before year-end adjusting entries, what would explain the allowance for uncollectible accounts having a credit balance? select one: a. the amount of credit sales in the current year was greater than the amount of credit sales made in the prior year. b. the amount of actual uncollectible accounts in the current year was greater than the estimate of uncollectible accounts made at the end of the prior year. c. the amount of cash collections from customers in the current year was less the amount of cash collections from customers in the prior year. d. the amount of actual uncollectible accounts in the current year was less than the estimate of uncollectible accounts made at the end of the prior year.

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Answer 1

Before year-end adjusting entries, the allowance for uncollectible accounts having a credit balance can be explained by option D: The amount of actual uncollectible accounts in the current year was less than the estimate of uncollectible accounts made at the end of the prior year.

The allowance for uncollectible accounts has a credit balance because the actual uncollectible accounts in the current year were less than the estimate of uncollectible accounts made at the end of the prior year. This means that the company did not need to write off as many bad debts as expected and therefore, the allowance for uncollectible accounts has a credit balance. This credit balance represents the amount that the company overestimated the uncollectible accounts and is used to offset future bad debts.

The correct answer is D.

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Related Questions

While warrants share several characteristics with a call option,
there are two major reasons they can't be valued with a standard
Black-Scholes Options Pricing Model. Explain one of these two
reasons.

Answers

One reason why warrants share characteristics with call options is that they both allow the holder to purchase a security at a specific price within a set timeframe. The Black-Scholes Options Pricing Model can be used to value both warrants and call options.

This model takes into account factors such as the current stock price, strike price, time to expiration, volatility, and risk-free interest rate to determine the fair value of the option or warrant. By using this model, investors can make more informed decisions about whether to buy or sell these types of securities.

Overall, understanding the similarities between warrants and call options, as well as the Black-Scholes model, can help investors navigate the world of options trading more effectively.

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Your broker charges $0.0017 per share per trade. The exchange charges $0.0101 per share per trade for removing liquidity and credits $0.0083 per share per trade for adding liquidity. The current best BID price for stock XYZ is $69.45 per share, while the current best ASK price is $69.46 per share. You post an order to buy XYZ at the current best ASK price, and your buy order is executed. Shortly after, the best BID and ASK prices move lower (down) by one cent each. Immediately, you post an order to sell XYZ at the new best BID price, and your sell order is executed. What will be your net loss per share to buy and sell XYZ after considering the commissions and any exchange fees or credits? $0.0425 $0.0436 $0.0447 $0.0458 $0.0469

Answers

The net loss per share to buy and sell XYZ after considering the commissions and any exchange fees or credits is $0.0425

To calculate the net loss per share, we need to consider the following costs:
- Brokerage fee: $0.0017 per share per trade
- Exchange fee for removing liquidity: $0.0101 per share per trade
- Exchange credit for adding liquidity: $0.0083 per share per trade

For the buy order, we are buying at the best ASK price of $69.46 per share. Including the brokerage fee, our cost per share would be $69.4617 = $69.4617.

For the sell order, we are selling at the new best BID price of $69.44 per share (since the best BID and ASK prices moved down by one cent each). Including the brokerage fee and exchange fees/credits, our revenue per share would be $69.4406 - $0.0101 - $0.0083 - $0.0017 = $69.4205.

Therefore, our net loss per share would be the difference between our cost per share and revenue per share, which is $69.4617 - $69.4205 = $0.0425.

Therefore, the answer to the question is $0.0425.

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You are given two loans, with each loan to be repaid by a single payment in the future. Each payment includes both principal and interest. The first loan is repaid by a 1600 payment at the end of 3 years. The interest is accrued at 6% per annum compounded semiannually. The second loan is repaid by a 2600 payment at the end of 7 years. The interest is accrued at 9% per annum compounded semiannually. The two loans are to be consolidated. The consolidated loan is to be repaid by two equal installments of X, with interest at 13% per annum compounded semiannually. The first payment is due immediately and the second payment is due one year from now. Calculate X

Answers

For the first loan, the present value of the 1600 payment at the end of 3 years can be calculated as:

PV1 = 1600 / (1 + 0.06/2)^(3*2) = 1335.82

For the second loan, the present value of the 2600 payment at the end of 7 years can be calculated as:

PV2 = 2600 / (1 + 0.09/2)^(7*2) = 1558.13

To find the total present value of the two loans, we add the present values of each loan:

PV = PV1 + PV2 = 1335.82 + 1558.13 = 2893.95

To find the value of X that will pay off the consolidated loan, we need to solve for X in the equation:

PV = X / (1 + 0.13/2)^1 + X / (1 + 0.13/2)^2

We can simplify this equation by factoring out X:

PV = X * [1/(1 + 0.13/2)^1 + 1/(1 + 0.13/2)^2]

PV = X * [0.9345794 + 0.8734382]

PV = X * 1.8080176

Solving for X, we get:

X = PV / 1.8080176 = 2893.95 / 1.8080176 = 1600.00

Therefore, the two equal installments of X that will pay off the consolidated loan are $1600 each.

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Your internet service company has been approached by investment bankers who suggest you take your company public. Where would the initial IPO price for your company be set?
Select an answer:
at your industry's P/E ratio times your prior year's earnings
at the price other companies in your industry used for their IPOs
at your estimate of your company's growth potential times your prior year's earnings
at your industry's P/E ratio divided by your prior year's earnings

Answers

The initial IPO price for a company in the internet service industry is largely influenced by the pricing of similar IPOs in the industry, as the market tends to price IPOs based on the performance of similar companies in the same industry.

What factors influence the initial IPO price for a company in the internet service industry?

The initial IPO price for the internet service company would most likely be set at the price other companies in the industry used for their IPOs.

This is because the market tends to price IPOs based on the performance of similar companies in the same industry.

While growth potential and earnings may also be taken into consideration, the pricing is largely influenced by the market demand and investor sentiment towards the industry as a whole.

Therefore, it is important for the internet service company to research and analyze the pricing of similar IPOs in the industry before determining the initial IPO price for their company.

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you have a portfolio which is comprised of 60% of stock a and 40% of stock b. what is the expected rate of return on this portfolio? state prob a b boom .20 15 % 9 % normal .80 8 % 20 % multiple choice 12.76% 12.88% 13.44% 13.56% 13.85%

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The expected rate of return on the given portfolio is 12%. Option (a) 12.76% is the closest answer.

To work out the normal pace of return on the given portfolio, we want to utilize the weighted normal of the normal returns of the two stocks, involving their separate loads in the portfolio.

Weighted normal anticipated return = (Weight of stock A * Expected return of stock A) + (Weight of stock B * Anticipated return of stock B)

Subbing the given qualities, we get:

Weighted normal anticipated return = (0.6 * 0.15) + (0.4 * 0.20)

= 0.09 + 0.08

= 0.17 or 17%

Be that as it may, we additionally have the probabilities of the two stocks performing contrastingly on the lookout. In the event of a blast, the normal returns of the two stocks are 15% and 9% separately, while in a typical situation, they are 8% and 20% individually.

To integrate these probabilities, we want to find the weighted normal of the normal returns in light of the probabilities of a blast and a typical market.

Weighted normal anticipated return = (Blast likelihood * Weighted normal anticipated return in blast)

+ (Ordinary likelihood * Weighted normal anticipated return in typical)

Subbing the given qualities, we get:

Weighted normal anticipated return = (0.20 * ((0.6 * 0.15) + (0.4 * 0.09)))

+ (0.80 * ((0.6 * 0.08) + (0.4 * 0.20)))

= 0.12 or 12%

In this manner, the normal pace of return on the given portfolio is 12%, which is nearest to the choice (a) 12.76%.

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if a small construction company is hired to build a private school, what facility layout would likely be used?

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If a small construction company is hired to build a private school, it is likely that a functional facility layout would be used.

In a functional layout, equipment and processes are grouped together based on their function, which allows for efficient use of space and equipment. This layout is commonly used in construction projects where a specific function or task is being performed, such as building a school where specific areas for classrooms, offices, gymnasiums, and other functions need to be constructed.

In a functional layout, the equipment and personnel are arranged to optimize the flow of materials and people, which can help to minimize the time and cost of completing the project while ensuring that the final product meets the needs of the customer.

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Income generated from the Toyota factory in Kentucky is counted as A. GNP in the U.S. and GDP in Japan B. GNP in the U.S. and Japan C. GDP in the U.S. and Japan D. GDP in the U.S. and GNP in Japan T

Answers

Income generated from the Toyota factory in Kentucky is counted as D. GDP in the U.S. and GNP in Japan.

