If a shareholder is to receive a dividend, they need to be listed on the company's records on the date of record.
What do you mean by dividend?
A corporation's payout of profits to its shareholders is known as a dividend. A corporation is able to distribute a portion of its profit as a dividend to shareholders when it generates a profit or surplus. Any remaining funds are withdrawn and reinvested back into the company.Most dividends paid to shareholders in the United States are cash dividends, which are payments given in cash on a per-share basis. For instance, an investor holding 100 shares would receive $20 in cash if the corporation paid a dividend of 20 cents per share. A percentage increase in the number of shares owned is what constitutes a stock dividend.To know more about Dividend here
https://brainly.com/question/28097598
#SPJ4
The ratio of the price of two goods on a graphed budget line is measured by its:.
There are lines in budget. The ratio of the price of two goods on a graphed budget line is measured by the slope of the budget.
What is a budget lineThis is regarded as a two-dimensional graph that shows the various choices one have between two goods given the money one have to spend. It is also known as budget constraint.
The ratio of the price of good X that is found on the horizontal axis to the price of good Y on the vertical axis is known as the slope of the budget.
Learn more about slope of the budget from
https://brainly.com/question/8584320
nt inc sells product a for $80, with unit variable cost of $16. they also sell product b for $90 and its uvc is $18. which product is relatively more profitable and why?
Product B is more profitable since it has a higher contribution margin.
To find which product is more profitable, we need to calculate the contribution margin per product. Contribution margin is the amount by which revenues exceed variable costs, and is calculated as revenue minus variable cost per unit.
For Product A, the contribution margin is $80 - $16 = $64.
For Product B, the contribution margin is $90 - $18 = $72.
Therefore, Product B is more profitable since it has a higher contribution margin. This is because Product B has a higher selling price and/or lower variable cost compared to Product A, which results in a higher amount of revenue per unit that is available to cover the fixed costs and generate profits.
Learn more about margin Visit: brainly.com/question/30459935
#SPJ4
Suppose that you start off in long run equilibrium, where LRAS, SR, and AD meet altogether in one point. Explain what happens to price, real GDP, inflation, and unemployment in each of the following cases:
(a) The interest rate falls;
(b) Wage rate temporarily falls;
(c) The dollar appreciates relative to foreign currencies;
(d) Businesses temporarily expect higher resource prices in the future;
(e) Business taxes rise
(a) When the interest rate falls, it stimulates borrowing and investment, leading to an increase in aggregate demand (AD). As a result, both price levels and real GDP will rise. The increase in aggregate demand will lead to upward pressure on prices, causing inflation to increase. With increased investment and economic activity, unemployment is likely to decrease as businesses expand and create more job opportunities.
(b) If the wage rate temporarily falls, businesses' production costs decrease, leading to a decrease in their marginal cost (MC) and an increase in short-run aggregate supply (SRAS). As a result, both price levels and real GDP will increase. With lower production costs, businesses can lower their prices, which can lead to a decrease in inflation. However, the impact on unemployment depends on the elasticity of labor supply. If the wage decrease leads to a significant increase in labor supply, it could lead to an increase in employment and a decrease in unemployment.
(c) When the dollar appreciates relative to foreign currencies, it makes imports relatively cheaper and exports relatively more expensive. This leads to a decrease in net exports, reducing aggregate demand (AD). As a result, both price levels and real GDP will decrease. With decreased aggregate demand, inflation is likely to decrease. The decrease in economic activity can also lead to an increase in unemployment as businesses may reduce production and cut jobs.
(d) If businesses temporarily expect higher resource prices in the future, it can lead to an increase in their costs of production. This will result in a decrease in short-run aggregate supply (SRAS), leading to higher price levels and lower real GDP. With higher production costs, businesses may pass on the cost increases to consumers, leading to higher inflation. The impact on unemployment depends on the extent to which businesses adjust their production and hiring plans in response to the expected higher resource prices.
