The new book value per share after implementing the project would be
$ 7.30
How to find the new book value per shareTo calculate the new book value per share after implementing the project, we need to consider the change in the book value of equity due to the purchase of fixed assets.
From the problem we have that
number of shares outstanding = 500,000
current book value = $4,500,000
current market value = $8,000,000
net income = $800,000
earnings per share = $1.60
project NPV = $150,000
fixed asset purchase cost = $1,000,000
calculate the new book value of equity after implementing the project
new book value = current book value + project NPV - fixed asset purchase cost
new book value = $4,500,000 + $150,000 - $1,000,000
new book value = $3,650,000
calculate the new book value per share:
new book value per share = new book value / new number of shares outstanding
New book value per share = $3,650,000 / 500,000
New book value per share = $7.30
Learn more about book value per share at
https://brainly.com/question/14504712
#SPJ1
Define the word inquisitive in entrepreneurship form .
Answer:
Inquisitive, according to the Merriam-Webster Dictionary, means “tending to ask questions: having a desire to know or learn more.” The word is derived from the Latin root inquirere, later becoming inquire, which means to “seek information by questioning.” To be inquisitive is to be curious and hungry for knowledge
Explanation:
1. inclined to ask many questions or seek information; eager to learn. 2. asking more questions than is necessary or proper; prying. SIMILAR WORDS: ˈcurious.
Which type of persuasion approach involves encouraging a person to agree to a small favor or to buy a small item, only to later request a larger favor or purchase of a larger item?.
The foot-in-the-door technique is the persuasion approach that involves encouragment of person to agree to a small favor only to later request a larger favor.
What is the foot-in-the-door technique?This is an approach that involves assuming to agreeing to a small request that increases the likelihood of agreeing to a second or larger request.
In conclusion, this persuausive approach is a technique majorly used by salespeople to persuade sceptical customers.
Read more about persuasion approach
brainly.com/question/26848672
PLEASE HELP ASAP (EASY)
Fiona short has wondered how to turn her 185,000 followers into an even bigger business. She thinks she has two options: 1. Open a Fifi's Closet shop in central London or 2. Pay a friend to set up a second e-commerce Fifi's Closet website in French. Justify which of these two options Fiona should choose (9 marks)
Answer:
2
Explanation:
you're capable of reaching more people with a website
why was the expansion of railroads significant to the growth of the cattle industry?
More cow towns were built in the West as railroads made it easier to transport a large number of cattle. Cattle from the east could be transported west via railroads and fed the region's expanding population.
What exactly is the cattle industry ?The production, management, slaughter, and sale of meat, dairy, and other products derived from cattle, such as hides, are all parts of the multi-billion dollar cattle industry in the United States. Any bovine animal—cows, buffalo, bison, etc.—is referred to as a cattle.
The national cattle herd ended its seven-year liquidation on January 1, 2014, with 88.2 million cattle and calves—the lowest herd size since 1952. The herd of cattle has increased ever since, reaching a peak of 94.8 million head in 2019. The herd has decreased by 3% to 91.9 million cattle heads as of January 1, 2022.
To learn more about cattle industry visit :
https://brainly.com/question/28283256
#SPJ1
Suppose limited partnership agreements (LPAs) that have a life of 10 years contain the clawback provision. Consider a general partner (GP) who raised a $100 million fund and made ten investments of $10 million each. Two investments liquidate early, for $50 million each, while the other eight stay in the portfolio and are valued at cost. Assume that this fund employed a standard 80–20 percent split of capital gains between the limited partners (LPs) and GPs and followed the rule that distributions were divided between the GPs and LPs from inception and typical management fees are agreed to be 2 percent. When the first two investments were liquidated, the $20 million of invested capital was returned directly to the LPs. Of the $80 million in capital gains, $64 million (80 percent) went to the LPs and $16 million (20 percent) to the GPs. These gains are paid out as the first two investments were exited, rather than after the fund reaches the end of its contractual life. If the ultimate value realized from the remaining portfolio is only $40 million (i.e., 50 cents for each dollar invested), how much should GPs repay the LPs, net of any taxes? Assume that there is no hurdle rate, and no other complicate clawback clauses. Also, assume that GP did not invest in this deal for simplicity. A) $40 million B) $32 million C) $16 million D) $ 8 million E) None of the above
The correct option for the amount that the GPs should repay the LPs, net of any taxes, is D) $8 million.
