The company should prepare the income statement using option c. absorption costing because it follows GAAP in order to distribute the financial statements to the internal managers.
The company should prepare the income statement using absorption costing because it follows GAAP (Generally Accepted Accounting Principles). GAAP requires that all manufacturing costs, including fixed overhead costs, are included in the cost of goods sold on the income statement.
Variable costing, on the other hand, only includes variable manufacturing costs in the cost of goods sold and treats fixed overhead costs as period expenses. While variable costing may be useful for certain planning purposes, it does not comply with GAAP.
Absorption costing is in line with the Generally Accepted Accounting Principles (GAAP), which are the standard accounting rules and practices used in the United States. This method allocates both fixed and variable costs to the production of goods, making it suitable for financial reporting purposes.
Therefore, the correct option is c. absorption costing because it follows GAAP.
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What kind of power does Albus Dum. Bledore have in the Harry Potter Series? (Legitimate, reward, coercive, referent, or expert power?) Is it a combination? Define the power(s) you chose and explain why this leader has these power(s)
He has expert and referent power. He has extensive knowledge and is respected by others in the wizarding world.
Expert power refers to the power gained through one's expertise and knowledge in a particular field. is widely regarded as one of the most knowledgeable and skilled wizards in the Harry Potter universe. He is a highly accomplished wizard and is often called upon to provide guidance and advice in difficult situations, making him an expert in the wizarding world.
Referent power refers to the power gained through one's charisma, personality, and reputation. is highly respected and admired by the wizarding community for his wisdom, kindness, and leadership. He is viewed as a role model and a source of inspiration, making him a referent power.
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which of the following are advantages of budgeting? multiple select question. allows for better planning ensures profitability enables better coordination across departments assists in performance evaluation provides advance notice of potential problems lowers accountability increases an employee's individual freedom
The following are advantages of budgeting:
Allows for better planning
Ensures profitability
Enables better coordination across departments
Assists in performance evaluation
Provides advance notice of potential problems
Therefore, the correct options are:
Allows for better planning
Ensures profitability
Enables better coordination across departments
Assists in performance evaluation
Provides advance notice of potential problems
The remaining options, "lowers accountability" and "increases an employee's individual freedom," are not advantages of budgeting.
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The members who make up our government work together to keep things safe and take care
of our needs. Each person does their part to make sure things run smoothly. How do each of
the different pathways in the Government and Public Administration work together to help?
In this activity, you will create a mind map showing the different pathways that can be found
in the Government & Public Administration cluster. A mind map is a sketch or diagram that
you can design yourself to organize your ideas. It could look like a tree with different
branches or a park with different paths! Whatever you decide, you will put each pathway on a
different spot on your mind map
Under each pathway, you will give one example of a job found in each pathway.
Write a short note beside the job, explaining where you might find this person
List at least one task that they accomplish to keep things running for us.
When you have completed your mind map, take a photo of it and upload to your instructor
Government & Public Admin cluster has paths like Governance, National Security, Planning, etc. Example jobs: Mayor, Governor.
What is the pathways about?They oversee government entities and ensure their proper administration. National Security: Intel Analyst, Diplomat, Military Officer.
They work to protect the country from any form of foreign as well as that of domestic threats. Positions include Ambassador, Consular Officer, and Foreign Service Officer in the Foreign Service.
They promote diplomacy and international relations for their country. They work in urban, regional, and transportation planning. Improve quality of life planners. Tax assessor, revenue agent, budget analyst. They ensure government has funds for services
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Recently, mortgage banking has become the natural method for doing mortgage lending. Within the mortgage lending process, which of the following roles serves as the primary revenue source for mortgage banks? Multiple Choice loan sales loan funding loan commitment loan servicing
Within the mortgage lending process, loan servicing serves as the primary revenue source for mortgage banks. Loan servicing involves collecting and processing mortgage payments, managing escrow accounts, and handling delinquent loans.
Mortgage banks earn revenue from fees charged for servicing the loans, which typically include late payment fees, loan modification fees, and other charges. Loan servicing is a critical aspect of mortgage lending as it helps to ensure that borrowers make timely payments and reduces the risk of defaults. Additionally, mortgage banks may also generate revenue from loan sales, which involve selling mortgages to investors, and loan commitment, which involves the issuance of loan commitments to potential borrowers. However, these revenue sources are typically secondary to loan servicing in terms of their importance to mortgage banks. Overall, mortgage banks rely heavily on loan servicing to generate revenue and maintain profitability in the highly competitive mortgage lending market.
