Willful Misconduct is the severe wrongdoing that excludes a jobless person from unemployment benefits.
What does it mean to be recompensed?Because you are paid to go somewhere you'd prefer not to be and do something you'd prefer not to do, your salary is referred to as compensation.
What are benefits of compensation?Benefits and compensation are crucial components of the human resource management because those who support retention. These rewards motivate staff to work harder and achieve more. It allows the business to reward its staff based on their performance and motivates them to achieve in all they do.
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PLEASE HELP AHH- KS Perez pays 12% average tax rate on gross pay in federal taxes. KS also pays $100 into a 401(k) retirement fund each pay period and pays a $200 per-pay-period contribution to an employer-subsidized health insurance policy. complete KS’s earnings statement below. Round your answer to the nearest dollar.
Completing KS Perez's earnings statement are as follows:
Gross pay this period = $2,000
Gross pay YTD = $52,000
Federal Income Tax = $9,724
Virgin Income Tax = $2,284
FICA Social Security = $2,740
FICA Medicare = $641
Adjusted Gross Income = $44,200
Other Deductions:
Health Insurance = $5,200
401 Contributions = $2,600
Total other deductions = $7,800
Data and Calculations:
Hourly rate = $25
Hours worked per pay period = 80 hours
Bi-weekly earnings =$2,000 ($25 x 80)
Year to date total gross income = $52,000 ($2,000 x 52/2)
Federal Income Tax Rate = 22% = $9,724 ($44,200 x 22%)
Virginia Income Tax Rate = $720 + 5.75% over $17,000
= $720 + ($27,200 x 5.75%)
= $2,284 ($720 + $1,564)
FICA Social Security = 6.2% = $2,740 ($44,200 x 6.2%)
FICA Medicare = 1.45% = $641 ($44,200 x 1.45%)
Other Deductions:
Health Insurance = $5,200 ($200 x 26)
401 Contributions = $2,600 ($100 x 26)
Total other deductions = $7,800 ($5,200 + $2,600)
Adjusted Gross Income = $44,200 ($52,000 - $7,800)Thus, the adjusted gross income of KS Perez for the year is $44,200.
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how does tariffs impact employment?
Answer:
mark me as a brainlist answee
Explanation:
The levying of tariffs is often highly politicized. The possibility of increased competition from imported goods can threaten domestic industries. These domestic companies may fire workers or shift production abroad to cut costs, which means higher unemployment and a less happy electorate.
What does it mean to “authenticate” your payment? How do these payment systems authenticate?
Answer:
Payment authentication is the process of confirming a customer's identity through at least one of the following authentication factors: knowledge, inherence, ownership, and user location. Knowledge is the most common category used for transaction authentication.
1. Define the oscopy approach in PCS coding.
2. Code the following scenario dividing the codes appropriately into the mom and baby charts: 29-year-old female presents for delivery. This is her third pregnancy. She is at 39 weeks of gestation. This is a normal pregnancy. After a normal delivery, she gives birth to a single liveborn. The little boy is circumcised on the second day without incident. Both mom and baby are discharged in good health.
3. Code the following scenario dividing the codes appropriately into the mom and baby charts: 36-year-old female presents for delivery. This is her first pregnancy. She has had a normal pregnancy without incident. She is 37 weeks gestation. This is a twin pregnancy. Baby A is delivered vaginally with low forceps and Baby B by C section. Both babies are fine.
4. Code the following scenario: 40-year-old multigravida presents for vaginal delivery in week 41. No problems during delivery. Single liveborn.
5. Code the following scenario: 26-year-old primigravida presents in week 38. Second-degree perineum tear. Single liveborn.
6. Code the following scenario: Baby born via C-Section transferred to Children's Hospital for Myelomeningioma with hydrocephalus. Code for Children's hospital.
1. Oscopy approach: Surgical instrument insertion method - open or percutaneous. 2. Mom: Normal delivery. Baby: Liveborn, circumcision. 3. Mom: Vaginal delivery with low forceps. Baby A: Vaginal delivery. Baby B: C-section. 4. Vaginal delivery of single liveborn at week 41. 5. Vaginal delivery, second-degree perineum tear, single liveborn. 6. Children's Hospital: Transfer for C-section-born baby with myelomeningioma and hydrocephalus. Code accordingly.
