-up fees.

Is the premium on a bond a liability?

A bond premium that has not yet been amortized by interest is a liability for the issuers because it will someday become payable. The Unamortized Bond Premium Account, a liability account, is where unamortized bond premium is reported on financial statements.

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a targeted level of performance set in advance of the actual work to be performed is called a:

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A targeted level of performance set in advance of the actual work to be performed is called a goal or benchmark.

What is a benchmark?

A benchmark is a reference point against which something is measured. Benchmarks are used by investors to assess the performance of securities, mutual funds, exchange-traded funds, portfolios, and other investment vehicles.

A benchmark is a standard against which performance is measured. It's difficult to assess an employee's performance when we don't know what standards to use. Benchmarks are company-mandated standards for employee's  work. The ability of the employee to meet those benchmarks should form the basis of the performance evaluation.

Therefore, benchmark is a targeted level of performance set in advance of the actual work to be performed.

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Which company has the least efficient SG&A/Sales ratio? Select: 1Save Answer Andrews Digby Baldwin Chester

Cash Flow Statement Survey Andrews Baldwin Chester Digby
Cash flows from operating activities
Net Income (Loss) $11,663 $840 $26,932 $3,269
Adjustment for non-cash items:
Depreciation $7,152 $17,509 $9,711 $15,533
Extraordinary gains/losses/writeoffs $0 $0 $0 $0
Changes in current assets and liabilities:
Accounts payable ($2,655) $782 $1,859 ($1,096)
Inventory $10,081 $4,218 ($2,799) $1,857
Accounts receivable $1,853 ($3,370) ($3,494) ($151)
Net cash from operations $28,093 $19,979 $32,209 $19,413
Cash flows from investing activities
Plant improvements (net) ($1,056) ($46,880) ($31,600) ($17,900)
Cash flows from financing activities
Dividends paid ($6,768) $0 ($2,202) $0
Sales of common stock $1,200 $16,807 $0 $7,457
Purchase of common stock $0 $0 ($1,979) $0
Cash from long term debt issued $0 $22,204 $8,312 $2,785
Early retirement of long term debt $0 $0 $0 $0
Retirement of current debt ($11,300) ($33,110) ($27,970) ($41,872)
Cash from current debt borrowing $2,000 $25,753 $20,416 $28,857
Cash from emergency loan $0 $0 $0 $0
Net cash from financing activities ($14,868) $31,655 ($3,423) ($2,773)
Net change in cash position $12,169 $4,754 ($2,813) ($1,260)
Balance Sheet Survey Andrews Baldwin Chester Digby
Cash $51,425 $31,774 $33,278 $42,733
Accounts Receivable $13,084 $14,423 $16,819 $12,361
Inventory $3,657 $10,974 $17,534 $9,185
Total Current Assets $68,166 $57,170 $67,631 $64,280
Plant and equipment $107,274 $262,640 $145,660 $233,000
Accumulated Depreciation ($65,525) ($87,709) ($58,601) ($92,976)
Total Fixed Assets $41,749 $174,931 $87,059 $140,024
Total Assets $109,915 $232,102 $154,690 $204,304
Accounts Payable $7,975 $8,725 $10,445 $7,580
Current Debt $2,000 $25,753 $20,416 $28,857
Long Term Debt $15,909 $102,743 $33,678 $87,009
Total Liabilities $25,884 $137,221 $64,538 $123,446
Common Stock $25,280 $51,777 $10,334 $43,382
Retained Earnings $58,751 $43,104 $79,818 $37,476
Total Equity $84,031 $94,881 $90,151 $80,858
Total Liabilities & Owners' Equity $109,915 $232,102 $154,690 $204,304
Income Statement Survey Andrews Baldwin Chester Digby
Sales $159,186 $175,476 $204,637 $150,395
Variable Costs (Labor, Material, Carry) $107,552 $111,685 $126,385 $95,179
Depreciation $7,152 $17,509 $9,711 $15,533
SGA (R&D, Promo, Sales, Admin) $18,591 $20,688 $13,324 $13,745
Other (Fees, Writeoffs, TQM, Bonuses) $5,560 $7,951 $6,695 $6,012
EBIT $20,331 $17,643 $48,522 $19,926
Interest (Short term, Long term) $2,021 $16,325 $6,242 $14,795
Taxes $6,408 $461 $14,798 $1,796
Profit Sharing $238 $17 $550 $67
Net Profit $11,663 $840 $26,932 $3,269
Andrews Baldwin Chester Digby
ROS 7.3% 0.5% 13.2% 2.2%
Asset Turnover 1.45 0.76 1.32 0.74
ROA 10.6% 0.4% 17.4% 1.6%
Leverage (Assets/Equity) 1.3 2.4 1.7 2.5
ROE 13.9% 0.9% 29.9% 4.0%
Emergency Loan $0 $0 $0 $0
Sales $159,185,539 $175,476,345 $204,636,904 $150,395,478
EBIT $20,331,207 $17,643,254 $48,521,549 $19,926,428
Profits $11,663,403 $839,811 $26,932,319 $3,268,566
Cumulative Profit $21,415,847 $4,154,601 $51,835,143 $7,471,805
SG&A / Sales 11.7% 11.8% 6.5% 9.1%
Contrib. Margin % 32.4% 36.4% 38.2% 36.7%