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24. A firm has total assets of $2,000,000. It has $900,000 in long-term debt. The shareholders' equity is $900,000. What is the total debt to asset ratio?
A. 45%
B. 40%
C. 55%
D. 100%
Option C. The total debt-to-asset ratio is a financial metric that helps evaluate a company's financial leverage by comparing its total debt (including both short-term and long-term debt) to its total assets. To calculate this ratio, you need to know the values of total assets and total debt.
In the given problem, the firm has total assets of $2,000,000 and $900,000 in long-term debt. Shareholders' equity is also given as $900,000. To find the total debt, we can use the following equation:
[tex]Total Assets = Total Debt + Shareholders' Equity[/tex]
Using the given values:
$2,000,000 = Total Debt + $900,000
By solving for Total Debt, we get:
Total Debt = $2,000,000 - $900,000 = $1,100,000
Now, we can calculate the total debt-to-asset ratio using the formula:
[tex]Total Debt to Asset Ratio = (Total Debt / Total Assets) x 100[/tex]
Plugging in the values:
Total Debt to Asset Ratio = ($1,100,000 / $2,000,000) x 100 = 0.55 x 100 = 55%
So, the total debt-to-asset ratio is 55%, which corresponds to option C.
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Foreign companies listed on a U.S. stock exchange may use foreign GAAP in preparing the annual report filed with the U.S. Securities and Exchange Commission
Yes, it is possible for foreign companies listed on a U.S. stock exchange to use foreign GAAP (Generally Accepted Accounting Principles) when preparing their annual report filed with the U.S. Securities and Exchange Commission (SEC).
This is because the SEC recognizes that different countries may have their own accounting standards and practices, and therefore allows foreign companies to use their own GAAP as long as they disclose this fact in their annual report. This helps to ensure that investors have access to the most accurate and complete financial information about the company, even if it is prepared using different accounting standards. Ultimately, the goal is to provide transparency and reliability in financial reporting for investors, regardless of where the company is located or how its financial information is presented.
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Yes, it is possible for foreign companies listed on a U.S. stock exchange to use their own country's Generally Accepted Accounting Principles (GAAP) when preparing their annual report filed with the U.S. Securities and Exchange Commission (SEC).
However, they must also include a reconciliation of their financial statements to U.S. GAAP so that investors and regulators can better understand the company's financial performance and make informed decisions. This allows investors to compare the financial performance of foreign companies to U.S. companies on a more level playing field.
Foreign companies listed on a U.S. stock exchange may use foreign GAAP (Generally Accepted Accounting Principles) when preparing their annual report filed with the U.S. Securities and Exchange Commission (SEC). However, these companies must also provide a reconciliation of their financial statements to U.S. GAAP to ensure transparency and comparability for investors in the U.S. market.
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In a two-sided market with network effects, the platform will likely
A. charge a lower price for end users that are more affected by a positve market feedback.
B. charge a higher price for end users that are more affected by a positve market feedback.
C. randomly charge end users.
D. charge a zero price for all end users regardless of the market feedback effects.
The correct option is A, charging a lower price for end-users that are more affected by positive market feedback, is the most likely pricing strategy.
In a two-sided market with network effects, the platform's pricing strategy is critical in determining its success. A two-sided market is one in which the platform connects two or more distinct groups of users, such as buyers and sellers or advertisers and consumers. The platform's value to each group of users depends on the size of the other group, which creates positive network effects. Given the network effects, the platform is likely to charge different prices to different groups of users depending on their sensitivity to network effects. For instance, if the positive network effects are more significant for one group of users than another, the platform may charge a higher price to the more sensitive group. Alternatively, the platform may charge a lower price to the more sensitive group to attract them to the platform and grow the network.
This pricing strategy aligns with the platform's goal of attracting and retaining users to grow the network, which in turn creates more value for all users. Charging a higher price to the more sensitive group of users may lead to reduced demand, which could ultimately harm the platform's network effects and overall success. In conclusion, the pricing strategy in a two-sided market with network effects is crucial, and the platform is likely to charge different prices to different groups of users depending on their sensitivity to network effects. Charging a lower price to the more sensitive group is the most likely pricing strategy to attract and retain users to grow the network and create more value for all users.
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The billing department is not responsible for
a. updating the inventory subsidiary records
b. recording the sale in the sales journal
c. notifying accounts receivable of the sale
d. sending the invoice to the customer
The billing department is not responsible for updating the inventory subsidiary records, recording the sale in the sales journal, notifying accounts receivable of the sale, or sending the invoice to the customer.
