True. The basic earnings per share is calculated by dividing the net income by the weighted average common shares outstanding. In this case, $67,000 divided by 9,000 = $7.44 per share.
What is share?Share is the act of giving something of value, such as a portion of a company's profits or ownership, to someone else. It is also the process of owning and trading stocks, bonds, or other investment instruments with the expectation of earning a return on the investment. Shareholders are individuals who own shares in a publicly traded company, and they are typically entitled to a portion of the company's profits and voting rights in company matters. Companies typically issue shares to raise capital for business operations, and the shareholders will benefit from any positive return on the investment. Shareholders also have the obligation to bear any losses the company may incur.
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Select all the correct answers. What are the drawbacks of protectionism? stagnation in quality, efficiency, and innovation prohibition of subsidies to domestic industries preventing small businesses from closing down increased prices and lack of product variety risk of retaliatory protectionist measures
Write "True" if the statement is correct & "False" if the statement is incorrect.
Answer:
where's the question?
Explanation:
Which example is the best demonstration of initiative?
A. You don’t complain about the heavy workload you’ve been assigned.
b. You offer to take on some extra work when a coworker is out sick.
c. You agree to stay late to finish your work because you took a long lunch.
d. You always think carefully about a bad situation before proposing a solution.
Answer:
B
Explanation:
initiative isn't something we need to do but rather want to for someone or yourself, maybe to help.
Answer:
bbbbbbbbbbb
Explanation:
Check all of the following that are correct that can have a single owner ? MARK YOU THE BRAINLIEST!
The establishment/items that can ave a single owner includes:
Sole proprietorshipPrivate corporationNon-profit corporationWhat is a single owner?This refers to any form of establishment that can be owned and operated by a natural person.
Therefore, in the list, the Sole proprietorship, Private corporation and Non-profit corporation are establishment that can have a single owner.
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4. how do financial and management accounting relate to each other?
When a deceitful promoter promises investors a good to be true profit (5% monthly return, for example) from investing in a unique form of investment, then gives the promised investors their return using their initial investments leading other investors to believe in this promoter and make similar investments. This process is referred to as:
Group of answer choices
Multiple-deliverable arrangement
Ponzi scheme
Off-balance-sheet lending
Improper investment capitalization
The process that is referred here is known as option C) Ponzi scheme.
Ponzi scheme is a fraudulent investment scheme where the investors are promised abnormally high returns on their investments which are paid using the capital invested by newer investors rather than from profit earned by the promoter from legitimate sources of investment.
The scheme depends on a consistent stream of new investors to generate returns and payout old investors. It relies on investors being unaware of the true situation and offers unrealistically high returns to attract unsuspecting investors
Ponzi schemes can have devastating effects as they eventually collapse when the promoters can no longer attract new investors and pay old investors with the capital invested by new investors. At this point, the scheme collapses, and most investors usually lose their entire investment.
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Robert wants to start an independent recording studio. In order to finance his start-up, Robert seeks help from Esther, a successful business magnate. Esther agrees to fund Robert's venture as long as she receives a 20% share of the profits made by Robert. In the given scenario, Robert receives the financial resources to start his business:
Answer:
from an angel investor
Explanation:
Based on this information it can be said that Robert receives the financial resources to start his business from an angel investor. An angel investor is an individual that has a large amount of money and decides to provide financial backing to a specific small startup business or entrepreneur in order for them to get their vision up and running, in exchange for a percentage of the company. In this specific scenario the Angel Investor was Esther, who supplied Robert with the resources necessary in exchange for a 20% cut of the business.
A 7.15 percent coupon bond with 22 years left to maturity is priced to offer a 6.4 percent yield to maturity. You believe that in one year, the yield to maturity will be 7.1 percent.
What would be the total return of the bond in dollars? (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your final answer to 2 decimal places.)
Total return $
What would be the total return of the bond in percent? (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your final answer to 2 decimal places.)
Total return %
The total return of the bond in dollars : $-4.44
The total return of the bond in percent: -0.59%
To calculate the total return of the bond in dollars, we need to consider the coupon payments and the change in price over the given period.
1. Determine the coupon payment: The bond has a 7.15% coupon rate, which is based on its face value. Since the face value is not provided, we'll assume it to be $1000 for simplicity. Therefore, the annual coupon payment is (7.15/100) * $1000 = $71.50.