(e) When business taxes rise, it increases the cost of production for businesses. This leads to a decrease in short-run aggregate supply (SRAS), causing price levels to increase and real GDP to decrease. Higher production costs can lead to higher inflation as businesses pass on the tax burden to consumers. The increase in production costs may also result in businesses reducing their output and cutting jobs, leading to an increase in unemployment.
It's important to note that these are simplified explanations and the actual impact of these factors can be influenced by various other economic conditions and factors. Additionally, the magnitude and duration of the effects can vary depending on the specific circumstances and the overall state of the economy.
To learn more about marginal cost : brainly.com/question/14923834
#SPJ11
Suppose that the federal reserve conducts an open market sale. Everything else held constant, this will cause the demand for u. S. Dollar to ________ and the u. S. Dollar will ________.
Suppose that the Federal Reserve conducts an open market sale, the demand for U.S. Dollar will decrease and the U.S. Dollar will depreciate.
An open market sale by the Federal Reserve means that they will sell government securities to commercial banks, decreasing the money supply in the economy. This decrease in money supply will lead to a decrease in the demand for U.S. Dollars as people and businesses will have less money to spend. A decrease in demand will cause the value of the U.S. Dollar to depreciate, as fewer people will want to buy it.
Hi! I'm happy to help with your question. The main answer is: An open market sale by the Federal Reserve will cause the demand for U.S. Dollar to increase and the U.S. Dollar will appreciate.
1. When the Federal Reserve conducts an open market sale, it sells government securities (such as Treasury bonds) to commercial banks and financial institutions.
2. This action leads to a decrease in the money supply in the economy, as banks now hold more government securities and less cash.
3. As a result, interest rates in the U.S. increase, as banks have less cash available for lending and demand a higher interest rate to compensate for the reduced supply.
4. Higher interest rates in the U.S. attract foreign investors, who want to benefit from the higher returns on investments in the country.
5. Consequently, the demand for U.S. Dollars increases, as foreign investors need to exchange their local currency for U.S. Dollars to invest in the country.
6. With the increased demand for U.S. Dollars, its value relative to other currencies rises, which means the U.S. Dollar will appreciate.
To know more about Federal Reserve visit:
https://brainly.com/question/17097530
#SPJ11
Accurate sales forecasts help to determine staff and inventory.
True
False
The purpose of _____ is to set goals and decide on the courses of action that will be used to achieve them.
Answer:
Planning
Explanation:
I think is the answer lmk if its wrong:)
Answer:
Planning
Explanation:
Global trade means more markets and opportunities, but there is also more _______ for those markets
Global trade has increased market access for businesses, allowing them to reach new customers and expand their operations. However, this also means that companies face more competition for those markets, as businesses from different countries now compete for the same customers.
This increased competition can drive innovation, force companies to improve their products and services, and ultimately benefit consumers by providing them with more choices and better prices.
Global trade means more markets and opportunities, but there is also more competition for those markets. With global trade, companies are able to reach a wider audience and tap into new markets. However, as more companies enter the global market, competition becomes more intense. This can lead to a greater focus on price and efficiency, and companies need to constantly innovate and improve in order to stay competitive. Additionally, global trade also brings new regulatory and legal challenges, as companies must comply with different laws and regulations in each market they operate in. Overall, while global trade offers many benefits, it also requires companies to be adaptable and strategic in order to succeed in a highly competitive and complex global marketplace.
Learn more about Global trade here:
https://brainly.com/question/3617318
#SPJ11
You scheduled a meeting with your banker to discuss your findings. How will you fine-tune your product to incorporate your market research?
Answer:
5 Simple Steps to Fine-Tune Your Digital Marketing Planwww.convinceandconvert.com › digital-marketing › fi...
Were results good, targets met, and goals achieved? Or did your plan totally miss the mark? If you don't review what you did, how will you know what worked
Explanation:
The table shows a point-based grading system.
