Which of the following statements is correct?
a. If a company uses the residual dividend model to determine its dividend payments, dividends payout will tend to increase whenever its profitable investment opportunities increase.
b. The stronger management thinks the clientele effect is, the more likely the firm is to adopt a strict version of the residual dividend model.
c. Large stock repurchases financed by debt tend to increase earnings per share, but they also increase the firm's financial risk.
d. A dollar paid out to repurchase stock is taxed at the same rate as a dollar paid out in dividends. Thus, both companies and investors are indifferent between distributing cash through dividends and stock repurchase programs.
e. The tax code encourages companies to pay dividends rather than retain earnings

Answers

Answer 1

Option C tends to be correct, Large stock repurchases using debt financing can boost earnings per share, but they also raise the company's debt load and exposure to financial risk.

A share repurchase occurs when a corporation purchases its own shares in the open market. Management may decide to repurchase shares of stock if they believe the price is too low.

When a corporation wants to buy shares, it either advertises a buyout price in the market or gives its shareholders the option to sell their stock directly to the firm.

In general, investors believe that a rise in share price will follow a reduction in the number of outstanding shares due to a repurchase. This presupposes that the change will not reduce demand for the shares.

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Related Questions

Which of the following methods for writing off bad debts does not require a journal entry at year end

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The methods for writing off bad debts does not require a journal entry at year end is Charging bad debts as accounts are written off as uncollectible.

What is bad debt?Simply explained, a bad debt is any expense that happens after a customer's payback (after credit has been granted) is no longer seen as being collectible. In other words, a bad debt is an uncollectible obligation. Bad debt is defined as a debt that is no longer collectible and is written off as a loss or expense. Bad debt might include things like bank loans and purchases acquired on credit. When a customer's repayment of previously provided credit is predicted to be impossible to collect, a business is said to have incurred a bad debt. The total reported receivables are decreased by an allowance for doubtful accounts, which is a contra-asset account, to reflect only the amounts anticipated to be paid.

The complete question is,

Which of the following methods of determining bad debt expense does not properly match expense and revenue?

Charging bad debts with an amount derived from aging accounts receivable under the allowance method.Charging bad debts as accounts are written off as uncollectible.Charging bad debts with a percentage of sales under the allowance method.Charging bad debts with an amount derived from a percentage of accounts receivable under the allowance method.

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as a presidential candidate, william jennings bryan was appealing to populists due to his: group of answer choices support for free-silver economic policies. support for government ownership of banks. close ties with banks and wall street. experience as an organizer of pro-labor rallies.

Answers

As a presidential candidate, William Jennings bryan was appealing to populists due to his support for free-silver economic policies.

What is economic policies?

Economic policies are government policies that are designed to influence the economy in different ways. These policies typically involve the taxation of businesses and individuals, government spending, regulation of the economy, and the availability of credit. Economic policies are designed to promote economic growth, employment, and to ensure a stable and healthy economy. They can also be used to address specific economic issues such as inflation, stagflation, and unemployment. Economic policies are based on economic theories and concepts, and their implementation depends on the resources available to the government. Generally, governments use economic policies to achieve their economic goals and objectives.

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a customer residing in california that is in the 30% federal tax bracket and the 10% state tax bracket wishes to make a bond investment with a minimum 10-year life. the customer also wants a high level of safety. the following 10-year bonds are available: yield aaa corporate bond 6.50 u.s. treasury bond 4.50 aaa federal home loan bank bond 5.00 aaa california bond 4.00 the best recommendation for the customer is the:

Answers

U.S. Treasury Bond. This bond offers the highest level of safety and the lowest yield, which is beneficial to a customer in a high tax bracket.

