The number of shares issued by Face Corporation, which has 160 outstanding shares, 800 authorized shares, and 80 shares of treasury stock will be 240.
To determine the number of issued shares, we need to consider both the outstanding shares and the treasury stock. Outstanding shares are those that are held by shareholders, while treasury stock represents shares that the company has repurchased.
Step 1: Start with the outstanding shares (160)
Step 2: Add the treasury stock (80)
Step 3: Calculate the total issued shares by combining these numbers
160 (outstanding shares) + 80 (treasury stock) = 240 issued shares
In conclusion, Face Corporation has issued 240 shares.
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1. Looking at Nigeria as a potential emerging market, mention and explain 4 factors you think are preventing Nigeria from becoming an excellent emerging market to invest in? 2. If you were given the chance, resources and power to change Nigeria, which one out of the 4 problems identified above would you try to solve and how would you do it?
do not understand what you are saying
2. two examples of using redox reactions in industry have been stated. give two more examples of ways that this series could be used in everyday life
Redox reaction is a reaction involving both oxidation and reduction simultaneously. That is to say, one reactant gets oxidized, the other gets reduced.
The examples of using redox reactions are;
Cellular respiration which is the ultimate source of energy in human beings contains a series of redox reactions. So, the food that we consume is converted into energy by redox reactions only.
The corrosion process forms yet another example of redox reactions in everyday life. On contact with a metal, say, an iron door, some of the oxygen atoms present in water oxidize iron (or the metal) and, thereby, lead to the generation of free hydrogen ions.
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Which savings account will earn you the most money? One that compounds interest daily. One that compounds interest monthly. One that earns simple interest daily. One that earns simple interest monthly.
Hi There!!
I think the best answer is:
C). One that earns simple interest daily.
Because, Simple interest isn't as big as compound interest, and having it monthly means less spending.
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According to SFAC 5, the four criteria that must be met for an item to be recognized in the basic financial statements are Multiple select question. the item can be matched with associated revenues. the information about the item is reliable. The item meets the definition of an element. the information about the item is relevant to decision making. the item can be valued at fair value. the item has relevant attributes that are measurable.
Answer:1)the information about the item is relevant to decision making
2)the item has relevant attributes that are measurable
3)the item meets the definition of an element
4)the information about the item is reliable
Explanation:
The four criteria for met out an item that should be recorded in the financial statements is as follows:
The information for the item that is considered for the decision-making.The item that met out the element definition.The item contains significant characteristics that are measurable in terms.The information related to the item should be accurate & reliable.The information related to the financial statement is as follows:
It is written records that show the financial profitability, financial position, and financial performance of the company. It includes the profit & loss account, balance sheet, cash flow statement.It represents reliable and accurate results.Therefore we can conclude that the above statements are considered.
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A stream of 20 annual payments where the size of the payments grows at 5% a year is an example of: Group of answer choices growing perpetuity growing annuity perpetuity annuity net present value
An example of a stream of 20 annual payments where the size of the payments grows at 5% a year is a growing annuity. It is known as a growing annuity because the payment grows over time by a certain amount, and it is received for a fixed number of years. It is often used in retirement planning to estimate future retirement income.
An annuity is a series of payments made at equal intervals. A growing annuity is an annuity in which the payments grow at a constant rate, such as 5% per year. The formula for the present value of a growing annuity is as follows:
PV = P [(1 + g)ⁿ - (1 + i)ⁿ / (g - i)]
Where,P = payment made at the end of each year,g = growth rate,i = interest rate,n = number of periods.This formula can be used to calculate the present value of an annuity, which is the value of all future payments in today's dollars. The present value can be used to determine how much money is needed today to fund a series of future payments.
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name two methods used to measure inequality of income in a country
The most commonly used inequality measure are the Gini coefficient ( based on Lorenz curve ) and the percentile or share ratios. This measures try to capture overall dispersion of income; how were they tend to people different leavles of importantance on the bottom middle and top end of distribution .
I hope it is helpful for you .
down cycles in real estate values and rents are less likely to occur in markets with strong growth trends, as the presence of a strong growth trend means that any excess supply will rapidly be absorbed.
Markets with strong growth trends are less likely to experience down cycles in real estate values and rents because the presence of such trends facilitates the rapid absorption of any excess supply.