1. The term "oscopy" in PCS coding refers to the approach used during a surgical procedure. It is used to describe the method by which a surgical instrument or device is inserted into the body. The approach can be classified as either "open" or "percutaneous." An open approach involves making a larger incision to access the target area directly, while a percutaneous approach involves inserting instruments through the skin using a minimally invasive technique. The choice of approach depends on the specific procedure and the surgeon's preference.
2. For the given scenario, dividing the codes appropriately into the mom and baby charts would involve assigning diagnosis and procedure codes for each individual. In the mom's chart, you would code for the normal delivery and any relevant procedures or conditions related to the mother. In the baby's chart, you would code for the liveborn status, circumcision, and any other relevant procedures or conditions related to the baby.
3. In this scenario, coding appropriately into the mom and baby charts would involve assigning diagnosis and procedure codes for each individual. In the mom's chart, you would code for the normal pregnancy, twin pregnancy, vaginal delivery with low forceps, and any relevant procedures or conditions related to the mother. In the baby's chart, you would code for the C-section delivery, twin status, and any relevant procedures or conditions related to the babies.
4. For this scenario, the coding would involve assigning diagnosis and procedure codes for the vaginal delivery of a single liveborn baby in week 41 of gestation. The specific codes would depend on any additional procedures or conditions that may be present during the delivery.
5. In this scenario, the coding would involve assigning diagnosis and procedure codes for the perineum tear and the vaginal delivery of a single liveborn baby in week 38 of gestation. The specific codes would depend on the severity of the tear and any additional procedures or conditions that may be present during the delivery.
6. For the scenario involving the baby's transfer to Children's Hospital for myelomeningioma with hydrocephalus, you would need to code the diagnosis and any relevant procedures or conditions associated with the baby's condition. The specific codes would depend on the details provided in the scenario and the coding system used (such as ICD-10-CM for diagnosis coding and/or CPT or HCPCS for procedure coding). The codes should accurately reflect the baby's diagnosis and the reason for the transfer to Children's Hospital.
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over a recent 20 year period, what percent of pros investing in large companies beat the market?
The response might alter how you approach investment. Reaction: While only 6% of investment professionals outperformed the market, 94% underperformed (see below).
What would you say is investment?
A purchase undertaken with the intent to generate income or appreciate in value is referred to as an investment. Appreciation is the process by which an asset's value increases over time. When someone purchases something as an investment, they don't want to utilise it right away to make money; they want to use it later.
To invest your money wisely and perhaps expand your fortune, you need open an investment account. The major factors contributing to investing's increased growth potential are compounding's efficiency and the risk-return trade-off.
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audits of publicly traded companies and privately held companies whose financial statements are expected to be widely distributed require an engagement
Audits of publicly traded companies and privately held companies whose financial statements are expected to be widely distributed require an engagement to ensure accuracy, reliability, and transparency of the financial information being presented to stakeholders.
An engagement in the context of audits refers to the formal agreement and professional relationship between an auditing firm and the company being audited. It outlines the scope, objectives, and responsibilities of both parties in conducting the audit process.
For publicly traded companies, audits are essential to provide assurance to shareholders, investors, and the general public that the financial statements accurately represent the company's financial position, performance, and cash flows.
These audits are typically required by regulatory bodies, such as securities commissions or stock exchanges, to ensure transparency and maintain investor confidence in the capital markets.
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What are the three types of money you should use when paying for college, and what type of money are scholarships and grants?.
Loans, grants, and work-study are the three categories of federal financial aid.
Grants are typically offered based on financial need, whereas scholarships are merit-based and given to students based on their academic performance, extracurricular involvement, field of study, and other factors.
Financial aid is cash that you are given or lent in order to help you pay for college. Financial aid that you don't have to pay back includes grants and scholarships. They are known as gift aid because of this.
Some college finance methods are:
Try to get a scholarship. Obtain a college grant by applying. Like scholarships, grants for college are based on financial need and are not repaid.Federal student loans and private student loans.Work study programmes at colleges.To know more about college scholarship refer to the given link:
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Within each of the three larger categories, best practices are categorized by ____ stages of process improvement.
