The dividend growth rate on this stock is approximately 4.81%.
To calculate the dividend growth rate on a stock, we can use the Dividend Discount Model (DDM). The DDM estimates the intrinsic value of a stock based on its future dividends. By rearranging the DDM formula, we can solve for the dividend growth rate.
The dividend growth rate represents the rate at which a company's dividends are expected to increase over time. It is an important factor in determining the value of a stock and is influenced by various factors such as company performance and market conditions.
Using the Dividend Discount Model (DDM), we can calculate the dividend growth rate. The formula for the DDM is: Stock Price = Dividend / (Required Return - Dividend Growth Rate).
In this case, we have the stock price ($76), the dividend for next year ($4.41), and the required return (10.6%).
$76 = $4.41 / (0.106 - Dividend Growth Rate).
To find the dividend growth rate, we rearrange the equation:
Dividend Growth Rate = 0.106 - ($4.41 / $76).
Now, we can calculate the dividend growth rate:
Dividend Growth Rate = 0.106 - (4.41 / 76)
Dividend Growth Rate = 0.106 - 0.0579
Dividend Growth Rate = 0.0481 or 4.81%
Therefore, the dividend growth rate on this stock is approximately 4.81%.
By applying the Dividend Discount Model (DDM) and rearranging the equation, we can determine the dividend growth rate on the stock. The dividend growth rate represents the expected rate at which the company's dividends will increase. It is an important factor for investors in estimating the value of a stock.
In this case, with the given stock price, dividend, and required return, we can calculate the dividend growth rate by subtracting the ratio of the dividend to the stock price from the required return. The calculated dividend growth rate provides insight into the potential future earnings of the stock and helps investors assess the attractiveness of the investment opportunity.
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Government intervention is one possible solution for market failure. What is one possible reason why a government-controlled used car market may not provide an efficient outcome?.
One possible reason why a government-controlled used car market may not provide an efficient outcome is Government actors may have their own incentives that might not align with the market efficiency.
If government intervention is made in order to resolve market failure, then an outcome can only be achieved if the government actors focus on benefitting the economy rather than using this option for getting their own incentives out of it.
The incentives f the government might not be what the market efficiency wants and hence in such a case government-controlled used car market will not be able to produce the efficient outcomes that we suppose that they would.
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If you show defensiveness, people are more likely to _____. a. confront you about your problems b. critique your performance c. close their communication d. check your goals
Answer:
c. close their communication
Explanation:
Defensive behavior is a way of protecting oneself from external aggression. A defensive reaction is normal and expected when faced with a threat. But when one exhibits defensive behavior in normal circumstances, it affects their relationship with others.
Defensive behavior may involve rebuking statements, alleging malice from others, accusing others of similar complaints. These reactions hurt relationships make colleges, close friends, and family members to keep their distance.
You want to have $25,000 for a down payment on a house 6 years from now. If you can earn 4.6 percent, compounded annually, on your savings, how much do you need to deposit today to reach your goal? Do not use $, use two decimals or your answer will be marked wrong (Example 1234.56)
If you can earn 4.6 percent, compounded annually, on your savings, the amount that we need to deposit today is $18,106.51.
You want to have $25,000 for a down payment on a house 6 years from now. If you can earn 4.6 percent, compounded annually, on your savings, we need to find the amount that we need to deposit today to reach your goal. To identify the amount that we need to deposit today, we use the present value formula as follows;
P= A / (1+r)n
Where P is the present value (the amount we need to deposit today)
A is the future value (the amount we need to have in 6 years)
R is the interest rate (4.6 percent)
N is the number of years (6)
Substitute the given values into the present value formula
P= 25000 / (1+0.046)6 ≈ $18,106.51
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The steps used by businesses to develop a customer profile survey include___.
O market research
O surveys
O marketing mix
O individualize
Answer:
A,B, D:
Market Research
Surveys
Individualize
I just got a 100 on this quiz
The steps used by businesses to develop a customer profile survey include surveys.
What are Surveys?In order to gather information about a service, product, or process, a survey is described as the act of looking at a process or questioning a predetermined sample of people.
Surveys used to gather data ask a specific set of people about their beliefs, actions, or knowledge.
Further Surveys provide a rich collected data or learning ability more in areas like demography and social research. Survey research is frequently used to evaluate ideas, beliefs, and emotions. Surveys may have narrow, specialized objectives or they may have more general, extensive objectives.