In real estate markets, down cycles refer to periods of declining property values and rents. However, when a market is experiencing a strong growth trend, the likelihood of these down cycles decreases. This is because a strong growth trend indicates a robust demand for properties, leading to a quick absorption of any excess supply that may arise. In markets with strong growth trends, the demand for properties outpaces the supply, resulting in a scarcity of available properties. As a result, even if there is a temporary increase in the supply of properties, such as due to new construction or market fluctuations, the strong demand will quickly absorb the additional supply, preventing a significant decline in property values and rents. The presence of a strong growth trend indicates a healthy and vibrant market where there is sustained demand for real estate. Such markets are often characterized by factors such as population growth, economic prosperity, and favorable investment conditions. These factors contribute to a consistent demand for properties, ensuring that any excess supply is rapidly absorbed by the market. Consequently, the occurrence of down cycles in real estate values and rents becomes less likely in markets with strong growth trends.
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One to two sentences, explain what happens to a production possibilities curve if a natural disaster creates a scarcity of a key resource needed to make a product. Explain why this happens.
A natural disaster causing a scarcity of a key resource necessary for production will result in a shift inward or to the left of the production possibilities curve.
This occurs because the reduced availability of the key resource limits the economy's ability to produce the affected product, leading to a decrease in overall production capacity.
As a result, the economy's production possibilities are constrained, and it is forced to operate at a suboptimal level.
The scarcity of the key resource disrupts the balance between the production of different goods, leading to a decrease in potential output.
The economy will need to allocate its limited resources and adjust its production mix accordingly, potentially focusing on alternative products or finding substitutes for the scarce resource in order to maximize production under the new constraints imposed by natural disaster-induced scarcity.
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Who is responsible for ensuring the policies and procedures are implemented across the organization and acts as a liaison between the MIS department and the business
Responsible for ensuring the policies and procedures are implemented across the organization and acting as a liaison between the MIS department and the business?
The correct answer is Data Steward
Why is MIS becoming so important to businesses?
The main purpose of the MIS reporting system is to provide management with important business information for complex decision-making. Reliable information about business data related to current market development is essential for governments to be able to make swift and well-founded decisions.
The first relationship between business processes and information systems is to achieve business goals. For example, organizations use information systems to improve operational and process efficiency by improving the flow of information.
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Imagine you’re working on an important project at work. You’re writing some content about space exploration for your client. Your client has promised to send you a list of approved encyclopedias or reference books that you can use for your article. However, you haven’t received it yet. Write an email asking the client to provide you with the list. Remember to follow the email etiquette you learned in this lesson: Address your recipient by name. Mention the subject of the mail in the subject line. Clearly state the purpose of your email in the first sentence. End with an appropriate complimentary close. Make sure that your language is formal and professional.
Answer:
Subject: Request List: Approved Reference Books for Space Exploration Article
Dear Mr. Jackson,
I am writing to request you to email me the list of approved reference books for the space exploration article. We had discussed some tentative suggestions in our previous meeting. We are a bit behind schedule with writing the article. The reference book list will be a great help to us. Thank you for your time in considering this request.
Sincerely Yours,
Janice Collins
Head Writer
Star Communications
2563 Maple Road
Sunny City, CA 4523
Tel: (123) 456-7890
THIS IS THE EXAMPLE ANSWER!
Define the term manager. What are the responsibilities of a manager.
A manager is a person responsible for supervising and motivating employees and for directing the progress of an organization.
Leadership of the team
Maintain a safe work environment
Set goals
Delegate task
if you were using last-click attribution and wanted to see how channels and campaigns would be valued under first-click attribution, which report would you look at to find this insight?what type of analytics property can export data to bigquery?
The valuation of your marketing channels is compared using a model comparison report to examine the effects of various attribution models. Therefore, you should utilize this report to discover the insight if you are using any attribution and wanted to examine how channels and campaigns would be valued under another attribution.
The last-click attribution approach measures which marketing touchpoint a customer last engaged with or clicked on prior to making a purchase and assigns it 100% of the credit. All of the touchpoints and channels are given credit in the time-decay attribution model, but it also considers how much time a person spent at each point.
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Suppose that you work for a company that bids on contracts on a cost plus basis. The bid you are working on has cost of $12,400. Your company normally applies a markup of 15%. You have heard that 2 other companies have quoted bids of $12,000 and $15,000. What price should you quote? What other factors should you include in your bid for the customer to consider?
In this cost-plus bidding scenario, considering a cost of $12,400 and a normal markup of 15%, the price you should quote to the customer is $14,260.
Other factors to include in your bid for the customer to consider may include your company's experience and expertise, quality of work, delivery timeline, and any unique value-added services or competitive advantages your company offers.
To calculate the price you should quote, start with the cost of $12,400 and apply a markup of 15%. This can be done by multiplying the cost by 1 plus the markup percentage: $12,400 * (1 + 0.15) = $14,260. Therefore, you should quote a price of $14,260 to the customer.