A 3 column table with 12 rows. Column 1 is labeled Letter grade with entries A plus, A, A minus, B plus, B, B minus, C plus, C, C minus, D plus, D, E/F. Column 2 is labeled Percent grade with entries 97 to 100, 93 to 96, 90 to 92, 87 to 89, 83 to 86, 80 to 82, 77 to 79, 73 to 76, 70 to 72, 67 to 69, 65 to 66, below 65. Column 3 is labeled 4.0 Scale with entries 4, 4, 3.7, 3.3, 3, 2.7, 2.3, 2, 1.7, 1.3, 1, 0.
Jennifer wants to figure out her grade point average for this semester. She received a B in English, a C- in math, and an A in social studies.
Based on the table, what is Jennifer’s GPA?
1.9
2.9
3.0
4.0
Answer:
ITS 2.9
Explanation:
i did the test
Answer:
its A, 2.9
Explanation:
The
management of a sugar manufacturing company sets aside a sum of $50,000 in its budget for the purchase of new
machinery that would double the production. In the given scenario, the management is in the process of planning the
of the company
operating budget
Ofinancial budget
Omarketing budget
Ostatic budget
Answer: operating budget
Explanation:
In the given scenario in the question, we can deduce that the management is in the process of planning the operating budget of the company.
The operating budget simply refers to the money that's needed by the company for it to run efficiently. It is made up of the manufacturing costs, sales budget, selling expenses, and the administrative expenses.
Is progressive tax a indirect tax?
Progressive tax a indirect tax. Based on the idea of ability to pay, a progressive tax takes a greater percentage of income from high-income groups than from low-income groups.
Define the term progressive tax?A progressive tax is one that levies a higher percentage of income from high-than-low income groups.
A tax that applies the same percentage of income to all income groups is known as a proportional tax. Regressive taxes are those that take a greater percentage of income from low-income groups than from high-income groups.In a progressive tax, which is based on the idea of ability to pay, a higher percentage of income is taken from high-income groups than from low-income groups.An income-related average tax burden is referred to as a progressive tax. Low- and middle-income taxpayers bear a disproportionately small share of the tax burden, compared to high-income families.Thus, as regressiveness is typically associated with indirect taxes. Since the indirect tax rate is constant regardless of income, it is progressive in nature.
To know more about the progressive tax, here
https://brainly.com/question/1601662
#SPJ4
state which category of funds (governmental-type, proprietary type, or fiduciary type) would be used by a state government for each of the following purposes
One category of funds (Government-type, Proprietary-type, or Escrow-type) is used by state governments for each of the following purposes: - business funds (Escrow-type)
Funds: Amounts or other resources whose principal or interest is intended for a specific purpose. A deposit from which a check or bill of exchange may be drawn - usually used in the plural.
Common types of funds include pension funds, insurance funds, endowments, and endowments. Funds are also used by individuals and families for personal financial matters such as B. Emergency Funds and College Funds. A pension fund is a communal fund provided to employees as a benefit.
Mutual funds are professionally managed mutual funds that pool money from many investors to purchase securities. The term is typically used in the United States, Canada, and India, but similar structures around the world include his SICAV in Europe and open-ended investment firms in the United Kingdom.
Learn more about funds here: https://brainly.com/question/24556197
#SPJ4
give short introduction about tourism industry
Answer:
Tourism industry is the industry that manages all the resources related to the tourism like hotel management, guides and many more. Tourism industry is very beneficial for the developing countries like Nepal, India and many more. Through it there will be economic development in the country. And from the economical development the citizens of the country can get facilities.
Answer:
Explanation: Tourism is the activities of people traveling to and staying in places outside their usual environment for leisure, business or other purposes for not more than one consecutive year.1.Domestic Tourism -Domestic tourism is the act of travelling for business or leisure within one’s home country2.International tourism-International tourisminvolves tourist who are traveling to different countries.
Etica, creatividad, compromiso, excelencia, integridad, credibilidad, pueden ser ejemplos de visiones.
Es VERDADERO O FALSO? . Si es Falso lo justificas.
Answer:si English?