Therefore for business to develop customer profile survey they start with market survey & make results out of it.
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Why should you notify your bank and credit card companies if you suspect you are a victim of identity theft?
They can freeze your accounts to help prevent loss.
They can freeze your Social Security number for you.
They can prosecute people who have stolen your identity.
They can ensure you get a job after the investigation
They can freeze your accounts to help prevent the loss, thus Option A is the answer.
as we notify the responsible institutions they will freeze your accounts, to prevent fraudulent activity that could be done with the account in name of the actual account holder, that targets your security as thief could make illegal payments which could be a national threat to your name . so it's important to notify banks to tell about the activities that are done in past days from your bank account.
Identity theft can be so brutal as your information could be transferred to illegal groups that can harm you, and cause you a very high financial loss which is not right.
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You should notify your bank and credit card companies if you suspect you are a victim of identity theft because they can freeze your accounts to help prevent loss. The correct option is A.
What is the difference between a bank and credit card?Your bank account is connected to your debit card. Unless you have an overdraft, which is a form of credit linked to your account, the money you spend or withdraw is typically yours. With a credit card, you have access to a pre-set credit limit through a separate account.
Your bank or credit card provider can act right away to safeguard your accounts and stop any unauthorized transactions after you report the theft. Your accounts may be frozen, your cards may be canceled, and new cards may be issued. By doing this, individuals can contribute to limiting the harm identity theft causes and stop further monetary loss.
Thus, the ideal selection is option A.
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On August 1, 2018, Brooke Kline established Western Realty. Brooke completed the following transactions during the month of August. A. Opened a business bank account with a deposit of $22,000 in exchange for common stock. B. Paid rent on office and equipment for the month, $2,500. C. Paid automobile expenses (including rental charge) for month, $1,350, and miscellaneous expenses, $500. D. Purchased office supplies on account, $1,150. E. Earned sales commissions, receiving cash, $18,000. F. Paid creditor on account, $650. G. Paid office salaries, $2,900. H. Paid dividends, $3,000. I. Determined that the cost of supplies on hand was $400; therefore, the cost of supplies used was $750. Required: 1. Indicate the effect of each transaction and the balances after each transaction, using the tabular headings in the exhibit below. In each transaction row (rows indicated by a letter), you must indicate the math sign (+ or −) in columns affected by the transaction. You need to enter math signs in the balance rows (rows indicated by Bal.). Entries of 0 (zero) are not required and will be cleared if entered. 2. a. Prepare an income statement for August. If a net loss has been incurred, enter that amount as a negative number using a minus sign. Refer to the list of Labels, Accounts and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement heading. You will not need to enter colons (:) on the income statement. 2. b. Prepare a for August. Refer to the list of Labels, and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement heading. If a net loss is incurred or dividends were paid, enter that amount as a negative number using a minus sign. The word "Less" or "Add" is not needed in the Retained Earnings Statement. If an amount is zero, enter "0". 2. c. Prepare a balance sheet as of August 31. Refer to the list of Labels, Accounts and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement heading. Labels, Accounts and Amount Descriptions Amount Descriptions Change in retained earnings Net income Net loss Retained earnings, August 1, 2018 Retained earnings, August 31, 2018 Total assets Total expenses Total liabilities and stockholders' equity Total stockholders' equity Accounting Equation Grid a. b. Bal. Bal. Bal. f. Bal. g. h. Bal. Bal. Accounting Equation Grid 2. a. Prepare an income statement for August 31. If a net loss has been incurred, enter that amount as a negative number using a minus sign. Refer to the list of Labels, and 2.b. Prepare a for the month ended August 31, 2018. Refer to the list of Labels, Accounts and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement heading. If a net loss is incurred or dividends were paid, enter that amount as a negative number using a minus sign. The word "Less" or "Add" is not needed in the Retained Earnings Statement. If an amount is zero, enter "O". 2. c. Prepare a balance sheet as of August 31. Refer to the list of Labels, and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement heading.
During the month of August, Brooke Kline established Western Realty and engaged in various transactions. These included opening a business bank account, paying rent and expenses, purchasing supplies, earning sales commissions, paying creditors, office salaries, and dividends.
In August, Brooke Kline established Western Realty by depositing $22,000 in exchange for common stock, resulting in an increase in the Cash and Common Stock accounts. Rent and equipment expenses were paid, decreasing the Cash account. Automobile expenses, miscellaneous expenses, and office supply purchases were made, decreasing the Cash account and increasing the corresponding expense and asset accounts. Sales commissions were earned, increasing the Cash account. Creditor payments, office salaries, and dividends were paid, decreasing the Cash account.
Brooke Kline's transactions during August involved establishing the business, paying various expenses, earning sales commissions, and making dividend payments. These transactions affected different accounts, such as Cash, Common Stock, Rent Expense, Automobile Expense, Miscellaneous Expense, Office Supplies, Sales Commissions, Creditor Payable, Salaries Expense, and Dividends.
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______is a firm’s engagement in social actions because of its obligation to meet certain economic and legal responsibilities.
Obligatory social actions undertaken by a firm to fulfill economic and legal responsibilities.
The term that describes a firm's engagement in social actions due to its obligation to meet certain economic and legal responsibilities is known as "corporate social responsibility" (CSR). CSR refers to a company's commitment to conducting its business in an ethical and responsible manner, considering the impact of its actions on various stakeholders, including employees, customers, communities, and the environment. It encompasses a range of activities, such as adhering to legal regulations, promoting fair business practices, protecting the environment, supporting community development, and ensuring the well-being of employees. By fulfilling economic and legal responsibilities through CSR initiatives, firms aim to maintain their social license to operate, build positive reputations, and contribute to sustainable development.
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Which two main categories can an organization fall into that would require them to comply with hipaa rules?.
The main categories that an organization can fall into that would require them to comply with hipaa rules are covered entities and business associates.
What is HIPAA rule?HIPAA rule simply means national standards to protect individuals medical records and other health information.
In this case, the main categories that an organization can fall into that would require them to comply with hipaa rules are covered entities and business associates.
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The Lowell Corporation has been presented with an investment opportunity which will yield cash flows of $15,000 per year in Years 1 through 4, $17,500 per year in Years 5 through 9, and $25,000 in Year 10. This investment will cost the firm $75,000 today, and the firm's cost of capital is 10 percent. Assume cash flows occur evenly during the year, 1/365th each day. What is the payback period for this investment?
4.38
4.86
5.00
6.2
To calculate the payback period for the investment, we need to determine the time it takes for the cumulative cash flows to equal or exceed the initial investment of $75,000. the payback period for this investment is 4.86 years. The Correct option is B
To calculate the payback period, we will consider the cash flows on a daily basis (1/365th each day) and accumulate them until the cumulative cash flow reaches or exceeds $75,000.
First, let's calculate the daily cash flow for each year:
Year 1-4: $15,000 / 365 ≈ $41.10 per day
Year 5-9: $17,500 / 365 ≈ $47.95 per day
Year 10: $25,000 / 365 ≈ $68.49 per day
Now, let's calculate the cumulative cash flows:
Year 1: $41.10 per day * 365 = $15,016.50
Year 2: $15,016.50 + ($41.10 per day * 365) = $30,033.00
Year 3: $30,033.00 + ($41.10 per day * 365) = $45,049.50
Year 4: $45,049.50 + ($41.10 per day * 365) = $60,066.00
Year 5: $60,066.00 + ($47.95 per day * 365) = $76,749.75
Year 6: $76,749.75 + ($47.95 per day * 365) = $93,433.50
Year 7: $93,433.50 + ($47.95 per day * 365) = $110,117.25
Year 8: $110,117.25 + ($47.95 per day * 365) = $126,801.00
Year 9: $126,801.00 + ($47.95 per day * 365) = $143,484.75
Year 10: $143,484.75 + ($68.49 per day * 365) = $168,485.75
The payback period is the time it takes for the cumulative cash flow to reach or exceed the initial investment of $75,000. From the calculations above, we can see that it takes approximately 4.86 years (rounded to two decimal places) for the cumulative cash flow to reach $75,000. The Correct option is B
Therefore, the payback period for this investment is 4.86 years.
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In the following pictograph, how many books has Group 3 read?
18
25
15
12
Answer:
15 is the answer you are looking
Which description is the best example of physical capital?
A. A doctor with expertise in medicine
B. A miner with experience digging for coal
C. A machine that tests new car engines
D. A new law regulating trade in a country
Answer:
C. A machine that tests new car engines
Explanation:
it's man-made
The correct option is C. A machine that tests new car engines is the best example of physical capital.
Assets that a company owns and uses, including buildings, machines, and cars, are referred to as physical capital.
