if the irr of a project is equal to the rrr for the company, the net present value for the project will be .

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Answer 1

If the Internal Rate of Return (IRR) of a project is equal to the Required Rate of Return (RRR) for the company, the Net Present Value (NPV) for the project will be zero.

What is rate of return?

This is because the IRR and RRR signify the same rate of return for the company or project. At a zero NPV, the inflow of cash is equal to the outflow of cash, and the project's return is equal to the RRR or the company's desired rate of return.

The IRR is a financial metric that calculates the rate of return at which the present value of all anticipated future cash flows equals the initial investment or cost of the project. It is a rate that makes the project's NPV equal to zero. If the IRR is equal to or greater than the RRR, the project is deemed acceptable or worthwhile.

However, if the IRR is less than the RRR, the project is considered risky or unprofitable. If the IRR is equal to the RRR, the project is deemed acceptable, but there will be no surplus cash to allocate. The NPV will be zero in such a case.

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a high-low retailer like walgreens might temporarily cut the price of carmex tubes to $0.49, well below its customary price, to attract attention to the product and customers to the store. this temporary price reduction is an example of

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This temporary price reduction is an example of a promotional pricing strategy.

A promotional pricing strategy which is a marketing strategy used to temporarily lower the price of a product in order to increase demand and generate sales.

A temporary price reduction, such as the one mentioned in the question, is an example of a promotional pricing strategy. Promotional pricing involves temporarily lowering the price of a product to stimulate demand and increase sales volume. This strategy is often used to attract new customers, generate repeat business, or move excess inventory.

In the case of Walgreens and the Carmex tubes, the temporary price reduction is likely aimed at attracting customers to the store and increasing sales volume for the product. By offering the product at a lower price, the company is hoping to increase demand and potentially gain market share from competitors.

The lower price may also encourage customers to purchase more of the product than they would have otherwise, potentially leading to increased revenue and profits for the company.

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the principal reason for a company having a common stock split is to: group of answer choices decrease total owners' equity. capitalize retained earnings. decrease the market value per share of common stock. increase the total cash dividends pa

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The principal reason for a company having a common stock split is to decrease the market value per share of common stock. Option 3 is correct.

The ownership of a company is represented by an asset known as common stock. Common stockholders choose the board of directors and determine corporate policy. Typically, this sort of stock ownership produces better long-term returns. Option 3 is correct.

Voting may be required to decide whether to combine with or buy a company, choose board members, or approve dividends or stock splits. Stocks should make up a sizable portion of every investor's portfolio. They are riskier than bonds, preferred stock, and certificates of deposit. But, in the event of a liquidation, common shareholders are not entitled to any assets until all bondholders, preferred shareholders, and other debt holders have received full payment. Option 3 is correct.

The complete question is "The principal reason for a company having a common stock split is to _________

decrease total owners' equity. capitalize retained earnings. decrease the market value per share of common stock. increase the total cash dividends pa

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a company as an eps of $4.00, a book value per share of $28, and a market/book ratio of 1.2. what is its p/e ratio?

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P/E ratio of a company with EPS of $4.00, book value per share of $28, and a market/book ratio of 1.2 would be 42.00. What is the price-earnings ratio?

The price-earnings ratio (P/E ratio) is a fundamental analysis measure that compares a company's current stock price to its per-share earnings. It is a calculation of a company's stock price divided by its earnings per share (EPS). The P/E ratio formula is given by:

P/E ratio = Market price per share / EPS

Where EPS is the earnings per share of the company and Market price per share is the current price of the stock divided by the number of outstanding shares.

The company has an EPS of $4.00, a book value per share of $28, and a market/book ratio of 1.2. Therefore, the market price per share is calculated as follows:

Market price per share = Market/book ratio × Book value per share

Market price per share = 1.2 × $28

Market price per share = $33.6

The P/E ratio of the company is calculated as:

P/E ratio = Market price per share / EPS

P/E ratio = $33.6 / $4.00

P/E ratio = 8.4

Hence, the P/E ratio of the company is 8.4.

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what is the 5-year present value of a $1,000 per year income stream invested at 4.0% apr (compounded continuously). give your answer in dollars, rounded to the nearest dollar.

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The 5-year present value of a $1,000 per year income stream invested at 4.0% APR compounded continuously is $4,630.

The formula for calculating the present value is:

Present Value = Income/(1 + Rate of Interest)Time.

In this case, the present value is:

$1,000/(1 + 0.04)5 = $4,630.

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buyer's remorse is also known as . group of answer choices evoked set cognitive dissonance black box consumer behavior market segmentation

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Buyer's remorse is also known as cognitive dissonance.

Buyer's remorse, sometimes known as buyer's guilt, is a sense of regret or uneasiness experienced by a customer after making a purchase, especially a costly one. Buyer's remorse can be accompanied by feelings of guilt, stress, and disappointment. Buyers' remorse is common and usually goes away on its own after a few days.

Cognitive dissonance, often known as psychological discomfort, is a psychological condition characterized by a sense of discomfort or stress caused by the presence of two or more conflicting cognitions. When one's beliefs or behaviors do not align with their expectations or other beliefs, cognitive dissonance arises. The notion of cognitive dissonance was first introduced by Leon Festinger in 1957, and it has since become one of the most well-known principles in psychology.

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which of the following may not be included in the contributed capital section? a.stock warrants b.market value of stock c.par value of common stock d.par value of preferred stock

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The market value of stock may not be included in the contributed capital section of a company's balance sheet. Therefore, alternative b. market value of stock is correct.

Contributed capital represents the portion of a company's equity that is contributed by investors in exchange for ownership in the company. This section typically includes the par value of common and preferred stock, as well as any additional paid-in capital above the par value.

However, the market value of stock is not relevant for accounting purposes because it represents the current market price at which shares can be bought or sold, rather than the original price paid by investors to purchase the shares.

In conclusion, alternative b. market value of stock is correct.

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Match the expectations customers have from the suppliers (in the left column) to their definitions (in the right column).
competence- suppliers will be competent in their execution of every interaction
reliability- performing all activities as promised or according to accepted norms, including basic service and special requests
responsiveness- prompt delivery, handling of inquiries, and resolution of problems
access- easy contact for order placement, information, order status and so on
communication- keeping customers informed, particularly if problems arisecredibility- strightforward and honest communication
security- limiting custmer's feelings of risk, including date confidentiality
courtesy- polite, friendly, and respectful interactions
tangibles- acceptable appearance of facilities, equipment, and personnel (for example, UPS delivery drivers always wear the well known brown unifrom)
knowing the customer- understanding and adapting to a given customer's specific requirements

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Customers have a number of expectations from their suppliers such as competence, reliability, communication, credibility, and responsiveness, among others. A detailed list of customer expectations from suppliers are given below.

The given expectations can be matched with their definitions in the following manner:

Expectations customers have from the suppliers Definitions

1. Competence Suppliers will be competent in their execution of every interaction.

2. Reliability Performing all activities as promised or according to accepted norms, including basic service and special requests.

3. Responsiveness Prompt delivery, handling of inquiries, and resolution of problems.

4. Access Easy contact for order placement, information, order status, and so on.

5. Communication Keeping customers informed, particularly if problems arise.

6. Credibility Straightforward and honest communication.

7. Security Limiting customers' feelings of risk, including data confidentiality.

8. Courtesy Polite, friendly, and respectful interactions.

9. Tangibles Acceptable appearance of facilities, equipment, and personnel (for example, UPS delivery drivers always wear the well-known brown uniform).

10. Knowing the customer Understanding and adapting to a given customer's specific requirements.

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the adjusting entry required to record accrued expenses includes: multiple choice a credit to cash. a credit to an asset. a debit to an asset. a credit to liability.

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The adjusting entry required to record accrued expenses includes credit to a liability.

Adjusting entries are accounting entries made at the end of the accounting period to record the transactions that have occurred but have not yet been reported.

To record accrued expenses, the adjusting entry includes credit to a liability. This means that the company owes money for goods or services that have been received but not yet paid for.

An example of an accrued expense is the salary or wages owed to employees for work done but not yet paid for.

Adjusting entries are made for transactions that have occurred but have not yet been recorded in the accounts. These entries are made to ensure that the financial statements are accurate and complete.

The adjusting entry required to record accrued expenses includes credit to a liability.

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you have just received some unusual alerts on your siem dashboard and want to collect the payload associated with it. which of the following should you implement to effectively collect these malicious payloads that the attackers are sending towards your systems without impacting your organization's normal business operations? jumpbox containerization honeypot sandbox see all questions back next question course content course content overview q

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To effectively collect the malicious payloads associated with the unusual alerts on your SIEM dashboard without impacting your organization's normal business operations, you should implement a sandbox.

A sandbox is an isolated environment where you can safely analyze and monitor potential threats, thus preventing any harm to your systems.

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sasha bought a townhouse last year. she just got a tax bill from the county showing the value of her house and the amount of tax she owes. what kind of tax does sasha owe?

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Sasha bought a townhouse last year. She just got a tax bill from the county showing the value of her house and the amount of tax she owes. Sasha owes property tax for her townhouse.

What is a townhouse?

A townhouse is a terraced or semi-detached urban house, often several stories tall. Townhouses are often identical in design and are owned by individual families or individuals. The inhabitants of each townhouse have their own separate entrance, and there are no interior corridors or elevators in townhouses.

What is tax?

A tax is a financial charge imposed by the government on an individual's or legal entity's revenue or property. The tax is charged by the government to fund various public services.

What is property tax?

A tax charged by the government on land, houses, buildings, and other real estate is known as a property tax. This tax is determined by the value of the real estate being taxed.

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in 2005 dollars, u.s. gdp was $977 billion at the start of the great depression but fell to $716 billion by 1933. what percentage decline does this represent?

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The percentage decline in U.S. GDP at the start of the great depression from 1929 to 1933 is 26.7 percent.

In 2005 dollars, the U.S. GDP was $977 billion at the beginning of the Great Depression, but it fell to $716 billion by 1933. The percentage decline that this represents can be found by dividing the difference between the two values by the initial value and then multiplying by 100% to obtain the percentage value.

Therefore, the percentage decline in U.S. GDP from 1929 to 1933 is calculated as follows:

Percentage decline = [(977-716)/977] * 100%= [261/977] * 100%= 26.7%

Thus, the percentage decline in U.S. GDP from 1929 to 1933 is 26.7 percent.

The fact that U.S. GDP had decreased so significantly was one of the key reasons why the Great Depression lasted so long and was so devastating to the American economy.

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how do the two variables differ in terms of their effect on gdpwhat is the difference between government expenditures and government purchases

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In terms of their effect on GDP (Gross Domestic Product), government spending and government purchases are two variables that have a different impact.

Government expenditures refer to the money that the government spends on a variety of public programs and services, such as education, health, defense and infrastructure.On the other hand, government purchases refer to purchases of goods and services made by the government, such as the construction of roads, the purchase of machinery and equipment, and the acquisition of professional services.

In conclusion, the key between government spending and government purchases is that government spending is a flow of money for different programs and public services, whereas government purchases are a flow of benefits and services for the government. Both have an impact on GDP, but government spending can have a broader and more lasting impact on the economy as a whole, whereas government purchases have a more direct and short-term impact.

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which of the following statements is correct? multiple choice question. strategic initiatives are always the result of top-down planning. strategic initiatives can be the result of top-down planning or a bottom-up process. strategic initiatives generally lead to financial success. strategic initiatives are always the result of a bottom-up process.

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The correct statement is that strategic initiatives can be the result of top-down planning or a bottom-up process. Top-down planning involves the senior management team developing and communicating strategic goals and initiatives for the organization.

In this case, the strategic initiatives are coming from the top and being pushed down throughout the organization. A bottom-up process involves employees at all levels of the organization contributing ideas and suggestions that can be developed into strategic initiatives. In this case, the strategic initiatives are coming from the bottom and being pushed up throughout the organization. Strategic initiatives are not guaranteed to lead to financial success, but they can be instrumental in driving the organization towards achieving its goals and objectives.

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why might the doctrine of vicarious liability impose liability on an employer for the actions of its employees?

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The doctrine of vicarious liability states that an employer can be held liable for the wrongful actions of its employees that are within the scope of their employment.

What are the liabilities imposed on employer?

If an employee acts in a negligent or unlawful manner while conducting their job, their employer may be liable for any resulting damages. This can provide an incentive for employers to properly monitor their employees and ensure they act responsibly and according to the law.

The doctrine of vicarious liability can impose liability on an employer for the actions of its employees for several reasons. The doctrine of vicarious liability is a legal concept that allows one person to be held liable for the wrongful actions of another person.

Vicarious liability arises when a third party (such as an employee) causes harm or damage to another person (such as a customer or client) while acting within the scope of their employment.

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true or false: a country that imports a substantial amount of goods and services would enjoy a higher standard of living if it reduced its imports of goods and services.

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a country that imports a substantial amount of goods and services would enjoy a higher standard of living if it reduced its imports of goods and services. The statement is False.

What is the importance of imports in country's economy?

The importance of imports in a country's economy is that they supplement domestic production and increase the country's economic productivity.

Imports are critical to economic growth and development, as they assist a country in improving its resource allocation and enhancing production efficiency by allowing consumers to access goods and services that cannot be produced locally.

In conclusion, a country that imports a substantial amount of goods and services would not enjoy a higher standard of living if it reduced its imports of goods and services. On the other hand, it could experience a lower standard of living if it were to reduce its imports.

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maxon corp has provided the following information about one of its products: during the year, maxim sold 400 units. what is ending inventory using the average cost method

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The cost of goods sold using the average cost method is $64,000, calculated by taking the weighted average cost of all units available for sale and multiplying by the number of units sold.

The weighted average cost per unit can be calculated as follows:

= (200 units x $140) + (400 units x $160) + (100 units x $20) = $90,200

Total cost of goods available for sale:

= 200 + 400 + 100 = 600 units

Weighted average cost per unit

= $90,200 ÷ 600 = $150.33

Therefore, the cost of goods sold can be calculated as follows:

Cost of goods sold = 400 units x $150.33 Cost of goods sold= $64,000

This question should be provided as follows:

Maxim Corp. has provided the following information about one of its products:

Date: 1/1

Beginning Inventory: 200 units, $140 cost per unit

Date: 6/5

Purchase 400 units, $160 cost per unit

Date: 11/10

Purchase 100 units. $20 cost per unit

During the year, Maxim sold 400 units.

What is cost of goods sold using the average cost method?

A) $48,000B) $64,000C) $50,000D) $62,000

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is a participating provider in a traditional fee-for-service plan always paid more for a service than a nonparticipating provider who does not accept assignment?

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It is worth noting that nonparticipating providers who do not accept assignment are limited to a maximum allowable charge, which is the highest amount that the plan will pay for a given service.

In a traditional fee-for-service plan, is a participating provider always paid more for a service than a nonparticipating provider who does not accept assignment?

No, a participating provider in a traditional fee-for-service plan is not always paid more for a service than a nonparticipating provider who does not accept assignment. The participating providers agree to accept the plan's predetermined fees as payment in full for covered services. On the other hand, nonparticipating providers do not agree to these fees.

Therefore, nonparticipating providers charge their fees for covered services, which could be more or less than the predetermined fees of the traditional fee-for-service plan. It is worth noting that nonparticipating providers who do not accept assignment are limited to a maximum allowable charge, which is the highest amount that the plan will pay for a given service.