In addition to the price, other factors to consider in your bid are important for the customer to evaluate the overall value of your company's proposal. These factors can include highlighting your company's track record of successful projects, the expertise and qualifications of your team, and any relevant certifications or industry awards. It is crucial to emphasize the quality of your work and the adherence to standards and regulations. Furthermore, you should outline a realistic and competitive delivery timeline, demonstrating your ability to meet the customer's requirements efficiently. Additionally, if your company offers any unique value-added services or has a competitive advantage, such as specialized technology or a cost-saving solution, be sure to highlight those aspects in your bid. Ultimately, by presenting a comprehensive bid that addresses these factors, you can increase your chances of winning the contract.
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Which of the following would be covered by a home insurance policy?
Question 5 options:
Hospital expenses for surgery
Wind damage to your roof
Accidental injury to a coworker on the job
Damage to another person's car when driving
Answer:
2
Explanation:
Wind damage to your roof
Spell all words correctly.
Identify the marketing research technique implied in the scenario.
A sports beverage company has created a new ad for their product to alr on television. After the ad alrs, they intend to show the ad to a certain
number of customers and then ask them for their feedback regarding the ad. This company is engaging in the
market research technique.
The marketing research technique implied in the scenario is "advertising research."
What is marketing research?Generally, Marketing research is the process of gathering and analyzing information about consumers, competitors, and the market environment to inform a company's marketing strategy and decisions. It typically involves collecting data through surveys, focus groups, interviews, and other methods, and then analyzing the data to gain insights about customer preferences and behaviors.
Correct! The marketing research technique implied in the scenario is advertising research, specifically pre-testing an advertisement before it airs to a larger audience.
This helps companies ensure that their advertising messages are effective and resonate with their target audience.
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Suppose you invest $5000 in a savings account that pays an apr of 4%. If the interest is compounded monthly, what is the balance in the account after 10 years?.
The balance in the account after 10 years is $7,401.22.
To calculate the balance in the account after 10 years, we can use the formula for compound interest:
\(A = P(1 + r/n)^(nt)\)
where:
A = the balance in the account after t years
P = the principal (initial investment), which is $5000
r = the annual interest rate, which is 4%
n = the number of times the interest is compounded per year, which is 12 (for monthly compounding)
t = the number of years, which is 10
Plugging in these values, we get:
\(A = 5000(1 + 0.04/12)^(12*10)\\A = 5000(1.003333)^120\)
A = 5000(1.480244)
A = $7,401.22
Therefore, the balance in the account after 10 years is $7,401.22.
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Which of the following is NOT true about price floors?
A) Consumer surplus is always lower than it would be in the competitive equilibrium.
B) Producer surplus could be lower, higher, or the same as it would be in competitive equilibrium.
C) Producer surplus could be negative as the result of a price floor.
D) Producers will often respond to a price floor by cutting production to the point at which price equals marginal cost.
E) The total producer surplus depends on how producers respond to the price floor in determining their output level.
The final answer is E) The total producer surplus depends on how producers respond to the price floor in determining their output level.
This statement is NOT true about price floors. The total producer surplus does not depend on how producers respond to the price floor in determining their output level. Producer surplus is determined by the difference between the price at which producers are willing to supply a good and the actual price they receive in the market. In the case of a price floor, which sets a minimum price above the equilibrium price, producers are guaranteed to receive a price higher than what they would in a competitive equilibrium.
Therefore, the total producer surplus is fixed and not influenced by how producers adjust their output level in response to the price floor.
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On what accounting basis does gasb recommend that governmental fund budgets be prepared?
a) accrual.
b) modified accrual.
c) cash.
d) modified cash.
The GASB (Governmental Accounting Standards Board) recommends that governmental fund budgets be prepared on a modified accrual basis.
The modified accrual basis combines elements of both accrual and cash accounting. Under this basis, revenues are recognized when they become measurable and available, meaning when they are both earned and collectible within the current fiscal year or shortly after. On the other hand, expenditures are recognized when they create a liability, such as when goods or services are received.
This basis allows for a more accurate representation of the financial position of governmental funds, as it recognizes both the inflows and outflows of resources. By using the modified accrual basis, governments can better plan and control their budgets.
To summarize, the GASB recommends that governmental fund budgets be prepared on a modified accrual basis to ensure a more accurate financial representation and effective budgeting.
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What are the retained earnings of beacon at the end of the year, and what amount of expenses were incurred during the year?
Retained earnings are $209,000 and expenses incurred totaled $1067,000. Retained earnings can be desthe amount of net profit the company remains after paying dividends to investors or other distributions.