To understand this answer, let's define the terms Gross Domestic Product (GDP) and Gross National Product (GNP):

1. GDP: It measures the total value of goods and services produced within a country's borders during a specific period, regardless of the ownership of the production factors. It reflects the overall economic activity of a country.

2. GNP: It measures the total value of goods and services produced by a country's residents, both domestically and internationally, during a specific period. It takes into account the ownership of the production factors, regardless of their location.

Now, let's break down the answer:

- The Toyota factory is located in Kentucky, which is in the United States. Therefore, the income generated from this factory contributes to the overall economic activity within the U.S. borders, making it a part of the U.S. GDP.

- Toyota is a Japanese company, and the income generated by the factory in Kentucky is considered as income generated by Japanese residents (the company's shareholders). Therefore, this income is included in Japan's GNP, as it represents income generated by Japanese-owned factors of production, even if they are located outside of Japan.

In conclusion, the income generated from the Toyota factory in Kentucky is counted as GDP in the U.S. and GNP in Japan because it reflects the economic activity within the U.S. borders and the income generated by Japanese residents (Toyota).

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many current liabilities on the balance sheet, such as accounts payable, accrued wages and deferred revenue, have a direct relationship to

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Many current liabilities on the balance sheet, such as accounts payable, accrued wages, and deferred revenue, have a direct relationship to a company's operating activities.

These liabilities represent short-term financial obligations that need to be settled within one year or within the company's normal operating cycle. They are crucial in managing cash flow and ensuring the business can meet its financial obligations.

Accounts Payable: Accounts payable represents the amount owed by a company to its suppliers for goods or services that have been received but not yet paid for. It typically arises from the purchase of inventory, raw materials, or other goods and services that are used in the production process or for resale.

Managing accounts payable is crucial for managing cash flow, as it allows a company to defer payments to suppliers while maintaining a good relationship with them.

Accrued Wages: Accrued wages represent the amount owed by a company to its employees for work that has been performed but not yet paid for. It includes wages, salaries, bonuses, and other employee benefits that have been earned but not yet paid out.

Accrued wages are important in managing the company's cash flow and ensuring that employee compensation obligations are met in a timely manner.

Deferred Revenue: Deferred revenue represents the amount received by a company from customers for goods or services that have been sold but not yet delivered or earned. It arises when a company receives payment in advance for products or services that will be delivered or performed in the future.

Deferred revenue is a liability because the company has an obligation to deliver the goods or services as promised. Managing deferred revenue is important in ensuring that the company fulfills its contractual obligations to customers and recognizes revenue appropriately over time.

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sustainable development goals (sdgs) are addressed to a. governments and businesses b. governments rather than businesses c. ngos d. foreign investors

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The sustainable development goals are addressed to governments and business.

The sustainable development goals (SDGs) are primarily addressed to governments and businesses. While NGOs and foreign investors can certainly play a role in supporting the achievement of the SDGs, it is ultimately up to governments and businesses to implement policies and practices that prioritize sustainable development. Therefore, option a, governments and businesses, is the most accurate answer.

SDGs refer to the United Nations Sustainable Development Goals, a set of 17 global goals to address social, economic, and environmental challenges by 2030.

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in contrast to residual income (ri), economic value added (eva) uses: a. the firm's minimum rate of return instead of its cost of capital b. the firm's cost of capital instead of its minimum rate of return c. a required rate of return d. values determined by using conventional accounting policies e. only economic measures, not accounting data.

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In contrast to residual income (RI), economic value added (EVA) uses the firm's cost of capital instead of its minimum rate of return. Residual income is the amount of income left after all expenses have been deducted, while economic value added measures the value created by a company's activities by considering its cost of capital.

RI calculates the income generated above a predetermined minimum rate, which is set by management. On the other hand, EVA calculates the value generated by taking into account the company's cost of capital. The cost of capital is the return expected by investors who provide financing to the company.

EVA uses the firm's cost of capital because it represents the opportunity cost of investing in the company. By comparing the firm's return on invested capital with its cost of capital,

EVA determines if the company is creating or destroying value for its investors. If the company's return on invested capital is higher than the cost of capital, it is generating positive EVA and thus creating value.

Conventional accounting policies are not primarily used in EVA calculations, as EVA focuses on economic measures rather than accounting data. EVA adjusts financial statements to remove distortions caused by accounting practices and better reflects the economic reality of the company.

