A company's net credit sales for the year are $4,000,000. On December 31, its accounts receivable balance is $160,000. The allowance is calculated as 7.5% of the receivables balance using the percentage of receivables basis. The Allowance for Doubtful Accounts has a credit balance of $5,000 before adjustment. How much is the balance of the allowance account after adjustment

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Answer 1

The balance of the allowance account after adjustment is $7,000.

The accounts receivable is an asset on the company's balance sheet, that represents the amount of money the company is owed by its customers who have purchased goods or services but not yet paid for them.The allowance for doubtful accounts is a contra-asset account that reduces the balance of accounts receivable to its net amount.

It is a balance sheet account that represents management's estimate of the amount of accounts receivable that will not be collected. The estimated uncollectible amount is recorded as an adjusting entry in the allowance for doubtful accounts at the end of each accounting period.

The journal entry to record the allowance for doubtful accounts is to debit the bad debt expense and credit the allowance for doubtful accounts.Let us calculate the balance of the allowance account after adjustment.The allowance for doubtful accounts is calculated as a percentage of the accounts receivable balance, using the percentage of receivables basis.

The allowance is calculated as 7.5% of the receivables balance, which is $160,000.7.5% of $160,000 = 0.075 × $160,000= $12,000.The credit balance of the allowance for doubtful accounts before adjustment is given as $5,000. This means that the allowance for doubtful accounts has been previously set up for $5,000.

The amount of the adjustment to the allowance for doubtful accounts is the difference between the required balance of $12,000 and the existing balance of $5,000.

Adjustment to the allowance account = $12,000 − $5,000= $7,000 Therefore, the balance of the allowance account after adjustment is $7,000.

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Related Questions

What is not one of the three key economic questions? how will it be produced? who will produce it? who will consume what is produced? what will be produced?

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The question "How will it be produced?" is not one of the three key economic questions. The three key economic questions are "What will be produced?", "How will it be produced?", and "Who will consume what is produced?".

The question of "How will it be produced?" pertains to the choice of production methods and techniques. It involves decisions related to the allocation of resources, technology, and efficiency in the production process. This question addresses the most effective and efficient way to produce goods and services.

On the other hand, the question of "What will be produced?" focuses on the selection of goods and services to be produced based on consumer demand and societal needs. It involves decisions regarding the types and quantities of goods and services that will be produced.

The question of "Who will consume what is produced?" pertains to the distribution and allocation of goods and services among individuals or groups within society. It addresses issues of income distribution, wealth inequality, and access to resources and goods.

Therefore, "How will it be produced?" is not one of the three key economic questions, but rather an important aspect to consider in the production process.

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Economists who discount the short-run expansionary effects of monetary policy instead focus on the problems associated with inflation ,unemployment, underinvestment. government spending ,excessive taxation

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Economists who discount the short-run expansionary effects of monetary policy instead focus on the problems associated with inflation are excessive taxation.

Let's explain each of these concerns:

Inflation: Expansionary monetary policy, such as lowering interest rates or increasing the money supply, can lead to an increase in inflation. When there is too much money chasing too few goods and services, prices tend to rise, eroding the purchasing power of individuals and reducing the value of savings. Unemployment: Some economists argue that expansionary monetary policy may have limited effectiveness in reducing unemployment in the long run. They believe that monetary policy can only have a temporary impact on employment levels and that sustained job creation requires measures such as improving labor market flexibility, enhancing skills and education, and promoting investment and productivity growth. Underinvestment: Expansionary monetary policy can create an environment of low interest rates, making borrowing cheaper and encouraging investment. However, economists who discount the short-run effects of monetary policy may argue that excessive reliance on monetary stimulus can lead to misallocation of resources and underinvestment in productive sectors of the economy. Government spending: Some economists are concerned about the potential negative consequences of expansionary monetary policy when it is accompanied by increased government spending. They argue that excessive government spending can crowd out private investment, increase public debt, and lead to future fiscal challenges. Excessive taxation: Economists who discount the short-run effects of monetary policy may also be concerned about the negative impact of excessive taxation. They argue that high tax burdens can discourage investment, innovation, and entrepreneurship, leading to reduced economic growth and job creation.

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can supply chain disruptions such as hacking and cracks in bridges be eliminated?

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No, supply chain disruptions such as hacking and cracks in bridges cannot be completely eliminated, but their impact can be mitigated through proactive measures and risk management strategies.