Retained earnings may also be referred to as “undefined profit surplus” or “accumulated profit.” Retained earnings can be used to determine whether a business is truly profitable. Because this income is what is left after all obligations are met, final retained earnings are an indicator of the true value of a company. This remaining amount is retained by the company. If there is a surplus of retained earnings, the business can choose to use this money for purposes that will support its growth.
If the company has retained positive profits, this means it has a surplus of income that can be used to reinvest itself. Conversely, if profit is negative, it means that the company has built up a deficit and owes more money than the business earned.
Retained earning = Beginning retained earning - net income - dividend
Retained Earning = ($346,000+$1,384,000) - $1,038,000 - $83,000 - $400,000
Retained earning = $209,000
Total Expenses = Net Revenue - Net Income
Total expenses = $1,384,000+$83,000+$346,000-$400,000 = $1067,000
Beacon, Incorporated Reported The Following Amounts At The End Of The First Year Of Operations:
Common stock = $346,000
Sales revenue = $1,384,000
Total assets = $1,038,000
Dividends declared = $83,000
Total liabilities = $400,000
What are the retained earnings of beacon at the end of the year, and what amount of expenses were incurred during the year?
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Investors minimize risk by investing money in __________. A. one specific company B. a variety of companies C. newly-formed corporations D. companies that are competitors Please select the best answer from the choices provided A B C D
Answer: B. a variety of companies
Explanation:
Investors minimize risk by investing money in a variety of companies. The reason for this is to minimize risk. Investing in one specific company isn't ideal because in the case of the company running at a loss, the investor loses all his or her money as well.
On the other hand, when the investor invest in different companies, the risk is minimized. When one company isn't doing well, others will probably be doing well.
When you are a speaker, it is important to know your audience.
A) true
B) false
Answer:
A) True
Explanation:
You want to know general things about your audience because you won't speak the same way to kindergartners as you would college students. That's just one example.
Requiring managers to prepare the budgets from scratch or zero-base may help them to overcome the problem of:
Answer: Excessive cost
Explanation:
Zero-based budgeting is the sort of budgeting where when income is subtracted from expenses it gives zero. This sort of budgeting puts a measure of the expenses, it ensures the expenses matches the income. The purpose of the budget plan is to justify expenses and optimize cost, thereby look out for cost effective ways to plan and avoid inflated budgets. It primarily guides against excessive costs on projects.
in scheduling your time, which of the following will help you reach your goals?
a) limit the time you spend on each task
b) finding ways to multi-task
c) sticking to a daily routine
d) all of the above
Answer:
d) all of the above
Explanation:
they all help you reach your goals
Question 5
2 pts
Shanda wants to buy her grandmother's car to drive back and forth to college next year. Her
grandmother agrees to sell Shaunda the car for $1,200 in a year. This is an example of what
type of goal?
O long-term
O short-term
medium-term
O financial-term
Answer:
financial and medium term
Explanation:
financial term and medium term
suppose a stock has an initial price of $84 per share, paid a dividend of $1.50 per share during the year, and had an ending share price of $92. compute the percentage total return.
Percentage total return is the total return percentage which has been earned on an investment. It is calculated as the sum of dividend income and capital gain divided by the initial investment.
Suppose a stock has an initial price of $84 per share, paid a dividend of $1.50 per share during the year, and had an ending share price of $92. Compute the percentage total return.Initial share price = $84Dividend paid = $1.5Ending share price = $92The formula to compute the percentage total return is;Percentage total return = [(Dividend paid + Capital gain) / Initial share price] x 100For capital gain, we can use the formula;Capital gain = Ending share price - Initial share priceCapital gain = $92 - $84Capital gain = $8Now, putting the values in the formula for percentage total return;Percentage total return = [(1.5 + 8) / 84] x 100Percentage total return = [9.5 / 84] x 100Percentage total return = 11.31%Therefore, the percentage total return for the given investment is 11.31%.
The percentage total return for the given investment is 11.31%.
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Case study: Bangladesh - the importance of economic
sectors over time
In 1970, Bangladesh had an economy largely based on agriculture. A high proportion of
the population worked in farming, either to produce crops for their own consumption ar
to sell in local markets. Secondary manufacturing activities were not very important and
the tertiary sector was also small as incomes were very low and people had little span
cash to spend on 'services.
By 2017, Bangladesh had undergone significant changes. Although 40 per cent of the
workforce still works in agriculture, primary production of goods such as jute, tobacco
and food has fallen in relative terms. Manufacturing industries - mainly food processing
and clothing - have expanded rapidly. Tertiary services such as telecommunications,
transport and finance now contribute approximately half of total national output.