To calculate the amount that the GPs should repay the LPs, we need to determine the shortfall between the LPs' expected share of the capital gains and the actual value realized from the remaining portfolio.
The LPs were entitled to 80% of the capital gains, which amounts to $64 million ($80 million * 80%). However, with the remaining portfolio only realizing $40 million, there is a shortfall of $24 million ($64 million - $40 million).
Since the LPs received $20 million in direct returns of invested capital, the GPs are responsible for repaying the remaining shortfall. Therefore, the GPs should repay the LPs $4 million ($24 million - $20 million).
The correct option for the amount that the GPs should repay the LPs, net of any taxes, is D) $8 million.
Learn more about capital gains here:
https://brainly.com/question/31360758
#SPJ11
How to study using a 450 pg online college textbook in which you are asked detailed questions and scenarios.. It's overwhelming.
Answer:
Explanation:
There are many things in life that will seem overwhelming due to the how large and complex all of the data may be. The best way to get through these moments is to divide the task into smaller parts and sit down and dedicate time to it. For such a textbook divide the total amount of pages and read a little bit at a time, take breaks, reflect on what you have read, answer practice questions, and continue to the next group of pages. You will see after getting started that it is not as overwhelming anymore.
Prompt
Preparing to get a job isn't easy, but it isn't necessarily hard either. This process is about you developing as a person, and
noticing the things you've learned, overcome, and accomplished, even as a young adult. One crucial aspect is the interview.
Many times you're being interviewed informally, and people are trying to size up how you handle stress and difficult
situations
Describe one of your strengths and one of your weaknesses, and then tell a story that can help you show both your strength
and your weakness in a positive light. For example: One weakness I have is that when I get into a project I can completely
forget about everything else in life. I work almost too hard, some people say, but I just get consumed with performing and
creating solutions. So I have to remind myself to also focus on my own needs, and I've had to learn to invest in myself. One
way I did that was to get a gym membership, which helps me build a better, healthier lifestyle for myself.
I WILL CASH AP YOU IF YOU ANSWER THIS CORRECTLY✨✨✨✨
GE Corporation's stock sells for $30 per share and has a beta of 2. Other factors being
constant, if the market goes up to 10 percent, GE stock will advance to
A.$33
B. $36
C.$60
D. none of the above; the correct answer is
GE Corporation's stock sells for $30 per share and has a beta of 2. Other factors being
constant, if the market goes up to 10 percent, GE stock will advance to $36.The correct option is B.
To determine the expected price of GE Corporation's stock after a market advance, we need to consider the beta of the stock and the percentage change in the market. The formula to calculate the expected stock price change is as follows:
Expected Stock Price Change = Beta * Percentage Change in the Market
In this case, the market is projected to go up by 10 percent, and the stock has a beta of 2.
Expected Stock Price Change = 2 * 10% = 20%
To find the new stock price, we multiply the current stock price of $30 by the expected stock price change:
Expected Stock Price = $30 + ($30 * 20%) = $30 + $6 = $36
Therefore, the correct answer is B) $36. After a 10 percent market advance, GE Corporation's stock price is expected to reach $36 per share.