Within each of the three larger categories, best practices are categorized by four stages of process improvement.
What is Process Improvement?Process Improvement serves as the proactive task of identifying as well as analyzing existing business processes within an organization.
The four stages of process improvement are;
Identify the need for change identify the need for change.Analyzing current processSeek commitment and support.Look for improvement strategylearn more about Process Improvement at;
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Project A has an initial investment of Rs. 50 million and projected cash inflows of Rs. 15 MILLION (each year) for 5 years. Project B has an initial investment of Rs. 80 million and projected cash inflows of Rs. 25 MILLION (each year) for 5 years. Assume the discount rate to be 10 percent. The anticipated inflation rate during Year 1, 2, 3, 4 & 5 is: 2, 3, 4, 3 & 7 percent respectively. (a) Work out the NPV of the two projects and compare the results. Which project should be approved? Why? (b) Work out the Undiscounted and Discounted Pay Back Period for the two projects. If the criterion is 5 years, which project should be considered based on Discounted PBP? (c) Work out the Profitability Index for the two projects. Which project is acceptable? Why
Neither project should be approved as they are not expected to generate positive returns.
(a) the net present value (npv) of project a can be calculated by discounting the projected cash inflows using the discount rate of 10 percent:
year 1: rs. 15 million / (1 + 0.02) = rs. 14.705 millionyear 2: rs. 15 million / (1 + 0.03)² = rs. 13.592 million
year 3: rs. 15 million / (1 + 0.04)³ = rs. 11.462 millionyear 4: rs. 15 million / (1 + 0.03)⁴ = rs. 10.572 million
year 5: rs. 15 million / (1 + 0.07)⁵ = rs. 10.271 million
npv of project a = initial investment - sum of discounted cash inflows = rs. 50 million - (rs. 14.705 million + rs. 13.592 million + rs. 11.462 million + rs. 10.572 million + rs. 10.271 million)
= rs. 50 million - rs. 60.602 million = -rs. 10.602 million
similarly, the npv of project b can be calculated as follows:
year 1: rs. 25 million / (1 + 0.02) = rs. 24.510 million
year 2: rs. 25 million / (1 + 0.03)² = rs. 22.376 millionyear 3: rs. 25 million / (1 + 0.04)³ = rs. 18.928 million
year 4: rs. 25 million / (1 + 0.03)⁴ = rs. 17.309 millionyear 5: rs. 25 million / (1 + 0.07)⁵ = rs. 15.090 million
npv of project b = initial investment - sum of discounted cash inflows
= rs. 80 million - (rs. 24.510 million + rs. 22.376 million + rs. 18.928 million + rs. 17.309 million + rs. 15.090 million) = rs. 80 million - rs. 98.213 million
= -rs. 18.213 million
comparing the results, both project a and project b have negative npvs. (b) the undiscounted pay back period (upbp) for each project can be determined by dividing the initial investment by the annual cash inflows:
upbp of project a = rs. 50 million / rs. 15 million = 3.33 years
upbp of project b = rs. 80 million / rs. 25 million = 3.2 years
the discounted pay back period (dpbp) is calculated by considering the discounted cash inflows:
dpbp of project a = 2 years (year 1 + year 2) + (rs. 50 million - rs. 14.705 million) / rs. 13.592 million = 2 + 2.5 years = 4.5 yearsdpbp of project b = 2 years (year 1 + year 2) + (rs. 80 million - rs. 24.510 million) / rs. 22.376 million = 2 + 2.59 years = 4.59 years
based on the criterion of 5
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Which development with most reflects Karl max is belief in the economic system that he predicted to replace free market
The development with most reflects Karl max that is belief in the economic system that he predicted to replace free market is option B. Workers share all the profits generated from a factory. Read below about Karl Max's belief in economic system.
What is Karl Max's belief on the economic system?Marx believed that in a capitalist system, society would inevitably divide themselves into two classes – the business owners and the workers. The workers would produce the material goods and conduct all the labor, while the owners would reap all the financial and social benefits.