Economic sectors in Bangladesh - World Bank estimates of % share of GDP
Primary
Secondary
1970
2017
53
15
15
29
Tertiary
32
56
Activity 2.3
Refer to the case study above.
a Explain two possible reasons why the relative importance of primary output has
fallen.
b Would workers who formerly worked in agriculture find it easy to obtain jobs in the
secondary or tertiary sectors of industry? Explain your answer.
What do you expect to happen to the relative importance of tertiary industries if
incomes continue to rise in Bangladesh? Explain your answer.
(A). The two possible reasons why the relative importance of primary output has fallen were Natural resources and The tertiary sector's production.
What are resources?All materials acquirable in our state of affairs that are technologically accessible, economically accomplishable, and culturally property that assist us to satisfy our needs and desires are referred to as plusses. Resourcefulnesses are divided into two types based on their availability.
As the two possible reasons are as follows.
Natural resources - As in the primary sectors, the production has fallen and lose the significance. As the inability of the secondary and the Tertiary sectors.
Tertiary sector's production - As in the tertiary sector's production, there was the increasing of the value. As there was the result that consumers will spend a large percentage.
Therefore, As a result, the above are the two possible reasons if primary output has fallen.
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In the 1972 empirical study by black, jensen, and scholes, they found that the estimated slope of the security market line was _______ what the capm would predict.
In the 1972 empirical study by black, Jensen, and Scholes, they found that the estimated slope of the security market line was less than what the CAPM would predict.
What is Capital Asset Pricing Model (CAPM) ?
The relationship between systemic risk, or the general risks of investing, and expected return for assets, particularly equities, is described by the Capital Asset Pricing Model (CAPM). In order to quantify this systematic risk, CAPM was developed. It is frequently used in the financial industry to value risky securities and calculate projected returns for assets given their risk and cost of capital.
The expected returns of an asset are calculated using the CAPM formula. It is predicated on the notion that investors must be compensated for systematic risk, also known as non-diversifiable risk, in the form of a risk premium. A rate of return higher than the risk-free rate is known as a risk premium. Investors want a higher risk premium when making riskier investments.
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Give (2) examples how we deal with "Scarcity"
Answer:
Either increasing supply or lowering demand
Explanation:
increasing supply:
e.g. when less developed countries (LDCs) experience a famine or drought, other countries can supply food and/or water to them
lowering demand:
finding alternative solutions of the product (that have the same effect as the original product) or reducing the reasons for why there is a high demand
- e.g. crops not growing well due to weather/crop disease going around -> find a crop that is more resistant to the disease (reducing reasons for demand)
- e.g. rice field has an infestation -> not yielding enough rice to feed the population -> population feels hungry and other foods cannot help them feel full/sustain them -> find another crop to substitute, like yam or potatoes that are equally filling (alternative solutions)
but these two are pretty much the same so
also please note I don't take any courses on supply and demand other than geography so I might be completely wrong
__________ provide alternative landing locations to congested dual-purpose airports and reduce operating costs.
Answer:
the control tower provides it
Leopardstown Fitness Centre in Dublin is considering the purchase of some new training equipment which has a retail price of €8,600. The club has only €600 available to fund the purchase at this time. Following discussions with its local bank, as well as a sales representative from the suppliers, the centre is faced with the following possibilities.
Rental: Pay a monthly rental of €140 for five years, plus an annual maintenance payment of €150.
Hire purchase: Pay a deposit of €600, plus 60 monthly instalments of €150.
A final payment of €480 must then be paid.
Bank loan: Borrow the amount needed for five years on which interest is charged at a flat rate of 7% per annum.
Calculate the total cost of each option over a five-year period.
Answer:
The cost of each option is as below
Explanation:
Option A: Rental
monthly rental for five years: each month €140
Each year has a maintenance fee of €150.
The total of the rental will be monthly rent plus yearly charges.
One year has 12 months; five years will have = 12 x 5 = 60 months
For 60 months, rental payments will total 60 x €140= €8,400
Yearly charges = €140 x 5 = €700
Total for rental = €700 + €8,400
Total cost for rental = €99, 1100
Option B: Hire purchase
Total for hire purchase will be the deposit plus the total of monthly installments plus the final payment.
The deposit is €600
Total for monthly installments: 60 x €160= €9,600
the final payment is €480
Total for hire purchase= €600 + €9,600, + €480
Total cost for hire purchase=€10,680
Option Bank loan:
cost of the loan will be the principal amount plus the interest charged. Interest is 7% per year for five years. Principal amount is
€8,600
Interest = P x r x t,, since interest on a flat rate
=8600 x 7/100 x 5
=8600 x 0.07 x 5
=€3,010
The cost of the loan is €3,010+€8,600
=€11,610