While it is not feasible to completely eliminate supply chain disruptions caused by factors like hacking or infrastructure issues such as cracks in bridges, organizations can take steps to minimize their occurrence and manage their impact. For example, cybersecurity measures can be implemented to reduce the risk of hacking, such as robust network security, employee training on best practices, and regular system audits. Similarly, infrastructure maintenance programs can be established to detect and address issues in bridges and other critical transportation links. Additionally, organizations can adopt strategies like diversifying suppliers, creating redundancy in supply chains, and implementing contingency plans to minimize the impact of disruptions. By combining preventive measures, risk management, and resilience planning, the effects of supply chain disruptions can be mitigated.

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______ is an undesirable situation in which consumers may become confused when an organization offers too many product choices.

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The term you are looking for is "choice overload." Choice overload refers to the undesirable situation when consumers become confused due to an organization offering too many product choices.You're looking for the phrase "choice overload.

" Choice overload is the undesired scenario that occurs when customers feel perplexed as a result of a company giving too many product options.You're looking for the phrase "choice overload." Choice overload is the undesired scenario that occurs when customers feel perplexed as a result of a company giving too many product options.You're seeking the term "choice overload." Customers being confused as a result of a corporation offering too many product alternatives is known as choice overload.

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Which of the following activity costs should usually be ignored when making a decision regarding whether to eliminate a product?
a) Product-level costs
b) Batch-level costs
c) unit level costs
d) facility level costs

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The activity cost that should usually be ignored when making a decision regarding whether to eliminate a product is facility-level costs. These costs are typically fixed and are incurred regardless of the product being produced.

Therefore, they do not directly relate to the decision of eliminating a specific product and should be excluded from the analysis.

Facility-level costs refer to expenses associated with maintaining the overall production facility, such as rent, utilities, and administrative salaries. Since these costs are incurred regardless of the production volume or product mix, they do not provide relevant information for the decision-making process specifically focused on eliminating a product. It is more appropriate to consider costs that directly relate to the product in question, such as unit-level costs, batch-level costs, and product-level costs, which capture the expenses incurred to produce and distribute the specific product.

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Your community has a total of approximately 100,000 households. What percentage of households would be potential customers for The Shoe Hut

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To determine the percentage of households that would be potential customers for The Shoe Hut, we need specific information about the target market or criteria for being a potential customer. Without that information, it is not possible to provide an accurate percentage.

However, if we assume that The Shoe Hut targets all households in the community as potential customers, the percentage would be 100%. This assumes that The Shoe Hut's products cater to all demographics and income levels within the community, making every household a potential customer.Keep in mind that in reality, not all households may be interested in or have a need for the products offered by The Shoe Hut. It is essential for businesses to define their target market and understand their customers' demographics, preferences, and buying behaviors to accurately estimate the percentage of potential customers within a given population

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the village of brompton has a bond obligation maturing in 5 years and will need to make a payment of $1,215,000. the treasurer wishes to make an investment today that will provide the needed funds at the bond's maturity. the relevant interest rate is 2.80%. the amount of the investment needed today is closest to:

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Given that the bond obligation matures in 5 years, has a payment of $1,215,000, and the relevant interest rate is 2.80%, the amount of the investment needed today would be approximately $1,076,827.74.

The present value formula is used to determine the current value of a future cash flow, taking into account the time value of money. In this case, we need to find the present value of the bond payment of $1,215,000 that will be received in 5 years. The relevant interest rate of 2.80% represents the discount rate or the rate of return required for this investment.

Using the present value formula, the calculation would be:

PV = FV / (1 + r)^n

Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of periods.

Plugging in the values, we have:

PV = $1,215,000 / (1 + 0.028)^5

PV ≈ $1,076,827.74

Therefore, the amount of the investment needed today to provide the necessary funds at the bond's maturity is approximately $1,076,827.74.

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Assume the purely competitive market is in long-run equilibrium. For some reason market demand increases. What would happen

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When the purely competitive market is in long-run equilibrium and there is an increase in market demand, several things would happen. Here's what you need to know:

1. Increase in Price: As demand increases, the market price will also increase. This is because there is now more demand for the product, and buyers are willing to pay a higher price to obtain it.

2. Increase in Quantity: With the higher price, firms will be motivated to increase their production to meet the higher demand. This leads to an increase in the quantity of goods supplied in the market.

3. Short-Term Profits: In the short run, firms will experience higher profits due to the increased price. This attracts new firms to enter the market, aiming to capitalize on the increased demand.

4. Long-Run Adjustment: As new firms enter the market, the supply of goods will increase. This will eventually lead to a decrease in price, as supply catches up with demand. The market will then reach a new long-run equilibrium.