In summary, the key difference between RI and EVA is that EVA uses the firm's cost of capital instead of its minimum rate of return. EVA provides a better understanding of the value created by a company, taking into account the opportunity cost of investing in it, while also using economic measures instead of conventional accounting policies.

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assume a company is considering adding a new product. the expected cost and revenue data for this product are as follows: annual sales 5,000 units unit selling price $ 60 unit variable costs: production $ 29.90 selling $ 6 incremental fixed costs per year: production $ 35,000 selling $ 45,000 if the company adds this new product, it expects the contribution margin of other product lines to drop by $18,500 per year. what is the lowest price the company could charge and still break-even on the new product? multiple choice $39.60 $51.90 $40.60 $55.60

Answers

The lowest price the company could charge and still break-even on the new product is C. 40.60$.

Hence, option c. is the right choice.

Which firm were you referring to?

A group of people can get together to create a corporation, which is a legal body used to conduct business and run industrial or commercial enterprises. According to the corporate legislation of its jurisdiction, a corporation may be set up in a variety of ways for tax and financial liability reasons.

An organisation type is what?

The sole proprietorship, partnership, corporation, and S corporation are the four types of businesses that are most prevalent. According to state law, businesses may be organised as Limited Liability Companies (LLCs). The decision of a corporate structure is influenced by legal and tax factors.

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in an organization, the functional level is made up of ________, which provide specific and focused strategic direction. multiple choice question.

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In an organization, the functional level is made up of departments or units, which provide specific and focused strategic direction. These departments or units are responsible for carrying out specific tasks or functions within the organization.

They may include departments such as marketing, finance, human resources, operations, and information technology. Each of these departments has a specific set of responsibilities and plays a critical role in achieving the organization's overall goals and objectives.
The functional level is important because it allows organizations to specialize in different areas and ensure that each area is focused on achieving specific goals. This level is also critical because it ensures that each department is aligned with the overall strategy of the organization. This alignment helps to ensure that resources are used efficiently and that everyone is working towards a common goal.
In summary, the functional level is made up of departments or units that provide specific and focused strategic direction. These departments are critical to the success of an organization, as they help to ensure that resources are used efficiently and that everyone is working towards a common goal.

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a portfolio has a standard deviation of 15.1%, a beta of 1.12, and a treynor ratio of .085. the risk-free rate is 2.2%. what is the portfolio's expected rate of return? multiple choice 10.83% 11.38% 11.72% 12.41% 12.56%

Answers

The portfolio's expected rate of return is 11.38%.

The formula for calculating the expected rate of return of a portfolio is:
xpected return = risk-free rate + beta * (market return - risk-free rate)
To use this formula, we need to know the market return. Unfortunately, it's not provided in the question. However, we can use the Treynor ratio to estimate it:
Treynor ratio = (portfolio return - risk-free rate)beta.

0.085 = (portfolio return - 2.2%) / 1.12
Portfolio return - 2.2% = 0.085 * 1.12 = 0.0952
Portfolio return = 2.2% + 0.0952 = 11.52%
Therefore, the closest answer choice is 11.38%.

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an individual who exercises for a short time to lose weight for a class reunion and then quits following the event would be considered to have what type of motivation?

Answers

The individual in this example would be considered to have extrinsic motivation. This type of motivation is externally driven and is often driven by rewards or punishments.

In this case, the individual was motivated by the reward of looking good for the class reunion, and ceased their exercise routine once the event was over, thus indicating extrinsic motivation.

This type of motivation is often short-term, as the individual is not motivated by internal factors such as the enjoyment of the activity, but rather external factors, such as the rewards they will receive.

Extrinsic motivation is often beneficial in the short-term, as it can help provide with an individual with the necessary motivation to achieve their goals. However, it is often not sustainable in the long-term, as motivation can quickly wane when external factors are removed.

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Lohn Corporation is expected to pay the following dividends over the next four years: $12, $8. $4, and $3. Afterward, the company pledges to maintain a constant 7 percent growth rate in dividends forever. If the required return on the stock is 12 percent, what is the current share price? Multiple Choice A. $68.27 B. $62.65 C. $64.53 D. $59.51 E. $61.24

Answers

Lohn Corporation's current share price is $62.65. Therefore, the correct option is B.

To find the current share price of Lohn Corporation, we need to calculate the present value of the dividends for the next four years and the present value of the dividends growing at a constant 7 percent rate forever after the fourth year. We are given the required return on the stock as 12 percent.