The best bond investment for a customerThe best recommendation for this customer would be the AAA Corporate Bond, with a yield of 6.50%.This bond offers the highest level of safety for the customer, as it is issued by a corporation with a high credit rating.Additionally, the yield is higher than the other bonds, so the customer will get more money back over the 10-year life of the bond.The customer is also a resident of California, so the federal tax bracket of 30% and the state tax bracket of 10% will apply to the returns from the bond.The AAA Corporate Bond has a higher yield than the other bonds and offers the highest level of safety, so it is the best choice for this customer.The best recommendation for the customer is the AAA Corporate Bond with a yield of 6.50%. This bond provides the highest yield, with the highest level of safety, while still providing the desired 10-year life.The customer will also benefit from the fact that corporate bonds are taxed at the federal level, but not the state level. This means that the customer will still receive the full 6.50% yield, minus the 30% federal tax, giving them a net return of 4.55%.Additionally, the AAA rating of the bond provides a high level of safety and security, protecting the customer's principal investment. Therefore, the AAA Corporate Bond is the best option for the customer, providing a high yield, with a high level of safety and security.

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The opportunity cost of an action is always equal to?

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The opportunity cost of an action is always equal to the next-best alternative for the resources used to undertake the action.

According to source  "the opportunity cost of an action is equal to...the highest valued opportunity that must be sacrificed in order to take the action" and source states that "the opportunity cost of an action is always equal to: the next-best alternative for the resources used to undertake the action" and source  confirms this by saying "The opportunity cost of an action is always equal to: the next-best alternative for the resources used to undertake the action". In other words, it is the value of the best alternative foregone in making a decision.

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when the perpetual inventory system is used, in what account are purchases recorded? in what account are purchases recorded when the periodic inventory system is used?

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In a perpetual inventory system, purchases are recorded in the Merchandise Inventory account. In a periodic inventory system, purchases are recorded in the Purchases account.

What is Merchandise Inventory account?Asset accounts include inventories of goods. A retailer's balance statement lists merchandise inventories as a current asset. An asset is considered current if it will provide income within a specific accounting term, usually one year. When businesses sell their excess inventory of goods, they must make two journal entries: the first entry lowers the inventory account and notes the sale's expense as a cost, while the second entry increases the inventory account. Stock of goods (sometimes referred to as inventory) is a current asset with a typical debit balance, which means that a debit will rise and a credit will fall. Management requires inventory data to calculate the cost of products sold throughout any accounting period.

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which of the following statements are true of demand volatility in services? multiple select question. services are usually unable to cope with demand volatility and cyclical demand. it tends to be higher for services than for goods, in the amount of time required to service individual customer it tends to be higher for services than for goods in terms of timing. services can use inventory to smooth demand requirements.

Answers

It is untrue to say that services may employ inventories to balance demand requirements. Due to the nature of services and the way they are used in real-time, demand volatility for services is often higher than for products.

What are Demand Volatility services?

The time needed to service each individual consumer is typically more for services than for items. The time needed to service each customer might vary greatly because services are frequently customised and adjusted to meet their individual demands. Demand management and forecasting may become challenging as a result.

In terms of timing, it often tends to be higher for services than for commodities. It may be more challenging to forecast and control demand for services than for commodities due to seasonality and other variables that may cause demand to fluctuate.

The unpredictability and cyclical nature of demand are typically too much for services to handle. Services are frequently rendered in real-time, and the provider's capacity determines how much of a service can be offered. The inability to adapt makes it challenging to meet changing demands.

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A real estate firm is one of three franchisees of a national real estate brokerage company in the same county. The three sometimes take advantage of the national firms name recognition among consumers by splitting the high cost of a large display advertisement in the local newspaper. The advertisement is headed by the franchise name, and includes three or four of each franchisee’s listings. Adjacent to each of these features listings, the advertisement must include theA - Listing licensee’s license number.B - National firm’s regional office.C - Listing firm’s telephone number.D - Property’s address.

Answers

Adjacent to each of these features listings, the advertisement of the real estate firm must include the listing firm’s telephone number

In the case of a real estate company by sharing the hefty expense of a sizable display advertisement in the neighbourhood newspaper, they occasionally profit from the national company's name recognition among customers. The franchise name appears in the headline, and three or four listings for each franchisee follow. Each of these feature listings must have the listing company's phone number next to it in the advertisement.

A national real estate brokerage company's franchisees frequently employ this as a marketing tactic. Franchisees can benefit from the national company's name awareness among consumers by dividing the expense of a sizable display advertisement in the neighbourhood newspaper. The advertisement will include information on the franchise and listings from each franchisee, each of which will include the phone number of listing company. The franchisees may reach a larger audience and produce more leads for their listings with this tactic.