Explanation:
Midyear on july 31st, the chester corporation's balance sheet reported: total assets of $124.287 million total common stock of $3.810 million cash of $6.030 million retained earnings of $26.732 million. what were the chester corporation's total liabilitie
The total liabilities of the Chester corporations as on July 31st will be $99,775.
What are total liabilities?
The amount of payments which are yet to be made, but are accrued by the receiver. The total liabilities are the calculation of total assets less equities and capitals of such firm.
Using the given information in the formula below, we get,
\(\rm Total\ Liabilities\ = Total\ Assets\ -\ Total\ Equities\\\\\rm Total\ Liabilities\ = 130317\ -\ 30542\\\\\rm Total\ Liabilities\ =\$99,775\)
Thus, the total liabilities of Chester Corporation is computed as $99,775.
Learn more about total liabilities here:
https://brainly.com/question/21185895
#SPJ1
Suppose that Toyota and GM are considering entering a new market for self-driving trucks and that their profits (in millions of dollars) from entering or staying out of the market are given by the payoff matrix to the right. GM If the firms make their decisions simultaneously, do either or both firms enter? Enter Do not enter -20 O A. This game has no Nash equilibria. B. The Nash equilibrium is for both firms to not enter. O C. The Nash equilibrium is for Toyota to enter and GM to not enter. OD. The Nash equilibrium is for both firms to enter. O E. The Nash equilibrium is for GM to enter and Toyota to not enter.
Based on the given payoff matrix, it can be observed that if both Toyota and GM enter the self-driving truck market, they will both make a profit of 10 million dollars.The answer is D.
However, if only one firm enters and the other stays out, the entering firm will make a profit of 20 million dollars, while the other will lose 20 million dollars. If both firms stay out, they will both earn 0 profit.
To find the Nash equilibrium, we need to identify the strategy that is optimal for both firms given the other's decision. In this case, there is a dominant strategy for both firms to enter, since they can both earn a profit of 10 million dollars if they both enter. Therefore, the Nash equilibrium is for both firms to enter.
To know more about payoff matrix, refer to the link:
https://brainly.com/question/29577252#
#SPJ11
Conflict occurs when one party perceives their interests are being opposed or negatively affected by another party. Even the best managers will often have to help resolve disagreements and even destructive conflicts. This activity is important because good managers should understand the various techniques or styles they can use to handle workplace conflicts.
The goal of this activity is to challenge your knowledge of the five conflict handling styles.
Match each item to the appropriate conflict handling style.
Dominating
Obliging
Compromising
Integrating
Avoiding
The solutions are provided below with the wise selection in accord with the question.
1) Milton is always ---> Refraining
What are the obstacles to expansion strategy?A small business owner must actually invest in order to maximize income, and expansion frequently leads to new economic prospects that demand extra costs. However, occasionally purchasing excessively can lead to problems.
1) Milton is always --->-> Refraining
explanation: The avoiding approach involves withdrawing from a difficult circumstance. This strategy works well if the issue at hand is minor or unimportant. It is wise to avoid wasting time and energy on insignificant issues like being irate about not getting a new red Flakiness stapler.
2 Lauryl works ---> is compliant
Explanation: When one party yields to the demands or wants of the other party in the hope of receiving a favor later on, it is akin to an accommodating method of conflict resolution.
3- Your business retracted———->Dominating
Explanation: This is a competition approach wherein the one party elevates its own interests or position over that of other side.
4- Stan and Phylis ------ Compromising
explanation- This approach settles disputes when opposing parties look for a middle ground via fair exchange and a solution that offers that both parties can agree on.
5 - Integrating $4000 from your department
This study looked for parties to work together when both their own and others' interests are highly regarded. All stakeholders reach a consensus on a solution.
To know more about challenge visit:
brainly.com/question/28336004
#SPJ4
Complete question:
how long does it take for tax refund to show in bank account after approved
Answer:
Assuming no issues, IRS issues tax refunds in less than 21 calendar days after IRS receives the tax return. IRS has an on-line tool, "Where's My Tax Refund", at www.irs.gov that will provide the status of a tax refund using the taxpayer's SSN, filing status, and refund amount.