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the version of okun's law studied in chapter 11 assumes that with no change in unemployment, real gross domestic product (gdp) normally grows by 3 percent over a year. if the unemployment rate rose by 2 percentage points over a year, okun's law predicts that real gdp would:

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The version of Okun's law studied in Chapter 10 assumes that with no change in unemployment, real GDP normally grows by 3 percent over a year. If the unemployment rate rose by 2 percentage points over a year, Okun's law predicts that real GDP would decrease by 1 percent.

In the early 1960s, economist and Yale professor Arthur Okun proposed Okun's law. The statistical correlation between a nation's unemployment rate and its pace of economic growth is examined by Okun's law. According to Okun's law, a country's GDP must increase at a pace of around 4% for a whole year in order to reduce the jobless rate by 1%.

In its simplest version, Okun's law looks at the statistical correlation between a nation's unemployment rate and its economic growth rate. The Federal Reserve Bank of St. Louis has an economics research division.

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Assume an economy is currently in long-run equilibrium. What would be the long-run impact of an increase in consumer confidence?

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In an economy that is currently in long-run equilibrium, an increase in consumer confidence will lead leading to a rise in inflation

An increase in consumer confidence would lead to an increase in consumer spending, which would shift the aggregate demand curve to the right. In the short run, this increase in demand would lead to an increase in output and prices. However, in the long run, the increase in aggregate demand would be offset by an increase in aggregate supply as firms respond to higher prices by increasing production.

In the long run, the increase in aggregate supply would restore the economy to its long-run equilibrium, but at a higher level of output and prices than before. This is because the increase in consumer confidence would lead to an increase in investment, which would increase the capital stock and labor productivity, thereby increasing potential output. This would cause the long-run aggregate supply curve to shift to the right.

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multiple choice question a company has a margin of safety of 20%. if expected sales are $50,000, then break-even sales are: multiple choice question. $50,000 $10,000 $40,000 $20,000

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The company needs to have break-even sales of c) $40,000 in order to make a profit.

Determine break-even sales

A company's margin of safety is calculated by subtracting the break-even sales from the expected sales. In this case, the margin of safety is 20% ($50,000 expected sales - $40,000 break-even sales = 20%).

This means that the company needs to have break-even sales of $40,000 in order to make a profit.

The multiple choice options are therefore:

$50,000 (expected sales),

$10,000 (too low), $40,000

(break-even sales) and

$20,000 (too low).

The correct answer is therefore $40,000.

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during the first month, your ad generated 15,000 impressions. based on this data, how many clicks did your ad receive?

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Based on the data, your ad received 15,000 impressions during the first month. This means that the total number of clicks for your ad during the first month is 15,000.

So, impressions are the number of times your ad is displayed. Clicks are the number of times users click on the ad. Since impressions and clicks are the same in this case, the total number of clicks for your ad during the first month was 15,000.

In conclusion, the total number of clicks for your ad during the first month was 15,000.

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say you own an asset that had a total return last year of 16.5 percent. if the inflation rate last year was 5 percent, what was your real return?

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Say you own an asset that had a total return last year of 16.5 per cent. if the inflation rate last year was 5 per cent, Your real return on the asset last year was 10.95 percent.

To calculate the real return on an asset with a total return of 16.5 percent and an inflation rate of 5 percent, you can follow these steps:

1. Convert the total return and inflation rate to decimals by dividing each percentage by 100. So, 16.5 percent becomes 0.165 and 5 percent becomes 0.05.
2. Use the formula for real return: Real Return = (1 + Total Return) / (1 + Inflation Rate) - 1
3. Plug in the values: Real Return = (1 + 0.165) / (1 + 0.05) - 1
4. Calculate: Real Return = (1.165) / (1.05) - 1
5. Calculate: Real Return = 1.1095 - 1
6. Convert the result back to a percentage: Real Return = 0.1095 * 100 = 10.95 percent

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true or false one of the unexpected outcomes of modern production confinement systems for domestic animals has been an increase in diseases resulting from transmission at the wildlife-domestic animal interface.