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The participation of women such as the poissardes led to which of the following phases of the French Revolution

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Anxiety soon became intertwined with the activities of revolutionaries calling for liberal political reform and a constitutional monarchy in France. Also called, it was one of the earliest and most important events of the French Revolution.

The march began on the morning of October 5, 1789 among the women of the market square of Paris who nearly rioted because of the high price of bread. The unrest soon became intertwined with the activities of revolutionaries calling for liberal political reform and a constitutional monarchy in France.

The market women and their supporters eventually grew into a mob of thousands. Encouraged by revolutionary agitators, they looted the city's armory and marched through the Palace of Versailles in search of arms. The crowd besieged the palace and, in a dramatic and violent confrontation, successfully continued their demands on Louis XVI. returned to Paris.

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what are two ways that the account manager can create an ad that will motivate users to click on it? (choose two.)

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Include a current promotion and a pertinent headline. There are two approaches to make a responsive advertisement.

What does a account manager do?

The process of financial management includes providing sales reports, connecting with important corporate decision-makers, and building trustworthy relationships with clients. Account managers respond to consumer inquiries and spot potential clients among current clients.

Do account managers have high-level positions?

Account management is a stepping stone to a mid-level position. Even if the daily tasks are mostly same, a senior post has greater responsibility and pays more. An account manager is in charge of overseeing a specific customer's account on a daily basis for a company.

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Company B is setting up commercial printing services on their network. Which of these are advantages of centrally managed commercial printers? Check all that apply.ability to deploy printer driver software so that your users can print from computersPhysically more distant printers can be accessedcentral interface to collect diagnostic reports such as low toner levels

Answers

The capacity to provide printer driver software to enable your users to print from PCs To gather diagnostic reports like as low toner levels, a central interface can be used to contact physically farther away printers.

Print processors are user-mode DLLs that are in charge of transforming the spooled data from a print job into a format that can be transmitted to a print monitor. A print processor, often known as a printer driver, is a programme that transforms data to be printed into a format that a printer can read. Business printing services are being put up by Company B on their network.

A printer driver is a piece of software that transforms the print jobs created by programmes into the proper series of instructions for a certain print device.

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how do the types of accounts used to assign manufacturing costs in a process cost system differ from those used to assign manufacturing costs in a job order cost system?

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Process costing in accounting is a strategy for allocating production costs to output units. Production expenses cannot be linked to specific units of output in process costing systems.

Briefing:-

To production departments, costs are first apportioned. In order to allocate the costs to the output units as they pass through the departments.

How are production expenses handled?

You sum the expenses of direct materials, direct labor, and manufacturing overheads to determine the overall production cost. This can be expressed mathematically as follows: Total production cost = Direct materials + Direct labor + Manufacturing overheads. That is its basic form.

What three expenses are added to a manufacturing company's work-in-process accounts?

Direct materials, direct labor, and overhead are the three main types of expenditures that are accounted for during the manufacturing process.

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the biggest little farmDescribe TWO (2) agricultural practices, other than those involving pest control, that increase crop yields.

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The 2 agriculture practices other than those involving pest control, that increase crop yields are - Crop Rotation and Irrigation.

Crop rotation: Crop rotation is the practice of growing different crops in the same field in a specific sequence over a period of time. This practice can increase crop yields by improving soil health, reducing pests and diseases, and increasing nutrient availability. By rotating crops, farmers can break pest and disease cycles, reduce weed pressure, and replenish soil nutrients that are depleted by certain crops.Irrigation: Irrigation is the practice of artificially supplying water to crops. This can increase crop yields by providing crops with the water they need to grow, even during periods of drought or low rainfall. Irrigation can also help control the temperature and humidity of the growing environment, which can improve crop growth and quality. Additionally, irrigation can be used to increase the yield of high-value crops such as fruits and vegetables, which require more water than field crops.