2. Calculate the present value of the future cash flows: To find the bond's current price, we discount the future cash flows at the yield to maturity (YTM). With a yield to maturity of 6.4% and 22 years remaining, we can use a financial calculator or Excel to find that the bond price is approximately $1096.59.
3. Calculate the future price: Given that you believe the yield to maturity will be 7.1% in one year, we can use the future yield and remaining maturity to estimate the future bond price. Using the new yield of 7.1% and 21 years remaining, the estimated future price is approximately $1091.60.
4. Calculate the total return in dollars: The total return can be calculated as the sum of coupon payments and the change in price. In this case, it would be $71.50 + ($1091.60 - $1096.59) = $71.50 - $4.99 = -$4.49. Rounded to two decimal places, the total return in dollars is -$4.44.
5. Calculate the total return in percent: The total return in percent can be calculated by dividing the total return in dollars by the initial price and multiplying by 100. Thus, (-$4.44 / $1096.59) * 100 = -0.4044 * 100 = -0.59%. Rounded to two decimal places, the total return in percent is -0.59%.
Therefore, the total return of the bond is -$4.44 in dollars and -0.59% in percentage terms.
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Explain the risks of using a new international supplier.
b. Explain what can we do to manage the risks.
By conducting thorough research, establishing clear contracts, implementing supplier management systems, and diversifying your supplier base, you can effectively manage the risks associated with using a new international supplier.
Using a new international supplier can come with several risks. One major risk is the potential for unreliable product quality. The supplier may not have the same standards or quality control measures as your previous suppliers, leading to inconsistent or subpar products. Another risk is the possibility of delays or disruptions in the supply chain.
To manage these risks, there are several steps you can take. First, thoroughly research and vet potential international suppliers. Look for suppliers with a proven track record and positive customer reviews. Conduct site visits or audits to assess their facilities and quality control processes. Additionally, consider conducting a trial run or pilot project before fully committing to the supplier.
Secondly, establish clear and detailed contracts with the supplier. Clearly define product specifications, delivery schedules, and quality requirements. Include provisions for penalties or remedies in case of non-compliance.
Lastly, diversify your supplier base. Relying solely on one international supplier increases the risk of disruptions. Having alternative suppliers or backup plans in place can help mitigate these risks and ensure a more reliable supply chain.
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Suppose a consumer has an utility function of U(x, y) = 25xy. The consumer has 12 units of good x and 8 units of good y. a. What is the marginal rate of substitution (MRS) at (12, 6) and (9, 12). b. Does the MRS increase or decrease as the consumption of x increases?
The Marginal Rate of Substitution (MRS) decreases as the consumption of x increases.
The Marginal Rate of Substitution (MRS) is the rate at which a consumer is willing to substitute one product for another while keeping the same level of utility.
Let's see the calculation of the marginal rate of substitution at (12,6) and (9,12).
Formula for Marginal Rate of Substitution MRS:
Δy/Δx = MUx/MUy = (ΔU/Δx) / (ΔU/Δy)
Part (a) Calculation:
Part (i): At (12,6)U(x,y) = 25xyMUx = 25y, and MUy = 25x∆y/∆x = MUx/MUy = 25y/25x = y/x(12,6) = ∆y/∆x = y/x = 6/12 = 0.5
Part (ii): At (9,12)U(x,y) = 25xyMUx = 25y, and MUy = 25x∆y/∆x = MUx/MUy = 25y/25x = y/x(9,12) = ∆y/∆x = y/x = 12/9 = 1.33
Part (b): As the consumption of x increases, the MRS decreases because as consumption of x increases, the marginal utility of x decreases while the marginal utility of y increases.
Hence, the MRS decreases as the consumption of x increases.
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Which of these is an example of an entrepreneur?
A. Jesse has the idea for a new phone app, so he spends his money
to set up a business.
B. Olivia is part of a team that develops new products for a well established company.
C. Cleo joins her friend's new business to help with managing
finances.
D. Vince has been promoted to manager because he knows his
industry very well.
Answer: A.Jesse has the idea for a new phone app, so he spends his money
Explanation: Took the test
Jesse has the idea for a new phone app, so he spends his money to set up a business of these is an example of an entrepreneur. Thus, option (a) is correct.