These tasks are typically handled by other departments within the company, such as inventory control, accounting, and customer service. The billing department's primary responsibility is to generate accurate invoices and ensure that customers are billed correctly for the products or services they have received. This may involve reviewing purchase orders, verifying pricing and discounts, and reconciling any discrepancies before issuing the final invoice. By focusing on these core responsibilities, the billing department can help to streamline the billing process and improve overall customer satisfaction.
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Required: Briefly explain whether these amounts ($500,000, the $3 peralbum that Lily received prior to the agreement with the third party, andthe $300,000) are assessable income (4 marks).Lily is a famous person who is in the business of being a professionalsinger, and has had many successful past albums. Lily enters into a newagreement with a music company to transfer copyright to them in hernew album, for which she will be given a lump sum of $500,000 and apayment of $3 per album sold.After 6 months of receiving the payment of $3 per album, she entersinto another agreement with a third party. Under the agreement, Lily isentitled to a lump sum of $300,000 in exchange for Lily assigning therights to future payments of $3 per album for the next year. After theyear is over, she would again be entitled to such payments.
The $500,000 payment that Lily received for transferring the copyright to her new album would be considered assessable income as it is a one-time payment for her services as a professional singer.
Similarly, the $300,000 lump sum that she received for assigning the rights to future payments of $3 per album would also be considered assessable income. This is because it is a payment made in exchange for her services and is not a capital receipt.
The $3 per album payment that Lily received prior to the agreement with the third party would also be considered assessable income. This is because it is a payment made in consideration for her services as a professional singer and is not a gift or a capital receipt.
In summary, all three amounts ($500,000, the $3 per album payment, and the $300,000) would be considered assessable income for Lily as a professional singer in the music industry.
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Consider a market in which there are two firms: A and B. Each firm produces a differentiated product and chooses its price Assume that each firm can set price equal to $60 or $70. The payoffs associated with each set of prices are shown If the firms choose price simultaneously, then the Nash equilibrium price for firm A If firm A chooses price first and can commit to that price, then firm A will Firm B's Price is set its price equal to $00 $70 OA. $60, $60 OB. $70, $70 $2700 $2475 $60 OC 570, $60 OD. $60, $70 $2700 $3375 Firm A's Price $3375 $3300 $70 $2475 $3300
The Nash equilibrium price for Firm A is $70, and if Firm A can commit to its chosen price, it will set its price equal to $70. The correct answer is B.
Nash equilibrium occurs when each firm chooses its optimal strategy, given the strategies chosen by other firms.
In this case, we have two firms, A and B, each producing differentiated products and choosing their prices, either $60 or $70.
To find the Nash equilibrium, we analyze each firm's best response to the other firm's choices:
1. If Firm B sets its price at $60, Firm A will prefer to set its price at $70 since it will result in higher payoffs.
2. If Firm B sets its price at $70, Firm A will again prefer to set its price at $70 because it will maximize its payoffs.
Considering these responses, the Nash equilibrium price for Firm A is $70.
Now, if Firm A chooses its price first and can commit to that price, we need to determine the best price for Firm A to set:
1. If Firm A chooses $60, Firm B will set its price at $70 to maximize its payoffs.
2. If Firm A chooses $70, Firm B will set its price at $70 to maximize its payoffs.
In both cases, Firm B sets its price at $70. However, Firm A will prefer to set its price at $70, as it results in higher payoffs compared to setting the price at $60. Therefore, if Firm A can commit to its chosen price, it will set its price equal to $70.
In summary, the Nash equilibrium price for Firm A is $70, and if Firm A can commit to its chosen price, it will set its price equal to $70.
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Consider a market in which there are two firms: A and B. Each firm produces a differentiated product and chooses its price. Assume that each firm can set price equal to $60 or $70. The payoffs associated with each set of prices are shown. If the firms choose price simultaneously, then the Nash equilibrium price for firm A is If firm A chooses price first and can commit to that price, then firm A will set its price equal to
A. $60;$60
B. $70;$70
C. $70;$60
D. $60;$70
Explain the difference between symbolic self and symbolicinteractionism.
The symbolic self is the individual aspect of how a person forms their self-concept using symbols and communication, while symbolic interactionism is a broader sociological theory that explains how social interactions shape individuals and society as a whole.
The symbolic self refers to an individual's perception of themselves and their identity, including their beliefs, values, and personality traits. This self-concept is formed through interactions with others and the society around them.
Symbolic interactionism, on the other hand, is a theoretical framework that explains how individuals interact with each other and the meaning they assign to these interactions. This theory focuses on the role of symbols and language in shaping social interactions and the construction of meaning.
While the symbolic self focuses on an individual's perception of themselves, symbolic interactionism examines how individuals use symbols to communicate and construct shared meanings in social situations. In other words, the symbolic self is a part of symbolic interactionism but is just one aspect of this broader theory.
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Descriptions Terms A risk analysis method in which the most probable future events are identified using a computer simulation Externality This risk is measured by the variability of an asset's expected returns. Incremental cash flows Cash flows expected to be generated or changed by the investment in a capital project. Monte Carlo simulation Political risk A risk analysis method by which to assess the consequences of value changes in key variables on a project's capital budgeting decision. Pure play method Repatriation of earnings An expenditure that the firm has already committed to or made and therefore, is not relevant for a project's acceptance or rejection decision. Sensitivity analysis Stand-alone risk Sunk cost Save & Con Terminal cash flows
These terms are important in understanding and analyzing investment and project risks.
The risk analysis method that identifies the most probable future events using a computer simulation is called the Monte Carlo simulation. This method is useful in assessing the consequences of value changes in key variables on a project's capital budgeting decision. Sensitivity analysis is another risk analysis method that evaluates how changes in a project's variables will affect its outcome.
Stand-alone risk is the risk that an investment or project will fail independently of other investments or projects. This risk is measured by the variability of an asset's expected returns. Incremental cash flows, on the other hand, are the cash flows expected to be generated or changed by the investment in a capital project. Terminal cash flows are the cash flows expected at the end of a project's life.
Political risk refers to the potential losses that a company may suffer as a result of political instability or changes in government policies. Pure play method is a valuation method used to determine the value of a company or project by comparing it to other similar companies or projects in the same industry. Repatriation of earnings refers to the process of bringing foreign earnings back to the home country.
Finally, sunk cost is an expenditure that the firm has already committed to or made and therefore, is not relevant for a project's acceptance or rejection decision. Externality refers to the effects of a project on the environment or society that are not accounted for in its financial analysis.
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Mary purchased one asset – equipment - for her business during the year on January 6, 2021. The asset’s cost was $1,850,000. The property will be depreciated over ten years on a straight-line basis. Assuming Mary makes a Section 179 election, what is her total 179 expense plus depreciation expense on this asset during 2021?$185,000$1,050,000$1,090,000$1,123,000
Mary would therefore incur a Section 179 expense of $1,050,000 on this asset. The asset will depreciate straight-line basis during ten years. The correct number is therefore $1,235,000.
To calculate the depreciation expense, we need to divide the cost of the asset ($1,850,000) by the number of years it will be depreciated over (10). This gives us an annual depreciation expense of $185,000 ($1,850,000/10).
So Mary's total 179 expense plus depreciation expense on this asset during 2021 would be $1,235,000 ($1,050,000 + $185,000).
Therefore, the answer is $1,235,000.
A method of computing depreciation and amortization, or the process of expensing an asset over a longer period than when it was purchased, is known as a straight-line basis. It is computed by dividing the discrepancy between the cost of an item and its anticipated salvage value by the anticipated lifespan of the asset.
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T/F If the assets owned by a business total $150,000 and liabilities total $105,000 stockholders' equity totals $45,000.
The given statement is true. When we talk about the financial position of a business, the accounting equation is a fundamental concept that helps us understand the relationship between a company's assets, liabilities, and stockholders' equity.
In this case, we are given that the total assets owned by a business are $150,000, and the liabilities total $105,000. Using the accounting equation, we can calculate the stockholders' equity, which is the residual claim on assets after all liabilities are paid.
Stockholders' Equity = Assets - Liabilities
Stockholders' Equity = $150,000 - $105,000
Stockholders' Equity = $45,000
Therefore, we can conclude that the total stockholders' equity of the business is $45,000, which represents the amount that shareholders would receive if the company's assets were liquidated and all its debts were paid off.
The statement is true, and it provides us with a basic understanding of the accounting equation and how it is used to determine the financial health of a business.
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T/F understanding total cost opened the door to examining how functional costs interrelate and impact each other.
True, understanding total cost opened the door to examining how functional costs interrelate and impact each other. This allows for more effective cost management and optimization in various business processes.
By examining how functional costs interrelate and impact each other, businesses can identify areas where cost reductions or process improvements may be possible.
For example, by analyzing how production costs and distribution costs are related, a business may be able to identify opportunities to streamline their supply chain and reduce overall costs.
This type of analysis can also help businesses to optimize their operations and improve their bottom line.
By identifying areas where costs are particularly high or where there may be inefficiencies in their processes, businesses can make targeted improvements to reduce costs and improve profitability.
Overall, understanding total cost and how functional costs interrelate is an important part of effective cost management and can help businesses to stay competitive in their industries.
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market values are appropriate to calculate the weight of debt and equity simply because the book values often understates the value of equity of the company. book values do not reflect the intangible assets of the firm like its brand name , goodwill , customer base etc. (True or False)
True. Market values are more appropriate to calculate the weight of debt and equity because they reflect the current market price of the company's assets and liabilities.
while book values are historical and may not reflect the true value of the company's equity. This is especially true for companies with valuable intangible assets such as brand names, goodwill, customer base, and patents, which are not reflected in book values. Therefore, market values provide a more accurate representation of the company's current financial position and are typically used in financial analysis and decision-making. the market value of a company's equity is calculated by multiplying the current market price per share by the number of outstanding shares. In contrast, book values are based on historical cost and may not accurately reflect the current market value of a company's assets and liabilities.
This is especially relevant when valuing companies with significant intangible assets such as brand names, patents, and customer relationships. The book value of these assets may not reflect their true economic value, and therefore, market values are a better measure for assessing a company's overall value and financial performance.
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Which of the following is a critical factor in determining the effective market interest rate for a particular bond issue?
(a) creditworthiness of the issuer
(b) reputation of the trustee who holds the indenture
(c) frequency of scheduled interest payments
The creditworthiness of the issuer is a critical factor in determining the effective market interest rate for a particular bond issue. So, the correct answer is (a) creditworthiness of the issuer
This is because investors assess the risk of default by the issuer and demand a higher interest rate for bonds issued by companies with a lower credit rating. A higher credit rating indicates a lower risk of default, resulting in a lower interest rate being demanded by investors.
The reputation of the trustee who holds the indenture and the frequency of scheduled interest payments can also affect the bond's market interest rate, but these factors are not as critical as the creditworthiness of the issuer. A reputable trustee can provide investors with a sense of security, but it does not directly impact the risk of default by the issuer.
Similarly, while the frequency of interest payments can affect the attractiveness of a bond to investors, it does not fundamentally alter the risk of default by the issuer. Overall, the creditworthiness of the issuer is the most important factor in determining the effective market interest rate for a particular bond issue.
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Management of the Sandhill Company would like the Food Division to transfer 10900 cans of its final product to the Restaurant Division for $75. The Food Division sells the product to customers for $230 per unit. The Food Division's variable cost per unit is $55 and its fixed cost per unit is $20. The Food Division is currently operating at full capacity. What is the minimum transfer price the Food Division should accept? $75 $55 O $230 O $20
The minimum transfer price the Food Division should accept is $230, which is the price at which they sell the product to customers. The Food Division should not accept a transfer price lower than their selling price as it would result in a loss for the company.
To understand this, let's calculate the contribution margin of the product. Contribution margin is the difference between the selling price and the variable cost per unit. In this case, the contribution margin is $230 - $55 = $175.
Since the Food Division is currently operating at full capacity, the contribution margin is the best measure of the profit earned on each unit. Therefore, to maintain the same level of profitability, the minimum transfer price should be equal to the contribution margin, which is $175.
However, the Restaurant Division is offering a transfer price of $75, which is much lower than the minimum transfer price the Food Division should accept. If the Food Division agrees to transfer the product at $75, it would result in a loss of $100 per unit, which is the difference between the selling price and the transfer price.
Therefore, the Food Division should not accept the transfer price of $75 and negotiate with the Restaurant Division to increase the price to at least $175 to maintain profitability.Thus, the right answers is option C i.e. $230.
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3. Proper orientation programs can:
A. increase employee turnover.
B. develop clear job expectations.
C. increase a new employee's level of cognitive dissonance.
D. cause increased grievances later on.
E. cause a reduction in new employee morale and satisfaction.
Orientation programs are vital in the onboarding process, and they can help to develop clear job expectations, reduce cognitive dissonance, and increase new employee morale and satisfaction. Therefore, organizations should invest in well-structured and comprehensive orientation programs to ensure that their new hires have a successful start in their new roles.
Proper orientation programs are an essential component of the onboarding process for new employees. Such programs are designed to provide the new hires with the necessary information, training, and support to be successful in their roles. The benefits of orientation programs include developing clear job expectations, reducing the new employee's level of cognitive dissonance, and increasing their morale and satisfaction.
Orientation programs that are well-structured and provide relevant information to the new employees can help to clarify their roles, responsibilities, and goals. This, in turn, can help to establish clear job expectations, which can reduce confusion, errors, and misunderstandings. Moreover, orientation programs can provide new hires with a sense of belonging and support, which can increase their morale and job satisfaction.
Proper orientation programs can also help to reduce cognitive dissonance among new employees. This is because such programs provide them with a better understanding of the company's culture, values, and expectations. When new hires have a clear idea of what is expected of them, they are less likely to experience conflicting thoughts and emotions, which can affect their performance and well-being.
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6 Corruption so often makes the headlines that you could forget the majority of people are in fact decent, ..... citizens.
Despite the frequent coverage of corruption in the media, the majority of people are actually good and honest citizens.
This can be seen through the many examples of individuals and communities that work towards positive change and contribute to the betterment of society.
Corruption, while a pervasive problem, does not represent the entirety of human behavior or societal values. It is important to recognize and highlight the good that exists alongside the bad. We should strive to promote and encourage the positive actions of individuals and communities, and work towards creating a society that reflects the best of human nature.
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1) Consider that company X issued convertiblebonds with a nominal value of EUR 1000, currently quoted in themarket at EUR 950, which may be converted in 100 common shares atany time after issue. Th e coupon rate is 7%, with coupons paid once every year. That bond matures in 10 years time. Considering its level of credit risk, the yield to maturity applicable to that bond is 12%. At this moment, the market quote for the respective common shares is EUR 7, whereas their quote was 9 at the time of issue. Considering these conditions, answer the following questions:a) Calculate the conversion value of this bond.b) Calculate the conversion price.c) Calculate the conversion premium for those that buy in the secondary market.d) Explain whether the bond is currently in-the-money, out-of-the-money or at-the money
a) The conversion value of the bond is EUR 700.
b) The conversion price is EUR 10/share.
c) The conversion premium for those that buy in the secondary market is 35.71%.
d) The bond is currently out-of-the-money.
Let's analyze the situation step-by-step:
a) Calculate the conversion value of this bond.
The conversion value is the current market value of the shares if the bond is converted into shares. To find the conversion value, multiply the number of shares the bond can be converted into (100 shares) by the current market price of the shares (EUR 7).
Conversion value = 100 shares * EUR 7/share = EUR 700
b) Calculate the conversion price.
The conversion price is the nominal value of the bond divided by the number of shares it can be converted into.
Conversion price = EUR 1000 / 100 shares = EUR 10/share
c) Calculate the conversion premium for those that buy in the secondary market.
The conversion premium is the difference between the market price of the bond (EUR 950) and the conversion value (EUR 700) divided by the conversion value.
Conversion premium = (EUR 950 - EUR 700) / EUR 700 = 0.3571, or 35.71%
d) Explain whether the bond is currently in-the-money, out-of-the-money, or at-the money.
A bond is in-the-money if the conversion value is greater than the market price of the bond, out-of-the-money if the conversion value is less than the market price, and at-the-money if they are equal.
In this case, the conversion value (EUR 700) is less than the market price (EUR 950), so the bond is out-of-the-money.
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generally, when preferences for a good rise, demand for the good rises. if a perfectly competitive market starts in long-run equilibrium, holding all else constant, this will result in a higher market price, which will lead to in the industry and the market. this causes price to . economic losses; causes some firms to leave; rise further economic losses; attracts new firms into; fall positive economic profits; causes some firms to leave; rise further positive economic profits; attracts new firms into; fall
In a perfectly competitive market starting in long-run equilibrium, when preferences for a good rise, demand for the good rises. Holding all else constant, this will result in a higher market price, which will lead to positive economic profits in the industry and attract new firms into the market. This causes the price to fall. Therefore, the correct option is D.
When demand for a good increases, the market price will rise, allowing firms to earn positive economic profits. In a perfectly competitive market, these profits attract new firms to enter the industry. As more firms enter the market, the increased competition will drive the market price down, eventually bringing the industry back to long-run equilibrium with zero economic profits.
Therefore, the correct answer is D) positive economic profits; attracts new firms into; fall.
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On March 1, 2022, Sunland Company acquired real estate, on which it planned to construct a small office building, by paying $84,000 in cash. An old warehouse on the property was demolished at a cost of $9,000; the salvaged materials were sold for $1,860. Additional expenditures before construction began included $1,360 attorney's fee for work concerning the land purchase, $4,900 real estate broker's fee, $8,860 architect's fee, and $14,800 to put in driveways and a parking lot. (a) Determine the amount to be reported as the cost of the land. Cost of land
The amount to be reported as the cost of the land is $43,220.
The cost of the land can be calculated as follows:
Purchase price of land = $84,000
Less: Proceeds from sale of salvaged materials = -$1,860Less: Demolition cost = -$9,000Less: Attorney's fee = -$1,360Less: Real estate broker's fee = -$4,900Less: Architect's fee = -$8,860Less: Cost of driveways and parking lot = -$14,800Cost of land = $84,000 - $1,860 - $9,000 - $1,360 - $4,900 - $8,860 - $14,800
Cost of land = $43,220
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A rancher raises alpaca. Once a year, he shears them and sells the raw wool to a processor who spins it into yarn. The yam is then sold to a mill which produces and sells alpaca sweaters. In calculating GDP we would count
a. only the sweaters. b. only the yarn and the sweaters. c. only the raw wool and the yam d. the raw wool, the yam and the sweaters.
In calculating GDP, we count the final value of all goods and services produced within a country in a given period of time. Here, we would count the final value of the alpaca sweaters produced by the mill.
This is because GDP or gross domestic product avoids double counting by only including the final value of goods and services, rather than intermediate stages of production like the raw wool and yarn. This means that we would choose option a, only the sweaters, as the correct answer. The value of the raw wool and the yarn would already be included in the final value of the sweaters, as they were used in the production process.
It's important to note that GDP only counts the value of final goods and services, not intermediate goods like the raw wool and the yarn.
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In calculating GDP, we consider the market value of all final goods and services produced within a country in a given period of time.
In this scenario, the alpaca sweaters are the final goods, as they are the end product made from the raw wool and yarn. The raw wool and yarn are intermediate goods because they are used to produce the final goods, which are the sweaters.
Therefore, when calculating GDP, we would count only the sweaters (option a). Including the raw wool and yarn would lead to double counting since their value is already incorporated in the final price of the sweaters. This approach ensures that GDP accurately measures the value of goods and services produced within the economy, avoiding overestimation due to the inclusion of intermediate goods.
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suppose the federal reserve sets the reserve requirement at 14%, banks hold no excess reserves, and no additional currency is held. instructions: in part a, round your answer to one decimal place. in parts b and c, enter your answers as a whole number. if you are entering a negative number include a minus sign. a. what is the money multiplier? 7.1 b. how much will the total money supply change by if the federal reserve changes reserves by -$70 million? $ -500 million suppose the federal reserve wants to decrease the total money supply by $400 million. c. how much should the federal reserve change reserves to achieve this goal? $ million
The Federal Reserve should change reserves by: approximately -$56.3 million to achieve the goal of decreasing the total money supply by $400 million.
a. To calculate the money multiplier, use the formula Money Multiplier = 1 / Reserve Requirement. In this case, the reserve requirement is set at 14%, so the money multiplier is:
Money Multiplier = 1 / 0.14 = 7.1 (rounded to one decimal place)
b. To find the change in the total money supply when the Federal Reserve changes reserves by -$70 million, multiply the change in reserves by the money multiplier:
Total Money Supply Change = Money Multiplier x Change in Reserves = 7.1 x (-$70 million) = -$497 million (rounded to a whole number)
c. To decrease the total money supply by $400 million, divide the desired decrease by the money multiplier and find the necessary change in reserves:
Change in Reserves = Desired Decrease / Money Multiplier = -$400 million / 7.1 ≈ -$56.3 million
Therefore, the Federal Reserve should change reserves by approximately -$56.3 million to achieve the goal of decreasing the total money supply by $400 million.
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Complete question:
suppose the federal reserve sets the reserve requirement at 14%, banks hold no excess reserves, and no additional currency is held. instructions: in part a, round your answer to one decimal place. in parts b and c, enter your answers as a whole number. if you are entering a negative number include a minus sign.
a. what is the money multiplier?
b. how much will the total money supply change by if the federal reserve changes reserves by -$70 million? $ -500 million suppose the federal reserve wants to decrease the total money supply by $400 million.
c. how much should the federal reserve change reserves to achieve this goal? $ million
The standard deviation of the sample mean is equal to 1) The population variance 2) The sample variance 3) The sample error O 4) Question 10 (1 point) A local retail company found a sample mean of $1,000 using a sample size of 100. What is the 90% confidence level for the estimated mean if the estimated standard deviation of $20? Assume the t value is 1.65. 1) $996.7 to $1,003.3 O2) $992.5 to $1,008.5 3) $1,000.0 to $1,006.6 4) $996.0 to $1,004.0
The correct option is (Option 1).