Answers

Chester company has the most efficient SG&A / Sales ratio. The correct answer is option A.

SG&A means "Selling, General, and Administrative Expenses" in accounting. This cost is both fixed and continuous. It isn't impacted by volume. It is otherwise called a non-creation cost along these lines. Since it includes leader remuneration and wages, it is one of the most significant non-creation consumptions on the income statement.

Above costs incorporate selling, general, and regulatory uses.

Directors like to increment productivity by diminishing costs that don't slow down creation and conveyance of merchandise. Deals, general, and managerial consumptions give supervisors a simple method for diminishing expenses.

Ordinarily, during consolidations and acquisitions, the executives will search for techniques to decrease selling, general, and regulatory expenses. The cooperative energy an incentive for the consolidation is made by the cash saved by chopping down selling, general, and managerial expenses.

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a. game theory is the study of multiple choice 1 the strategic behavior of decision makers. dominant strategies of consumers purchasing large goods. the behavior of firms operating in a purely competitive market. b. a firm is said to have a dominant strategy if multiple choice 2 the highest payoff strategy is the same no matter the other player's strategy. it works with other firms in the industry to earn monopoly profits. the firm is acting using strategic behavior in order to minimize costs. c. the market outcome when examining a payoff matrix is the multiple choice 3 marginal equilibrium. oligopoly equilibrium. nash equilibrium. d. true or false: the market outcome always yields the highest profits for all firms. multiple choice 4 false true

Answers

The required answers for the given question is,

(a). The strategic behavior of decision makers.(a). the highest payoff strategy is the same no matter the other player's strategy. (c). nash equilibrium. False

What is a Game theory?

The study of how interdependent choices made by economic agents lead to results that are compatible with their preferences (or utilities), despite the fact that no agents may have anticipated the specific outcomes in question, is known as game theory.

Game theory is the study of decision - making, in which every participant, or "player," depends on the outcomes of others. If you participate in such a game, you must consider the decisions made by other players when deciding on your plan of action or "strategy." The goal of game theory is to encourage autonomous, competitive agents to make the best decisions possible in a strategic context.

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The correct order of questions is,

1. game theory is the study of

(a). The strategic behavior of decision makers.

(b) dominant strategies of consumers purchasing large goods.

(c). the behavior of firms operating in a purely competitive market.

2. a firm is said to have a dominant strategy if

(a). the highest payoff strategy is the same no matter the other player's strategy.

(b). it works with other firms in the industry to earn monopoly profits.

(c). the firm is acting using strategic behavior in order to minimize costs.

3. the market outcome when examining a payoff matrix is the

(a). marginal equilibrium.

(b). oligopoly equilibrium.

(c). nash equilibrium.

4. The market outcome always yields the highest profits for all firms.

True

False

three children must make fair division of a painting and sculpture left them by their mother. using the knaster inheritance procedure, the value each child places on the objects is shown below. object a b c painting $4000 $6300 $6000 sculpture $2300 $1800 $2400 what does b get after the fair division?

Answers

Knaster heirs and this inheritance procedure for additional assets that cannot be easily transferred understood, rather than the division of two, make Sn item a no. of the estate bidders, the highest bidder pays the item's price into the pool, and the money in the pool is divided equally among all heirs for each item. cost of iteminto pool, each

bidder recives, (1/m) of their

bid from pool.

Items Sasha Fergus Painting $4000 $6300 $6000 Sculpture $2300 and a cash bonus at the end are distributed to each heir.

Ralph

$1800

$2400

There are three heirs in this location. In the table, Sasha, Ralph, and Fergus.