What is entrepreneur?The term entrepreneur refers to the person who launched a new business with own risk and profit basis. The setup of new business with new idea and logic is called entrepreneurship. The entrepreneur is the main motive to set up business to generate employment. The entrepreneur is work new idea as called startup company.
Entrepreneur was the important role in each country. An entrepreneur is the spends his money to the set-up of the money. It was the perfect example is the Jesse has the idea for a new phone app, so he spends his money to set up a business.
As a result, the conclusion of the entrepreneur example are the aforementioned. Therefore, option (a) is correct.
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Imagine you are an economic adviser to the Commonwealth Government. The Prime Minister wants to increase spending on public transport in major cities, but does not want to raise taxes. Identify alternative sources of revenue for the government to fund its new initiatives.
Answer: A combination of 1) Increased public transportation fees, 2) raise the gasoline tax, 3) increase or institute highway tolls, or 4) reduce the road construction budget and use that money for public transportation.
Explanation:
Actions 2-4 would provide incentives to use public transportation.
the act that makes it unlawful to discriminate in prices charged to different purchasers of the same product is called .
The act that makes it unlawful to discriminate in prices charged to different purchasers of the same product is called Price Discrimination.
Price discrimination is a microeconomic pricing strategy in which the same provider sells identical or nearly similar goods or services at different prices in various marketplaces. Price discrimination is classified into three types: first-degree, second-degree, and third-degree price discrimination.Price discrimination occurs when different customers are charged different prices for the same commodity or service. Price discrimination is prohibited under the Sherman Antitrust Act, the Clayton Antitrust Act, and the Robinson-Patman Act where the aim is to hurt competitors.Price discrimination is a sales strategy in which the seller charges different prices for the same product or service depending on what the vendor believes the buyer will accept. In pure price discrimination, the supplier charges the greatest possible price to each consumer.Thus this is called Price Discrimination.
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the majority of problems Best Buy was facing have been brought about by _________________force.
Answer:
external force
Explanation:
The majority of the problems best buy is facing have been brought about by external forces. This includes competition from rivals such as Amazon and Walmart. This makes the company loose it's shares in the market and the company's stock loosing it's value.
Frank conveyed a forty-acre parcel of land to Joe on the condition that the property be used as a tree farm. Frank reserved the right of reentry. What kind of estate has Frank granted
Answer: A fee simple subject to a condition subsequent
Explanation:
The options to the question are:
1. A life estate pur autre vie
2. A fee simple subject to a condition subsequent
3. A non-freehold
4. A reversionary estate
From the question, we are informed that Frank conveyed a forty-acre parcel of land to Joe on the condition that the property be used as a tree farm and that Frank reserved the right of reentry. The kind of estate granted by Frank is a fee simple subject to a condition subsequent.
This kind of estate has a condition attached to it and they're also have a right of entry. In the event that a trigger occurs, the holder of the property will have to take necessary in order to get the land.
In this case, if the land isn't used as a tree farm, the land can be reclaimed by Frank.
Payment of inpatient services is utilized by which of the following prospective payment systems?
a. APC
b. DRG
c. OPPS
d. RBRVS
The payment of inpatient services is utilized by the DRG (Diagnosis Related Group) prospective payment system. This system categorizes inpatient stays into groups based on the patient's diagnosis, treatment, age, and other factors.
The DRG system is used by Medicare and many private insurance companies to reimburse hospitals for inpatient services. The payment for each group is based on the average cost of treating patients in that group, with adjustments made for geographic location and other factors. This system is designed to promote efficiency and cost containment in the delivery of healthcare services.
DRG is a system that classifies patients into groups based on their diagnosis, treatment, and other factors. Hospitals receive a predetermined rate for each patient within a specific DRG, promoting cost-efficiency and standardization in inpatient care.
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Which of the following is an advantage of joint ventures as a mode of entry into foreign markets?The foreign firm benefits from a local partner's knowledge of the host country.
The overseas firm benefits from a neighborhood partner's understanding of the host country.
Exporting is the sale of products and services in overseas countries that are sourced from the domestic country. The benefit of this mode of entry is that companies avoid the rate of organising operations in the new country.
What is joint project mode of entry?Joint Venture
Creating a 0.33 corporation with some other accomplice is often the desired market entry method, in particular in rising markets. A joint project means that the employer can take advantage of the partner's infrastructure, neighborhood expertise and reputation.
What main benefit does a foreign joint assignment have?Advantages. Many of the advantages associated with global joint ventures are that they supply groups with the chance to obtain new capability and information and they permit businesses to enter into associated enterprise or new geographic markets or achieve new technological knowledge.
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To meet the needs of its customers and help it achieve its company goals, a drugstore offers a large assortment of products, known as its product.
To meet the needs of its customers and help it achieve its company goals, a drugstore offers a large assortment of products, known as its product mix.
A product mix is the total variety of product lines and individual products or services an organization offers. To boot noted as product assortment or product portfolio. Product combines vary from company to company. Some have multiple product lines with many products in every line.
For example, an organization could sell multiple product lines, with the merchandise lines being fairly similar, like dentifrice, toothbrush, or solution, and alternatives such as toiletries.
Product mix, additionally called product assortment, refers to the entire variety of product lines an organization offers its customers. The four dimensions of a company's product combine embody breadth, length, depth and consistency.
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#1 You are driving down the highway when one of your tires suddenly blows out. You should
Pump your brakes rapidly, and steer your vehicle to control any skids.
Avoid using your brakes. Slow down gradually and concentrate on steering.
Press hard on your brake pedal and stop as quickly as you can.
Write a paragraph explaining what kind of assessment works best for you to really be able to show what you know. (Consider standardized tests, open ended responses, essays, projects, speeches, labs). Explain how your learning style may influence your success on each kind of assessment. 100 POINTS PLZ HELP TODAY
Answer:
In my experience, essays work best for me to be able to show what I know. I feel that they are more effective than taking, say, a standardized test for example. This is because they are often multiple choice, and I find myself sometimes guessing rather than doing the intended work. In an essay, I have no option other than to type/write out what I know with little-to-no guesswork, making writing out an essay a superior option when it comes to displaying my knowledge on a topic. My preferred learning style is of the visual sort, and that means I learn best by taking notes, seeing examples, using charts and diagrams, etcetera. These skills influence my success on many different types of assessments, including essay writing, test taking, and project making. I am able to visually take notes on the topic at hand, often with examples, which, in my experience, greatly influences my success on these different types of assessments.
what if all countries/ nations decide not to trade with each other. is it feasible or not? elaborate. support your answer with facts/reasoning.
Such a scenario would have significant negative consequences for global economies and societies, as trade plays a crucial role in promoting economic growth, enhancing living standards, and fostering international cooperation.
Trade is a fundamental driver of economic growth and development. Nations engage in trade to access goods, services, and resources that are not readily available domestically, leading to specialization and increased efficiency. By limiting trade, countries would lose access to a wide range of products and resources, leading to reduced consumer choices and higher prices.
Moreover, trade fosters interdependence and cooperation among nations. It encourages diplomatic relations, cultural exchange, and mutual understanding. By engaging in trade, countries develop economic ties that can help prevent conflicts and promote peace.
While countries may adopt trade policies to protect specific industries or address concerns, an outright cessation of trade is neither feasible nor desirable due to the significant negative impacts it would have on global prosperity and cooperation.
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Select the qualification that is best demonstrated in each example. Trinity recommends investment strategies to customers. Larissa is careful to recommend that customers only buy products that will truly help them, not just products that will make her the most money. Eli listens and pays close attention to a customer who is explaining her financial situation. Joaquin sends an e-mail to a customer asking for more information about a budget.
Answer:
1:decision making skills 2:integrity 3:communication 4:computer skill
Explanation:
Answer:
1: decision making skills
2: integrity
3: communication skills
4: computer skills
Explanation:
right on edge
Which of the following statements is CORRECT?a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.b. A large portfolio of randomly selected stocks will have a standard deviation of returns that is greater than the standard deviation of a 1-stock portfolio if that one stock has a beta less than 1.0.c. A large portfolio of stocks whose betas are greater than 1.0 will have less market risk than a single stock with a beta = 0.8.d. If you add enough randomly selected stocks to a portfolio, you can completely eliminate all of the market risk from the portfolio.e. A large portfolio of randomly selected stocks will always have a standard deviation of returns that is less than the standard deviation of a portfolio with fewer stocks, regardless of how the stocks in the smaller portfolio are selected.
Answer:
a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.
Explanation:
Diversifiable risk can as well as be regarded as unsystematic risk, it is specific risk of a firm which impacts the price of the stock of individual rather than affecting the industry as a whole or sector where the the firm is carrying out it's operation. It a risk whereby there is possibility that change in the price of a security will be experienced because of the specific characteristics that the security have. It should be noted that Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.
Sites like Kickstarter, GoFundMe, and Causes are all examples of what type of altruism?
Group of answer choices
Crowdfunding
Private foundations
Service Learning
Community Service
On March 25, Parscale Company purchases the rights to a mineral interest for $8,761,000. At that time, the remaining recoverable units in the mineral interest are estimated to be 947,700 tons. If required, round any division to two decimal places and use in subsequent computations. Round your final answer to the nearest dollar. If 852,930 tons are mined and 142,155 tons are sold this year, calculate Parscale's cost depletion for the year. $
Given the information: On March 25, Parscale Company purchases the rights to a mineral interest for $8,761,000.
At that time, the remaining recoverable units in the mineral interest are estimated to be 947,700 tons. If required, round any division to two decimal places and use in subsequent computations. Round your final answer to the nearest dollar. If 852,930 tons are mined and 142,155 tons are sold this year, we have to calculate Parscale's cost depletion for the year. Cost depletion: It refers to the expensing of the cost of natural resources over time.
It's a form of accounting that records the allocation of an asset's cost to the amount of natural resources extracted, as well as the depletion of those natural resources over time. It is calculated as follows:Cost depletion per unit = (Total cost - Residual value) / Total recoverable unitsCost depletion per unit = ($8,761,000 - $0) / 947,700Cost depletion per unit = $9.24 per tonThus, the cost depletion of the mineral interest for the year = Cost depletion per unit x Total units sold for the year= $9.24 x 142,155 = $1,311,329.20Therefore, Parscale's cost depletion for the year is $1,311,329.20.
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PLS HELP take a look at the picture and lmk which one the answer is
Determining Liquid Assets and Current Liabilities. Based on these items, what is the total of the (a) liquid assets and (b) current liabilities?
Checking account balance $860
Retirement account balance $57,000
Credit card balance $117
Coin collection $450
Savings account balance $2,675
Current student loan payment due $220
Investment account balance $8,000
Mortgage $178,000
7. Jannah is reviewing a report that a new marketing manager put together after assessing her small business. If Jannah wants to learn how familiar a custo
what section of the marketing report should she review?
To learn how familiar a customer is to the company, Jannah must look at the leads section of the marketing report.
What is a marketing report?It consists of a document through which an organization can visualize its performance over a period of time, through the analysis of data and information about the company's actions and strategies to achieve objectives and goals in the market.
Through qualitative and quantitative reports related to communication and sales, for example, the company is able to make more significant decisions about its strategy, with evaluations and corrections that will contribute to continuous improvement and positioning in the market.
So leads could be the section that Jannah would review to identify a potential customer, as this data significantly demonstrates an individual who engages with the company's business and can be turned into a customer.
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the most common budget period is a. one year. b. six months. c. three months. d. one month.
The most common budget period is a long answer and depends on a variety of factors, including the specific organization or individual creating the budget, the nature of the expenses being budgeted for, and the goals and priorities of the budget itself. That being said, in general, the most common budget period tends to be one year. This is because a one-year budget allows for a relatively long-term perspective on finances, and it aligns with many typical planning and reporting cycles for businesses and other organizations. However, some budgets may be shorter, such as three months or even one month, particularly for organizations with more variable or short-term revenue streams or expenses. Ultimately, the length of a budget period will depend on the unique needs and circumstances of the budgeting entity.
Hi, the most common budget period is a. one year.
Your answer: The most common budget period is typically one year, as it allows for effective planning and management of finances over a longer period of time. This enables organizations and individuals to account for various seasonal fluctuations and annual expenses.
The most common budget period is generally considered to be one year. This is because most businesses and organizations plan their finances and expenditures on an annual basis, with goals and targets set for the entire year.
However, depending on the nature of the organization and its goals, different budget periods may be used. For instance, a startup company or a project that is just getting off the ground may opt for shorter budget periods, such as three months or six months, in order to assess progress and make adjustments as needed. In some cases, a budget period of one month may be used for more immediate needs, such as managing cash flow. Ultimately, the choice of budget period will depend on the specific needs and goals of the organization, and may be adjusted as circumstances change over time.
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