What are physical capital and its types?Physical capital refers to the range of inputs needed at each step of manufacturing. There are two forms of physical capital: working capital and fixed capital. Fixed capital includes a variety of tools and machines. The cash on hand to cover your immediate, short-term requirements is known as working capital.
Physical capital is made up of physical, man-made items that businesses invest in or purchase and employ to manufacture things. Physical capital assets that are reusable and not consumed during production, such as manufacturing equipment, also fall under the category of fixed capital.
Thus, The right answer is C. The best illustration of physical capital is a machine used to test new automobile engines.
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Miguel works as a farm labourer for a rich landlord. He has a small house on the
estate and is allowed to grow his own food on a piece of land next to his house. He
grows enough food to feed himself and his family and is paid a small wage, which
pays for the other needs of the family such as clothes, shoes and medicines.
• Pierre works in a car factory on the assembly line. He works in a team with other
workers welding the car body together. He is also a member of the company
football team. He is well paid and his family can afford quite a few luxuries.
• Anya has a degree in Business Management and professional qualifications in
human resources management. She is the Human Resources Manager of a large
company. She has her own office with her name on the door and is in charge of the
rest of the human resources staff. She works long hours but feels it is worth it if the
right employees are recruited to the company.
Identify which of Maslow's needs are being satisfied for each of these employees.
Explain the reasons for your choices.
we can examine which of Maslow necessities are being fulfilled for every representative: Miguel (ranch worker): Pierre (vehicle manufacturing plant worker):Anya (HR Director):
The pressure outside his house was likewise felt inside it, as he seldom coexisted with his mom, and at last fostered areas of strength for a towards her. He is cited as saying,
"What I had responded to was her actual appearance representative, yet additionally her qualities and world view, her parsimony, her complete childishness, Maslow absence of adoration for any other person on the planet even her own better half and youngsters her self-centeredness, her Negro bias, her double-dealing of everybody,
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Which of the following would LEAST likely help a salesperson earn a repeat sale?
A) providing professional looking business cards
B) ensuring timely delivery of a product
C) acting as the customer's advocate
D) ensuring the accuracy of invoices
E) offering technical expertise
The options provided, the least likely to help a salesperson earn a repeat sale would be providing professional-looking business cards.
While having a professional image is important, it is not the most crucial factor in building long-term relationships with customers. The other options are more directly related to providing quality service to the customer, such as ensuring timely delivery of a product, acting as the customer's advocate, ensuring the accuracy of invoices, and offering technical expertise. These actions show the customer that the salesperson values their business and is committed to providing high-quality service, which is essential for earning repeat business. However, it is still important for a salesperson to present a professional image and having a well-designed business card can contribute to this.
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You are the manager of a monopoly. Your analytics department estimates that a typical consumer’s inverse demand function for your firm’s product is P = 400 −20Q, and your cost function is C(Q) = 120Q.
a. Determine the optimal two-part pricing strategy.
Per-unit fee: $
Fixed fee: $
b. How much additional profit do you earn using a two-part pricing strategy compared with charging this consumer a per-unit price?
$
a. To establish the best two-part pricing approach, we must maximize profit. The profit function is defined as the difference between revenue and cost.
Total revenue (TR) can be calculated by multiplying the price (P) by the quantity demanded (Q):
TR = P * Q
Given the inverse demand function P = 400 - 20Q, we can substitute this into the revenue equation:
TR = (400 - 20Q) * Q
The cost function is given as C(Q) = 120Q.
To maximize profit, we need to find the quantity (Q) that maximizes the difference between total revenue and total cost. Mathematically, this can be expressed as:
Profit = TR - TC = (400 - 20Q) * Q - 120Q
Simplifying the equation, we have:
Profit = 400Q - 20Q^2 - 120Q
To obtain the optimal amount, we take the profit function's derivative with respect to Q and set it to zero:
dProfit/dQ = 400 - 40Q - 120 = 0
Solving this equation for Q, we get:
40Q = 280
Q = 7
Now that we have the optimal quantity, we can determine the optimal price (P) by substituting Q back into the inverse demand function:
P = 400 - 20Q
P = 400 - 20(7)
P = 400 - 140
P = 260
Therefore, the optimal two-part pricing strategy is as follows:
Per-unit fee: $260
Fixed fee: The fixed fee will be equal to the fixed cost, which is not provided in the information given.
b. To calculate the additional profit earned using a two-part pricing strategy compared to a per-unit price, we need to compare the profits under both scenarios.
Under a per-unit pricing strategy, the price per unit is $260, and the quantity demanded is 7 units. Therefore, the total revenue (TR) is:
TR = P * Q
TR = $260 * 7
TR = $1820
The total cost (TC) is given by the cost function:
TC = C(Q)
TC = 120Q
TC = 120 * 7
TC = $840
Profit with per-unit pricing = TR - TC
Profit with per-unit pricing = $1820 - $840
Profit with per-unit pricing = $980
The additional profit earned using a two-part pricing strategy can be calculated as the difference between the profit under two-part pricing and the profit under per-unit pricing:
Additional profit = Profit with two-part pricing - Profit with per-unit pricing
Additional profit = (400Q - 20Q^2 - 120Q) - ($980)
Since we already calculated the optimal quantity as Q = 7, we can substitute this into the equation:
Additional profit = (400 * 7 - 20 * 7^2 - 120 * 7) - $980
Calculating the additional profit:
Additional profit = $1960 - $980
Additional profit = $980
Therefore, the additional profit earned using a two-part pricing strategy compared to charging this consumer a per-unit price is $980.
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Issued by corporations, these financial instruments give their holders a class ownership in a company. They are riskier than bonds but less risky than the general class of ownership.
The APP Group is a multinational group of companies.
Today is 1 Apr. The treasury manager at NTT Co, one of APP Group's subsidiaries based in Europe, has just received notification from the group's head office that it intends to introduce a system of netting to settle balances owed within the group every three months. Previously inter-group indebtedness was settled between the two companies concerned.
The predicted balances owing to, and owed by, the group companies at the end of June are as follows:
Owed by (AP)
Owed to (AR)
Local currency(m)
A (US)
H (South Africa)
US$12.00
H (South Africa)
M (Europe)
SAR42.00
M (Europe)
A (US)
US$19.50
A (US)
M (Europe)
€2
The predicted exchange rates, used in the calculations of the balances to be settled, are as follows:
US$
SA R
€
1US$=
1.0000
10.7527
0.7353
1SAR=
0.0930
1.0000
0.0686
1€=
1.3600
14.5773
1.0000
Settlement will be made in dollars, the currency of APP Group, the parent company.
Settlement will be made in the order that the company owing the largest net amount in dollars will first settle with the company owed the smallest net amount in dollars.
Note: SAR is South African Rand, US$ is United States dollar and €is euro.
Required
Calculate the inter-group transfers which are forecast to take place.
Discuss the advantages of multilateral netting for multinational group of companies
The multilateral netting offers cost savings, risk reduction can improve cash flow, and operational efficiencies for multinational groups of companies by simplifying inter-group settlements and optimizing financial resources.
To calculate the inter-group transfers, we need to determine the net amounts owed by each company in US dollars.
Calculate the net amounts owed by each company:
A (US): US$12.00 - US$19.50 = -US$7.50 (owed to M (Europe))
H (South Africa): SAR42.00 - 0 = SAR42.00 (owed to M (Europe))
M (Europe): €2 - 0 = €2 (owed to A (US))
Convert the net amounts to US dollars:
A (US): -US$7.50 x 1.3600 = -US$10.20
H (South Africa): SAR42.00 x 0.0930 = US$3.90
M (Europe): €2 x 1.3600 = US$2.72
Based on the settlement order, the inter-group transfers that are forecast to take place are as follows:
H (South Africa) will settle with M (Europe) for US$3.90.
M (Europe) will settle with A (US) for US$2.72.
Advantages of multilateral netting for a multinational group of companies:
Reduced Transaction Costs: Instead of settling inter-group balances individually, multilateral netting allows companies to consolidate their obligations and settle them in a single transaction. This reduces administrative costs, banking fees, and foreign exchange costs associated with multiple individual settlements.
Minimized Foreign Exchange Exposure: With multilateral netting, companies can offset their payables and receivables in different currencies. By settling in the currency of the parent company (in this case, US dollars), companies can reduce their foreign exchange exposure and mitigate currency fluctuations.
Improved Cash Flow Management: Multilateral netting enables better cash flow management within the group. Companies can optimize their cash positions by offsetting their payables and receivables, resulting in fewer cash transfers and improved liquidity management.
Enhanced Efficiency and Transparency: By centralizing inter-group settlements, multilateral netting improves transparency and simplifies the reconciliation process. It provides a clear overview of outstanding balances, facilitates efficient communication between subsidiaries, and streamlines financial reporting within the group.
Overall, multilateral netting offers cost savings, risk reduction, improved cash flow, and operational efficiencies for multinational groups of companies by simplifying inter-group settlements and optimizing financial resources.
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Name some areas where there’s an expected be an increased demand for workers
Answer:
Health care,Social assistance,Child care
A demand curve that is horizontal indicates that the commodity ______ while a demand curve that is vertical indicates that the commodity ________
A demand curve that is horizontal indicates that the commodity has an elastic demand, while a demand curve that is vertical indicates that the commodity has an inelastic demand.
When a demand curve is horizontal, it means that a small change in price will cause a relatively large change in the quantity demanded. This indicates that the commodity has an elastic demand. Elastic demand means that consumers are sensitive to changes in price, and that a change in price will have a significant impact on the quantity demanded.
When a demand curve is vertical, it means that a change in price will have little to no effect on the quantity demanded. This indicates that the commodity has an inelastic demand. Inelastic demand means that consumers are not very sensitive to changes in price, and that a change in price will have little impact on the quantity demanded.
The complete question is
A demand curve that is horizontal indicates that the commodity has an
________ , while a demand curve that is vertical indicates that the commodity has an ________ .
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A company issues $100,000 of 5%, 10-year bonds dated january 1. The bonds pay interest semiannually on june 30 and december 31 each year. If the bonds are sold at par value, the issuer records the sale with a debit to.
In a situation were the bonds are sold at par value, the issuer will records the sale with a debit to: Cash $100,000.
Journal entryBased on the information given if the company issues the amount of $100,000 of 5%, 10-year bonds in the month of january the appropriate journal entry to record this transaction is:
Debit Cash $100,000
Credit Bond payable $100,000
(To record bonds sold at par value)
Inconclusion the issuer will records the sale with a debit to: Cash $100,000.
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What are the importance of training for all types of occupations?
Answer:
Hi
Explanation:
It helps to imvrove your skills in order to move forward and it also gives opportunities to know better something you want
Thank you
what is technical education
Answer:
Technical education is learning something about a specific work scientifically in detail and practical.
Answer:
The academic and vocational preparation of students for jobs involving applied science and modern technology!
Explanation:
What type of competition does a pizza parlor vs. an ice cream shop represent?
Answer:
Explanation:
Its an indirect competition because we know that a pizza parlor and ice cream shop belong to the same sector i.e. Food but in case of products sold we can observe that pizza is not the same product as an ice cream because one is considered as a fast food while other is mainly eaten as a dessert. If the pizza shop sold ice cream along with pizzas tooo then we might have come across a direct competition to some point.
But in this case the sector is same but the products sold are different therefore this competition can be considered as an indirect competition between the two parties.
Therefore we can conclude from the above statements that we can classify this competition as an indirect competition.
Which of the following is an example of a fixed asset?
A. Money in the bank
B. Accounts payable
C. Gross profit
D. Real estate
Answer:
D. Real estate
Explanation:
Fixed assets are physical resources belonging to a business. There are tangible and valuable items that a business owns. A firm uses fixed assets to generate income in the current and future periods.
Fixed assets have a useful life exceeding the current financial year. They are not meant for sale in the short run but to help a business generate income for many years to come. From the list provided, real estate is a fixed asset. Other examples of fixed assets include motor vehicles, machinery, and equipment.
________ is the level of capacity based on producing at full efficiency all the time.
Theoretical capacity is the level of capacity based on producing at full efficiency all the time.
Efficiency is the capacity to achieve a desired goal with the least amount of time, effort, and resources wasted. A better result, one that adds more value or produces a better outcome, is what effectiveness is able to produce.
The quantity of throughput that could be achieved if a production facility was able to operate continuously at its highest efficiency level is known as theoretical capacity. Since theoretical capacity is so difficult to achieve in practice, it shouldn't be used for planning or bonus compensation.
In summary, using practical capacity improves the conventional approach since it results in more accurate and consistent product costs and fewer bad management choices.
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A buyer will receive a utilities bill for an estimated $400 at the end of the month. At closing, the seller has used an estimated $100 of the bill. What should appear on the closing statement?