To know more about Corporation refer here:
https://brainly.com/question/26492355#
#SPJ11
A consulting company won a $20.8 million three-year contract. The contract requires software development, hosting, and maintenance over three years. The total estimated cost of the project is $17 million, with $10 million expected in Year 1, $5 million in Year 2, and $2 million in Year 3. The billing schedule shows that $5 million will be billed upon start of the work, and then $5 million at each year end. At the end of the first year, the actual cost incurred is $9 million, and total estimated costs are unchanged at $17 million. Using the percentage-of-completion method, how much revenue should be recognized at the end of the first year
Answer:17%
Explanation: I just want points
The client may spend the latent phase of the first stage of labor at home unless which occurs?
The client may spend the latent phase of the first stage of labor at home unless the client experiences a rupture of membranes occurs.
The cell membrane is a biological membrane that separates the inside of all cells from the external environment and protects the cells from that environment.
The membrane is composed of lipids and proteins and acts as a barrier to cells and organelles. Membranes keep the outside "outside" and the inside "inside", allowing only specific molecules to intersect and relay messages through a series of molecular events.
Learn more about membranes here:https://brainly.com/question/1768729
#SPJ4
joe Henry's machine shop uses 2540 brackets during the course of a year. These brackets are purchased from a supplier 90 miles away. The following information is known about the brackets: Annual demand 2,540
Holding cost per bracket per year $ 1.30
Order cost per order $ 18.00
Lead time 2days
Working days per year 250
d) Given the EOQ, what is the total annual cost of managing (ordering and holding) the inventory? $_______ (round your response to two decimal places)
The total annual cost of managing the inventory is $94.44 (rounded to two decimal places).
To calculate the total annual cost of managing the inventory, we need to use the Economic Order Quantity (EOQ) formula:
EOQ = sqrt((2 * annual demand * order cost) / holding cost per bracket per year)
EOQ = sqrt((2 * 2540 * 18) / 1.30) = 140.72
Now that we have calculated the EOQ, we can use it to calculate the total annual cost:
Total annual cost = (annual demand / EOQ) * order cost + (EOQ / 2) * holding cost per bracket per year
Total annual cost = (2540 / 140.72) * 18 + (140.72 / 2) * 1.30 = $94.44
Therefore, the total annual cost of managing the inventory is $94.44 (rounded to two decimal places).
To know more about the EOQ visit :
https://brainly.com/question/14292337
#SPJ11
Which of the following refers a reduction the production and availability of a good or service in due to a decrease in its market price? a. An increase in the supply for a product b. An increase in the quantity supplied for a product C. A decrease in the supply of a product d. A decrease in the quantity supplied for a product
Answer:
B. an increase in the quantity supplied for a product.
ABC Book Company has $1 million in cash, $8 million worth of property, and $50,000 worth of equipment and furniture. What is the total value of ABC Book Company’s assets?
Select One:
a. $9,050,000
b. $1,000,000
c. $9,000,000
d. $50,000
Answer:
a. $9,050,000
Explanation:
You just need to add that all together
Can I earn by brainly?
Answer:
huh?
Explanation:
which part of our body is affected by plogue pose?
Answer:
spine and shoulders are affected
The spine and the shoulders of our body part are mostly affectd by the plogue pose. It stretches our body muscles.
Plow PoseIt is a stretching exercise which keeps your body fit and flexible.
Doing stretching exercise regularly benefits the body mucles and tendons.
The plow pose is a stretching exercise where one positions his/her body upside down and keeps their feet bend over the head.
This pose affects our spine and also our shoulders.
Learn more about "exercise" here :
https://brainly.com/question/1365564
hi i needa gf im 16 im a kind loving caring person anyone 13 through 17
Answer:
r u a dude, cuz if u are then no, thx.
*You have a company's balance sheet, its income statement, and its statement of cash flows. Which would you refer to if you wanted to know if a company made or lost money last year? If you wanted to find out how much debt the firm had used to finance its assets? If you wanted to know why its cash balance had changed over the past year?
An Australian investor observes the following current rates and prices today: ONE • the spot exchange rate today: AU$4.00 per euro, • the one-year nominal interest rate on bank deposits in Australia: i(S)= 4%. • the one-year nominal interest rate on bank deposits in Germany: i(euro) = 5%. • the one-year forward rate: AU$3.90 per euro. Assume that the Australian investor can borrow either AU$4 million in Australia, or 1 million euros in Germany. The annual saving rates in two countries are the same as the borrowing rates. Calculate the risk free profits of the investor in one year using the markets. The answer should have the amounts of transactions and the risk-free profits (rounding to 3 decimal places) in one year in AUS. Show all working to get full marks.
Australian investor observes the following current rates and prices today:• the spot exchange rate today: AU$4.00 per euro,• the one-year nominal interest rate on bank deposits in Australia: i(S)= 4%.• the one-year nominal interest rate on bank deposits in Germany: i(euro) = 5%.• the one-year forward rate: AU$3.90 per euro.
The current rates and prices indicate that the Australian dollar (AUS) is strong against the Euro (€). Also, the forward rate of the exchange rate is $0.10 lower than the current spot rate, which means that the market expects the Euro to strengthen against the AUS by the same amount. In the current situation, the Australian investor can borrow either AU$4 million in Australia, or 1 million euros in Germany. Since the annual saving rates in the two countries are the same as the borrowing rates, the Australian investor has to pay an interest rate of 4% for borrowing AUS and 5% for borrowing €1 million from Germany. Therefore, the interest cost for borrowing AUS4 million in Australia is calculated as follows: Interest cost of borrowing AUS4 million = 4% × AU$4,000,000 = AU$160,000. The interest cost for borrowing €1 million in Germany is calculated as follows: Interest cost of borrowing €1 million = 5% × €1,000,000 = €50,000Since the Australian investor can convert the borrowed €1 million to AUS using the current spot rate, he can get:AU$4.00 per euro × €1,000,000 = AU$4,000,000.
Thus, the investor can make a risk-free profit by borrowing €1 million from Germany and then converting it to AUS using the spot rate of AU$4.00 per euro and then investing it in the Australian bank at 4%.The profit that the investor makes by following this strategy can be calculated as follows:Interest earned in Australia = 4% × €1,000,000 = €40,000 (converted to AUS at the current spot rate)Profit from exchange rate movement = (Forward rate - Spot rate) × Amount of euro borrowed= (AU$3.90 - AU$4.00) × €1,000,000= -AU$100,000Thus, the investor can earn a total profit of:Profit = Interest earned + Profit from exchange rate movement= AU$160,000 - AU$100,000= AU$60,000Therefore, the Australian investor can make a risk-free profit of AU$60,000 in one year using the markets. Answer: Amount of euro borrowed: €1,000,000Amount of interest cost on euro: €50,000Amount of AUS received by converting €1,000,000: AU$4,000,000Amount of interest earned on AUS: AU$40,000Profit from exchange rate movement: -AU$100,000Total profit: AU$60,000
To know more about current rates visit:
https://brainly.com/question/31260770
#SPJ11
Do you think horticulture is a good business? Why? Or why not?
Answer:
As you can see, there are lots of reasons that working in horticulture is the best. The jobs are diverse and often quite dynamic and there is really something for everyone. Anyone who loves plants that is. Horticulture is a massive field and is simply defined as the study and practice of plants care and culture.
Explanation:
I hope it helps..
What is the yield to maturity on a 3-year, \( \$ 1,000 \) discount bond with a current price of \( \$ 926 ? \) Yield to maturity = percent. (Round your response to one decimal places.)
The yield to maturity on this 3-year, $1,000 discount bond with a current price of $926 is approximately 0.83%. To calculate the yield to maturity (YTM) on a discount bond, we need to use the following formula:
YTM = (Annual interest payment + ((Face value - Current price) / Number of years)) / ((Face value + Current price) / 2)
In this case, the bond has a face value of $1,000, a current price of $926, and a maturity period of 3 years.
First, let's calculate the annual interest payment. Since it is a discount bond, there are no periodic interest payments. Therefore, the annual interest payment is $0.