In order to determine the the current share price, follow these steps:

1: Calculate the present value of dividends for the first four years:

PV₁ = D₁ / (1 + r)^1 = $12 / (1 + 0.12)^1 = $10.71
PV₂ = D₂ / (1 + r)^2 = $8 / (1 + 0.12)^2 = $6.36
PV₃ = D₃ / (1 + r)^3 = $4 / (1 + 0.12)^3 = $2.82
PV₄ = D₄ / (1 + r)^4 = $3 / (1 + 0.12)^4 = $1.92

2: Calculate the dividend in year 5, which is the first year of constant growth:

D₅ = D₄ * (1 + g) = $3 * (1 + 0.07) = $3.21

3: Calculate the present value of dividends growing at a constant 7 percent rate forever, starting from year 5, using the Gordon growth model:

PV_Growth = D₅ / (r - g) = $3.21 / (0.12 - 0.07) = $64.20

4: Calculate the present value of the constant growth dividends at the end of year 4:

PV_Growth_Year4 = PV_Growth / (1 + r)^4 = $64.20 / (1 + 0.12)^4 = $41.18

5: Calculate the current share price by adding the present values of all dividends:

Share_Price = PV₁ + PV₂ + PV₃ + PV₄ + PV_Growth_Year4 = $10.71 + $6.36 + $2.82 + $1.92 + $41.18 ≈ $62.65

The current share price is option B: $62.65.

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if 1,420 hours are worked in a month, total utility cost (rounded to the nearest dollar) using the high-low method should be group of answer choices

Answers

Using the high-low method, the total utility cost for 1,420 hours worked in a month should be approximately $7,680 (rounded to the nearest dollar).

How to calculate total utility cost

Using the high-low method, we can estimate the total utility cost for 1,420 hours worked in a month.

The high-low method requires two data points: the highest and lowest levels of activity and their respective costs.

Since you didn't provide these data points, I'll use generic values to explain the concept.

Let's assume:

- Highest activity level:

2,000 hours, with a total cost of $10,000

- Lowest activity level:

1,000 hours, with a total cost of $6,000

First, find the variable cost per hour:

Variable cost per hour = (High cost - Low cost) / (High activity - Low activity) = ($10,000 - $6,000) / (2,000 hours - 1,000 hours) = $4,000 / 1,000 hours = $4/hour

Next, find the fixed cost:

Fixed cost = High cost - (Variable cost per hour x High activity) = $10,000 - ($4/hour x 2,000 hours) = $10,000 - $8,000 = $2,000

Now, estimate the total utility cost for 1,420 hours:

Total utility cost = Fixed cost + (Variable cost per hour x 1,420 hours) = $2,000 + ($4/hour x 1,420 hours) = $2,000 + $5,680 = $7,680

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Your withholdings selections allow you to choose how much money your employer takes out of your paycheck for income taxes. example

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When you start a new job, your employer will ask you to complete a W-4 form. This form asks you to choose how much money you want your employer to withhold from your paycheck for federal income taxes.

There are several factors that can impact your withholding selections, including your filing status, number of dependents, and other sources of income. To help you determine the right amount to withhold, the IRS provides a withholding calculator on their website.

It's important to note that while choosing to withhold more money can mean a larger refund at tax time, it also means you'll have less in your paycheck each pay period. On the other hand, choosing to withhold less can result in a bigger paycheck throughout the year, but may mean you owe taxes when you file your return. It's important to find the balance that works best for your financial situation.

the component of an hrm system that gives managers the information they need to make decisions about how to train, motivate, and reward organizational members is known as

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The component of an HRM system that gives managers the information they need to make decisions about how to train, motivate, and reward organizational members is known as the performance management system.

The performance management system is a process by which managers and employees work together to plan, monitor, and review an employee's work objectives and overall contribution to the organization. This system involves setting performance expectations, providing feedback on performance, identifying development needs, and providing recognition and rewards for good performance.

The performance management system provides managers with data and information about employee performance, which they can use to make informed decisions about how to develop and reward employees. It also helps to align individual performance with organizational goals and objectives, and to ensure that employees have the skills and knowledge they need to perform their jobs effectively. In summary, the performance management system is an essential component of an HRM system that helps managers to effectively manage employee performance and support organizational success.

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The salary used in the benefit formula for a defined-benefit (DB) plan could be your a. highest salary b. All of the choices are correct. c. average of the salary in three to five of your highest-salary years.
d. final salary

Answers

The salary used in the benefit formula for a defined-benefit (DB) plan could be average of the salary in three to five of your highest-salary years. Option C is correct.