Therefore, the correct answer is as given above
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The complete question goes thus:
Which development would most reflect Karl Marx's belief in the economic system that he predicted would replace free markets? A. Governments eliminate all taxes on wealthy corporations. B. Workers share all the profits generated from a factory. C. Companies begin to sell their products in overseas markets. D. Businesses refuse to hire workers who demand high wages.
there are three general concerns involved with human capital. what are these?
The three general concerns involved with human capital are as follows:Attracting and retaining employees Developing employees and their skills Ensuring compliance and managing risks. Explanation:Human capital refers to the skills, knowledge, and abilities of an organization's employees.
To develop and maintain human capital, businesses must be aware of three main concerns:1. Attracting and retaining employees - Attracting and retaining top talent is critical to the success of any organization. Therefore, businesses need to create a positive work environment that motivates employees and encourages them to stay.2.
Developing employees and their skills - Investing in employee development is necessary to improve their skills and keep them motivated. Businesses can provide training, mentoring, and other development programs to help employees grow in their roles.3. Ensuring compliance and managing risks - Organizations must comply with laws and regulations that relate to their employees. Businesses must also manage the risks associated with human capital, such as data breaches, employee misconduct, and discrimination claims.
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Barbie's trading company sells Barbie's doll and the annual demand is 2800 doll.It costs the company $33 to place an order and the carrying cost is 7% of the unit cost.The cost of each doll is $40.The supplier offers the following discounts to Barbie's Company. Order Quantity < 100 Discount None 4% Unit Cost $40 $38 100 quantity < 200 200 8% $37.20 a) What would be the optimal order quantity? b) What is the minimum annual inventory cost? (18 marks) (2 marks)
To find the optimal order quantity and the minimum annual inventory cost for Barbie's trading company, we can use the economic order quantity (EOQ) formula.
a) Optimal Order Quantity:
The EOQ formula is given by:
EOQ = √[(2DS) / H]
where:
D = Annual demand = 2800 dolls
S = Ordering cost per order = $33
H = Carrying cost per unit per year = 7% of the unit cost = 0.07 * $40 = $2.80
Using these values, we can calculate the EOQ:
EOQ = √[(2 * 2800 * 33) / 2.80]
= √[(184,800) / 2.80]
= √66,000
≈ 257.25
Since the order quantity needs to be a whole number, the optimal order quantity would be rounded up to the nearest whole number. Therefore, the optimal order quantity is 258 dolls.
b) Minimum Annual Inventory Cost:
To calculate the minimum annual inventory cost, we need to consider the total cost, which includes ordering cost and carrying cost.
Total Cost = (D / Q) * S + (Q / 2) * H
where:
Q = Order quantity
We can calculate the total cost for each discount level and choose the one with the minimum cost.
For no discount (unit cost = $40):
Total Cost = (2800 / 258) * 33 + (258 / 2) * 2.80
= 280.62 + 361.20
= $641.82
For discount 1 (unit cost = $38):
Total Cost = (2800 / 258) * 33 + (258 / 2) * 2.80
= 280.62 + 346.80
= $627.42
For discount 2 (unit cost = $37.20):
Total Cost = (2800 / 258) * 33 + (258 / 2) * 2.80
= 280.62 + 343.20
= $623.82
Therefore, the minimum annual inventory cost is $623.82 when the order quantity is 258 dolls with a unit cost of $37.20.
Note: The answer assumes that the discount applies to the entire order quantity.
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XYZ Company plans to sell 11,000 units of its product in January and another 10,000 in February. The beginning balance of finished goods is 1,100 on January 1 and XYZ Company wants an ending balance on January 31 of 1,000 units. How many units of its product should XYZ Company produce during January to meet its goals?
a. 9,900
b. 10,900
c. 11,000
d. 12,000
Answer:
10,900 units
Explanation:
The applicable formula is the formula for calculating the cost of goods sold, COGS.
COGS = The applicable formula is the formula for calculating the cost of goods sold, COGS.
COGS = Beginning inventory + purchases - closing inventory
In this case, COGS will be 11,000 units: Beginning balance 1100 and ending balance of 1000.
11,000 = 1100 + P -1000
11,000 = 1100-1000 +P
11,000 = 100 + P
P= 11,000 -100
P= 10,900
Productions should be 10,900
are the costs related to the product that have to be paid regardless of the amount you sell.