For the painting, Ralph pays $6,300, which Salsha receives $4,000, Ralph receives $2,100, and Fergus receives $6,000, or $2,000.

This leaves 6300 divided by (1333.33 x 2100 x 2000) = 6300 5433.33 dollars added to the pool. Fergus pays $2400 for sculpture, which Salsha receives $ 2300, Ralph receives $ 1800, Ralph receives $ 600, and Fergus receives $ 800.

This leaves (2400) minus (800, 600, and £66.66), which equals $233.34, which is added to the pool that was scanned with CamScanner.

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if the level of the existing stock of physical capital is quite high, as happened in the housing market in 2006-2008, what will happen to investment spending and aggregate demand?

Answers

Aggregate demand for is a size of the full amount of call for for all completed goods and services produced in an financial system.

Mixture call for, however, finds the total sum of the market for every single product and service that an financial system produces and expresses it as a complete greenback fee. for instance, a country should have an combination call for for goods and offerings identical to $1B in step with 12 months.

An instance of this going on in an economy might be whilst interest prices are reduced. lower hobby prices make human beings much more likely to take out a loan to start or enlarge a enterprise, for this reason increasing investment spending. This accelerated investment spending leads to an typical boom in aggregate demand for.

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which of the following is not a goal of supply chain management? multiple choice lowest possible transportation costs delivery often to the place of use on-time deliveries small lot sizes fewer suppliers and long-term relationships

Answers

Lowest possible transportation costs is not a goal of supply chain management.

Whether an organization is a for-profit company, a government agency, or a nonprofit, its governance is its management. Business resource management is a combination of art and science.

Management is the process of deciding an organization's strategy and guiding volunteer's and worker's efforts toward achieving the organization's objectives via the utilization of resources, including financial, self-help, and human. In recent decades, evidence-based management has gained more and more traction. In small businesses, managers may have greater responsibility and work numerous jobs.

Hence the correct option is D.

The above question is incomplete, the complete question is-

Which of the following is not a goal of supply chain management?

A. fewer suppliers and long-term relationship

B. small lot sizes

C. on time deliveries

D. lowest possible transportation costs

E. delivery often to the place of use

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jackson reminded his management team that while their home headquarters had knowledge about the facilities in thailand, they should also communicate with the subsidiary in thailand to gain their knowledge. this demonstrates the concept of

Answers

'Jackson reminded his management team that while their home headquarters had knowledge about the facilities in Thailand, they should also communicate with the subsidiary in Thailand to gain their knowledge. this demonstrates the concept of global learning.

Global learning is a critical analysis and analysis of the complex and interdependent global systems and heritage (natural, physical, social, cultural, economic, political, etc.) and their impact on human life and the sustainability of the planet. It's about taking action.

Local Global Learning equips diverse learners with 'glocal' citizenship through service learning and field placement experiences in local or international cross-cultural settings.

Global learning helps students become knowledgeable, open-minded, responsible, responsive to diverse perspectives, and capable of addressing the world's most pressing issues impartially and sustainably. increase.

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Which method is used to control inflation?

Answers

Contractionary monetary policy is one of the famous methods of controlling inflation.

What is inflation?

Inflation may be regarded as the decrease in the purchasing power of money which shows an increase in the prices of goods and services in the market.

Inflation in other words is the increase in price over a specific period of time. One cause of inflation is less supply and high demand for goods or services in the market.

Contractionary monetary policy is a method of controlling inflation with the aim of reducing the money supply within an economy by increasing interest rates.

It helps to slow economic growth by making credit more expensive, which at the same time reduces consumer and business spending.

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assume there is a reserve requirement and the bank of pleasantville is exactly in compliance with that requirement. assume the same is true for all other banks. lastly, assume people hold only deposits and no currency. what is the money multiplier?

Answers

16.7 is the money multiplier if  there is a reserve requirement and the bank of pleasantville is exactly in compliance with that requirement. Suppose all other banks are the same.. Finally, consider that people only have deposits and no actual money.

What will be the reserve needed in 2023?

The reserve requirement exemption amount for 2023 was enhanced by the Regulation D changes from $32.4 million to $36.1 million, while the amount of the low reserve tranche was increased from $640.6 million to $691.7 million.

What are an example of needed reserves?

The necessary reserve ratio may be calculated by simply dividing the amount of money a bank must hold in reserve by the amount of money it has on deposit. The minimal reserve ratio, for instance, would be 1/20, or 5%, if a bank required to retain $500,000 in reserves in addition to its $10 million in deposits.