This is a common method used to calculate the pension benefit in a DB plan. The average salary in the highest-salary years is used as a basis to calculate the benefit, which provides an incentive for employees to work hard and achieve high salaries in their final years of employment.

Option (a), highest salary, is not typically used because it can lead to large fluctuations in pension benefits from year to year. Option (b) is not a specific answer to the question and is therefore not correct. Therefore, option C is correct.

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Per GASB standards, a budget-to-actual comparison must include columns for the actual andA. the original budget only.B. the final budget only.C. both the original and the final budget.D. both the amended and the final budget

Answers

According to the Generally Accepted Accounting Principles (GAAP) set by the Governmental Accounting Standards Board (GASB), a budget-to-actual comparison must include columns for the actual and (C) both the original and the final budget.

This is because the original budget is the initial plan developed at the beginning of the fiscal year, and the final budget includes any revisions or amendments made throughout the year.

The purpose of the budget-to-actual comparison is to evaluate the financial performance of an entity and determine if it is on track to meet its goals and objectives. By including both the original and final budgets, it provides a comprehensive overview of the financial activity throughout the fiscal year.

In addition, it is important to note that the comparison should not just be limited to the actual and budgeted amounts, but should also include an analysis of any significant variances. This allows for the identification of areas where the budget may need to be revised in the future to better align with actual financial activity.

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The Board of Directors of a Canadian firm must: : a. Act in the best interests of the board of directors of the firm.b. Act the best interests of the managers of the firm. c. Act in the best interests of the company. d. Always act in the best interests of the shareholders.e. Always act in the best interests of all stakeholders including creditors.

Answers

The Board of Directors of a Canadian firm must act in the best interests of the company (option c).

While the interests of shareholders are important, the board's duty is to act in the best interests of the company as a whole, which includes all stakeholders such as employees, customers, suppliers, and creditors. This duty is often referred to as the "fiduciary duty" of the board, meaning they have a legal and ethical obligation to act in the best interests of the company and its stakeholders.

It is important for the board to maintain a balance between the interests of shareholders and other stakeholders, as their decisions can have a significant impact on the company's long-term success. By prioritizing the company's overall interests, the board can ensure that the company operates in a sustainable and responsible manner, benefiting all stakeholders in the long run.

Option c is answer.

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The prisoner's dilemma refers to games in which:
A. neither player has a dominant strategy.
B. one player has a dominant strategy and the other does not.
C. both players have a dominant strategy, which results in a lower payoff than they would earn if they play their dominated strategies.
D. both players have a dominant strategy, which results in the largest possible payoff.

Answers

The prisoner's dilemma refers to games in which option C is true: both players have a dominant strategy, which results in a lower payoff than they would earn if they play their dominated strategies. In the prisoner's dilemma, two individuals are arrested and charged with a crime.

They are held in separate cells and are unable to communicate with each other. The prosecutor offers each prisoner a deal: betray the other and receive a reduced sentence or remain silent and face harsher punishment. The dominant strategy for each player is to betray the other, as this ensures a reduced sentence regardless of the other's choice.

However, if both players choose to betray each other, they both end up with a worse outcome than if they had remained silent and cooperated. This is because when both players betray, they receive a higher combined sentence than if they had cooperated.

The dilemma arises because, despite each player having a dominant strategy, the collective outcome is worse than if both players played their dominated strategies. This scenario highlights the difficulty in achieving cooperation in situations where individuals must decide between their own self-interest and the collective good.

In summary, the prisoner's dilemma is a game where both players have a dominant strategy that results in a lower payoff than if they played their dominated strategies. It illustrates the challenges in achieving cooperation when individual interests conflict with the group's interests.

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Banks are assessed deposit insurance premiums based on the level of insured deposits, yet banks hold significantly more insured than uninsured deposits Why? How is this connected to a bank's liquidity risk and management?

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Banks hold significantly more insured deposits because it helps them manage their liquidity risk. Insured deposits provide a stable funding source that banks can rely on during times of stress.

Additionally, holding more insured deposits can help banks maintain a higher credit rating, which can lower their funding costs. When it comes to deposit insurance premiums, the level of insured deposits is used as a proxy for a bank's overall riskiness.