A) Fixed cost
B) Opportunity costs
C) Variable costs
D) none of the above
Answer:
C) Variable costs
Explanation:
harry's caters to the clothing needs of men, manufacturing two different lines of fashion based on the purchasing power of its customers. one product line caters to the needs of affluent, middle-aged men, and the other line targets younger, up-and-coming professionals. harry's most likely segments the consumer market based on demographic variables. true false
Harry's most likely segments the consumer market based on demographic variables, this statement is true.
The division of consumers into segments according to their demographic traits is known as demographic segmentation. Age, gender, income, education, religion, nationality, and other factors are included in this.
Demographics are an important component of your small business marketing plan since they allow you to pinpoint certain audience members based on their traits, preferences, and demands.
Businesses use demographic information to better understand the traits of the customers who consume their goods and services.
Your target market can be defined by using demographic segmentation to discover the people who are most likely to make a purchase.
Knowing your target market will help you develop marketing methods that will work best for this group, boosting the effectiveness of your efforts.
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Jim asked Gina if she wanted a contemporary or traditional style couch. Why was that the wrong question to ask?
a) He should have been able to tell Gina's tastes from the way she dressed.
b) He limited Gina's choices before she had really considered them.
c) He made Gina feel like she did not have good taste in furniture.
Answer:
B
Explanation:
Which best describes the facilities involved in the Healthcare cluster?
Some facilities are privately owned, some are funded and run by the government, and some are run by nonprofit organizations.
Some facilities are privately owned businesses that are owned by people who want to make money, and some facilities are nonprofit hospitals.
Most facilities are funded by taxes and run by the government, while a small few are privately owned facilities run by people who want to make money.
Many facilities are nonprofit clinics with the rest of the facilities owned and operated by private individuals to make a profit.
Answer: (C) Most facilities are funded by taxes and run by the government, while a small few are privately owned facilities run by people who want to make money.
Answer:
C. government
please help me quick :( (sorry meant to put chem not business)
In providing ____,the government establishes and enforces the laws necessary for a market economy to function
Answer:
I think that's regulations
real gdp exceeds the growth of nominal gdp.incorrect nominal gdp exactly reflects increases in real output. nominal gdp overstates increases in real output. nominal gdp understates increases in real output.
Nominal GDP overstates increases in real output. The correct option is C.
What are nominal and real GDP?The raw numbers in current dollars, unadjusted for inflation, are reflected in nominal GDP. Real GDP corrects the figures by fixing the value of the currency, removing any distortion caused by either deflation or inflation.
Nominal GDP reflects the current market value of all final goods and services produced in an economy in a given year, using current prices. Real GDP, on the other hand, is a measure of economic output that adjusts for inflation, which allows for a more accurate comparison of economic output over time.
Thus, the ideal selection is option C.
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The personal needs, the culture, and the family of an individual influence his or her ethical choices.
Answer:
True
Explanation:
Ethical choices of an individua are an outcome of the social, cultural and regional exposure of the individual. Some part of the behavior and thoughts of an individual are sharped according of the ethnicity and culture. The values are enhanced and they are formed as a result of the choices made by the individual and the community. The result of the behavior, attitudes, choices and preferences of the individua are the outcome of the values formed by the person. Ethical choices are made upon the level of ethnic intensity.
how can a reduction in taxation be used to influence aggregate demand
Answer:
shifting the aggregate demand curve to the right.
Explanation:
If you tell me a good counter to this argument fast, I'll give u brainliest + five star (HELP)
If a school duration is not year-round, then students will most likely forget alot of things they learned over school year.
We certainly blank out things over time, and there's no reason to evaluate that what students learn in school should be an exception.
What do you mean by Argument?Making an argument involves two or more individuals reacting to one another's claim and support for such a claim.
There are a few unusual reasons why the brain forgets, but the two main causes are decay and disuse. Decay is a natural process that refers to the gradual loss of information over time. When we first learn something, it is stored in our short-term memory, which is relatively small and can only hold a very small amount of information.
Therefore, The statement “If a school duration is not year-round, then students will most likely forget a lot of things they learned over the school year.” is correct.