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I understand that the question you are looking for is:

Assume there is a reserve requirement and the Bank of Pleasantville is exactly in compliance with that requirement. Assume the same is true for all other banks. Lastly, assume people hold only deposits and no currency. What is the money multiplier?

Reserves: 3000

Loans 47,000

Deposits 50000

A homeowner gives open listings to three brokers. The brokers

a. will share the commission equally in the event of sale.
b. are entitled to reimbursement of expenses if another broker makes the sale.
c. each have the opportunity to earn the entire commission.
d. each have a recordable interest.

Answers

Only if the agent was the driving force behind the sale, the seller agrees to pay the listing agent a commission in an open listing agreement. Land firms disgrace open posting arrangements and numerous various posting affiliations deny them.

What exactly is a "open listing agreement"?

Listing Open: A legal agreement in which the listing broker acts as the seller's agent or legally recognized non-agency representative and the seller agrees to pay the listing broker a commission only if the property is sold through the listing broker's efforts.

Which three kinds of listings are the most typical?

There are three kinds of real estate listings used in commercial real estate to get a buyer for a property. an open listing, an exclusive agency listing, and a right to sell alone.

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in performing tests concerning the granting of stock options, an auditor should

Answers

An auditor should trace the approval for the transaction to a board of directors vote while conducting tests regarding the granting of stock options.

What selections is the audit committee responsible for?

The audit committee often gives its approval when the external auditor is selected. The external auditor, also referred to as a public accounting company, examines the entity's financial statements on a quarterly basis. The entity's financial statements are also annually audited by the external auditor, who also offers an opinion that assures the accuracy of the financial accounts.

The correct answer is "D." In order to audit the granting of stock options, the auditor would typically follow the transactions back to the board of directors' approval.

"B" is not a valid choice. Stock option grants cannot be confirmed by the Secretary of State.

"C" is not a valid choice. Little proof is provided to back up management's claims in the financial statements by confirming the existence of option holders.

"A" is not a valid choice. Authorized common shares rather than treasury stock may be used to distribute converted stock options.

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what advice can he give you? make your recommendation or action announcement in your closing. make your recommendation or action announcement after you discuss the pros and cons. make your recommendation or action announcement in your opening.

Answers

Use a straightforward approach, and state your proposal or call to action at the start.

What does a straightforward strategy entail?

Being straightforward involves being up front in your communication. Don't be vague when asking a friend for a favour; just be clear about what you need. If you want to propose marriage, you can choose the direct route and ask, "Want to get married?" over dinner. She is really direct, honest, and candid. His honest intelligence impressed me. His daughter tells him straight up that he wasn't good enough.You cannot be honest with anyone else if you are not being honest with yourself. Being honest is a good quality. It conveys a number of admirable qualities, including honesty, loyalty, and truthfulness.

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Answer:

Use a straightforward approach, and state your proposal or call to action at the start.

What does a straightforward strategy entail?

Being straightforward involves being up front in your communication. Don't be vague when asking a friend for a favor; just be clear about what you need. If you want to propose marriage, you can choose the direct route and ask, "Want to get married?" over dinner. She is really direct, honest, and candid. His honest intelligence impressed me. His daughter tells him straight up that he wasn't good enough. You cannot be honest with anyone else if you are not being honest with yourself. Being honest is a good quality. It conveys a number of admirable qualities, including honesty, loyalty, and truthfulness.

Explanation:

An asset created by prepayment of an insurance expense is: O Recorded as a debit to Unearned Revenue. O Recorded as a debit to Prepaid Insurance. O Recorded as a credit to Unearned Revenue. O Recorded as a credit to Prepaid Insurance. O Not recorded in the accounting records until the insurance period expires.

Answers

A prepaid account, such as Prepaid Insurance, is debited and the cash account is credited whenever a payment is made that prepays a charge. This shows the prepayment as an asset on the balance sheet of the business.

Due to the fact that prepaid insurance is typically converted to cash or utilized right away, it is seen as a current asset. A financial resource that has been fully paid for by a company but won't be fully utilized until a later time is known as a prepaid asset. An cost that has been paid for but won't be used until a later date can alternatively be described as a prepaid asset. A financial resource that has been fully paid for by a company but won't be fully utilized until a later time is known as a prepaid asset. A paid-for cost that won't be used up is another way to describe a prepaid asset.

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which of the following statements would least likely be found in a corporate credo? a. support community organizations and projects. b. maximize financial benefits for stakeholders as the primary goal of the organization c. establish an environment that enhances professional growth. d. provide secure and stable employment for employees.

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Maximize financial benefits for stakeholders.

The Oxford English Dictionary defines the Latin term credo as a proclamation of beliefs or objectives that guide someone's conduct. A credo is similar to an organization's mission statement, beliefs, or goal in the business world.

A statement of purpose, as well as the organization's priorities and objectives, will be clearly featured on a company website. An organization should make the best use of its guiding principles to guide its actions. Companies need a credo as direction for a variety of reasons, from identifying their company culture and expressing their beliefs to defining their raison d'être.

In order to communicate to customers that they are important to the company regardless of sales and profits, many companies put their customers first when creating a credo. This is especially true in the hospitality and restaurant sectors, where providing excellent customer service is essential.

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which one-year option strategy will give the highest expected net profit if a. you are very confident that the stock price will move very little over the next year, b. out-of-the-money options are much cheaper than at-the money options?

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Holding a put and a call on the same underlying asset is part of the typical option strategy known as a strangle.

What is the strangling strategy?

A common option strategy known as a strangle includes holding both a call and a put on the same underlying asset. Investors who believe an asset will move sharply but are unsure of the direction are covered by a strangle. Only when the price of the underlying asset conducts a sharp swing is a strangle lucrative.

Is strangulation secure?

If you write short strangles on specific equities, you run a significant price risk. Selling strangles on an index is much safer. For instance, a short strangle on Infosys or Reliance before the quarterly results can be traders' worst nightmare.

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which system involves a three-part, continuous cycle of planning, controlling, and documenting quality in an organization?

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The ISO 9000 system incorporates a continuous, three-part cycle of planning, managing, and documenting quality in an organization.

What is ISO 9000 ?

The ISO 9000 family of quality management system standards is a collection of five guidelines that aid firms in ensuring that they satisfy the expectations of customers and other stakeholders while still adhering to legal and regulatory requirements for a given good or service.

A three-part, continuous cycle of planning, managing, and documenting quality in an organization is what is meant by the quality system standard ISO 9000.

According to the given information

The ISO 9000 system incorporates a continuous, three-part cycle of planning, managing, and documenting quality in an organization.

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A firm is a natural monopoly if it exhibits the following as its output increases:

a. decreasing marginal revenue

b. increasing marginal cost

c. decreasing average revenue

d. decreasing average total cost

Answers

Option D, If a firm demonstrates the following as its output rises and the average total cost decreases, it is a natural monopoly.

Due of the high start-up and/or fixed costs of manufacturing, a natural monopoly develops. Because the increase in production will increase the money received from the sale of created goods, when a monopoly raises its output, the output impact will increase total revenue. If one firm can serve a market more affordably than any combination of two or more firm , that market has a natural monopoly. The output effect works to raise total revenue when a monopoly boosts output and sales, whereas the pricing effect works to decrease total revenue.

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why might price collusion occur in oligopolic industries? assess the economic desirability of collusive pricing

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Different enterprises in the industry are experiencing demand and cost conditions. Numerous businesses in the sector, the temptation to steal, the recession, and diminishing demand (+) ATC.

What is industry, exactly?

industry: a collection of prosperous businesses or organizations that create or provide products, services, or income sources. The four main categories of industries in economics are primary, intermediate, quaternary, and quaternary; secondary businesses are further divided into heavy and light categories.

What business types fall into which categories?

A business can be incorporated, quasi-incorporated, a non-profit organization, or unstructured. Depending on their size, businesses can be categorized into the a variety of groups; the most popular criterion for this is the number of staff .

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a company produces a wide variety of hand-crafted rocking chairs. the most appropriate allocation base for allocating production supervisor salaries to the products is a. direct labor hours. b. machine hours. c. number of products. d. sales dollars.

Answers

Option A is the correct answer.

In labor-profound industries, direct labor hours are a suitable driver. The “hand-crafted” rocking chairs industry is a labor-profound industry; thus, direct labor hours are the most suitable allocation base.

What does means of the industry?

A group of companies that are related based on their main business activities is called the industry. In modern economies, there are dozens of industry assortments. Industry assortments are typically grouped into larger categories called sectors.

What does the mean of the economy?

The wealth and resources of a country or territory, especially in periods of the production and utility of goods and services.

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