Banks that hold more insured deposits are generally seen as less risky, and therefore pay lower premiums. However, banks also need to manage their uninsured deposits carefully, as they can be more volatile and potentially cause liquidity problems if a large number of depositors withdraw their funds at the same time.

Overall, banks need to balance their mix of insured and uninsured deposits in order to maintain a stable funding base and manage their liquidity risk effectively.

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A savvy investor paid $6000 for a 20-year $10,000 mortgage bond that had a bond interest rate of 8% per year, payable quarterly. Three years after he purchased the bond, market interest rates went down, so the bond increased in value. If the inves- tor sold the bond for $11,500 three years after he bought it, what rate of return did the investor make (a) per quarter, and (b) per year (nominal)

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The nominal rate of return per quarter and per year for the investor who bought a 20-year $10,000 mortgage bond for $6,000 and sold it for $11,500 three years later is approximately 7.64% and 30.6% respectively .

(a) Rate of return per quarter:

1. Calculate the number of quarters in 3 years: 3 years * 4 quarters = 12 quarters.


2. Calculate the profit made from the sale of the bond: $11,500 - $6,000 = $5,500


3. Calculate the rate of return per quarter: ($5,500 / $6,000) / 12 quarters = 0.076389 (rounded to 6 decimal places)


4. Convert the rate to a percentage: 0.076389 * 100 = 7.6389% ≈ 7.64%

Thus, the investor made a rate of return of approximately 7.64% per quarter.

(b) Rate of return per year (nominal):

1. Calculate the rate of return per year by multiplying the rate per quarter by the number of quarters in a year: 7.6389% * 4 = 30.5556% ≈ 30.6%

Thus, the investor made a nominal rate of return of approximately 30.6% per year.

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how does quickbooks online assist in achieving the primary objective of accounting?

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QuickBooks Online is a comprehensive accounting software that offers a range of tools and features to assist in achieving the primary objective of accounting, which is to provide accurate and reliable financial information.

By automating several accounting processes, QuickBooks Online saves time and effort and reduces the likelihood of errors. The software offers features such as invoicing, expense tracking, bank reconciliation, and financial reporting, which helps businesses maintain a clear and accurate financial record.

QuickBooks Online provides businesses with real-time access to financial data, allowing them to make informed financial decisions. The software enables businesses to track income and expenses, manage bills and invoices, and monitor cash flow. These features help businesses to stay on top of their finances, make data-driven decisions, and maintain financial stability.

QuickBooks Online also offers collaboration features, making it easy for businesses to work with their accountants or bookkeepers to manage their finances effectively. Overall, QuickBooks Online plays a crucial role in achieving the primary objective of accounting by providing accurate and reliable financial information that businesses can use to make informed decisions.

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How has Mountain Dew been innovative with the product itself,
and has it been effective?

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Mountain Dew has been innovative with its product by introducing new flavors and varieties, such as Mountain Dew Kickstart, Mountain Dew Ice, and Mountain Dew Game Fuel. These innovations have been effective in attracting new consumers and keeping current fans engaged with the brand.

How successful is Mountain Dew?

Mountain Dew has been innovative by introducing new flavors, limited-edition releases, and packaging designs to cater to a diverse audience. This has been effective as it has allowed the brand to continuously engage its customers, stay relevant, and expand its market share. Some key examples of their innovations include:

1. New flavors: Mountain Dew has launched various flavors over the years, such as Code Red, LiveWire, Baja Blast, and Pitch Black. These unique flavors attract different consumer segments and keep the brand fresh.

2. Limited-edition releases: The brand has also introduced limited-edition releases, such as Dewmocracy, where customers could vote for their favorite new flavor. This engages the audience and makes them feel part of the brand's decision-making process.

3. Packaging designs: Mountain Dew has experimented with innovative packaging designs, such as slim cans and bottles, to make their products more convenient and appealing to a wider audience.

In conclusion, Mountain Dew's innovation in flavors, limited-edition releases, and packaging designs has been effective in keeping the brand relevant and engaging its customers.  

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Which of the following transactions is represented by the diagram below? a. Vendors send a bill for each inventory item purchased which is payable b. A single purchase of inventory is paid for with multiple payments.c. Inventory vendors send a monthly bill for merchandise delivered. The seller does not accept or allow installment payments.d. Some inventory purchases are paid for with multiple payments and some payments may apply to multiple purchases.

