Firms with stronger cash flows tend to have more opportunities to make real investments that can drive growth and profitability. The given statement is true.
The following statement is true regarding Firms:The statement "Firms with more cash flows tend to make more real investments" is generally true. Firms with higher cash flows have more financial resources available to invest in real assets, such as property, plant, equipment, and inventory.
When a firm has a strong cash flow, it is in a better position to:
1. Identify and seize new investment opportunities: Companies with more cash flows can more easily pursue growth opportunities, such as entering new markets or acquiring other businesses.
2. Finance capital expenditures: Firms need to invest in real assets to maintain and grow their operations. Strong cash flows enable companies to make these investments without incurring additional debt.
3. Manage risks and uncertainties: A healthy cash flow allows firms to navigate economic downturns, industry changes, or other unexpected events without significant disruptions to their operations.
4. Enhance their creditworthiness: Companies with strong cash flows are often viewed as more financially stable by lenders, leading to better borrowing terms and increased access to capital.
In summary, firms with more cash flows generally have more resources to invest in real assets, which can drive business growth and improve their competitive position in the market.
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8. Many people consider knowledge to be a fifth factor of production.
While land, labor, capital, and entrepreneurship are traditionally considered the four factors of production, some economists argue that knowledge should be added as a fifth factor.
Knowledge plays a crucial role in the modern economy, particularly in sectors such as technology, healthcare, and education. It enables individuals and organizations to innovate, adapt, and improve their productivity and efficiency.
Therefore, investing in knowledge creation and dissemination can lead to significant economic growth and development.The concept of knowledge as a factor of production was first proposed by economist Fritz Machlup in the 1960s. Machlup argued that knowledge is a non-rival and non-excludable resource that can be used by multiple individuals and organizations simultaneously. He believed that the production and distribution of knowledge should be treated as a distinct economic activity and emphasized the importance of investing in education and research to promote economic growth.
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A firm is currently an all equity firm with a total market valueof $11,500,000 with 1,200,000 shares of stock outstanding. The firmhas expected EBIT of $1,440,000 if the economy is normal and$1,870 ,000 if the economy booms. The firm is considering a $4,500,000 bond issue with an attached interest rate of 6 percent. The bond proceeds will be used to repurchase shares. Ignore taxes. What will the earnings per share be after the repurchase if the economy is normal?
The earnings per share after the repurchase if the economy is normal will be $1.60.
Step 1. Calculate the interest expense on the bond issue:
$4,500,000 x 0.06 = $270,000
Step 2. Calculate the net income under normal economic conditions:
Expected EBIT - Interest Expense
= $1,440,000 - $270,000
= $1,170,000
Step 3. Calculate the number of shares repurchased:
$4,500,000 / (Total Market Value / Shares Outstanding)
= $4,500,000 / ($11,500,000 / 1,200,000)
= 468,000 shares
Step 4. Calculate the new number of shares outstanding:
1,200,000 - 468,000
= 732,000 shares
Step 5. Calculate the earnings per share after the repurchase under normal economic conditions:
Net Income / New Shares Outstanding
= $1,170,000 / 732,000
= $1.60
Therefore, the earnings per share after the repurchase if the economy is normal will be $1.60.
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a) Kethi Kittony is a portfolio manager for the Kiganda Fund (Kiganda), a core large-cap equity fund. The market proxy and benchmark for performance measurement purposes is the NSE20. Although the Kiganda portfolio generally mirrors the asset class and sector weightings of the S&P, Kittony is allowed a significant amount of leeway in managing the fund. Her portfolio holds only stocks found in the NSE20 and cash. Kittony was able to produce exceptional returns last year (as outlined in the table below) through her market timing and security selection skills. At the outset of the year, she became extremely concerned that the combination of a weak economy and geopolitical uncertainties would negatively impact the market. Taking a bold step, she changed her market allocation. For the entire year her asset class exposures averaged 50% in stocks and 50% in cash. The NSE20's allocation between stocks and cash during the period was a constant 97% and 3%, respectively. The risk-free rate of return was 2%. One-Year Trailing ReturnsKiganda Fund , NSE2Return 10.2% -22.5% Standard deviation 37% 44% Beta 1.10 1.00 i. ii. What are the Sharpe ratios for the Kiganda Fund and the NSE20? (4 marks) Blend the Kiganda Fund with a position in T bills such that the adjusted' portfolio has the same volatility as the market index. What is the return of this portfolio? Use this return to calculate M for Kiganda (4 marks) What is the Treynor measure for the Kiganda Fund and the NSE20? (4 marks) What is the Jensen measure for the Kiganda Fund? (3 marks) iv. b) During a particular year, the T-bill rate was 6%, the market return was 14%, and a portfolio manager with beta of 0.5 realized a return of 10%. Evaluate the manager based on the portfolio alpha. (3 marks) c) My pension plan will pay me KES 10,000 once a year for a 10-year period. The first payment will come in exactly 5 years. The pension fund wants to immunize its position. i. What is the duration of its obligation to me? The current interest rate is 10% per year. (6 marks) ii. If the plan uses 5-year and 20-year zero-coupon bonds to construct the immunized position, how much money ought to be placed in each bond? (3 marks) iii. What will be the face value of the holdings in each zero? (3 marks) 30 MARKS
Th Duration of portfolio is 1.35. This initial portfolio duration is higher than the duration of the obligation, so we need to adjust the amounts invested.
a) i. The Sharpe ratio is calculated as the excess return over the risk-free rate divided by the standard deviation of the returns.
For the Kiganda Fund:
Sharpe ratio = (10.2% - 2%) / 37% = 0.204
For the NSE20:
Sharpe ratio = (-22.5% - 2%) / 44% = -0.55
ii. To blend the Kiganda Fund with T-bills such that the adjusted portfolio has the same volatility as the market index, we need to find the weight of T-bills that will achieve this.
Market volatility = 44%
Kiganda volatility = 37%
Adjusted portfolio volatility = 44%
Let x be the weight of T-bills.
0.5²(0.37²) + x²(0.06²) + 2(0.5)(x)(0.37)(0.06)(0.10) = 0.44²
Solving for x, we get x = 0.694.
Therefore, the adjusted portfolio consists of 30.6% Kiganda Fund and 69.4% T-bills.
The return of this portfolio is:
Return = (0.306)(10.2%) + (0.694)(2%) = 4.03%
M for Kiganda is:
M = (10.2% - 2%) / 0.37 = 21.89
iii. The Treynor measure is calculated as the excess return over the risk-free rate divided by the beta.
For the Kiganda Fund:
Treynor measure = (10.2% - 2%) / 1.10 = 6.91
For the NSE20:
Treynor measure = (-22.5% - 2%) / 1.00 = -24.50
The Jensen measure is calculated as the excess return over the expected return from the security market line (SML), which is defined as the intercept of the SML minus the risk-free rate multiplied by the beta.
For the Kiganda Fund:
Expected return from SML = 2% + 1.10(14% - 2%) = 13.6%
Jensen measure = 10.2% - 13.6% = -3.4%
b) The portfolio alpha is the difference between the actual return and the expected return predicted by the security market line (SML).
Expected return from SML = 6% + 0.5(14% - 6%) = 10%
Portfolio alpha = 10% - 10% = 0%
Since the portfolio alpha is zero, the manager's return is in line with what is expected given their beta.
c) My pension plan will pay me KES 10,000 once a year for a 10-year period. The first payment will come in exactly 5 years. The pension fund wants to immunize its position.
i. What is the duration of its obligation to me? The current interest rate is 10% per year.
To calculate the duration of the pension plan's obligation, we can use the formula:
Duration of obligation = (Present value of cash flows weighted by time) / Present value of cash flows
The present value of the cash flows can be calculated as follows:
PV = (10,000 / (1 + 0.1)⁵) + (10,000 / (1 + 0.1)⁶) + ... + (10,000 / (1 + 0.1)¹⁴)
PV = 10,000 [(1 / 1.1⁵) + (1 / 1.1⁶) + ... + (1 / 1.1¹⁴)]
PV = 10,000 (4.868)
The present value of the cash flows is KES 48,680.
The weighted present value of the cash flows can be calculated as follows:
WPV = (10,000 x 5 / (1 + 0.1)⁵) + (10,000 x 6 / (1 + 0.1)⁶) + ... + (10,000 x 14 / (1 + 0.1)^¹⁴)
WPV = 10,000 [(5 / 1.1⁵) + (6 / 1.1⁶) + ... + (14 / 1.1¹⁴)]
WPV = 10,000 (6.138)
The weighted present value of the cash flows is KES 61,380.
Using these values, we can calculate the duration of the obligation:
Duration of obligation = (61,380 / 48,680)
Duration of obligation = 1.26 years
Therefore, the duration of the pension plan's obligation is 1.26 years.
ii. If the plan uses 5-year and 20-year zero-coupon bonds to construct the immunized position, how much money ought to be placed in each bond?
To construct an immunized position, the pension plan needs to invest in bonds that have a combined duration equal to the duration of its obligation. The duration of a zero-coupon bond is equal to its maturity.
Let X be the amount invested in the 5-year bond and Y be the amount invested in the 20-year bond. Then, we can set up the following equations:
X + Y = 48,680
(5X / (1 + r)⁵) + (20Y / (1 + r)²⁰) = 1.26
where r is the annual interest rate. We can solve for X and Y using these equations.
One possible approach is to use trial and error to find values of X and Y that satisfy the equations. For example, we can start by assuming that X = 20,000 and Y = 28,680. Then, we can calculate the duration of the portfolio:
Duration of portfolio = (5X / (1 + r)⁵) + (20Y / (1 + r)²⁰)
Duration of portfolio = (5 x 20,000 / (1 + r)⁵) + (20 x 28,680 / (1 + r)²⁰)
Duration of portfolio = 1.35
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The following extract of Balance Sheet of Gaurav Ltd. Was obtained: Balance Sheet (Extract) as on 31st March, 2018 Liabilities Rs. Authorised capital: 90,000, 14% preference shares of Rs.100 90,00,0009,00,000 Equity shares of Rs.100 each 9,00,00,000 9,90,00,000 Issued and subscribed capital:67,500, 14% preference shares of Rs.100 each fully 67,50,000 paid 5,40,000 Equity shares of Rs.100 each, Rs.80 paid- 4,32,00,000 up Share suspense account 90,00,000 Reserves and surplus Capital reserves (Rs.6,75,000 is revaluation reserve) 8,77,500 Securities premium 2,25,000Secured loans: 5,92,500 15% Debentures2,92,50,000 Unsecured loans: Public deposits16,65,000Cash credit loan from SBI (short term) Current Liabilities:Trade Payables 15,52,500Assets: Investment in shares, debentures, etc. 3,37,50,000 Profit and Loss account (Dr. balance) 68,62,500 Share suspense account represents application money received on shares, the allotment of which is not yet made. You are required to compute effective capital as per the provisions of Schedule V. Would your answer differ if Gaurav Ltd. is an investment company?
The answer would not differ, and the effective capital would still be Rs. 5,04,77,500.
According to Schedule V of the Companies Act, the effective capital of Gaurav Ltd. can be calculated using the given information:
Effective Capital = Issued and Subscribed Capital + Reserves and Surplus - Revaluation Reserve + Securities Premium
1. Issued and Subscribed Capital:
- 14% Preference Shares: 67,500 shares x Rs. 100 = Rs. 67,50,000
- Equity Shares: 5,40,000 shares x Rs. 80 = Rs. 4,32,00,000
2. Reserves and Surplus (excluding Revaluation Reserve):
- Total Reserves: Rs. 8,77,500
- Revaluation Reserve: Rs. 6,75,000
- Reserves and Surplus (excluding Revaluation Reserve): Rs. 8,77,500 - Rs. 6,75,000 = Rs. 2,02,500
3. Securities Premium: Rs. 2,25,000
Now, we can calculate the effective capital:
Effective Capital = (Rs. 67,50,000 + Rs. 4,32,00,000) + Rs. 2,02,500 + Rs. 2,25,000
Effective Capital = Rs. 5,04,77,500
If Gaurav Ltd. is an investment company, the method of calculating the effective capital remains the same. Therefore, the answer would not differ, and the effective capital would still be Rs. 5,04,77,500.
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A. Either P or Q. If P then R. If Q then R. Therefore, R. What deductive form is this? B. If P then Q. If Q then R. Therefore, if P then R. What deductive form is this? C. Either P or Q. Not P. Therefore, Q. What deductive form is this?
A. The deductive form of this argument is called Disjunction Elimination (also known as the Constructive Dilemma). It has the following form:
1. Either P or Q
2. If P, then R
3. If Q, then R
Conclusion: Therefore, R
B. The deductive form of this argument is called Hypothetical Syllogism. It has the following form:
1. If P, then Q
2. If Q, then R
Conclusion: Therefore, if P, then R
C. The deductive form of this argument is called Disjunctive Syllogism. It has the following form:
1. Either P or Q
2. Not P
Conclusion: Therefore, Q
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___________________________ represents the amount of sales that is generated by a particular marketing activity such as as a sales promotion
Irregular sales
Atypical sales
The term "atypical sales" represents the amount of sales that is generated by a particular marketing activity such as a sales promotion. Atypical sales, also known as irregular sales, deviate from the normal or average sales pattern and may occur due to various reasons.
In the context of marketing activities, atypical sales help businesses measure the effectiveness of their sales promotions and marketing campaigns. When a company launches a new promotion, the goal is to increase sales and boost revenue. Atypical sales, in this case, would be the additional sales generated as a direct result of the marketing activity, as they deviate from the regular sales pattern.
To determine the impact of a sales promotion, one can follow these steps:
1. Establish a baseline for regular sales by analyzing historical sales data during periods without promotions.
2. Implement the sales promotion and monitor sales closely during the promotional period.
3. Compare the sales data from the promotional period with the baseline to identify the increase in sales that can be attributed to the promotion.
4. Analyze the results to determine the overall success of the marketing activity and make informed decisions for future campaigns.
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a company has the following information. what is accounts receivable turnover? average total assets $1,632,600 average fixed assets 812,000 total revenue 2,914,000 average accounts payable 107,000 average inventory 431,425 average accounts receivable 214,785 cost of goods sold 1,965,000 a company has the following information. what is accounts receivable turnover? average total assets $1,632,600 average fixed assets 812,000 total revenue 2,914,000 average accounts payable 107,000 average inventory 431,425 average accounts receivable 214,785 cost of goods sold 1,965,000 4.55 13.57 18.36 9.15
The accounts receivable turnover for the company is approximately 13.57.To calculate accounts receivable turnover, we need to divide total revenue by the average accounts receivable. So in this case, the accounts receivable turnover would be:2,914,000 / 214,785 = 13.57
Therefore, the accounts receivable turnover for this company is 13.57.
To calculate the accounts receivable turnover for the company, we will use the following formula:
Accounts Receivable Turnover = Net Credit Sales / Average Accounts Receivable
In this case, we have the following information:
- Total revenue: $2,914,000 (assuming all sales are credit sales)
- Average accounts receivable: $214,785
Now, let's plug these numbers into the formula:
Accounts Receivable Turnover = $2,914,000 / $214,785
Accounts Receivable Turnover ≈ 13.57
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a purchase occurs when a package of assets are acquired for a single purchase price amount.
A purchase occurs when a package of assets, which may include tangible and intangible items such as property, equipment, or intellectual property, is acquired for a single purchase price amount.
1. Identifying the package of assets: Determine which assets are included in the package that will be acquired.
2. Negotiating the purchase price: Both the buyer and seller negotiate a single purchase price amount for the entire package of assets.
3. Agreeing on terms and conditions: The buyer and seller agree on the terms and conditions of the transaction, such as payment terms, warranties, and potential liabilities.
4. Preparing necessary documentation: The parties draft and review any legal documents required for the transaction, such as purchase agreements, contracts, and title transfers.
5. Completing payment: The buyer transfers the agreed-upon purchase price amount to the seller, often through a secure method such as a wire transfer or certified check.
6. Transferring ownership: The seller transfers ownership of the assets to the buyer, including any necessary documentation such as deeds or patents.
7. Recording the transaction: Both parties maintain records of the transaction for accounting, legal, and tax purposes.
In summary, a purchase involving a package of assets takes place when multiple assets are acquired together for a single purchase price amount, with both parties following a series of steps to ensure a smooth and legally binding transaction.
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27) When a stockholder contributes a building to a corporation in exchange for stock, 12... on... A) assets increase and stockholders' equity increases B) assets increase and stockholders' equity decr
When a stockholder contributes a building to a corporation in exchange for stock, assets increase and stockholders' equity increases.
This is because the building is now considered an asset of the corporation, and the stock issued to the stockholder represents their ownership interest in the corporation, which increases their equity stake.
1. The stockholder contributes a building to the corporation, which increases the corporation's assets (specifically, property, plant, and equipment).
2. In exchange for the building, the corporation issues stock to the stockholder. This increases the stockholders' equity, as the corporation now has more outstanding shares.
So, the correct answer is that both assets and stockholders' equity increase when a stockholder contributes a building to a corporation in exchange for stock.
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The Overnight Construction Company has just signed a collective hargaining contract wherein it agrees that all workers it hires must be unice members in good standing at the time they are hired. This provision reflects: a. a closed shop b. a union shop c. an open shopd. an agency shop
The provision that all workers hired by The Overnight Construction Company must be union members in good standing at the time of hiring reflects a closed shop.
A closed shop is a workplace where only union members can be hired and all employees are required to maintain their union membership in good standing throughout their employment. This means that even if an employee chooses to leave the union, they must still pay union dues and fees as a condition of employment.
A union shop, on the other hand, allows non-union employees to be hired, but they must become union members within a certain timeframe. An open shop does not require union membership as a condition of employment, but employees can choose to join the union if they wish. An agency shop is a type of union security agreement where employees are not required to join the union, but they must pay union dues or a fee equivalent to union dues.
In this case, the provision in the collective bargaining agreement clearly states that all workers hired by The Overnight Construction Company must be union members in good standing. This means that the company operates as a closed shop, which can provide job security for union members and strengthen the union's bargaining power.
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151. Planning a career guarantees successful employee development. True False
False. While planning is an important aspect of career development, it does not guarantee successful employee development.
Career development is a complex and ongoing process that involves many factors, including education and training, work experience, networking, and personal motivation. Developing a career plan can be helpful in setting goals and identifying strategies for achieving those goals, but it is not a guarantee of success. Success in career development also depends on factors such as the availability of opportunities, the support of employers and mentors, and the ability to adapt to changing circumstances. Additionally, success means different things to different people, and what one person considers successful employee development may not be the same as what another person considers success. Ultimately, career development is a personal journey that requires dedication, hard work, and a willingness to take risks and learn from failures.
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]classify the following transactions as taking place in the secondary markets: check all that apply. the magellan fund buys $100 million of previously issued ibm bonds. prudential insurance co. sells $10 million of gm common stock. choice 2 ibm issues $200 million of new common stock. choice 3 the new company issues $50 million of common stock in an ipo. ibm sells $5 million of gm preferred stock out of its marketable securities portfolio.
The transactions that take place in the secondary markets are:
A: The Magellan Fund buys $100 million of previously issued IBM bonds.
B: Prudential Insurance Co. sells $10 million of GM common stock.
E: IBM sells $5 million of GM preferred stock out of its marketable securities portfolio.
The transactions that take place in the primary markets are:
C: IBM issues $200 million of new common stock.
D :The new company issues $50 million of common stock in an IPO.
Secondary markets refer to financial markets where securities that have already been issued are bought and sold by investors. In these markets, investors trade previously issued securities amongst themselves, without any involvement from the issuing companies. The most common secondary markets include stock exchanges, bond markets, and futures markets. These markets offer liquidity and transparency to investors, as well as an opportunity to buy or sell securities at market prices.
Secondary markets also play a crucial role in capital formation, as they allow companies to raise additional funds by issuing securities in the primary markets, knowing that investors can later trade those securities in the secondary markets.
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in the presence of profits, firms enter a perfectly competitive market until the market reaches the point at which the firms are generating a profit; then entry stops and the market settles into its -run equilibrium. (make sure to put only one word in each blank.)
In the presence of profits, firms enter a perfectly competitive market until the market reaches the point at which the firms are generating a profit; then entry stops and the market settles into its long-run equilibrium.
In this type of market, firms are motivated by profit maximization. If a firm is earning profits, other firms will notice and be motivated to enter the market to earn those profits themselves.
This entry of new firms into the market increases the supply of the product, which leads to a decrease in the market price. As the market price falls, profits for all firms decrease, and some firms may exit the market if they are no longer able to cover their costs.
This process of entry and exit continues until the market price reaches the point where firms are earning zero economic profit, also known as the long-run equilibrium.
At this point, the market price is equal to the minimum average total cost of production, including a normal rate of return on investment. In this equilibrium, there is no incentive for firms to enter or exit the market, and the number of firms in the market remains constant.
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When researchers divide the population of interest in a study into groups and then arbitrarily choose participants from each group, they are using
a) quota sampling.
b) selective surveying.
c) random sampling.
d) stratified sampling.
e) researcher samples.
The research method described in the question is called stratified sampling. This method involves dividing the population of interest into subgroups or strata based on certain characteristics such as age, gender, or income level, and then selecting participants from each stratum.
The goal of stratified sampling is to ensure that the sample is representative of the population and that each stratum is proportionally represented in the sample. This method is often used when there are important subgroups within the population that may differ in important ways that could affect the outcome of the study. For example, if a study was looking at the effectiveness of a new medication for treating a specific disease, it would be important to ensure that the sample included participants from different age groups, genders, and disease severity levels. This would help to ensure that the results of the study are applicable to the broader population. Stratified sampling is different from random sampling, which involves selecting participants at random from the population without regard to specific characteristics or subgroups.
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Things I regularly spend money on:
Purpose Amount Frequency
Rent $200 Weekly
Food $100 Weekly
Transport $100 Monthly Phone & Internet $100 Monthly University Expenses $8,000 50% in Jan, 50% in July Vehicle Expenses $600 50% in Mar, 50% in Oct Insurance $60 Monthly
Holidays $1,000 In December Eating out $30 Weekly
Entertainment $25 Monthly Things that are mine:
Item Value
Motor Scooter $3,000
Mobile Phone $1,200
Laptop Computer $1,800
Text-books $450
Television $500 Kayak $1,500 Other stuff I can think of: Amount Item Part-time work weekly income $300
Extra holiday work annual income ($3,000 in each of Jan, Feb, Jul & Dec) $12,000
KiwiSaver Account Balance$15,000 Credit Card balance owing$600
Credit Card usual monthly payments $30
Vehicle Loan$400
Vehicle Loan usual monthly payments (Final payment due in August) $50 Student Loan $8,600 Everyday Savings Account $1,200 Unpaid phone bill from last month $60 Last month credit card payment not made $30
Lunch money borrowed from a friend $20 1. Current situation analysis
a. Create a Balance Sheet at 1st January 2022
b. Calculate the Solvency ratio and Liquidity ratio Future cash flow analysis) c. Prepare a Monthly Budget for the year 1st January to 31st December 2022
d. Clearly identify the month-end bank balances (cash surpluses or deficits).
e. Identify two ways you might consider balancing your budget for 2022.
In the balance sheet Total Liabilities is $10800 and Total assets is $10800.
a. Balance Sheet as of January 1, 2022:
Assets Value Liabilities and Equity Value
Motor Scooter $3,000 Credit Card balance owing $600
Mobile Phone $1,200 Credit Card usual monthly payments (liability) $30
Laptop Computer $1,800 Vehicle Loan $400
Text-books $450 Vehicle Loan usual monthly payments (liability) $50
Television $500 Student Loan $8,600
Kayak $1,500 Unpaid phone bill from last month $60
KiwiSaver Account Balance $15,000 Lunch money borrowed from a friend $20
Everyday Savings Account $1,200 Rent (liability) $800
Interim Dividend payable (liability) $90
Final Dividend payable (liability) $250
Total Liabilities $10,800
Shareholder's Equity $11,150
Total Liabilities and Equity $22,950
b. Solvency ratio = Shareholder's Equity / Total Assets = $11,150 / $22,950 = 0.486 or 48.6%
Liquidity ratio = (Everyday Savings Account + KiwiSaver Account Balance) / (Rent + Food + Transport + Phone & Internet + Insurance) = ($1,200 + $15,000) / ($200 + $100 + $100 + $100 + $60) = 83.3%
c. Monthly Budget for the year 1st January to 31st December 2022:
Purpose Amount
Rent $800
Food $400
Transport $100
Phone & Internet $100
University Expenses $400
Vehicle Expenses $50 (in Mar, Oct)
Insurance $60
Holidays $83.33 (in Dec)
Eating out $120
Entertainment $25
Credit Card payments $30
Student Loan payments $300 (in Jan, Jul)
Vehicle Loan payments $450 (Jan-Aug)
Everyday Savings $100
d. Month-end bank balances:
Month Balance
January $570
February $840
March -$1,160
April $1,240
May $1,410
June $1,580
July $1,750
August -$260
September $910
October -$1,010
November $1,080
December -$917.67
e. Two ways to balance the budget for 2022 are:
Cut down on eating out and entertainment expenses to free up more funds.
Consider finding a part-time job to increase income and cover expenses.
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need answer as soon as possibleJennifer owns 140 shares of Suncor common stocks. Assume that Suncor's quarterly dividend is $0.90 per share. What is the amount of the dividend Jennifer will receive for this quarter? (Omit the "S" s
Jennifer will receive a total dividend of $126 for this quarter.
A dividend is a payment made by a corporation to its shareholders as a distribution of its profits or earnings. Dividends are typically paid in cash, but they can also be paid in the form of additional shares of stock or other property.
Dividends are usually paid out on a regular basis, such as quarterly or annually, and they are typically declared by the corporation's board of directors. The amount of the dividend per share is determined by the board of directors, and it can vary based on the company's financial performance and other factors.
To calculate the amount of the dividend Jennifer will receive, we need to multiply the number of shares she owns by the dividend per share.
140 shares x $0.90 per share = $126
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In computing your predetermined overhead rate, you will divide estimated overhead by actual revenue estimated overhead by he estimated driver estimated driver by estimated overheadestimated sales revenue by estimated overhead
In computing your predetermined overhead rate, you will divide the estimated overhead by an estimated driver. The estimated driver could be direct labor hours, machine hours, or any other measure that is expected to have a strong correlation with overhead costs. This approach helps allocate overhead costs more accurately to different products or services.
To calculate the predetermined overhead rate, the formula is:
Predetermined overhead rate = Estimated overhead / Estimated driver
For example, if a company estimates its total overhead costs to be $500,000 for the year and estimates that it will use 10,000 machine hours, the predetermined overhead rate would be:
Predetermined overhead rate = $500,000 / 10,000 machine hours = $50 per machine hour
This rate can then be used to apply overhead costs to products or services based on their actual usage of the estimated driver (in this case, machine hours).
It is important to note that the estimated driver should be based on a reasonable and accurate forecast of the actual usage. Otherwise, the predetermined overhead rate may not reflect the actual overhead costs incurred, leading to inaccurate costing and pricing decisions.
The answer is the explanation of how to calculate predetermined overhead rate so the correct question to be asked would be how is predetermined overhead rate calculated?
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In ________ cultures, similarity to peers is more important for predicting career advancement.
A) egalitarian
B) individualistic
C) collectivistic
D) affective
E) sociocentric
C) Collectivistic cultures, similarity to peers is more important for predicting career advancement.
In collectivistic cultures, such as many Asian cultures, the emphasis is on group harmony and consensus, and individual achievement is often subordinate to the goals of the group. As a result, similarity to peers, such as shared values, education, and social background, is often considered more important than individual achievement in predicting career success. In collectivistic cultures, the norms of the group, such as loyalty, cooperation, and seniority, are important factors in determining who is promoted and who is not.
In contrast, individualistic cultures, such as those found in Western societies, place a greater emphasis on individual achievement and merit, and promotion is often based on an individual's skills, qualifications, and performance. In individualistic cultures, it is not uncommon for people to change jobs or even careers in pursuit of their own interests and goals, even if it means leaving their social network behind.
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When a business's expenses are greater than its revenues, the business is operating at a(n)
When a business's expenses are greater than its revenues, the business is operating at a financial loss. This situation indicates that the company is spending more money on its operations, such as production, marketing, and administration, than it is earning from its sales or other income-generating activities. Operating at a loss can be detrimental to a business, as it can lead to cash flow problems, jeopardize its ability to pay off debts, and negatively impact investor confidence.
There can be several reasons for a business to experience a financial loss, such as a decline in demand, increased competition, or economic downturns. In some cases, it may be a temporary situation, such as when a company is in the initial stages of growth and making significant investments in infrastructure or research and development. In other cases, consistent losses may indicate deeper issues with the company's business model or management.
To address this situation, a business must analyze its operations to identify areas where it can cut costs, increase efficiency, or improve its products or services. This may involve reassessing its pricing strategy, reducing operational expenses, or exploring new revenue streams. Implementing effective cost management and revenue generation strategies can help a business turn around its financial performance and achieve profitability in the long run. It is essential for businesses to monitor their financial health regularly and take proactive measures to ensure they maintain a sustainable balance between expenses and revenues.
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The following are methods of determining marketing communications budgets, except:
A) objective and task
B) payout planning
C) sales-response function curve
D) quantitative methods
The following are methods of determining marketing communications budgets, except D) quantitative methods. The other options, A) objective and task, B) payout planning, and C) sales-response function curve, are all valid methods for budget determination in marketing communications.
D) quantitative methods is not a method of determining marketing communications budgets. The other three options listed are methods of determining marketing communications budgets: A) Objective and task method involves setting specific objectives for a marketing campaign and then estimating the costs of achieving those objectives.
B) Payout planning method involves setting a predetermined budget amount and then allocating it among various marketing initiatives based on their expected return on investment. C) Sales-response function curve method involves using statistical analysis to identify the relationship between marketing spending and sales, and then determining an appropriate budget based on that relationship.
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A tube having a cylindrical shape of length equals to 100 m and diameter equals to 13 cm passes through a room. If the temperature of the outer surface of the tube is 110 "C and the temperature of the air in the room is 10 °C. Determine the rate of heat transfer by convection from the tube to the air. The heat transfer coefficient h = 13 W/ m2.K. on O a 445 W b. 99.8 kW c. 53.091 kW
The rate of heat transfer by convection from the tube to the air is 53.091 kW (option c).
To determine the rate of heat transfer by convection from the tube to the air, we need to use the equation
Q=hA (Ts-Ta),
where Q is the rate of heat transfer, h is the heat transfer coefficient, A is the surface area of the tube, Ts is the temperature of the outer surface of the tube and Ta is the temperature of the air in the room.
First, we need to find the surface area of the tube. The diameter is given as 13 cm, so the radius is 6.5 cm. The surface area of a cylinder is 2πrh+2πr², where r is the radius and h is the length.
Therefore, the surface area of the tube is 2π(6.5 cm)(100 m) + 2π(6.5 cm)²= 4,370.7 m².
Substituting the given values in the equation Q=hA (Ts-Ta),
we get Q = (13 W/m².K)(4,370.7 m²)(110-10)°C = 53,091 kW.
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Partnerships have the advantage over sole proprietorships of pooled knowledge and____ resources
Partnerships hold a significant advantage over sole proprietorships in terms of pooled knowledge and shared resources. Unlike a sole proprietorship, where one individual is responsible for all aspects of the business, a partnership is a business structure that involves two or more individuals working together. This collaboration brings various skills, expertise, and perspectives, creating a diverse and knowledgeable team.
One of the main benefits of partnerships is the ability to pool financial resources. Partners can contribute capital, assets, and resources, thereby strengthening the financial foundation of the business. This financial support can facilitate business growth and make it easier to access additional funding from lenders and investors.
Another advantage is the distribution of responsibilities and workload. In a sole proprietorship, the owner must manage all tasks and make all decisions, which can be overwhelming. In a partnership, however, the workload and decision-making are shared among partners, reducing individual stress and allowing each person to focus on their strengths.
Furthermore, partnerships provide a support network, which is particularly useful in challenging times. Partners can rely on each other for guidance, encouragement, and assistance, making it easier to overcome obstacles and adapt to changes in the business environment.
In summary, partnerships offer several advantages over sole proprietorships, primarily due to the pooling of knowledge and shared resources. This collaborative approach enables business growth, more effective decision-making, and a supportive network that can benefit all partners involved.
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natalie heads the operations of lumia corp. she detests the method of getting things done through a hierarchical system. she displays high levels of flexibility and maintains a good working relationship with her co-workers. this implies that natalie applies ___________ in her organization. A. Earnings leadership B. Democratic leadership C. Operational leadership D. Lateral leadership
Natalie applies lateral leadership in her organization.
Lateral leadership involves working collaboratively with co-workers and stakeholders across different levels and departments of an organization. It is a leadership style that values flexibility, creativity, and the ability to adapt to change.
Natalie's dislike of the hierarchical system, along with her ability to maintain good working relationships with her co-workers, suggests that she fosters a culture of open communication, mutual respect, and trust within her team.
This approach can lead to increased innovation, improved decision-making, and a more inclusive workplace culture. By prioritizing lateral leadership, Natalie is able to leverage the strengths and perspectives of her colleagues to achieve the goals of the organization.
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131. The three basic developmental strategies for organizations are cognitive, behavioural, and environmental. True False
False. The three basic developmental strategies for organizations are managerial, normative, and participative.
Cognitive, behavioral, and environmental strategies are subcategories used within three basic Strategies.The three basic developmental strategies for organizations are managerial, normative, and participative.
Managerial strategy involves training and development programs that focus on the skills and knowledge required for management positions. This strategy is aimed at developing leaders within the organization who can effectively manage people and resources.
Normative strategy involves the development of a set of shared values, beliefs, and norms that guide the behavior of employees within the organization. This strategy is aimed at creating a cohesive culture within the organization.
Participative strategy involves involving employees in decision-making processes, problem-solving, and goal setting. This strategy is aimed at developing the skills and abilities of employees and creating a sense of ownership and commitment to the organization.
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g which of the following is not a right of shareholders? receive an annual dividend vote on major issues trade shares of the company sue for wrongful acts inspect the company's books
Based on the terms provided, the option that is NOT a right of shareholders is "receive an annual dividend." The correct option is to receive an annual dividend.
Receive an annual dividend as not all companies necessarily pay dividends, and the decision to do so is typically at the discretion of the board of directors. In some cases, a company may choose to reinvest profits back into the business rather than pay dividends to shareholders.
Receive an annual dividend: Shareholders have the right to receive a portion of the company's profits, known as a dividend, if and when the company's board of directors decides to pay them. However, not all companies pay dividends, and the amount of the dividend can vary based on the company's financial performance and other factors.
Therefore, the correct option is to receive an annual dividend.
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Which of the following is a criterion that influences manufacturing plant or warehouse facility location decisions?
a. Proximity to customers
b. Corporate policy
c. Competitor's locations
d. Competitive advantage
e. Host-community politics
A: Proximity to customers is a criterion that influences manufacturing plant or warehouse facility location decisions.
The location of a facility should be close to its customers to reduce transportation costs and improve delivery time. This proximity can also help companies to better understand their customers' needs and preferences, which can lead to more effective production and marketing strategies. Other criteria that may influence facility location decisions include access to transportation infrastructure, availability of skilled labor, cost of utilities, and government incentives.
Option A is answer.
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which is the most widely used political and economic system in the world today?
a.) socialsim
b.)capitalism
c.)command
d.)communism
While there are certainly criticisms and drawbacks to capitalism, it remains the dominant economic system in the world today. Its emphasis on competition, innovation, and individual freedoms has proven attractive to many countries and individuals seeking economic growth and prosperity.
The most widely used political and economic system in the world today is capitalism. This system is based on private ownership of property and the means of production, with the goal of generating profit and promoting economic growth. Capitalism allows for competition among individuals and businesses, which is believed to encourage innovation and efficiency. It also allows for individuals to accumulate wealth and invest in new ventures, further fueling economic growth.
While socialism, command, and communism have been implemented in various countries around the world, they have not gained as widespread adoption as capitalism. Socialism and communism prioritize the collective good over individual interests, while command economies are centrally planned by the government. These systems have faced criticism for limiting individual freedoms and stifling economic growth.
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the four basic steps in the sales comparison approach is _
By following the four basic steps in the sales comparison approach, an appraiser can accurately estimate the value of a property based on recent sales of similar properties.
Here are the steps:
1. Identify Comparable Properties: The first step is to find properties that are similar to the subject property in terms of location, size, features, and condition. These comparable properties should have recently sold in the market.
2. Adjust for Differences: Since no two properties are exactly the same, adjustments need to be made to account for any differences between the subject property and the comparables. This may include factors such as age, condition, or unique features.
3. Apply the Adjusted Comparable Sales: Once the adjustments have been made, the adjusted sales prices of the comparable properties can be used as a basis for determining the value of the subject property. This may involve calculating an average or weighted average of the adjusted sales prices.
4. Reconcile and Report the Final Estimate: After analyzing the adjusted comparable sales, the appraiser will reconcile the various estimates to arrive at a final estimate of value for the subject property. This estimate should be supported by the data and analysis conducted in the previous steps.
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isabel is a 40% partner in the ice partnership. during the current year, ice reported gross receipts of $160,000 and a charitable contribution of $10,000. the partnership paid expenses of $120,000. in addition, ice distributed $10,000 each to partners isabel and emiki. isabel reports which of the following income from ice during the current tax year?
Isabel is a 40% partner in the ICE partnership. During the current year, ICE reported gross receipts of $160,000 and a charitable contribution of $10,000. The partnership paid expenses of $120,000. In addition, ICE distributed $10,000 each to partners Isabel and Emiki. To determine the income Isabel reports from ICE during the current tax year, follow these steps:
1. Calculate ICE's net income:
Net Income = Gross Receipts - Expenses
Net Income = $160,000 - $120,000
Net Income = $40,000
2. Determine Isabel's share of the net income:
Isabel's Share = Net Income * Ownership Percentage
Isabel's Share = $40,000 * 40%
Isabel's Share = $16,000
3. Calculate the adjusted net income, considering the charitable contribution:
Adjusted Net Income = Net Income - Charitable Contribution
Adjusted Net Income = $40,000 - $10,000
Adjusted Net Income = $30,000
4. Determine Isabel's share of the adjusted net income:
Isabel's Adjusted Share = Adjusted Net Income * Ownership Percentage
Isabel's Adjusted Share = $30,000 * 40%
Isabel's Adjusted Share = $12,000
5. Add the cash distribution to Isabel's adjusted share:
Isabel's Reported Income = Isabel's Adjusted Share + Cash Distribution
Isabel's Reported Income = $12,000 + $10,000
Isabel's Reported Income = $22,000
Therefore, Isabel reports $22,000 income from ICE during the current tax year.
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146. There are three types of criteria on which to evaluate training plans: reaction, knowledge and behaviour. True False
here are three types of criteria on which to evaluate training plans: reaction, knowledge and behaviour. True.
These three types of criteria are commonly used to evaluate training plans:
Reaction criteria: This evaluates the learners' immediate response to the training program, such as their satisfaction with the training, their level of engagement, and their interest in the material.
Knowledge criteria: This evaluates the learners' level of understanding of the material presented in the training program. This can be measured through assessments, quizzes, or other forms of testing.
Behaviour criteria: This evaluates the learners' application of the knowledge gained from the training program in their work or daily life. This can be measured through observation, surveys, or performance metrics.
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