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specialization in production and then trading with other countries group of answer choices change the mix of output for rich countries but not for poor countries. change the mix of output for each country and increase total world output. mean that every citizen in every country is better off. increase the standard of living for rich countries but not for poor countries.
Specialization in production and then trading with other countries can change the mix of output for each country and increase total world output. This can mean that every citizen in every country is better off, as it allows countries to focus on producing goods and services that they are most efficient at, and trade with other countries to obtain goods and services that they are not as efficient at producing.
However, it may not necessarily increase the standard of living for poor countries if they are not able to compete in global markets or benefit from the trade. Additionally, specialization may only increase the standard of living for rich countries if they are able to capture a larger share of the gains from trade. The correct answer is: Specialization in production and trading with other countries change the mix of output for each country and increase total world output.
Specialization in production allows countries to focus on producing goods and services in which they have a comparative advantage, leading to increased efficiency. Trading with other countries enables countries to exchange their specialized goods and services, which leads to a more diverse mix of output for each country. Increased efficiency and a diverse mix of output contribute to a higher total world output, benefiting all countries involved in trade. As a result, both rich and poor countries can experience an increase in their standard of living, depending on how well they adapt to specialization and trade. However, it's important to note that not every citizen in every country may be better off, as the benefits of specialization and trade are not always distributed evenly.
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The best time to visit a college campus is:
A: During spring break
B: Over the summer
C: on any Friday
D: Monday Through Friday
Ap3x
Answer:
D.
Explanation:
The best time to visit a college campus is over the summer. Thus, option 'D' is the correct option.
When is the best time to do college tours?Since many universities start their autumn term as early as mid-August, it is ideal to visit during the late summer and early September before senior year. If you've already done your study in college, the spring of your junior year is a terrific time. If you participate in autumn sports or are thinking about applying under early action or early decision programs, which often have application deadlines in November of your senior year, spring break is also an excellent idea.
Seniors might find it more beneficial to postpone their visits until the fall or winter. Seniors may be able to restrict their college choices at that time. To entice them to enrol, several institutions offer their chosen prospects to stay a few days on campus before the May 1 reply deadline.
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how are resources and scarcity connected?
Answer:
Explanation:
resources and scarcity are connected.
HOW?????
If we do not have resources, it leads to scarcity.
For example, If we do not have water which is a very precious resource, it leads to scarcity of water.
Hope this helps
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an investor purchases a long call at a price of $3.10. the strike price at expiration is $47. if the current stock price is $47.10, what is the break-even point for the investor?
The Break-even call price for the investor is $50.10.
The term "break-even price" refers to the point at which a change in value merely covers the initial investment or expense made by an individual.
The break-even price for an options contract is the level at which underlying security reaches the point when it covers the cost of an option's premium. In the context of manufacturing, the term "break-even price" refers to the point at which the price at which a product is sold is equal to the cost of producing that product. It is common practice to utilise break-even pricing as a competitive tactic in the pursuit of increased market share; yet, this pricing approach can give the impression that the product in question is of poor quality.
Break-even price = Call premium + Strike price
In the ques, it is given that
Call premium = $3.10 and
Strike price = $47
Thus,
Break-even price = Call premium + Strike price
= 3.10 + 47
= $50.10
Thus, the Break-even price is $50.10.
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At the start of Year 1, you buy 1000 shares of stock at $225 a share; the stock currently pays $7.35 per share in quarterly dividends. Price of the stock grows as follows: by the end of Year 1 , the stock is expected to be at $240.75, at the end of Year 2 , the stock is expected to be at $249.18, at the end of Year 3 the stock will be expected to trade at $292.78, at the end of Year 4 it will be expected to reach $328.94 and by the end of Year 5 it will be $367.69. The company is targeting dividends growth at 6% per year. (1) What are the total returns from taking dividends in cash from holding the stock from the start of Year 1 through the end of Year 5 ? (2) What are the total returns if dividends are re-invested at the end of each year? Note: in the last year of holding (end of Year 5 ) you must take dividends for Year 5 in cash.