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option D, Based on the diagram provided, the transaction that is represented is option D, where inventory purchases are paid for with multiple payments and some payments may apply to multiple purchases.

The diagram shows multiple arrows pointing from the buyer to the seller, indicating that there are multiple payments being made. Additionally, there are arrows pointing from the seller to the buyer, indicating that the purchases are being fulfilled over time. This aligns with option D, where multiple payments are made for inventory purchases and some payments may apply to multiple purchases.
Option A is unlikely as the diagram does not show individual bills being sent for each item purchased. Option B is also unlikely as the diagram does not show a single purchase being paid for with multiple payments. Option C is also unlikely as the diagram does not show monthly bills being sent for delivered merchandise.
In conclusion, based on the diagram provided, option D is the transaction that is represented.

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The transaction represented by the diagram is option D: Some inventory purchases are paid for with multiple payments and some payments may apply to multiple purchases.

Option D involves the purchase of inventory with multiple payments, where some payments may apply to multiple purchases. This could happen when a business purchases inventory on credit and agrees to make payments over time, or when a business makes partial payments for larger purchases of inventory. The diagram shows that some payments go towards one purchase while others go towards multiple purchases. This transaction is different from the other options because it allows for flexibility in payment and purchasing. Option A involves separate bills for each inventory item purchased, while option B involves a single purchase paid with multiple payments. Option C involves monthly bills for merchandise delivered, but installment payments are not allowed. Option D, on the other hand, allows for some payments to be applied to multiple purchases and offers more flexibility in payment.

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an investor is in the 30% tax rate and corporate bonds are paying 9%.what must municipals bonds (munis) pay to offer an equivalent after tax yield?

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Answer: 6.3%

Explanation: To determine the equivalent after-tax yield for municipal bonds (munis) for an investor in the 30% tax bracket, with corporate bonds paying 9%, you can follow these steps:

1. Identify the investor's tax rate, which is= 30%.


2. Determine the yield on corporate bonds, which is= 9%.


3. Calculate the after-tax yield on corporate bonds by using the formula:

          after-tax yield = yield * (1 - tax rate).


4. Plug in the values: after-tax yield =

          after tax yield= 9% * (1 - 0.30)

                                  = 9% * 0.70

                                  = 6.3%.


Hence, The equivalent after-tax yield for municipal bonds (munis) must be 6.3% to offer an equivalent after-tax yield for an investor in the 30% tax bracket with corporate bonds paying 9%.

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Summit Systems will pay a dividend of 51.66 this year. If you expect Summit's dividend to grow by 6.5% per year what is its price por share it the firm's equity cost of capital is 11.1% CHE The price per share is $ (Round to the nearest cent.)

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The price per share of Summit Systems is $91.93. This is calculated by multiplying the expected future dividend payments by the equity cost of capital.

In this case, the dividend is $51.66 and the equity cost of capital is 11.1%, so the price per share is $51.66/0.111 = $91.93.

The expected future dividend payments are calculated by multiplying the current dividend of $51.66 by 1.065 (1 + growth rate of 6.5%), which results in a dividend of $54.92 for the next year.

This expected future dividend is then multiplied by the equity cost of capital to get the price per share. This process is repeated for each subsequent year until the present value of the dividend payments is found, which is then divided by the equity cost of capital to get the price per share.

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assume that the required reserve ratio is 20 percent and that the fed engages in an open market purchase of $1,000 of government securities. the central bank buys $1,000 of government securities only from commercial banks. the maximum change in excess reserves, banking system loans, and the total money supply will be

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In this case, the total money supply is $5,000.

How to find total money supply

When the Federal Reserve (the Fed) conducts an open market purchase of $1,000 in government securities, it affects the excess reserves, banking system loans, and the total money supply.

With a required reserve ratio of 20%, commercial banks must hold 20% of their deposits as reserves.

The Fed's purchase of $1,000 in government securities from commercial banks results in an increase of $1,000 in their excess reserves. This allows banks together create new loans and expand the money supply.

To calculate the maximum change in the total money supply, we can use the money multiplier formula:

Money Multiplier = 1 / Required Reserve Ratio.

In this case, the money multiplier is 1 / 0.20 = 5.

Therefore, the maximum change in the total money supply is the increase in excess reserves multiplied by the money multiplier:

$1,000 x 5 = $5,000.

The maximum change in banking system loans would be the same as the change in the total money supply minus the initial increase in excess reserves:

$5,000 - $1,000 = $4,000.

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