Explanation:
Which document determines the number of shares in a company?
a stock prospectus
an annual bill of rights
a corporate charter
an annual report
Answer:
C. a corporate charter
A Corporate Charter is document determines the number of shares in a company.
What is Corporate Charter?
Corporate charter is a legal document which is issued with the Secretary of State or registrar in order to establish a company as a corporation and contain every detailed information about company's share. The corporate charter contain information about governance, structure, objectives, operation, other information about the company and information about that total company shares and how much the company is willing to sell.
Therefore, A Corporate Charter is document determines the number of shares in a company
Learn more on Corporate Charter from the link below.
https://brainly.com/question/17134082
Meadows manufacturing follows the accrual basis. An accrual results when ____________ and a deferral results when.
Answer:
Meadows manufacturing follows the accrual basis. An accrual results when $6,000 cash is received after a customer has been billed and a deferral results when $4,500 cash is paid for next quarter's insurance for property.
Explanation:
Pls, choose me as brainliest!
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
Read more about net income here:
https://brainly.com/question/28390284
#SPJ1
a firm is exposed to both systematic and unsystematic risks. which of the following are examples of systematic risks? multiple select question. a fire in a manufacturing plant an increase in the corporate tax rate management turnover an increase in the federal funds rate
The examples of systematic risks in the given options are: An increase in the corporate tax rate, An increase in the federal funds rate
Systematic risks are those that affect the entire market or economy, and cannot be eliminated through diversification. In this case, changes in the corporate tax rate and federal funds rate can impact the overall market and economy, making them systematic risks. On the other hand, unsystematic risks are those that affect a particular company or industry, such as a fire in a manufacturing plant or management turnover.
Systematic risks are factors that affect the entire market or economy as a whole, rather than just a particular company or industry. These risks are often caused by events or factors that are beyond the control of any individual company or investor. Examples of systematic risks include changes in government policies, interest rates, or economic conditions.
Learn more about risks here:
https://brainly.com/question/29303950
#SPJ11
Who manages woolworths, is the manager actively involved in the decisions of the business , will the manager be able to make informed decisions?
Who manages Woolworths company is the CEO Roy Bagattini. The manager is actively involved in the business decisions, since, according to research, the CEOs of the subsidiaries must report to him, with this information it is possible to say that the manager will be able to make informed decisions.
What constitutes a good manager?It is essential that the leader is an individual with developed communication skills and vision of organizational systems, seeking integration between processes and departments, creating a culture favorable to the development, cooperation and motivation of employees.
Therefore, if a company has subsidiaries such as Woolworths, the manager must seek to understand the needs of the business and make aligned decisions that promote innovation and the organization's positioning in the market.
Find out more about management here:
https://brainly.com/question/16289727
#SPJ1
company manufactures pillows. the operating budget was based on production of pillows, with machine-hours allowed per pillow. budgeted variable overhead per hour was . actual production for was pillows using machine-hours. actual variable costs were per machine-hour. calculate the following: a. the budgeted variable overhead for b. the variable overhead spending variance c. the variable overhead efficiency variance
a. The budgeted variable overhead is $468,750.
b. The variable overhead spending variance is $38,100 Favorable
c. The variable overhead efficiency variance is $30,000 Favorable
What is variable overhead?Variable overhead is a cost of running a business that varies with operational activity. Variable overheads rise and fall in lockstep with production output. Overheads, such as administrative overhead, are often a set cost.
The variable manufacturing overhead controllable variance reflects how effectively the company stuck to its budget. The difference between the planned fixed overhead at normal capacity and the standard fixed overhead for the actual units produced is the fixed factory overhead volume variance.
a. The budgeted variable overhead for 2017 = Budgeted hours * Variable overhead rate per hour
= (25000*0.75)*$25 = $468,750
b. Variable overhead spending variance = (SR - AR) * AH = ($25 - $23) * 19050 = $38,100 Favorable
c. Variable overhead efficiency variance = (SH - AH) * SR = (27000*0.75 - 19050) * $25 = $30,000 Favorable
Learn more about budget on:
https://brainly.com/question/8647699
#SPJ1
Before purchasing services, citizens must often make assessments of their quality based on reputation. Group of answer choices True False
what is the general compounding formula for calculating the annual return on investment when there is more than one compounding period in a year? multiple choice question. c0(1 r)m c0(1 r/m)m c0(1 rm) c0rm
c0(1 r/m)m is the general compounding formula for calculating the annual return on investment when there is more than one compounding period in a year. The correct option is B.