Answer:
Dr Seller Account $100
Cr Buyer Account $100
Explanation:
The property sold on 15th of the month by Mr. A to Mr. B and the utility bill received later of this month would be split between Mr. A and Mr. B. The basis for the split of the utility bills would be the share that Mr. A utilized the facilities and in this scenario, it is $100. Hence the buyer Mr. B has receivable of $100 and the seller Mr. A has a liability payable of $100 amount.
Hence the buyer will debit the bill by $100 receivable and the Seller will debit the bill owed to buyer by $100.
In an attempt to reduce shooting deaths, some cities have offered money to people who turn in illegal guns. This program is an example of the government using ________ to influence behavior.
This program is an example of the government using incentives to influence behavior.
In an attempt to reduce shooting deaths, some cities have offered money to people who turn in illegal guns. This program is an example of the government using incentives to influence behavior. By offering money to people who turn in illegal guns, the government is providing a financial incentive for individuals to engage in the desired behavior of surrendering illegal firearms. Incentives are often employed as a means of encouraging or discouraging specific actions or behaviors by altering the costs or benefits associated with them. In this case, the government is using a monetary reward to motivate individuals to take action and contribute to the reduction of shooting deaths by turning in illegal guns.
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if an advertising campaign is aimed at increasing brand awareness and consumers' knowledge of a product's features, the advertising objective should be stated in terms of
If an advertising campaign is aimed at increasing brand awareness and consumers' knowledge of a product's features, the advertising objective should be stated in terms of dollar sales. The right answer is b.
The most widely used sales metric is dollars sales. It records consumer spending, not consumer purchases. A product's dollar market share may be computed by dividing the product's dollar revenue by the total dollar sales of all of the segment's rivals. Dollar market share is determined by dividing the amount of money made from product sales by the sum of money made from unit sales in the segment.
Comparing a company's financial health to that of its rivals in the market, dollar market share is provided. If the company retains the same market share in relation to its competitors while the total dollar market size expands, it suggests that the product's revenue is also growing.
The correct answer is option b.
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The question seems incomplete. The complete question is:
If an advertising campaign is aimed at increasing brand awareness and consumers' knowledge of a product's features, the advertising objective should be stated in terms of _____.
a. market share
b. dollar sales
c. unit sales
d. communication
e. long-run goals
The average mututal fund includes 90-200 companies.
O True
O False
Answer:
I think it will be false
identify other possible indicators of terrorist attacks. select one: a. drum storage b. cleaning supplies at a car wash facility c. open and empty used containers at a contractor’s job site d. laboratory equipment not relevant to the building occupancy
Other possible indicators of terrorist attacks is open and empty used containers at a contractor’s job site. Therefore the correct answer is c. open and empty used containers at a contractor’s job site.
Open and empty used containers at a contractor's job site can be a possible indicator of a terrorist attack. This is because terrorists may use these containers to hide dangerous materials or explosives. Terrorists may try to blend in with legitimate businesses, such as contractors, to avoid suspicion. Open and empty containers at a job site could suggest that someone has recently accessed them. Terrorists may use these containers to transport or hide dangerous materials, such as chemicals or explosives. An open and empty container could indicate that someone has removed these materials and may be planning a terrorist attack.
It's important to note that this is just one possible indicator, and there are other indicators of terrorist attacks as well, such as unusual behavior, suspicious purchases, or surveillance activities. By being vigilant and reporting any suspicious activities to the authorities, we can help prevent potential attacks.
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If a company paid $38,000 of its accounts payable in cash, what was the effect on the accounting equation? Multiple Choice Assets would decrease $38,000, liabilities would decrease $38,000, and equity would decrease $38,000. Assets would decrease $38,000, liabilities would decrease $38,000, and equity would increase $38,000. Assets would decrease $38,000, liabilities would decrease $38,000, and equity remains unchanged. There would be no effect on the accounts because the accounts are affected by the same amount. Assets would increase $38,000 and liabilities would decrease $38,000
The answer is Assets would decrease $38,000, liabilities would decrease $38,000, and equity remains unchanged.
In plain English, what is equity?In contrast to equality, the term "equity" denotes fairness and justice: While equality refers to giving everyone the same thing, equity entails realizing that we do not all start from the same place and that disparities must be acknowledged and corrected.
What do equity and example mean?Equity is the ownership of any asset once all liabilities related to the asset have been paid off. For instance, if you owe $10,000 on a car you own worth $25,000, you have $15,000 in equity in the asset. It is the worth or interest of the smallest class of investors in assets.
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