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the oakstone company has a choice of two warehouses to rent where they can set up production for their new product. warehouse a is twice as large as warehouse b therefore they could set up two machines to produce their product. warehouse a has a rent of $2800 per month where warehouse b has a rent of $1100 dollars per month. rent of a building is considered manufacturing overhead in production and does directly affect the cost of making each item. there are direct costs in production like cost of running the machine and number of people to work in the warehouse. these direct costs affect the making of each item. in warehouse a their direct costs would be $50 per item, but in warehouse b their direct costs would be $65 per item. what is the minimum number of items they would need to produce to justify the cost of renting warehouse a.

Answers

The Oakstone Company would need to produce at least 5,600 items per month to justify the cost of renting Warehouse A.

What is warehouse?
A warehouse is a sizable commercial structure used for stockpiling supplies and merchandise. Manufacturers, merchants, exporters, wholesalers, transport companies, customs, etc. all use warehouses. They are often massive, plain structures in urban, rural, and industrial settings. To load and unload cargo from trucks, they frequently have loading docks. To maintain a specific temperature for the goods, some warehouses are air conditioned or refrigerated. Items are often arranged in racks & shelves inside the warehouse and are typically managed by specialised software.

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Which of the following are products or services of oligopolists that you regularly purchase or own? O Ovens, refrigerators, and hair salon services O Automobiles, personal computers, and gasoline O Clothing stores, office supplies, and personal computers O Refrigerators, bakery goods, and courier services c. Oligopoly differs from monopolistic competition in that oligopoly O has many firms, whereas monopolistic competition has few firms. O has few firms, whereas monopolistic competition has more firms. O the firms are not mutually Interdependent with regard to price. O the firms have relatively easy entry.

Answers

Automobiles, personal computers, and gasoline are examples of oligopolist products or services that we frequently buy or own (in oligopoly, there are few businesses that manufacture homogenous or Differentiated commodities and there are strong obstacles to entry).

Hence, option (B) is the correct choice.

An oligopoly occurs when a small number of businesses dominate a certain market. These businesses may control pricing collectively by collusion, resulting in uncompetitive prices on the market.

High obstacles to entry, the capacity to determine prices, firm interdependence, maximum revenues, product differentiation, and non-price competition are all traits of an oligopoly.

Oligopolists make the most money when they can form a cartel, reduce output, and act like a monopolist to raise prices. Such collaboration frequently fails since everyone in the oligopoly may gain individually from increasing output, especially because outright collusion is forbidden.

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the success of marketing messages depends, in large part, on how persuasive the messages are. which characteristics usually must be present in order to make messages more persuasive? the success of marketing messages depends, in large part, on how persuasive the messages are. which characteristics usually must be present in order to make messages more persuasive? comprehension (understandable) connective credible contagious all of the above

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The elements of comprehension (understandability), connectivity, credibility, and contagiousness are typically required for messages to be more compelling.

What is meant by comprehension?Being able to comprehend something is comprehension. [formal] She had no idea how to understand this. Similar words: comprehend, grasp, conceive, and realize More equivalent words for comprehension. Understanding and applying what has been read are both components of comprehension. Children must be able to decode what they read, relate what they read to what they already know, and engage in critical thought about what they have read in order to effectively comprehend written content.There is a lot of confusion between the words comprehend and understand. Having a firm mental grasp of something may be emphasized by the word "understand," nevertheless. The act of mentally grasping something may be emphasized by the word "comprehend." A fair assessment or judgment of something's worth or nature is implied by the word "appreciate."

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what is the value of zero coupon, $1,000 par value bond, maturing in 8 years if the appropriate discount rate is 6%?

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The present value of the bond's face value, discounted at the right rate, determines its value.

What is the value of a zero coupon?

A bond with a zero coupon does not accrue interest until it matures. Instead, it is offered for sale at a lower price than its face value, with the difference between the two representing the interest accrued on the bond.

The value of the zero coupon bond is $1,000 / (1 + 0.06)^8, assuming a discount rate of 6%.

The formula PV = FV / (1+r)n is used to determine the bond's present value, where

PV stands for present value,

FV for face value,

r for the discount rate, and

n for the number of years to maturity.