(1) Total returns from taking dividends in cash from holding the stock from the start of Year 1 through the end of Year 5:
At the start of Year 1, 1000 shares are bought at $225 a share; therefore, the initial cost of purchasing is: Initial cost of purchasing = $225 x 1000 = $225000Total annual dividend payment is calculated as follows: Total annual dividend payment = $7.35 x 4 = $29.40Therefore, the total dividend payment over the five years is Total dividend payment = $29.40 x 5 = $147The dividends are paid in cash; hence the total amount of money received from the dividends is $147.The price of the stock at the end of each year isYear 1 end price = $240.75Year 2 end price = $249.18Year 3 end price = $292.78Year 4 end price = $328.94Year 5 end price = $367.69Hence, the total returns after five years would be the total amount of money received from the dividends plus the difference between the cost of purchasing and the current stock price at the end of Year 5, which is: Total returns = (1000 x $367.69) - $225000 + $147Total returns = $142944(2) Total returns if dividends are re-invested at the end of each year: If dividends are reinvested at the end of each year, it means that the dividends are used to buy additional shares of stock. The total number of shares at the end of each year is calculated as follows: Year 1:Total number of shares = 1000 shares + (147/7.35) = 1020 sharesYear 2:Total number of shares = 1020 shares + [(7.35 x 4)/$240.75] x 1020 shares = 1042 sharesYear 3:Total number of shares = 1042 shares + [(7.35 x 4)/(1.06 x $249.18)] x 1042 shares = 1064 sharesYear 4:Total number of shares = 1064 shares + [(7.35 x 4)/(1.06² x $292.78)] x 1064 shares = 1086 sharesYear 5:Total number of shares = 1086 shares + [(7.35 x 4)/(1.06³ x $328.94)] x 1086 shares = 1110 shares.
The total annual dividend payment is calculated as follows: Total annual dividend payment = $7.35 x 4 = $29.40The dividends are used to buy additional shares of stock. Therefore, the total dividend payment over the five years is: Number of shares bought with dividends at the end of Year 1 = 147/7.35 = 20 sharesNumber of shares bought with dividends at the end of Year 2 = (7.35 x 4)/$240.75 x 1020 = 17 sharesNumber of shares bought with dividends at the end of Year 3 = (7.35 x 4)/(1.06 x $249.18) x 1042 = 16 sharesNumber of shares bought with dividends at the end of Year 4 = (7.35 x 4)/(1.06² x $292.78) x 1064 = 15 shares. Therefore, the total number of shares at the end of Year 5 is: Number of shares at the end of Year 5 = 1110 sharesThe total returns after five years would be the sum of the value of the shares at the end of Year 5 plus the cost of purchasing the initial shares, which is: Total returns = (1110 x $367.69) + $147 x 5 - $225000Total returns = $151132.
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a three-year bond with $1,000 face-value and 10% coupon rate is sold for $1,000 today. if one year later the market interest rate increases to 15%, then this bond will have a market price of next year. a. $956.52 b. $1092.97 c. $918.71 d. $1047.62
If one year later the market interest rate increases to 15%, then this bond will have a market price of $1092.97 of next year.
The term" request interest rate" refers to the effective interest rate on a fixed- rate profit obligation that the state has issued to fund a loan made under this section, or, if the department of administration determines that there has been a significant change in interest rates since the fixed- rate profit obligation was issued, the effective interest rate that the department of administration has determined.
Bonds are fixed- income securities that reflect loans from investors to borrowers( generally commercial or governmental). A bond can be compared to an agreement outlining the terms of the loan and the associated payments between the lender and borrower. Companies, cosmopolises, countries, and autonomous governments use bonds to finance operations and enterprise. Bondholders are the issuer's debtors or creditors.
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Cecily just started her very first job she has an entry level position at a large international corporation which of her colleagues would be in the best position to Mentor Cecily
Answer: D. Daniel, who has worked his way up from entry-level to manager of Cecily's team within the last five years.
Explanation:
Daniel would be in the best position to help her out of all her colleagues because he started from where she started and has now grown to a higher level. He has also been at the company for a long time and knows how things work.
His advice and mentorship woth good intent, will provide Cecily with valuable help in moving forward because she would have a person who has already trodden the path for her and knows what to do and what not to do.
The other options have either not stayed in the job long enough or have stayed in the job for too long to be the best mentors.
Answer:
D. Daniel, who has worked his way up from entry-level to manager of Cecily's team within the last five years.
Explanation: