business services, inc. is expected to pay its first annual dividend of $0.80 per share three years from now. starting in year six, the company is expected to start increasing the dividend by 2 percent per year. what is the value of this stock today at a required return of 12 percent? group of answer choices $6.47 $7.47 $6.16 $6.63 $7.22

Answers

Answer 1

We will utilize the dividend discount model (DDM), which takes into account the anticipated dividends and the needed rate of return, to determine the stock's worth today at a required return of 12 percent.

How to calculate?

Where D1, D2,..., Dn are the anticipated dividends for each corresponding year.

Required rate of return, or r

P = Anticipated stock price at year's end n

after this instance, we are told that the initial annual dividend (D1) would be $0.80 per share after three years and that it is anticipated to rise by 2% annually beginning in year six. Additionally, a 12 percent needed rate of return (r) is provided.

We can see that beginning with year six, the anticipated dividends increase by 2% annually.

Until year n, we may perform this computation for each year's anticipated dividend and then add the anticipated stock price for that year. We are unable to perform the computation since neither the value of n nor the anticipated stock price at the end of year n are included in the available information. To correctly estimate the stock's current worth, we would need more data.

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Related Questions

The concept of adverse selection helps to explain all of the following except:
A) why firms are more likely to obtain funds from banks and other financial intermediaries, rather than from the securities markets
B) why indirect finance is more important than direct finance as a source of business finance
C) why direct finance is more important than indirect finance as a source of business finance
D) why the financial system is so heavily regulated

Answers

The concept of adverse selection can explain options A, B, and D, but not option C. It does not support the idea that direct finance is more important than indirect finance.

According to the theory of adverse selection, those who are more likely to have negative information are more willing to participate in markets with asymmetric information, such as the financial market. As a result, lenders run the danger of making a bad choice and are limited to working with low-risk clients.

This explains why financial intermediaries are more frequently used by businesses to raise capital than securities markets, and why the financial system is highly regulated. It does not, however, prove that direct financing is a more significant source of corporate funding than indirect financing.

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The concept of adverse selection can explain options A, B, and D, but not option C. It does not support the idea that direct finance is more important than indirect finance.

According to the theory of adverse selection, those who are more likely to have negative information are more willing to participate in markets with asymmetric information, such as the finance market. As a result, lenders run the danger of making a bad choice and are limited to working with low-risk clients. This explains why financial intermediaries are more frequently used by businesses to raise capital than securities markets, and why the financial system is highly regulated. It does not, however, prove that direct financing is a more significant source of corporate funding than indirect financing.

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which of the following are true of strategic long-range plans? multiple select question. they are usually stated in rather broad terms. they are statements detailing steps to take to achieve a company's organizational goals. they usually span one year or less. they are the financial plans of an organization for the coming year or other planning period.

Answers

Of the given options, the true statements about long-range strategic plans are that they are usually stated in rather broad terms and they are statements detailing steps to take to achieve a company's organizational goals.

Strategic long-range plans are designed to provide a company with a clear direction for the future. They are typically focused on the long-term success of an organization and are often developed within a timeframe of three to five years or even longer.

These plans take into account the company's vision, mission, and values, and they provide a roadmap for achieving the company's strategic objectives. Strategic long-range plans are critical for organizations because they help leaders to define the company's priorities, allocate resources effectively, and identify opportunities for growth.

These plans are not financial plans for the coming year or other planning periods, as those are typically more short-term in nature. Overall, long-range strategic plans are essential for any organization that wants to be successful in the long run.

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Melissa Inc. has an outstanding issue of perpetual preferred stock with an annual dividend of $1.00 per share. If the required return on this preferred stock is 5.24%, at what price should the stock sell? (Multiple Choice) a. $16.46 b. $11.69 c. $19.08 d. $13.69 e. $15.38
A higher yield (return) is expected from investing in an AA-rated corporate bond than investing in a BBB-rated corporate bond if both bonds have the same maturity. True/False) a

Answers

The price at which Melissa Inc.'s perpetual preferred stock should sell is $19.08.(C)

To calculate the price of the perpetual preferred stock, use the formula:

Price = Annual Dividend / Required Return

Step 1: Identify the annual dividend and required return.
Annual Dividend = $1.00
Required Return = 5.24% (0.0524 as a decimal)

Step 2: Use the formula to calculate the price.
Price = $1.00 / 0.0524 = $19.08

Thus, the stock should sell at $19.08, which corresponds to option (C).

Regarding the statement about bond yields, it is True. A higher yield is expected from investing in an AA-rated corporate bond than in a BBB-rated corporate bond if both bonds have the same maturity.

This is because the AA-rated bond has a lower credit risk, and investors require a higher yield for taking on the additional risk associated with the BBB-rated bond.

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why does a government policy to reduce the supply of illegal drugs greatly increase the price of illegal drugs? how might this policy result in more crime? might a government policy to reduce the demand for drugs have a different effect?

Answers

A government policy to reduce the supply of illegal drugs can increase the price of illegal drugs due to the basic principles of supply and demand. A government policy to reduce the demand for drugs can have a different effect.

If the supply of illegal drugs is reduced, while the demand for the drugs remains the same, the price of the drugs will rise. This is because there are fewer drugs available in the market, but the demand for the drugs remains the same, or even increases as some people may be willing to pay higher prices for the drugs.

The increase in the price of illegal drugs may result in more crime as individuals who are addicted to drugs may resort to criminal activities, such as theft or drug-related crimes, to obtain the funds to purchase the drugs at the higher prices. Moreover, drug dealers may also become more violent to protect their supply or increase their profits.

If the demand for drugs is reduced, while the supply remains constant, the price of illegal drugs may decrease. This is because there are fewer buyers in the market for the same amount of drugs. However, the effectiveness of such a policy in reducing drug-related crime would depend on the specific measures implemented to reduce demand, as well as the willingness of individuals to seek treatment or reduce their drug use.

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Assume you wish to evaluate the risk and return behaviors associated with various combinations of two stocks, Alpha Software and Beta Electronics, under three possible degrees of correlation: perfect positive, uncorrelated, and perfect negative. The average return and standard deviation for each stock appears here: a. If the returns of assets Alpha and Beta are perfectly positively correlated (correlation coefficient = + 1), over what range would the average return on portfolios of these stocks vary? In other words, what is the highest and lowest average retum that different combinations of these stocks could achieve? What is the minimum and maximum standard deviation that portfolios Alpha and Beta could achieve? b. If the returns of assets Alpha and Beta are uncorrelated (correlation coefficient = 0), over what range would the average return on portfolios of these stocks vary? What is the standard deviation of a portfolio that invests 75% in Alpha and 25% in Beta? How does this compare to the standard deviations of Alpha and Beta alone? c. If the returns of assets Alpha and Beta are perfectly negatively correlated (correlation coefficient = -1), over what range would the average retum on portfolios of these stocks vary? Calculate the standard deviation of a portfolio that invests 62.5% in Alpha and 37.5% in Beta.

Answers

a. The average return on portfolios of perfectly positively correlated Alpha and Beta stocks would vary between the sum of their individual average returns and the highest average return achieved by a portfolio consisting of only one of the stocks.

The minimum and maximum standard deviation would depend on the combination of weights of each stock in the portfolio.

b. The average return on portfolios of uncorrelated Alpha and Beta stocks would vary between the sum of their individual average returns and the highest average return achieved by a portfolio consisting of only one of the stocks.

The standard deviation of a portfolio that invests 75% in Alpha and 25% in Beta would be less than the standard deviation of Alpha and Beta alone due to the diversification effect.

c. The average return on portfolios of perfectly negatively correlated Alpha and Beta stocks would vary between the sum of their individual average returns and the highest average return achieved by a portfolio consisting of only one of the stocks.

The standard deviation of a portfolio that invests 62.5% in Alpha and 37.5% in Beta can be calculated using the formula for portfolio standard deviation.

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what is the name of a newer conflict-handling mode where decision making incorporate different viewpoints and insights to develop consensus and commitment?

Answers

The conflict-handling mode that you are referring to is called the collaborative mode. This mode is characterized by the willingness of all parties involved to work together to reach a mutually beneficial solution. The focus is on finding common ground and incorporating different viewpoints and insights to develop consensus and commitment.

In collaborative mode, parties engage in active listening and constructive communication to ensure that everyone's concerns are heard and understood. The goal is not just to resolve the conflict, but to create a lasting agreement that everyone is committed to.

Collaborative mode is a newer approach to conflict resolution that is gaining popularity in many organizations. It recognizes that conflicts can be opportunities for growth and change, and that by working together, parties can create solutions that are more creative and sustainable.

Overall, collaborative mode is a powerful tool for managing conflicts and creating positive outcomes. By fostering open communication and a willingness to work together, parties can overcome even the most difficult challenges and build strong, lasting relationships based on trust and respect.

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in order for a firm to lower costs, it must ______. multiple choice question. grow increase risks lower its expectations lower profits

Answers

A company's cost of capital is the minimal rate of return it must achieve on its investments in order to satisfy its investors. A business must decrease profits in order to reduce costs. Hence (d) is the correct option.

The capital structure, dividend policy, and investment strategy of a company can all have an impact on its cost of capital. The cost a company incurs to produce a further unit of a good or service is known as the marginal cost. By dividing the overall cost of creating extra products by the total number of extra units produced, it is determined.

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in order for a firm to lower costs, it must ______. .

a. grow

b. increase risks

c. lower its expectations

d. lower profits

In order for a firm to lower costs, it must "lower its expectations."

Business is the practice of making one's living or making money by producing or buying and selling products. It is also "any activity or enterprise entered into for profit."A firm is a for-profit business, usually formed as a partnership that provides professional services, such as legal or accounting services. The theory of the firm posits that firms exist to maximize profits.

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nittany garments buys fleece jackets from big ten sports apparel, inc., embroiders them with penn state organizational logos, and sells them to the student population. the annual demand for these embroidered jackets is 1,000; the annual holding cost is $1.00 per unit, and the ordering cost is $15 per order. when placing a restocking order, what (approximate) quantity should nittany garments order so as to minimize their holding and ordering costs?

Answers

The expenses incurred by holding inventory that has not yet sold are known as holding costs. Along with ordering and shortage fees, these expenses make up ordering costs.

How much does ordering cost?

Ordering costs are the costs your business pays to order and receive the goods it keeps on hand. These ordering costs may consist of shipping charges, unforeseen transportation costs, inspection fees, and other costs required to purchase inventory goods.

Are ordering costs and holding costs equivalent?

Ordering costs are inversely related to holding costs. Thus, if one of the two costs increases, the other cost will decrease. If the cost of ordering is lower, the corporation may place fewer orders during a given period of time.

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10. industrious young lawyer, imgetting minez, purchased some residential rental property three years ago for $275,000, and he now plans on selling it in august of this year. if the sale goes through as scheduled, how much can imgetting allow for depreciation during his last year of ownership? a. $3,825.25 b. $3,236.75 c. $2,648.25 d. $4,413.75

Answers

To determine how much Imgetting Minez can allow for depreciation during his last year of ownership, we need to follow these steps:

1. Determine the depreciation rate for residential rental property, which is 27.5 years for straight-line depreciation.
2. Calculate the annual depreciation amount by dividing the property's value ($275,000) by the depreciation rate (27.5 years).
3. Determine the monthly depreciation amount by dividing the annual depreciation amount by 12 months.
4. Calculate the depreciation for the last year of ownership based on the number of months until the property is sold in August.

Now, let's do the calculations:

1. Depreciation rate for residential rental property = 27.5 years
2. Annual depreciation amount = $275,000 / 27.5 years = $10,000
3. Monthly depreciation amount = $10,000 / 12 months = $833.33
4. Depreciation for the last year of ownership (August) = $833.33 * 8 months = $6,666.64

Therefore, Imgetting Minez can allow for $6,666.64 in depreciation during his last year of ownership. None of the given options (a. $3,825.25 b. $3,236.75 c. $2,648.25 d. $4,413.75) match the calculated amount.

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Assume yourself as a senior manager of a healthcare organization and you have given the responsibility to take Capital Investment Decision.
Explain what are the available options you have and which one will you choose and why.

Answers

As a senior manager of a healthcare organization, when faced with the responsibility of making a capital investment decision, there are several available options to consider.

These options include investing in new medical equipment, expanding the facility, implementing new technology or software, or hiring additional staff members.


Some of the available options are:

Expand the existing facilities: This option involves expanding the current healthcare facilities, such as adding new wings, upgrading equipment, and hiring more staff. This would enable the organization to serve more patients and increase revenue.Acquire a new healthcare facility: This option involves acquiring an existing healthcare facility, such as a hospital, clinic, or laboratory. This would enable the organization to expand its services and reach new markets.Invest in research and development: This option involves investing in research and development to create new healthcare products, services, or technologies. This would enable the organization to stay competitive and meet the evolving needs of patients.Merge or acquire another healthcare organization: This option involves merging or acquiring another healthcare organization. This would enable the organization to consolidate its position in the market, increase its market share, and improve its financial performance.

Given the nature of the healthcare industry, I would choose the option to invest in research and development. Healthcare is a rapidly evolving field, and new products, services, and technologies are constantly emerging. Investing in research and development would enable the organization to stay ahead of the curve and remain competitive. This would involve hiring new talent, forming partnerships with other organizations, and conducting research in-house. The benefits of investing in research and development would be long-lasting, as it would enable the organization to provide better care to patients, increase revenue, and improve its reputation.

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Make a list of the legal issues that created confusion in the dispute between Katy Perry and the nuns from the Los Angeles convent. Discuss the impact on the various stakeholders of these points of legal confusion.

Answers

The legal issues that created confusion in the dispute between Katy Perry and the nuns from the Los Angeles convent include the ownership of the property, the authority of the Archdiocese of Los Angeles, and the validity of the sale.

The nuns argued that they had the right to sell the property to a local restaurateur, while the Archdiocese of Los Angeles claimed ownership of the property and argued that the nuns did not have the authority to sell it. Furthermore, there were questions surrounding the validity of the sale and whether it followed proper procedures.

The impact on the various stakeholders of these points of legal confusion was significant. The nuns faced legal action and potential penalties for the attempted sale, while the Archdiocese of Los Angeles faced negative publicity and potential loss of property ownership.

Katy Perry and the restaurateur faced uncertainty regarding the status of their purchase, as well as the possibility of legal repercussions. Overall, the legal issues created confusion and tension among the stakeholders involved, leading to a prolonged and contentious dispute.

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What determines life expectancy?
For this home assignment you will be required to model life expectancy worldwide.
Please use the file: life_expectancy.Rdata (World Bank Database – 2016 values). Please read the description
at the end of this document to understand the variables. In this home assignment we are going to model
life expectancy at birth (dependent variable).
QUESTION 1
Please model the determinants of life expectancy using R:
a) Decide if will use the logarithm or the level of the dependent variable and why? (2 marks)
b) Include a minimum of 5 (five) explanatory variables in the regression equation and provide a scatter
plot of your dependent and independent variables (5 scatter plots worth 0.5 x 5 marks).
When modelling, explain each of your functional form specification choices with respect to:
 Economic or common sense behind the model - why do you pick this variable? (0.5 x 5 marks)
 Multicollinearity – are the independent variables multicollinear? (0.5 x 5 marks)
 Functional form specification- potential nonlinear relationships, eg: log-linear or quadratic
relationships. Explain why you use a linear or logarithmic form of a variable. (0.5 x 5 marks)
in writing. You will be graded on model accuracy in this section.
Use OLS standard errors.
(Subtotal: 10 marks) 1 Table [regression output] & Explanations, 5 scatter plots
c) Interpret the coefficients on the 5 explanatory variables. Describe if the coefficients are elasticities
or semi-elasticities, or simple level variables.
(5 marks)
d) Interpret the statistical significance of these coefficients using the p-values AND calculate the t-
stats.
Hint: The t-stat should be calculated as per the formula we learned, and interpreted accordingly.
Taking a t-value out of the regression is not acceptable.
(5 marks)
RMIT Classification: Trusted
e) Describe each of the five "Gauss Markov" assumptions, (define them) and explain in the context
of the regression output in (b) whether these assumptions are likely to be met in these models.
(5 marks)
f) Test for heteroscedasticity in R using the Breusch-Pagan test and copy below the results. Interpret
the results of the Breusch Pagan test. (2 marks)
g) Present the results from (b) using HAC robust errors! Did any of the standard errors change
significantly? (3 marks) 1 Table & Explanations
h) Define the three major causes of endogeneity and why these arise. (6 marks)
i) What is an instrumental variable estimation and which of the endogeneity biases you described above
is most commonly addressed with it? (2 marks)

Answers

Life expectancy is determined by various factors, including healthcare, sanitation, nutrition, education, and economic development. To model life expectancy worldwide, we will use the World Bank Database 2016 values in R.

We will model the determinants of life expectancy at birth using regression analysis. We will use the logarithm of the dependent variable since it is more appropriate for modeling exponential relationships. We will include at least five explanatory variables and provide scatter plots of the dependent and independent variables.

We will also explain our choices of functional form specifications based on economic or common sense reasoning, multicollinearity, and potential nonlinear relationships.

We will interpret the coefficients on the explanatory variables as elasticities or semi-elasticities and determine their statistical significance using p-values and t-stats. We will also test for heteroscedasticity using the Breusch-Pagan test and present the results using HAC robust errors.

Lastly, we will define the three major causes of endogeneity and explain instrumental variable estimation, which is commonly used to address endogeneity biases.

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raw materials used in production29,230kilospurchases of raw materials31,800kilosactual direct labor-hours1,180hoursactual cost of raw materials purchases$ 197,920 actual direct labor cost$ 22,936 actual variable overhead cost$ 7,740 the company applies variable overhead on the basis of direct labor-hours. the direct materials purchases variance is computed when the materials are purchased. the variable overhead rate variance for august is:

Answers

The variable overhead cost for August was $7,740

How to calculate the variable overhead cost

Based on the information provided, we know that the company used 29,230 kilos of raw materials in production, but purchased 31,800 kilos.

This means that there is a potential variance in the direct materials purchases, which is computed at the time of purchase.

Additionally, the company used 1,180 actual direct labor-hours and had an actual direct labor cost of $22,936. The variable overhead cost for August was $7,740, and the company applies variable overhead based on direct labor-hours.

This means that the variable overhead rate variance for August can be calculated by comparing the actual direct labor-hours (1,180) with the budgeted direct labor-hours (which we don't have information on).

To summarize, the company used more raw materials than they purchased, and had actual direct labor costs and variable overhead costs.

To determine the variable overhead rate variance for August, we would need to know the budgeted direct labor-hours.

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what is the beta of a portfolio that consists of the following? security $ invested beta a $ 2,000 1.38 b 5,000 .47 c 9,000 1.70 d 4,000 1.08 multiple choice 1.18 1.22 1.24 1.32 1.37

Answers

The beta of the portfolio is approximately 1.24, which corresponds to the third option in the multiple-choice list (1.24). The Portfolio beta is 1.2365.

To calculate the beta of a portfolio, we need to first calculate the weighted average beta of each security in the portfolio.

We can do this by multiplying each security's beta by its proportion of the total portfolio value:
Security A: $2,000/$20,000 = 0.10 or 10% of portfolio value; 1.38 x 0.10 = 0.138
Security B: $5,000/$20,000 = 0.25 or 25% of portfolio value; 0.47 x 0.25 = 0.118
Security C: $9,000/$20,000 = 0.45 or 45% of portfolio value; 1.70 x 0.45 = 0.765
Security D: $4,000/$20,000 = 0.20 or 20% of portfolio value; 1.08 x 0.20 = 0.216
Next, we add up the weighted beta values to get the beta of the overall portfolio:
0.138 + 0.118 + 0.765 + 0.216 = 1.237

Therefore, the beta of the portfolio is 1.24 (rounded to the nearest hundredth).

The answer to the multiple-choice question is C) 1.24.

To calculate the beta of a portfolio, we need to find the weighted average of the individual security betas based on their proportion of the total investment.

2. Calculate the proportion of each security in the portfolio:
Proportion A = $2,000 / $20,000 = 0.1
Proportion B = $5,000 / $20,000 = 0.25
Proportion C = $9,000 / $20,000 = 0.45
Proportion D = $4,000 / $20,000 = 0.2

3. Calculate the weighted average beta:

Portfolio beta = (Proportion A * Beta A) + (Proportion B * Beta B) + (Proportion C * Beta C) + (Proportion D * Beta D)
Portfolio beta = (0.1 * 1.38) + (0.25 * 0.47) + (0.45 * 1.70) + (0.2 * 1.08)
Portfolio beta = 0.138 + 0.1175 + 0.765 + 0.216
Portfolio beta = 1.2365

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Agro International has a foreign subsidiary, which requires $200K cash every month. It uses a wire service for the cash transfer.
The cost of wire transfer is $100.
In order to send cash to its subsidiary, the Agro has to liquidate part of its securities portfolio which generates 12% annual return.
How many wire transfers PER YEAR should Agro make?

Answers

Agro International must make 24 wire transfers per year to provide the $200K cash to its subsidiary.

The cost of each wire transfer is $100, so the total cost of the transfers is $2,400 per year. To cover the cost of the transfers, Agro must liquidate part of its securities portfolio that generates a 12% annual return.

Therefore, Agro must liquidate a portion of its securities portfolio that is worth $20,000 to cover the cost of the transfers. This amount of liquidation will reduce Agro's annual return by 1.2%, since 12% of $20,000 is $2,400.

The total cost of the wire transfers is a small price to pay for the ability to transfer the necessary funds to its foreign subsidiary.

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the risks that economic problems or mismanagement in a given country will have a meaningful negative impact upon the conduct of business in that country are called _____ risks.

Answers

The risks that economic problems or mismanagement in a given country will have a meaningful negative impact upon the conduct of business in that country are called economic risks.

Economic risks refer to the uncertainties and potential losses that arise from changes in economic conditions, such as inflation, recession, currency fluctuations, and political instability.

These risks can affect businesses in a variety of ways, such as reducing demand for products or services, increasing the cost of inputs, and disrupting supply chains.

Economic risks are a major concern for businesses operating in international markets, as they can be impacted by factors beyond their control, such as changes in government policies or economic conditions in their host countries.

To mitigate these risks, businesses often conduct extensive research on the economic conditions and political climate of the countries in which they operate, and implement strategies to hedge against potential losses, such as diversifying their product lines or investing in multiple markets.

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bookmark question for later clearwater electronics is revising its strategic hr plan and comparing employment needs to the level of sales. the company has recently seen a 30 percent increase in sales, and the salespeople say that they anticipate an increase soon of 70 percent. however, the hr director, who oversees the hr planning process, does not believe the company will need to hire 70 percent more employees to meet the projected sales numbers. how can a simple linear regression, as part of the hr planning process, help the hr director make a more accurate determination of projected staffing needs?

Answers

The HR director can use a simple linear regression analysis to predict the future employment needs of Clearwater Electronics based on the level of sales. This statistical tool will enable the HR director to identify any correlations between sales and staffing needs by analyzing historical data on sales and employment levels. By examining this data, the HR director can identify trends and patterns in staffing needs that correspond with different levels of sales.

Using the results of the regression analysis, the HR director can create a more accurate projection of future staffing needs. By incorporating this information into the HR planning process, the company can better allocate resources and ensure that they have the necessary staff to meet the anticipated demand.

In summary, a simple linear regression analysis can help the HR director at Clearwater Electronics to make more informed decisions regarding staffing needs based on projected sales numbers. By taking a data-driven approach to HR planning, the company can ensure that they are prepared to meet the anticipated demand and achieve their strategic objectives.

Therefore, it is essential to bookmark this question for later and ensure that the HR director uses regression analysis as part of the HR planning process.

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Suppose your company is expected to grow at a constant rate of 6 percent long into the future. In addition, its dividend yield is expected to be 8 percent. If your company expects to pay a dividend equal to $1.06 per share at the end of the year, what is the value of your firm's stock?

Answers

The value of the firm's stock is $13.25.

We can use the Gordon Growth Model to find the value of the firm's stock:

Value of Stock = Dividend / (Cost of Equity - Growth Rate)

where:

Dividend = $1.06 (the expected dividend per share at the end of the year)

Growth Rate = 6% (the expected constant growth rate)

Cost of Equity = Dividend Yield + Growth Rate

Since the dividend yield is expected to be 8%, we can calculate the cost of equity as:

Cost of Equity = 8% + 6% = 14%

Now we can substitute these values into the formula:

Value of Stock = $1.06 / (0.14 - 0.06) = $1.06 / 0.08 = $13.25

Therefore, the value of the firm's stock is $13.25.

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kam Il Practice Problems List and explain the two characteristics of a public good. Give two examples where the concept of public goods applies to environmental issues.

Answers

Public goods are goods or services that are non-excludable and non-rivalrous in nature.

These two characteristics are fundamental to understanding the unique nature of public goods:

Non-excludability: Public goods are non-excludable, which means that once provided, it is difficult or impossible to exclude anyone from using or benefiting from the good. Once a public good is available, it is generally available to all members of society, regardless of whether they have contributed to its provision or not. It is not feasible to charge a price or prevent access to those who do not pay for it.

Non-rivalry: Public goods are non-rivalrous, which means that one person's consumption or use of the good does not diminish or reduce the amount available for others to use. The consumption of a public good by one person does not reduce its availability for others, and multiple individuals can benefit from the same unit of the public good simultaneously without conflict.

Examples of public goods in environmental issues:

Clean air: Air quality can be considered a public good as it is difficult to exclude anyone from breathing clean air once it is available. Efforts to reduce air pollution or maintain clean air benefit the entire society, regardless of whether individuals contribute financially towards those efforts or not. For example, regulations on emissions from factories or vehicles, and public investments in air quality monitoring and control measures are aimed at providing clean air as a public good.

Biodiversity: Biodiversity, which refers to the variety of plant and animal species and ecosystems on Earth, can also be considered a public good. Conservation efforts to protect biodiversity, such as preserving natural habitats, maintaining ecological balance, and preventing the extinction of endangered species, benefit society as a whole. These efforts often require collective action and cooperation among different stakeholders, as the benefits of biodiversity conservation are diffuse and not limited to specific individuals or groups.

In both of these examples, the characteristics of non-excludability and non-rivalry apply. It is challenging to exclude individuals from enjoying clean air or biodiversity conservation once they are available, and the consumption or use of clean air or biodiversity by one person does not diminish its availability for others. This makes these environmental issues examples of public goods where collective action and public policy play crucial roles in their management and preservation.

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jordan is 45 and wants to retire in 22 years. his family has a history of living well into their 90s. therefore, he estimates that he will live to age 97. he currently has a salary of $100,000 and expects that he will need about 85% of that amount annually if he were retired. he can earn 9 percent in his portfolio and expects inflation to be 3 percent. jordan currently has $125,000 invested for his retirement. his social security retirement benefit in today's dollars is $30,000 per year at normal age retirement of age 67. how much does he need to save at the end of each year to meet his retirement goals?

Answers

Jordan needs to save approximately $4,169,569.76 at the end of each year to meet his retirement goals.

To calculate how much Jordan needs to save at the end of each year to meet his retirement goals, we can follow these steps:

Estimate Jordan's annual retirement expenses

Jordan expects that he will need about 85% of his current salary annually when he is retired. Given that his current salary is $100,000, his estimated annual retirement expenses will be 85% of $100,000, which is $85,000.

Calculate Jordan's retirement period

Jordan wants to retire in 22 years and expects to live until age 97. So, his retirement period will be 97 - 22 = 75 years.

Adjust retirement expenses for inflation

Jordan expects an inflation rate of 3%. To account for inflation, we need to adjust his estimated annual retirement expenses for each year of his retirement period. We can use the formula:

Adjusted Retirement Expenses = Retirement Expenses * (1 + Inflation Rate)^Number of Years

For the first year of his retirement, the adjusted retirement expenses will be $85,000 * (1 + 0.03)^1 = $87,550.

For the second year, it will be $85,000 * (1 + 0.03)^2 = $90,226.5.

We repeat this calculation for each year of Jordan's retirement period.

Calculate Jordan's total retirement savings needed

Next, we need to calculate the total retirement savings Jordan will need at the end of his retirement period. We can use the formula:

Total Retirement Savings = Adjusted Retirement Expenses * ((1 - (1 + Annual Rate of Return)^-Number of Years) / Annual Rate of Return)

Given that Jordan can earn 9% in his portfolio, his annual rate of return will be 0.09.

Using this formula, we can calculate Jordan's total retirement savings needed:

Total Retirement Savings = $87,550 * ((1 - (1 + 0.09)^-75) / 0.09) = $4,324,569.76 (rounded to the nearest cent).

Deduct Jordan's current retirement savings and social security benefit

Finally, we need to deduct Jordan's current retirement savings and social security retirement benefit from the total retirement savings needed to determine how much he needs to save at the end of each year.

Total Retirement Savings Needed - Current Retirement Savings - Social Security Benefit = Annual Savings Needed

Given that Jordan currently has $125,000 invested for his retirement and his social security retirement benefit is $30,000 per year, we can calculate his annual savings needed:

$4,324,569.76 - $125,000 - $30,000 = $4,169,569.76 (rounded to the nearest cent).

So, Jordan needs to save approximately $4,169,569.76 at the end of each year to meet his retirement goals.

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in the u.s. money is primarily created by . group of answer choices the federal reserve bank printing new currency. the money multiplier effect created by the mpc the federal government selling new bonds. commercial banks lending out customer deposits

Answers

In the U.S., money is primarily created by commercial banks lending out customer deposits. The correct answer is commercial banks lending out customer deposits.


The Federal Reserve Bank also plays a role in the creation of money by setting the reserve requirements that commercial banks must meet. If the reserve requirement is lowered, banks can lend out more money, which increases the money supply. Conversely, if the reserve requirement is raised, banks have to keep more money on reserve, which decreases the money supply.The Federal Reserve Bank also has the ability to print new currency, but this is a relatively small portion of the overall money supply.

The federal government selling new bonds can also contribute to the money supply, but this is done through the process of borrowing rather than the direct creation of new money.Overall, while the Federal Reserve Bank and the federal government can play a role in the creation of money, it is primarily done through the money multiplier effect created by commercial banks lending out customer deposits. The correct answer is commercial banks lending out customer deposits.

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which one of the following statements is correct? multiple choice at the accounting break-even level, the pretax profit is equal to the aftertax profit. the contribution margin is equal to sales minus fixed costs. the larger the contribution margin, the higher the financial break-even point. the accounting break-even point is higher than the financial break-even point for the same project. taxes are considered when computing the accounting break-even point but not the financial break-even point.

Answers

The statement that is correct is: at the accounting break-even level, the pretax profit is equal to the aftertax profit.

Accounting  Break- even level:

The correct statement is: at the accounting break-even level, the pretax profit is equal to the aftertax profit. This is because at the accounting break-even point, the company is earning just enough revenue to cover all its expenses, including taxes, so there is no net profit or loss. The other statements are not necessarily true.

The contribution margin is sales minus variable costs, not fixed costs. The larger the contribution margin, the lower the financial break-even point, not higher. The accounting break-even point and the financial break-even point may be the same or different depending on the level of fixed costs and financing costs. Taxes are considered in both the accounting and financial break-even analysis.    

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Horizon is using a combination of labour and capital to produce a good. With this combination, the marginal product of labour is 180 and the marginal product of capital is 60. Wages cost €9 an hour and capital costs €4.
1. What is the current value of the firm’s marginal rate of technical substitution? [5]
2. If labour is on the horizontal axis, what is the slope of the isocost line? [5]
3. Is Horizon using too much capital, too much labour or just the right amount of both to minimise costs of production? Explain your answer. [15]

Answers

The current value of the firm’s marginal rate of technical substitution (MRTS) is 3. This is calculated by dividing the marginal product of labour (180) by the marginal product of capital (60), which gives us 3.

If labour is on the horizontal axis, the slope of the isocost line is -4.1. This is calculated by dividing the cost of capital (4.1) by the cost of labour (9).

Horizon is using just the right amount of both labour and capital to minimise costs of production. This is because the MRTS (3) is equal to the slope of the isocost line (-4.1). This suggests that Horizon is using the optimal combination of labour and capital to minimise costs.

If the MRTS was greater than the slope of the isocost line, it would suggest that the firm is using too little capital and too much labour, and vice versa. Therefore, Horizon is using the optimal combination of resources to minimise costs.

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The company you work for has developed a new credit scoring model to be used to make acceptance and pricing decisions for all of their loan applicants.
The credit score (S) is calculated as:
S = 5 – 5*(D/A) – 2*LTV + 0.5(Income/10,000) + 1.5*(if Revenue Insurance = yes)
where: D/A = debt-to-asset ratio
LTV = loan-to-value (loan amount/value of project)
Revenue Insurance = 1 if the applicant has revenue insurance, 0 otherwise
You accept the loan if S > 5.
If the loan is accepted, you offer the following interest rate (r):
r = Prime Rate + (7 – S)%.
The current Prime Rate = 6.5%.
Given the credit scoring model outlined above, would you accept the following loan application, and if so at what interest rate?
Applicant Name John Smith
D/A 0.5
Income 80,000
Loan Amount 90,000
Value of Project 120,000
Revenue Insurance? Yes
LTV S Accept or reject loan? r

Answers

According to the given credit scoring model, John Smith's credit score (S) is calculated to be 4.75, which is less than the required score of 5 for loan acceptance. Therefore, the loan should be rejected. If it were accepted, the interest rate (r) would have been Prime Rate + (7-S)% = 6.5% + (7-4.75)% = 8.75%.


To calculate John Smith's credit score (S), we use the given formula: S = 5 – 5*(D/A) – 2*LTV + 0.5(Income/10,000) + 1.5*(if Revenue Insurance = yes).


Plugging in the values given in the loan application, we get:
S = 5 - 5*(0.5) - 2*(90,000/120,000) + 0.5*(80,000/10,000) + 1.5*(1) = 4.75


Since the required credit score for loan acceptance is 5, the loan should be rejected.

If the loan were accepted, we would use the formula: r = Prime Rate + (7-S)%, where the current Prime Rate is given as 6.5%. Plugging in the calculated value of S, we get:
r = 6.5% + (7-4.75)% = 8.75%.

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Astro Burger announced today that it will begin paying annual dividends. The first dividend of $0.41 will be paid in one year. The second and third annual dividends will be $0.46 and $0.61, respectively. The forth annual dividend will be $0.91, and subsequent dividends will increase at 3.0 percent per year in perpetuity. If your required return is 11 percent, how much are you willing to pay today to buy this stock?

Answers

You would be willing to pay $5.23 today to buy Astro Burger's stock.

To calculate this, first, we need to find the present value of the dividends. We will divide each dividend by (1+required return) raised to the power of the year in which the dividend is paid:

PV1 = $0.41 / (1+0.11)¹ = $0.369
PV2 = $0.46 / (1+0.11)² = $0.373
PV3 = $0.61 / (1+0.11)³ = $0.440
PV4 = $0.91 / (1+0.11)⁴ = $0.564

Next, we need to calculate the present value of the perpetuity (constant growth) part of the dividend stream, which begins with the 4th annual dividend of $0.91 and grows at 3% per year. We'll use the perpetuity formula:

PV Perpetuity = (D4 * (1 + growth rate)) / (required return - growth rate)
PV Perpetuity = ($0.91 * 1.03) / (0.11 - 0.03) = $11.703

Finally, we'll sum the present values to find the total value of the stock:

Stock Value = PV1 + PV2 + PV3 + PV4 + PV Perpetuity = $0.369 + $0.373 + $0.440 + $0.564 + $11.703 = $5.23

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An analyst claims, ‘‘It is not worth my time to develop detailed forecasts of sales growth, profit margins, etcetera, to make earnings projections. I can be almost as accurate, at virtually no cost, using the random walk model to forecast earnings.’’ What is the random walk model? Do you agree or disagree with the analyst’s forecast strategy? Why or why not?

Answers

The random walk model is a financial theory that assumes that stock price movements are unpredictable and follow a random pattern. According to this model, the best predictor of future stock prices is the current price, as there is no correlation between past and future price movements.

As for the analyst's forecast strategy, I respectfully disagree with their claim. While the random walk model may offer a low-cost and easy way to forecast earnings, it is not the most accurate method.

Developing detailed forecasts of sales growth, profit margins, and other financial factors can provide more reliable and accurate predictions, as these factors are often closely related to a company's future earnings.

In conclusion, the random walk model is a financial theory that assumes stock price movements are unpredictable and follow a random pattern.

However, relying solely on this model to forecast earnings may not be the most accurate approach. Instead, a more comprehensive analysis that includes sales growth, profit margins, and other factors should be considered for a more accurate forecast.

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if a salesperson used so much industry jargon that a prospective buyer was unable to understand the message properly, the communication would fail because of

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Answer: Barrier in Communication.

If a salesperson used so much industry jargon that a prospective buyer was unable to understand the message properly, the communication would fail because of ineffectiveness or a lack of clarity. This may lead to misunderstandings, confusion, and frustration among buyers and seller experiencing failure to make a sale or establish a relationship with the prospective buyer, ultimately resulting in the buyer losing interest, in the product or service being offered.  This is due to the overuse of industry-specific terms and jargon, which can make it difficult for the buyer to comprehend the information being presented. To improve communication, the salesperson should use simpler language, avoid excessive jargon, and ensure that their message is clear and easy to understand.

What is Effective Communication? Effective communication involves using language that is clear and concise, and avoiding the use of jargon or technical terms that are unfamiliar to the listener.

In short, the communication will be effective only if the listener is able to comprehend what the speaker is trying to communicate or else communication would be ineffective due to a lack of understanding .

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You are about to introduce a new soft drink into the U.S. market and you are considering using USA Today to advertise the product. The cost of advertising USA Today is $240,000, with the audience size is 2,000,000. Based on the information provided, what is the cost per thousand impressions of advertising your soft drink using USA Today newspaper?
Multiple Choice
360
480
200
240
120

Answers

The cost per thousand impressions (CPM) of using USA Today newspaper to advertise your soft drink is $120. The selection (d) 120 is the right response.

A differential cost is the cost difference between two possible decisions or a change in production level.

The cost per thousand impressions (CPM) of advertising using USA Today can be calculated as follows:

CPM = (Advertising cost / Audience size) x 1000

Plugging in the given values, we get:

CPM = (240,000 / 2,000,000) x 1000

CPM = 120

Therefore, the cost per thousand impressions (CPM) of advertising your soft drink using USA Today newspaper is $120. The correct answer is option (d) 120.

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A company has an investment project that would cost $10 million today and yield a payoff of $15 million in 4 years.
1. Should the company undertake the project at each of the interest rates listed?
A. 11%
B. 10%
C. 9%
D. 8%

Answers

Correct answer is B, 10%. The amount of interest payable each period expressed as a percentage of the amount lent, deposited, or borrowed is known as an interest rate. The total interest on a loaned or borrowed sum is determined by the principle amount, the interest rate.

What is the solution of this question?

The equation shown below can be used to decide if the company ought to take on the project at a specific interest rate level. The company should proceed with the project if the current value our calculations show is greater than the $10 million cost.

When interest rates are 9% and 8%, projects should be conducted because the present value of the payback is larger than the cost, but projects with interest rates of 11% and 10% should not be performed since the present value is less than the cost.

The same method will be used, but the present value will be $10 million, X $15 million, and N will remain 4 to determine the precise cutoff of the interest rate between profitability and nonprofitable.

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1. Suppose IBM is currently selling for $100 per share, the one period risk free rate is 8% and IBM pays no dividends over the period. Consider a one period European call on IBM with K=$50. a. IBM will either go up by 20% or down by 5%. What is the value of the call one period from expiration? b. Now suppose IBM will go up by 40% or down by 40%. What is the value of the call one period from expiration? Explain any change or lack of it relative to part a). c. Now suppose IBM will go up by 40% or down by 60%. What is the value of the call one period from expiration? Explain any change or lack of it relative to parts a) and b)

Answers

a) If IBM will either go up by 20% or down by 5%, then we can calculate the expected value of the stock price at expiration as follows:

Expected stock price = (0.5 x 1.20 x $100) + (0.5 x 0.95 x $100)

= $107.50

The call option will only be exercised if the stock price is above the strike price of $50, so the payoff at expiration is:

Payoff = Max($107.50 - $50, 0) = $57.50

The present value of this payoff is:

PV = $57.50 / (1 + 0.08) = $53.24

Therefore, the value of the call one period from expiration is $53.24.

b) If IBM will go up by 40% or down by 40%, then the expected stock price at expiration is:

Expected stock price = (0.5 x 1.40 x $100) + (0.5 x 0.60 x $100)

= $100

The call option will only be exercised if the stock price is above the strike price of $50, so the payoff at expiration is:

Payoff = Max($100 - $50, 0) = $50

The present value of this payoff is:

PV = $50 / (1 + 0.08) = $46.30

The value of the call option in this case is lower than in part a) because the stock price has a higher variance, which increases the probability of the stock price being below the strike price at expiration.

c) If IBM will go up by 40% or down by 60%, then the expected stock price at expiration is:

Expected stock price = (0.5 x 1.40 x $100) + (0.5 x 0.40 x $100)

= $90

The call option will only be exercised if the stock price is above the strike price of $50, so the payoff at expiration is:

Payoff = Max($90 - $50, 0) = $40

The present value of this payoff is:

PV = $40 / (1 + 0.08) = $37.04

The value of the call option in this case is lower than in parts a) and b) because the downside risk is greater, which increases the probability of the stock price being below the strike price at expiration.

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