Therefore, assuming the proper discount rate is 6%, the value of the zero coupons, a $1,000 par value bond maturing in 8 years is

$1,000 / (1 + 0.06)^8

= $1,000 / (1.06)^8

= $1,000 / 1.48

= $676.89.

As a result, the bond's current value, which is less than its $1,000 face value because it does not pay interest until maturity, is $676.89.

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when marginal private cost is equal to marginal social cost, group of answer choices all negative externalities have been internalized. the activity in question generates no positive externality. the activity in question generates no negative externality. b or d all positive externalities have been internalized.

Answers

When quantity provided and quantity sought are equal, an intense competition will start to generate.

Is marginal the same as failing?

A margin fail (MF) is a score between 47% and 49%, which means that while your assessment shows some evidence of pertinent learning in connection to the course learning outcomes, the course's minimal standards have not been met. If you get this grade, you might be eligible for an additional test.

Do marginal changes in mean occur?

When making minor modifications to an established strategy, economists refer to these changes as marginal changes. Marginal changes, to put it simply, are minute adjustments that have no impact on the broader (macroeconomic) totals except as a whole.

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All externalities are absorbed whenever marginal private cost and marginal societal cost are equal.

What does "cost" mean?

A cost is the worth of money that has been expended to generate something or provide a service and is therefore no longer available for use in manufacture, exploration, retail, and accounting. In the situation of an acquisition cost, the money spent on the sale is considered the price.

Describe the cost structure.

The totality of the many fixed and variable costs kinds that go into a companies' overall costs is known as its cost structure. Cost structures are used by businesses to determine pricing and pinpoint areas where costs might be cut.

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if the government institutes policies that diminish incentives to save, then in the loanable funds market a. the demand for loanable funds shifts rightward. b. the supply of loanable funds shifts leftward. c. the demand for loanable funds shifts leftward. d. the supply of loanable funds shifts rightward.

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if the government institutes policies that diminish incentives to save, then in the loanable funds market the supply of loanable funds shifts rightward. Hence, option (d) will be considered correct.

Give a brief account on loanable funds.

All of the revenue that individuals and organisations have chosen to save aside and lend out rather than consume themselves is referred to as loanable funds. These funds' characteristics are referred to as having credit. The notion of loanable money is based on the market's interest rates and the different factors that they affect. The foundation of this theory is supply and demand, which will be covered in the sections that follow. According to the definition of the loanable funds market, this is the area where borrowers can obtain loans from lenders. The most pertinent category of loanable funds for the common person is certificates of deposit. They are characterised as sums of money that people deposit with a bank and then for a predetermined amount of time refrain from withdrawing. The simplest way for anyone to become familiar with the financial industry is through this.

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You are required to fire a worker for persistent absenteeism, but you know that her absence is because she is caring for her father who is in the advanced stage of Alzheimer’s disease. You feel that the organization is being inhumane in its attitude, but your boss remains insistent. What would you do?

Answers

It is important for an organization to provide a work-life balance to its employees and help them provide assistance for the personal problems they face and that also affect their productivity and work. This creates a relationship between employees and the work company.

the cigarette industry is a good example of the oligopoly market structure. group of answer choices false true

Answers

An oligopoly is a market structure that only has a few major enterprises.

What is an oligopoly, exactly?

When a few big companies control the majority or all of the revenues in an industry, oligopoly results. There are several industries that exhibit oligopoly, such as the car sector, cable television, even commercial aviation.

The definition of oligopoly

An industry with a "oligopoly" is one in which only a small number of businesses operate. In an oligopoly, no single corporation possesses a sizable amount of market dominance. As a result, no business is allowed to raise prices beyond what they would be in a market with perfect competition.

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which of the following is a pre-purchase behavior exhibited by consumers? a. assessing the purchase process b. narrowing the consideration set c. searching for possible solutions d. deciding on a retail channel

Answers

C. Searching for possible solution. Before purchasing a product, buyers compare and weigh their options throughout this phase of the buying cycle.

Why does the pre-purchase stage matter?

For organizations, the pre-purchase phase is frequently seen as one of the most crucial. You're establishing new ties. Potential clients are drawn to you. And you're presenting your company in its best possible light.

What are the steps in the customer decision-making process before a purchase?

Consumers use this method to assess whether to make a purchase. The five processes include problem identification, information search, examination of alternative options, purchase choice, and post-purchase analysis.

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The first mechanized lawnmower was patented in the 19th century.a. Trueb. False

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In the 19th century, a patent for the first motorized lawnmower was issued. A lawn mower, sometimes referred to as a mower, fiscal period, or lawnmower. It is true.

A fiscal period, sometimes referred to as a mower, grass cutter, or lawnmower, is a machine that uses one, two, or more rotating blades to cut grass at an even height. The height of the cut grass may be predetermined by the mower's construction, but in most cases, it is changeable by the user, usually via a single master lever or a lever, nut, or bolt on each of the machine's wheels. The machine may have an electric motor that is driven by a battery or plug-in, or the blades may be powered by manual force and attached mechanically to the wheels so that they spin when the mower is pushed forward.

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what is the cash-on-cash return for an owner who purchases a $8,250,000 property, with an noi of $750,000 using all cash...?

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The cash-on-cash return is the ratio of annual pre-tax cash flow to the total amount of cash invested expressed as a percentage. In this case it would be calculated as $750,000 / $8,250,000 = 9.1%. This means that the owner can expect a 9.1% return on their initial cash investment in the property.

The cash-on-cash return is a measure of return which is used to evaluate the profitability of an income-producing property. This return rate is calculated by dividing the net operating income (NOI) of a property by the total cash invested in the purchase of the property. In this scenario, an owner purchases a $8,250,000 property, with an NOI of $750,000 using all cash. To calculate the cash-on-cash return, we will first need to calculate the total cash invested in the purchase of the property. Typically, this includes the purchase price, closing costs, and any other upfront costs associated with the purchase of the property. For this example, we will assume that the total cash invested in the purchase of the property equals the purchase price, or $8,250,000. Now that we have the total cash invested in the purchase, we can calculate the cash-on-cash return, by dividing the NOI of $750,000 by the total cash invested of $8,250,000. This results in a cash-on-cash return of 9.1%.

The cash-on-cash return is a useful metric for evaluating the profitability of an investment property.

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which statement describes an example of how climate affects the economy of countries in north america?

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The phrase "Tourism is an important industry in countries with tropical climates" is used to illustrate how climate impacts the economies of countries in North America.

One of the largest and fastest expanding worldwide industries, tourism makes a substantial contribution to local and national economies all over the world. The relationship between climate and tourism is intricate and multifaceted since the climate is both an essential resource that must be used and a significant limiting element that offers hazards that must be addressed by both the tourism sector and travelers.

Climate is a major factor in travel planning and the travel experience, as it affects all tourist sites and businesses to some extent.

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The complete question is:

Which statement describes an example of how climate affects the economy of countries in North America?

1. Countries that have varying climates are unable to make use of their natural resources.

2. The climate is too harsh for the countries to grow enough food for the population.

3. Countries with mild climates produce their own needs and are less likely to trade.

4. Tourism is an important industry in countries with tropical climates.

Mission statements should ________ and be defined in terms of ________.

Answers

A mission statement is a succinct explanation of why an organization exists. It defines the organization's goal and ultimate intention.

The vision is supported by the mission statement, which communicates purpose and direction to employees, customers, vendors, and other stakeholders. A mission statement should be centered on meeting the needs of the customer rather than the product. Products and technologies become obsolete over time, yet core market needs may persist forever. A market-oriented mission statement defines the company in terms of meeting fundamental client needs. The mission statement of your organization outlines what it does now. It is divided into three sections: what you do, how you do it, and why you do it.

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what was one of the major economic problems caused by the articles of confederation that brought the delegates together in philadelphia? group of answer choices

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One of the major economic problems caused by the Articles of Confederation that brought the delegates together in Philadelphia was state raids on property rights.

On November 15, 1777, the Congress enacted the Articles of Confederation. America's first constitution was based on this article. It was replaced by the existing Constitution on March 1, 1781. It was applicable from that day forward till that moment. States were on the verge of economic collapse, and the federal government had limited authority to mediate disputes between them.