Next, we calculate the numerator of the formula: (Face value - Current price) / Number of years.
(1,000 - 926) / 3 = 24 / 3 = 8
Then, we calculate the denominator of the formula: (Face value + Current price) / 2.
(1,000 + 926) / 2 = 1,926 / 2 = 963
Finally, we substitute these values into the YTM formula:
YTM = (0 + 8) / 963 ≈ 0.0083
To convert this into a percentage, we multiply by 100:
YTM = 0.0083 * 100 ≈ 0.83%
Therefore, the yield to maturity on this 3-year, $1,000 discount bond with a current price of $926 is approximately 0.83%.
To know more about bond visit :
https://brainly.com/question/31994049
#SPJ11
Tom to a job at a grocery store during his summer break. At the end of the summer,
he managed to save $5,500. Tom would like to purchase a new tv for his room, while his
parents have advised him to open a savings account. A new savings account ears 2
percent interest per year. If Tom chooses to purchase the television instead, what is the
marginal cost or marginal benefit after one year? To calculate the marginal cost or
benefit you determine the total benefit of the option that was not taken. Hint: Multiply the
total dollar amount by the annual interest rate in order to determine the interest earned
after one year.
Answer:
the answer is
if Tom saves 2 percent of money in saving accounts he will have963,600 at the end of year
Answer:
if Tom saves 2 percent of money in saving accounts he will have963,600 at the end of year
trye or false in some small market teams current players who originally commanded a small salary
Due to the anticipated snowstorm, the office will be closed tomorrow please work from home instead of coming in. If you have
questions, please reply to this e-mail.
This message contains
Due to the anticipated snowstorm, the office will be closed tomorrow please work from home instead of coming in. If you have. This message contains a run-on sentence Correct.
What is run-on sentence?
A run-on sentence is one that lacks the necessary punctuation to tie two or more independent clauses together. These clauses "run on" into confusion because they have not been made dependent by the use of a relative pronoun or a subordinating conjunction. It is possible for the independent clauses to be "fused," as in "It is almost half past five we cannot reach town before dark," in which case the two independent clauses could be separated (between "five" and "we") with a period [...five. We...], a comma and conjunction (...five, and we...), or a semicolon (...five, and we..). (...five; we...). Only a comma can be used ineffectively to unite the separate clauses (the comma splice). The stream-of-consciousness technique is used in James Joyce's work Ulysses, which purposely breaks this grammatical constraint in the sake of literary licence.
To study more about run-on sentence
https://brainly.com/question/939685
#SPJ1
When there are many people seeking the same job, this is known as a _____ of workers.
PLS DONT GUSSSS!!!!!!!!!
consumer
demand
projection
surplus
Answer:
surplus
Explanation: A surplus is a group of people searching for the same job.
Answer:
surplus
Explanation:
Functions of marketing
Answer:
There are seven widely accepted marketing functions that contribute to the overall work of marketers. The seven functions include: Promotion. Selling. Product management. Pricing. Marketing information management. Financing. Distribution. Why are the seven marketing functions important? The seven marketing functions are important since each of them represents a category of activities that occurs in marketing.
Explanation:
Important Functions of Marketing :
1. Gathering and Analysing Market Information: ...
2. Marketing Planning: ...
3. Product Designing and Development: ...
4. Standardisation and Grading: ...
5. Packaging and Labelling: ...
6. Branding: ...
7. Customer Support Service: ...
8. Pricing of Products:
can somebody plz help? ASAP
Answer:
More accessible goods
An increase in international trade
A rise in regional Jobs
A dot plot titled Miles Emilia Ran Each Week going from 1 to 6. 1 has 2 dots, 2 has 3 dots, 3 has 2 dots, 4 has 2 dots, 5 has 3 dots, and 6 has 4 dots. The dot plot shows the number of miles Emilia ran each week. Which is true of the data in the dot plot? The data is symmetric. The center of the data is 3.5. There is a peak at 3. The spread is from 1 to 6.
Answer:
The true statement is " The spread is from 1 to 6."
Explanation:
Consider the provide information.
First we will draw the dot plot as shown in the figure.
Now consider the options.
The data is not symmetric as for the symmetry the dots over 1 should be equal to the dots over 6. i.e 4.
Now find the center of the data by calculation the median of the data.
There are 16 dots in total which is an even number.
So, now we will find the average of the two middle values.
This will be the 8th and 9th value average for the given data set of 16 values.
Count from left to right the 8th and 9th values are both 4.
\(\text{Median}=\frac{4+4}{2}\)
\(\text{Median}=4\)
Hence, the center of the data is 4.
The second statement is false.
The peak of the data is at 6.
The third statement is false.
The spread is from 1 to 6 as we can see in the figure shown below.
Therefore, the true statement is " The spread is from 1 to 6."
Lawrence is a buyer closing on a home purchase for which he's obtaining financing. He receives a Loan Estimate from his lender. What's the purpose of this document?
Answer: The purpose of this document is to detail estimated closing costs for Lawrence's loan
Explanation:
From the question, we are informed that Lawrence is a buyer closing on a home purchase for which he's obtaining financing and that he receives a loan estimate from his lender.
The function of a loan estimate is to detail estimated closing costs for the loan that Lawrence's took. With the low estimate, Lawrence will have an idea of what he'll pay
Consider the following costs incurred in a recent period: Direct materials. $33,000 Depreciation on factory equipment.. $12,000 $23,000 Factory janitor's salary.... Direct labor $28,000 Utilities for factory. $9,000 Selling expenses. $16,000 Production supervisor's salary. $34,000 Administrative expenses. $21,000 What was the total amount of the period costs listed above for the period?
The total amount of the period costs listed above for the period is $176,000. In cost accounting, the various costs that are incurred by the company during a given period are known as period costs.
They are non-manufacturing costs and are classified as such. Period costs are known as selling, general, and administrative (SG&A) expenses or operating expenses.The following costs were incurred during the recent period:Direct materials - $33,000Depreciation on factory equipment - $12,000Factory janitor's salary - $23,000Direct labor - $28,000Utilities for factory - $9,000Selling expenses - $16,000Production supervisor's salary - $34,000Administrative expenses - $21,000To calculate the total amount of the period costs for the period, you need to add up all the costs mentioned above:Total Period Cost = Direct Materials + Depreciation on Factory Equipment + Factory Janitor's Salary + Direct Labor + Utilities for Factory + Selling Expenses + Production Supervisor's Salary + Administrative Expenses= $33,000 + $12,000 + $23,000 + $28,000 + $9,000 + $16,000 + $34,000 + $21,000= $176,000Therefore, the total amount of the period costs listed above for the period is $176,000.
Learn more about various costs here:
https://brainly.com/question/32462744
#SPJ11
Please post detailed answers to the following questions. Please use complete sentences. You've learned about four skills you need to succeed when working in a group: cohesion, responsibility and accountability, problem solving, and organization. Which do you believe is the most important factor to group success? Give specific reasons for your answer.
Responsibility and accountability is the most important factor to group success.
Accountability means that the team keeps its promises, completes projects on time, and achieves its objectives. Team accountability necessitates that each individual be held accountable for their own part, which includes both day-to-day work and long-term objectives.
Why is accountability crucial to success?Tolerating liability is vital for progress since it assists you with managing your errors without being overloaded by lament, culpability, or disgrace. As a person gets better at admitting that they are not perfect and doing what needs to be done to make up for them, it also builds character.
Why is the value of responsibility so important?Responsibility is important because it gives people a sense of purpose and helps them become resilient in the face of personal and social adversity. Avoiding responsibility, like addiction, may feel good in the short term, but it will only make things worse in the long run.
Learn more about accounting and responsibility:
brainly.com/question/29706921
#SPJ1