In summary, an increase in market demand in a purely competitive market leads to higher prices, increased production, short-term profits, and eventually a new long-run equilibrium with increased supply and lower prices.

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According to the no arbitrage condition, what must be the price of a 100 face value zero coupon bond that matures on nyu graduation day?

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The no arbitrage condition states that the price of a zero coupon bond should be equal to the present value of its face value. In this case, we are looking for the price of a 100 face value zero coupon bond that matures on NYU graduation day.

To calculate the price of the bond, we need to consider the time to maturity, the interest rate, and the face value. Let's break it down step-by-step:

1. Determine the time to maturity: Find out how many days are left until NYU graduation day. For example, if there are 365 days left, the time to maturity would be 365.

2. Find the appropriate interest rate: The interest rate should reflect the risk-free rate of return for the given time period. You can obtain this rate from reliable sources such as government bond rates or financial websites.

3. Calculate the present value: Use the formula for calculating the present value of a bond, which is PV = F / (1 + r)^n, where PV is the present value, F is the face value, r is the interest rate, and n is the time to maturity in years.

For example, if the interest rate is 5% and there are 365 days until NYU graduation day, the time to maturity in years would be 365/365 = 1. Using a face value of 100, we can plug these values into the formula:

PV = 100 / (1 + 0.05)^1 = 100 / 1.05 = 95.24

Therefore, according to the no arbitrage condition, the price of a 100 face value zero coupon bond that matures on NYU graduation day would be approximately 95.24.

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activity a, duration 3, predecessor none activity b, duration 6, predecessor a activity c, duration 3, predecessor a activity d, duration 3, predecessors b, c activity e, duration 4, predecessor d activity f, duration 6, predecessor d what is the slack for activity e in time units?

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Since the total float is negative, it indicates that activity E is a critical activity and cannot be delayed without delaying the project's completion time. Therefore, the slack for activity E is 0 time units.

To determine the slack for activity E, we need to calculate the total float for that activity. Total float measures the amount of time an activity can be delayed without delaying the project's overall completion time.

The formula to calculate total float is: Total Float = Late Start - Early Start

In this case, since activity E has only one predecessor (activity D), we can calculate the total float as follows:

Early Start of E = Early Finish of D

                = Early Start of D + Duration of D

                = Early Start of B + Duration of B (since B is the longest path to D)

                = 0 + 6 (since the early start of B is 0)

Late Start of E = Late Finish of D - Duration of E

               = Late Start of F - Duration of F (since F is the last activity in the project)

               = 3 (since the late start of F is 3)

Total Float for E = Late Start of E - Early Start of E

                = 3 - 6

                = -3

Since the total float is negative, it indicates that activity E is a critical activity and cannot be delayed without delaying the project's completion time. Therefore, the slack for activity E is 0 time units.

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if you spent your entire income, you could afford either 6 units of x and 13 units of y or 13 units of x and 6 units of y. if you spent your entire income on x, how many units of x could you buy?

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if you spent your entire income on x,  you would be able to buy 13/6 units of x.

If you spent your entire income on purchasing x, you can calculate the number of units of x you can buy by considering the given information about the different combinations of x and y units that can be purchased. By analyzing the options, you can determine the ratio between the prices of x and y, which will help calculate the number of units of x that can be afforded.

To calculate the number of units of x that can be bought when spending the entire income on x, follow these steps:

1. Analyze the given options: Consider the two combinations provided: 6 units of x and 13 units of y or 13 units of x and 6 units of y.

2. Determine the price ratio: Compare the units of x and y in each combination. If 6 units of x and 13 units of y can be purchased, the price of x relative to y can be calculated as 13/6. If 13 units of x and 6 units of y can be purchased, the price of x relative to y is 6/13.

3. Calculate the price per unit of x: Since you are spending your entire income on x, you need to find the price per unit of x. In the first combination, the price ratio is 13/6, which means the price per unit of x is the income divided by the ratio, assuming the income is 1. So the price per unit of x is 1 / (13/6) = 6/13. In the second combination, the price ratio is 6/13, which means the price per unit of x is 1 / (6/13) = 13/6.

4. Calculate the number of units of x: Since you are spending your entire income on x, divide the income by the price per unit of x to calculate the number of units of x that can be bought. If the price per unit of x is 6/13, then the number of units of x that can be afforded is 1 / (6/13) = 13/6.

Therefore, if you spent your entire income on x, you would be able to buy 13/6 units of x.

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find a false statement on passive and active bond portfolio management strategies. multiple choice question.

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The false statement regarding passive and active bond portfolio management strategies is Option B: "Active management aims to match the performance of a benchmark index."

Passive and active bond portfolio management strategies are two distinct approaches in managing bond investments. Passive management involves replicating the performance of a specific benchmark index, such as the Barclays Aggregate Bond Index, by holding a diversified portfolio of bonds that closely mirrors the index's composition. On the other hand, active management involves actively selecting and managing bonds with the goal of outperforming the benchmark index.

The false statement, Option B, suggests that active management aims to match the performance of a benchmark index. However, this is incorrect. The primary objective of active management is to generate superior returns compared to the benchmark index by capitalizing on market inefficiencies, exploiting mispriced bonds, and adjusting the portfolio's composition based on the fund manager's analysis and expertise. Active managers aim to outperform the index by strategically buying and selling bonds based on their assessments of market conditions, interest rate movements, credit quality, and other factors.

Active management typically involves a higher level of involvement, research, and decision-making compared to passive management. While passive management aims to replicate the benchmark index's performance, active management aims to generate excess returns through skillful bond selection and timing. This approach requires a dedicated team of investment professionals who actively monitor the bond market and adjust the portfolio's holdings accordingly.

In summary, the false statement regarding passive and active bond portfolio management strategies is that active management aims to match the performance of a benchmark index. Active management, in fact, seeks to outperform the benchmark by actively selecting and managing bonds based on market insights and analysis.

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Every year in September, the NFL (National Football League) announces official prices of their next Super bowl tickets. The official ticket prices for 2022 Super bowl ticket in the NFL official websites started from $6,800 per person and it was up to over $81,800 per person depending on the location of the seats from the field. However, about three fourth of all tickets were already distributed to the NFL teams. The other one fourth are distributed to the media, NFL partners and sponsors. As a result, a small fraction of a total of about 70,000 tickets were sold in the secondary market. Those tickets were available to buy and sell in the official NFL online sites and other ticket brokers. Given the limited supply of tickets available to the NFL fans to purchase, the actual prices are dominated by the wide fluctuation of demand caused by many factors such as the venue of the game, the winning teams for the championship match, the packages of tickets offered by the brokers, and the weather forecast right before the game day. The record shows that the actual selling prices can go many times higher than the above-mentioned range of prices posted in the NFL official online sites.
Based on the information above and its relevance to the application of theories of demand and supply behavior in Economics, choose the correct answer out of the following 4 statements.
a. The market equilibrium price of all tickets in Miami, FL area (the venue of 2020 Super Bowl Game) will be still much higher than the new pricing scheme announced by the NFL
b. The price scheme above is possibly the good price to close the gap between ticketed price and the true market price.
c. The new pricing scheme mentioned above for 2020 would far exceed the true market price

Answers

The new pricing scheme mentioned above for the 2020 Super Bowl would be far exceeded by the true market price influenced by factors such as demand, supply, and other game-related elements. Option C.

The passage indicates that the actual selling prices of Super Bowl tickets can go many times higher than the official prices set by the NFL. This is due to the limited supply of tickets available to fans and the fluctuation of demand caused by various factors.

The wide fluctuation in demand suggests that the true market price for Super Bowl tickets is higher than the official pricing scheme.

The secondary market for Super Bowl tickets, where fans can buy and sell tickets through official NFL online sites and ticket brokers, plays a significant role in determining the actual selling prices.

Factors such as the venue of the game, the participating teams, ticket packages offered by brokers, and the weather forecast can greatly influence the demand and subsequently impact the prices in the secondary market.

Given the high demand and limited supply of Super Bowl tickets, coupled with the influence of various factors on pricing, it is likely that the actual market equilibrium price for all tickets in the Miami, FL area (the venue of the 2020 Super Bowl Game) would be much higher than the new pricing scheme announced by the NFL.

The new pricing scheme for Super Bowl tickets would likely be exceeded by the true market price determined by demand and supply dynamics in the secondary ticket market. So Option C is correct.

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abc corp. manufactures high-tech products that require expensive infrastructure and machinery. abc sells these products for $300 per unit and is planning to increase the price to $350 at the beginning of next year. this price increase is expected to decrease the total demand for the product by 2%. in which market structure does abc most likely operate?

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Based on the given information, ABC Corp. most likely operates in an oligopoly market structure.

An oligopoly is a market structure characterized by a small number of large firms that dominate the industry. These firms have substantial market power, which allows them to influence prices and compete with each other. In an oligopoly, firms often engage in strategic behavior, such as price leadership or collusion, to maximize their profits. In the case of ABC Corp., the fact that it can increase the price of its products suggests that it has some degree of market power. Additionally, the need for expensive infrastructure and machinery indicates that entry into this market may be challenging for new competitors. These characteristics align with the characteristics of an oligopoly.

The price increase planned by ABC Corp. and the expected decrease in total demand by 2% further support the notion of an oligopolistic market. In an oligopoly, firms are highly interdependent and changes in prices or output by one firm can have significant effects on its competitors. The expectation of a decrease in total demand suggests that ABC Corp.'s decision to increase the price may have been influenced by the anticipated response of its rivals.

Overall, the combination of market power, strategic behavior, and interdependence among a small number of firms suggests that ABC Corp. operates in an oligopoly market structure.

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Final answer:

ABC Corp. most likely operates in a Monopolistic Competition market structure, allowing it to increase its price without losing all of its customers because its product is unique, but they still face a downward sloping demand curve.

Explanation:

ABC Corp., which manufactures high-tech products that require expensive infrastructure and machinery, most likely operates in a Monopolistic Competition market structure. In this type of market, there are many firms that sell differentiated goods, which are not exactly identical. This allows ABC Corp. to increase its price without losing all of its customers because its product is unique and not perfectly substitutable.

Firms in Monopolistic Competition have some degree of market power which allows them to set the price of their goods, unlike in a perfectly competitive market where the price is determined by the market as a whole. However, they still face a downward sloping demand curve, which indicates that increasing their prices, as ABC plans to do, can lead to decreased demand for their products, which is the case for ABC Corp.

The example of ABC Corp. mirrors real-world situations such as in the computer industry (which shares characteristics of monopolistic competition), where a firm with expensive infrastructure and machinery can choose what price to set for their unique, differentiated product. Allowing some control over pricing, while still being subject to the pressures of consumer demand.

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Suppose the government in this economy decides to increase government purchases by $300 billion. The increase in government purchases will lead to an increase in income, generating an initial change in consumption equal to . This increases income yet again, causing a second change in consumption equal to . The total change in demand resulting from the initial change in government spending is .

Answers

The increase in government purchases by $300 billion will lead to an increase in income. This increase in income will generate an initial change in consumption. The specific amount of this initial change in consumption is not provided in the question.

However, it is mentioned that the increase in income will cause a second change in consumption, which is also not specified. Therefore, the total change in demand resulting from the initial change in government spending cannot be determined based on the information provided. In order to provide a specific answer, I would need additional information to calculate the initial change in consumption and the subsequent change in consumption.

The values for these changes depend on the marginal propensity to consume (MPC), which represents the portion of additional income that is spent on consumption.

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which of the following is not included in intellectual property law? select the correct answer below:

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Trade secrets are not included in intellectual property law. Intellectual property law generally covers four main types of intellectual property: patents, copyrights, trademarks, and trade secrets.

Trade secrets refer to confidential information that provides a competitive advantage to a business or individual. Examples of trade secrets can include formulas, processes, customer lists, and business strategies. Unlike patents, copyrights, and trademarks, trade secrets are protected primarily through contractual agreements and measures to maintain secrecy, rather than through statutory laws.While trade secrets are valuable assets for businesses, they are governed by other areas of law, such as contract law and unfair competition law, rather than intellectual property law. The protection of trade secrets involves implementing reasonable measures to maintain their secrecy, such as non-disclosure agreements (NDAs), employee confidentiality agreements, and restricted access to sensitive information.

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Fantastique Bikes is a company that manufactures bikes in a monopolistically competitive market. The following graph shows Fantastique's demand curve, marginal revenue curve (MR), marginal cost curve (MC), and average total cost curve (ATC).

Answers

Fantastique Bikes operates in a monopolistically competitive market, which means that it faces competition from other bike manufacturers but can differentiate its products. The graph provided shows the demand curve, marginal revenue curve (MR), marginal cost curve (MC), and average total cost curve (ATC) for Fantastique Bikes.

1. Demand Curve: The demand curve represents the quantity of bikes that consumers are willing to buy at different prices. In this graph, the demand curve slopes downwards, indicating that as the price of bikes decreases, the quantity demanded increases.
2. Marginal Revenue Curve (MR): The marginal revenue curve shows the additional revenue generated by selling one more unit of output. In a monopolistically competitive market, the marginal revenue curve lies below the demand curve, but it still slopes downwards. This is because Fantastique Bikes must lower the price to sell additional units, which reduces the revenue gained from each additional sale.
3. Marginal Cost Curve (MC): The marginal cost curve represents the additional cost of producing one more unit of output. It is typically U-shaped because of the law of diminishing returns. Initially, as production increases, marginal costs decrease due to economies of scale. However, after a certain point, marginal costs start to increase as the law of diminishing returns sets in.
4. Average Total Cost Curve (ATC): The average total cost curve depicts the average cost per unit of output, which includes both fixed and variable costs. It is typically U-shaped like the marginal cost curve. Initially, as production increases, the average total cost decreases due to economies of scale. However, it starts to rise again as the law of diminishing returns kicks in, and the cost per unit increases.
By analyzing the graph, we can make a few observations:
- If Fantastique Bikes wants to maximize its profit, it should produce the quantity of bikes where marginal cost equals marginal revenue (MC = MR). This point is known as the profit-maximizing output level.
- The price at which Fantastique Bikes can sell this quantity of bikes is determined by the demand curve. The corresponding price can be found by drawing a vertical line from the profit-maximizing output level to the demand curve.
- Fantastique Bikes will earn positive economic profit if the price is above the average total cost (P > ATC), indicating that the company is covering both its variable and fixed costs and making a profit.
- If the price is below the average total cost (P < ATC), Fantastique Bikes will incur losses and may need to reconsider its pricing or cost structure.
It's important to note that without specific numerical data or equations, we can only make general observations based on the graph provided. To provide a more detailed analysis, specific values would be needed for the curves and market conditions.

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steady as she goes incorporated will pay a year-end dividend of $3.50 per share. investors expect the dividend to grow at a rate of 6% indefinitely. if the stock currently sells for $35.00 per share, what is the expected rate of return on the stock?

Answers

The expected rate of return on the stock is 16%.

The expected rate of return on the stock can be calculated using the dividend growth model. The formula is:

expected rate of return = dividend yield + dividend growth rate.  

First, let's calculate the dividend yield.

The dividend yield is the annual dividend divided by the stock price. In this case, the annual dividend is $3.50 per share and the stock price is $35.00 per share. So, the dividend yield is 3.50/35.00 = 0.10 or 10%.

Next, let's calculate the dividend growth rate. The dividend growth rate is given as 6% in the question.

Now, we can calculate the expected rate of return. It is the sum of the dividend yield and the dividend growth rate. So, the expected rate of return is 10% + 6% = 16%.

In summary, the expected rate of return on the stock is 16%.

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You are considering acquiring a common share of Sahali Shopping Center Corporation that you would like to hold for 1 year. You expect to receive both $1.75 in dividends and $35 from the sale of the share at the end of the year. The maximum price you would pay for a share today is __________ if you wanted to earn a 13% return.

Answers

The maximum price you would pay for a share today to earn a 13% return is $32.51.

To determine the maximum price you would pay for a share today in order to earn a 13% return, you can use the formula for present value. The present value (PV) of an investment is equal to the sum of the present value of the dividends (PV_div) and the present value of the sale price (PV_sale).The present value of the dividends can be calculated by dividing the dividend amount ($1.75) by (1 + return rate (13%)).
PV_div = $1.75 / (1 + 0.13)
The present value of the sale price can be calculated by dividing the sale price ($35) by (1 + return rate (13%)).
PV_sale = $35 / (1 + 0.13)
The maximum price you would pay for a share today is the sum of PV_div and PV_sale.
Maximum price = PV_div + PV_sale
Substituting the values into the equations:
PV_div = $1.75 / (1 + 0.13) = $1.54
PV_sale = $35 / (1 + 0.13) = $30.97
Maximum price = $1.54 + $30.97 = $32.51

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the price of a product in a competitive market is $200. if the cost per unit of producing the product is 90 0.1x dollars, where x is the number of units produced per month, how many units should the firm produce and sell to maximize its profit?

Answers

The firm should produce and sell 2000 units per month to maximize its profit.

To maximize profit, the firm should produce and sell the quantity where marginal cost equals marginal revenue. In a competitive market, marginal revenue equals the price of the product. Therefore, the firm should produce and sell the quantity where marginal cost equals the price. In this case, the marginal cost is given by 0.1x dollars, and the price is $200.  

Setting up the equation:

0.1x = 200

Solving for x:

x = 200 / 0.1

x = 2000

So, the firm should produce and sell 2000 units per month to maximize its profit.

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What is an ‘age cohort’ in contemporary American culture? In what ways are they similar to ethnic and other subcultures?
How should marketing mix (the 4"P"s) be adjusted to better target the millennials?

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In contemporary American culture, an age cohort refers to a group of people who were born during the same time period and share similar experiences, attitudes, and behaviors due to their generational affiliation.

1. Promotion: Millennials are receptive to authentic and personalized marketing messages. Brands should focus on content marketing strategies that tell a story, align with their values, and create an emotional connection. Leveraging social media influencers and user-generated content can also be impactful.

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Securities laws in the Trempealeau Islands prohibit trading based on nonpublic information. Compared to the Code and Standards, this regulation is:

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Securities laws in the Trempealeau Islands prohibit trading based on nonpublic information. Compared to the Code and Standards, this regulation is a legal requirement that helps maintain fairness and integrity in the financial markets. It aims to prevent insider trading and ensure that all investors have access to the same information when making investment decisions.

The offer, selling, and trading of securities, the actions of specific industry specialists, investment businesses (such as mutual funds), tender offers, proxy statements, and generally the regulation of public companies are all governed by the securities laws. Although the majority of public company regulation is a disclosure-driven system, it has developed recently to the point where it is now beginning to mandate some aspects of corporate governance.

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If investors are to earn a 3.6% real interest rate, what nominal interest rate must they earn if the inflation rate is:

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To determine the nominal interest rate investors must earn, given a 3.6% real interest rate and an inflation rate, we can use the Fisher equation:

Nominal interest rate = Real interest rate + Inflation rateLet's say the inflation rate is 2%. Using the Fisher equation, we can substitute the values:
Nominal interest rate = 3.6% + 2% = 5.6%


The Fisher equation helps us understand the relationship between real and nominal interest rates. It states that the nominal interest rate consists of the real interest rate plus the expected inflation rate. By considering the inflation rate, investors can adjust their expectations and make informed decisions.

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preventing workplace violent incidents is a natural extention of the responsibilities of safety and health professionals. True or false

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True. Preventing workplace violent incidents is indeed a natural extension of the responsibilities of safety and health professionals.

Safety and health professionals are responsible for creating and maintaining a safe and healthy work environment for employees. This includes identifying and mitigating potential risks and hazards, implementing safety protocols, and promoting employee well-being.

Workplace violence is a significant safety concern that can have severe consequences for individuals and organizations. Safety and health professionals play a crucial role in preventing and addressing workplace violence by developing comprehensive risk assessment strategies, implementing preventive measures, and establishing policies and procedures to address potential incidents. They may also provide training and education to employees and management on recognizing warning signs, de-escalation techniques, and reporting procedures.

By addressing workplace violence as part of their broader safety and health responsibilities, professionals can help create a secure and supportive work environment that prioritizes the well-being and safety of employees.

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Demand forecasting is the process of creating statements about ____________ of demand that are ______________.

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Demand forecasting is the process of creating statements about the level of demand that are expected.

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site:coursehero.com a rationale for applying andragogical principles when creating and delivering professional development .

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A rationale for applying andragogical principles when creating and delivering professional development can be found on the website coursehero.com. Andragogical principles are educational strategies that are specifically tailored to adult learners.


Self-Directed Learning: Andragogical principles emphasize the importance of allowing adult learners to take control of their own learning. Adults are more motivated when they have a say in what and how they learn. By incorporating self-directed learning opportunities


In conclusion, applying andragogical principles in the creation and delivery of professional development programs can enhance the learning experience for adult learners. By incorporating self-directed learning, relevant and practical content, experiential learning, collaborative learning, and a flexible learning environment, these programs can effectively meet the unique needs and preferences of adult learners.

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Nolan works for a flashlight manufacturing company. He is paid a fixed amount for every unit he manufactures at the factory. He is paid higher rates for exceeding his set target. The payment system in this scenario is an example of the ________ system. Multiple Choice

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The payment system described in the scenario, where Nolan is paid a fixed amount for every unit he manufactures at the factory and receives higher rates for exceeding his set target, is an example of the Piece Rate system.  The correct answer is "Piece Rate system."

The piece rate system is a method of compensation where employees are paid based on the number of units or pieces they produce or complete. In this system, each unit or piece is assigned a specific value or rate, and employees earn a certain amount for each unit they produce.

Here are the steps to determine the answer:

Understand the Payment Structure: In the scenario, Nolan's payment is directly linked to the number of units he manufactures. This indicates that his earnings are determined based on the quantity of output he produces.

Define Piece Rate System: The Piece Rate system is a method of compensation where employees receive a fixed amount for each unit of output they produce or complete. The more units they produce, the higher their total earnings.

Compare the Scenario:

In the given scenario, Nolan's payment aligns with the characteristics of the Piece Rate system. He is paid a fixed amount per unit, indicating a direct correlation between his production output and earnings.

Additionally, the fact that he receives higher rates for exceeding his target reinforces the idea of the Piece Rate system, as it incentivizes employees to exceed their set production goals.

Identify the Answer:

Based on the above analysis, the payment system in this scenario is an example of the Piece Rate system.

Therefore, the correct answer is "Piece Rate system."

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consider the following cash flows: year cash flow 0 –$ 19,400 1 10,400 2 9,320 3 6,900 what is the irr of the above set of cash flows?

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We must determine the discount rate that reduces the cash flows' net present value (NPV) to zero in order to determine the Internal Rate of Return (IRR) for the specified set of cash flows.

Using the stated cash flows: Year 0: -$19,400Year 1: $10,400Year 2: $9,320 Year 3: $6,900 Financial software, a financial calculator, or Excel's IRR function can all be used to determine the IRR. This shows that the investment's internal rate of return is 12.59%. We must determine the discount rate that reduces the cash flows' net present value (NPV) to zero in order to determine the Internal Rate of Return (IRR) for the specified set of cash flows.  Using the stated cash flows: Year-$19,400Year 1: $10,400 The rate at which the present value of the cash inflows equals the present value of the initial cash outflow is Year 2: $9,320 Year 3: $6,900.

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Write out the formulas, with the numbers filled in, to solve the following problems. For (a) and (b), the market interest rate is 6.20%. You do not have to do the actual calculations for (a) through (c), but (d) requires a calculation. (a) Find the price of a 10-year bond (par = $1,000) with an annual coupon of 5.80%. Is this bond at a premium or discount? Explain briefly. (6 points). (b) Find the price of a 10-year bond (par = $1,000) with a coupon of 6.80%, paid monthly. (4 points). (c) Find the yield to maturity of a 10-year bond (par = $1,000) with an annual coupon of 6.80% and a price of $956.32. (4 points). (d) Calculate the effective annual return of the bond in (b).

Answers

(a) Price of the 10-year bond:

Price = (Coupon payment / Market interest rate) * [1 - (1 / (1 + Market interest rate)^(Number of periods))] + (Par value / (1 + Market interest rate)^(Number of periods))

(b) Price of the 10-year bond with monthly coupon payments:

Price = (Coupon payment / Monthly market interest rate) * [1 - (1 / (1 + Monthly market interest rate)^(Number of periods))] + (Par value / (1 + Monthly market interest rate)^(Number of periods))

(c) Yield to maturity of the 10-year bond:

Yield to maturity = [Coupon payment + (Par value - Price) / Number of periods] / [(Par value + Price) / 2]

(d) Effective annual return of the bond with monthly coupon payments:

Effective annual return = (1 + Monthly market interest rate)^(Number of periods) - 1

(a) The formula to find the price of a 10-year bond (par = $1,000) with an annual coupon of 5.80% is used to calculate the present value of the future cash flows from the bond. By plugging in the given coupon rate, par value, and market interest rate, the formula provides the price of the bond. If the calculated price is higher than the par value, the bond is at a premium. If it is lower, the bond is at a discount.

(b) The formula to find the price of a 10-year bond with a coupon of 6.80%, paid monthly, is similar to the previous formula but considers the monthly market interest rate. By adjusting the market interest rate to a monthly rate and applying it to the formula, the price of the bond with monthly coupon payments can be determined.

(c) The yield to maturity of a 10-year bond is the rate of return that investors would earn if they hold the bond until maturity. The formula takes into account the annual coupon payment, price, and par value to calculate the yield to maturity.

(d) The effective annual return of a bond with monthly coupon payments is the rate of return that accounts for compounding over the course of a year. The formula uses the monthly market interest rate and the number of periods to calculate the effective annual return.

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What does tl stand for?

a. transportation logistics

b. trucking life

c. trucking line

d. transportation lead time

e. truckload (quantity)

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"tl" stands for (e.) truckload (quantity), representing the maximum capacity of goods that can be transported in a single truck.

The abbreviation "tl" can have multiple meanings depending on the context. However, in the given options, the most accurate definition for "tl" is option e: truckload (quantity).

A truckload, or "tl," refers to the quantity of goods or cargo that can be transported in a single truck. It is a measure of the maximum capacity that a truck can carry.

For example, if a truck has a maximum capacity of 10,000 pounds, a tl would refer to a shipment that fills the entire truck and weighs 10,000 pounds.

In conclusion, in this context, "tl" stands for truckload (quantity), representing the maximum capacity of goods that can be transported in a single truck.

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