Territorial disputes, war pension disputes, tax disputes, and commerce disputes all posed a danger to the nation's unity. To update the Articles of Confederation, the Constitutional Convention met in Philadelphia in May of 1787. In order to converse freely, they shuttered the State House's (Independence Hall) windows and took a secret oath. The delegates voted to entirely restructure the government by mid-June. The new Constitution, which is still in force today, was signed after three sweltering summer months of heated discussion.

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asia is building several homes on an undeveloped plot of land. there are no buyers, but the owner is confident the homes will sell after they are constructed. these homes are:

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asia is building several homes on an undeveloped plot of land. there are no buyers, but the owner is confident the homes will sell after they are constructed. Although there is no confirmed buyer before building begins, these homes are being built on speculation.

Speculation – what does that mean?

Trading a financial product that carries a high level of risk in the hopes of seeing a sizable return is defined as speculation. With market volatility, the goal is to profit as much as possible. In markets where the price changes of securities occur often and violently, speculation is common. Traders that engage in speculation base their decisions on their educated projections of the direction of the market. If a speculator believes, for instance, that a stock is overpriced, they can sell it short and watch for the price to fall so they can then repurchase it at a profit.

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assume you will receive $3,000 every year for 3 years, and the appropriate interest rate is 6% per year. what is the present value of this series of cash inflows?

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The present value of this series of cash inflows is $2,823.51. The present value of a series of cash flows is the sum of the present values ​​of each cash flow.

To calculate the present value, we need to calculate the present value of each cash flow and then add them together. The present value of one cash flow is equal to the future cash flow divided by (1+r)^n, where r is the interest rate and n is the time period. In this case, each cash flow is $3,000 and the interest rate is 6% per year. So the current value is: $3,000/(1+0.06)^1 + $3,000/(1+0.06)^2 + $3,000/(1+0.06)^3 = $2,823.51. This means that if you were to receive the cash flows today instead of over the next three years, the total value would be $2,823.51.

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a trader enters into a short forward contract on 100 million yen. the forward exchange rate is $0.0080 per yen. how much does the trader gain or lose if the exchange rate at the end of the contract is (a) $0.0074 per yen; (b) $0.0091 per yen?

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When the yen is at $0.0074, the gain is equal to $100,000 divided by 0.0006 million dollars, or $60,000. (Dollar feels grateful) When the yen is valued at $0.0091, the loss is equal to $110,000, or 100 times $0.0011 million. Dollar value is falling.

How are exchange rates calculated?By defining the price at which one currency can be exchanged for another, an exchange rate has an impact on global trade and money transfers.The value of the native currency and the quality of the currency both have an impact on exchange rates.The majority of exchange rates are categorized as floating and fluctuate in response to market supply and demand.Some translation rates are influenced by or connected to the local currency's value.Exchange rate fluctuations have an impact on businesses because they alter the cost of supplies received from other nations and the market for their goods among clients abroad.

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mammoth corporation has 100,000 shares of $10 par value common stock outstanding. at year-end, the company declares a five percent stock dividend. the market price of the stock on the declaration date is $30 per share. three weeks later, the company issues the shares of stock to stockholders. a. prepare the journal entry for the declaration of the stock dividend. b. prepare the journal entry for the issuance of the stock dividend. c. assume that the company declared a 50 percent stock dividend rather than a five percent stock dividend. prepare the journal entries for (1) the declaration of the stock dividend and (2) the issuance of the stock dividend.

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The company declares a 5% cash dividends at year's end. Behemoth Conglomerate has 100,000 shares outstanding of ordinary stock with a $10 par value.

What do you mean by common stock?

Common stock is a type of tradeable asset, or security, that equates to ownership in a company. If you own common stock in a company, you have the right to vote on things like corporate policies and board of director decisions. Common stock is just one type of stock traded on public exchanges.

What exactly are company shares and common stock?

The primary distinction between preferential and ordinary stock is that common stock grants investors voting rights, whilst preferred stock does not. Preferred stockholders get dividend payments prior to ordinary shareholders since they have preference over the income statement.

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