What is the annual return on investment?The annual return is the annual percentage return on investment over time. Dividends, capital returns, and capital appreciation are all potential sources of returns.
Compound interest can be calculated using the formula FV = P*(1+R/N)(N*T), where FV is the loan or investment's future value, P is the initial principal amount, R is the annual interest rate, N is the number of times interest is compounded per year, and T is the time in years.
Thus, the ideal selection is option B.
Learn more about the annual return on investment here:
https://brainly.com/question/14333133
#SPJ1
One of the most powerful predictors of entrepreneurial intent is that most future entrepreneurs possess a personality A. gregarious B. reactive O C. introverted OD. proactive
A. gregarious. Research suggests that individuals with a gregarious and extroverted personality tend to have higher entrepreneurial intent and are more likely to engage in entrepreneurial activities.
Openness to experience: Entrepreneurs are typically open-minded, curious, and willing to explore new ideas and opportunities.
Self-confidence: Entrepreneurs often exhibit high levels of self-confidence and self-belief, which helps them overcome challenges and take risks.
Need for achievement: Individuals with a strong need for achievement are driven by goals and a desire to excel, making them more likely to pursue entrepreneurial endeavors.
Proactive personality: Entrepreneurs tend to have a proactive approach to problem-solving, taking initiative and seizing opportunities rather than waiting for them to arise.
It's important to note that while certain personality traits can be predictors of entrepreneurial intent, they are not the sole determinants. Other factors such as prior experience, education, access to resources, and environmental influences also play a significant role in entrepreneurial decision-making and success.
Learn more about Entrepreneurs here:
https://brainly.com/question/31010585
#SPJ11
What is the difference between using an action button to play an audio file via 'play sound' and an audio clip set up through the Media Group?
Answer: The action button lets users play the audio file, the sound button will play an audio clip.
Explanation:
The action button lets users play the audio file once it is clicked or has a mouse over action over the assignment button. The sound button will play an audio clip that you have specified in the action settings dialog box.
alachi is a manager at a home goods store. he subscribes to theory x. in managing his employees, he is most likely to
Alachi is a manager at a home goods store. he subscribes to theory x. in managing his employees, he is most likely to assume the average worker prefers to be directed.
What is Management Style?There are many management styles and it depends on the mind mindset off employer or manager, a manager with theory X assumes that the employees does not like to work and there needs to be directed, they can only be motivated with salary. While the manager theory Y assumes that the employees like their job and are responsible for the work they do, they need some guidance but are responsible for the work, they can be motivated with appraisals, appreciations and more rewards.
Alachi as a manager is a theory X manager and assumes that the workers prefers to be directed and therefore he would delegate the task and provide the complete guidance to them.
Learn more about Management style at https://brainly.com/question/27207232
#SPJ1
Eliza Conner owns a small clothing boutique. Eliza uses her personal checking account for both business and personal needs. How would you convince Eliza that she should open a separate
bank account for her business?
Answer:
1. It will cause them confusion throughout the tax calculating process.
2. Using a single account will make it difficult to keep payroll records.
3. Keep track of your personal expenses and earnings.
Explanation:
1. It is preferable to establish a separate account to separate the firm's actual income and expenses.
2. Payroll expenses are indistinguishable from personal expenses.
3. This allows you to cross-check bank and hand-made documents for income and expenses. Because cash transactions may not be recorded in the bank account, the entrepreneur should preserve receipts in order to compute revenue and expenses, which may result in erroneous financial statements.