To find the 90% confidence interval for the estimated mean with a sample mean of $1,000, a sample size of 100, and an estimated standard deviation of $20, we will use the following formula:
Confidence Interval = Sample Mean ± (t-value * (Standard Deviation / √Sample Size))
1) Plug in the given values:
Confidence Interval = $1,000 ± (1.65 * ($20 / √100))
2) Simplify the equation:
Confidence Interval = $1,000 ± (1.65 * ($20 / 10))
3) Calculate the result:
Confidence Interval = $1,000 ± (1.65 * $2)
4) Multiply 1.65 by $2:
Confidence Interval = $1,000 ± $3.3
5) Calculate the lower and upper bounds of the confidence interval:
Lower Bound = $1,000 - $3.3 = $996.7
Upper Bound = $1,000 + $3.3 = $1,003.3
So, the 90% confidence level for the estimated mean is $996.7 to $1,003.3 (Option 1).
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128. An organization that plans to change its strategy should allocate funds for training. True False
True.When an organization plans to change its strategy, it is important to ensure that its employees have the necessary skills and knowledge to effectively implement the new strategy.
This often requires training and development programs to help employees acquire new skills, learn new processes, and adapt to new ways of working.Allocating funds for training is a necessary step to ensure that employees have the resources they need to learn and grow within the organization. Without adequate training, employees may struggle to understand the new strategy, which could lead to confusion and a lack of motivation. In addition, employees who do not feel adequately prepared to implement a new strategy may become frustrated and may be more likely to resist the changes, which could undermine the success of the organization's efforts.
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when preparing a market analysis, several factors can be used for comparability. which of these would be a good factor to use?
When preparing a market analysis, several factors can be used for comparability.
A good factor to use in this context would be the location of the properties being compared.
Step 1: Identify the target property and potential comparable properties.
Start by identifying the property you want to analyze and a list of potential comparable properties in the market. This can be done by searching property listings,
consulting local real estate agents, or using online tools.
Step 2: Evaluate the location of each property.
The location is a crucial factor because properties in the same area often share similar characteristics, such as amenities, neighborhood quality, and accessibility to transportation.
Evaluate the locations of each property by considering their proximity to schools, shopping centers, parks, and other essential facilities.
Step 3: Compare the physical characteristics of the properties.
Physical characteristics include property size, age, architectural style, number of rooms, and the overall condition of the property.
Analyze these factors and compare them between the target property and the comparable properties.
Step 4: Review the financial aspects of each property.
Examine the sale prices, rent rates, and financing terms of each property. Compare these figures to identify trends and potential differences between the target property and the comparables.
Step 5: Analyze the market conditions.
Consider the overall market conditions, such as supply and demand, and any fluctuations in property prices over time.
This will provide a better understanding of how the target property compares to others in the market.
In conclusion, when preparing a market analysis, several factors can be used for comparability. A good factor to use is the location of the properties being compared,
as it greatly impacts property values and characteristics. By evaluating the location, physical characteristics, financial aspects, and market conditions,
you can effectively compare properties and make informed decisions.
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select from the list below the two basic ethical ideas underpinning the caux principles. kyosei and _____.
universalism human dignity
honesty
integrity
commitment
economic growth
relativism
The two basic ethical ideas underpinning the Caux Principles are kyosei and relativism.
Kyosei refers to the concept of living and working together for the common good, promoting sustainable development, and creating a peaceful and just society.
It emphasizes the importance of collaboration and mutual understanding between individuals, organizations, and nations.
Relativism, on the other hand, recognizes that ethical values and principles are relative and context-dependent. It acknowledges that there is no single ethical standard that applies to all situations, and that ethical decisions should be made based on the specific circumstances and cultural norms of the situation at hand.
Together, kyosei and relativism form the foundation for the Caux Principles, which aim to promote ethical and responsible business practices.
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When a company produces and sells multiple products
- each product most likely has a contribution margin
- a change in the sales mix will most likely change the break even point
- each product most likely creates a unique total of fixed costs
When a company produces and sells multiple products, each product most likely has a contribution margin that reflects the difference between the product's price and variable costs.
This means that the company's profitability is influenced not just by the total number of products sold, but also by the sales mix of those products. A change in the sales mix will most likely change the break even point, which is the level of sales at which the company earns enough revenue to cover its fixed and variable costs. Each product most likely creates a unique total of fixed costs, such as expenses for marketing, research and development, and equipment. Understanding the contribution margin and fixed costs associated with each product can help the company make informed decisions about pricing, marketing, and production.
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