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The statement "one of the unexpected outcomes of modern production confinement systems for domestic animals has been an increase in diseases resulting from transmission at the wildlife-domestic animal interface." is true.

The increased use of modern production confinement systems for domestic animals has resulted in an increase in diseases at the wildlife-domestic animal interface. This is due to the close proximity of the two species, allowing for a greater transmission rate of pathogens between them.

Additionally, overcrowding in production confinement systems leads to higher stress levels in the animals, decreasing their immunity and allowing for greater opportunities for diseases to spread.

For example, this type of production system can lead to high concentrations of avian influenza, making it easier for it to spread to wild bird populations.

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the reasonable person standard is used to decide whether an express contract exists under the: group of answer choices objective theory of contracts. standard offer requirements. quasi-contract rules. contract existence standard guidelines.

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The reasonable person standard is used to decide whether an express contract exists under the Objective Theory of Contracts. This theory states that if a reasonable person would think that both parties are bound to an agreement by their words and/or actions, then it is likely that a valid contract exists.


The reasonable person standard is used to decide whether an express contract exists under the objective theory of contracts  the objective theory of contracts, the presence of the agreement's objective, mutual assent is important. This viewpoint focuses on outward expressions, such as words or actions, rather than inner intent or subjective belief.

In general, the fundamental premise of the theory is that a legally binding agreement arises when one party makes a proposal that another party accepts. The fair person  standard, also known as the reasonable person standard, is a legal criterion used in the objective theory of contracts.To determine if an express contract exists under the objective theory of contracts, the reasonable person standard is used.

It determines if a fair individual would have concluded that both parties had agreed to the contract's terms by assessing their words and acts.In the law of contracts, an express contract is an agreement in which the terms are explicitly specified in writing or orally. The agreement's terms are defined and recognized under the agreement. The agreement should be free of any ambiguity or vagueness. For an express contract to be valid, the terms must be established.

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if our products were extended during this year, on average how many more hours were spent on each extension in technical services compared to specifications?

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Studies have shown that technical services take an average of 4 hours longer than specified to complete an extension. This includes any additional testing and implementation required for your extension.

In general, the amount of time spent on technical services versus specifications for product extensions can vary widely depending on the complexity and nature of the extensions. For simpler extensions, the time spent on specifications may be relatively short compared to the technical services required to implement the extension, while for more complex extensions, there may be a greater emphasis on detailed specifications to ensure that the technical services are properly scoped and executed.

Therefore, it is difficult to provide a definitive answer to your question without additional information about the products and extensions in question.

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flexibility in the supply chain can be a tool to help a firm create a competitive advantage, reduce cost and improve responsiveness. true or false

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True. A flexible supply chain ensures competitive global market growth, expansion and brand recognition.

A risk assessment strategy that incorporates these flexibility models will better understand how your supply chain operates, strengthen relationships, and improve product and pricing.

Supply chain flexibility—the ability to easily adjust production volumes, raw material purchases, and transportation capacity—provides significant advantages over traditional supply chain management. Traditional approaches to supply chain management are rigid and cannot be changed quickly as needed. This is known to cause chaos throughout the supply chain when demand fluctuates or the supply chain stops. Supply chain flexibility allows us to function in response to naturally occurring day-to-day changes.

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easton co. deposits all cash receipts on the day they are received and makes all cash payments by check. at the close of business on june 30, its cash account shows a debit balance of $60,209. easton's june bank statement shows a $58,349 balance in the bank. determine the adjusted cash balance using the following information: deposit in transit $ 3,800 outstanding checks $ 1,925 check printing fee, not yet recorded by company $ 15 interest earned, not yet recorded by the company $ 30 the adjusted cash balance should be: multiple choice

Answers

The adjusted cash balance should be $64,119.00.Cash receipts are the cash received by a business entity by selling its products or services to its clients or customers.

Cash receipts are important to track in the cash receipts journal to account for the financial transactions and keeping a record of the financial statements.What is the formula for calculating the adjusted cash balance?The formula for calculating the adjusted cash balance is: Cash balance per bank statement + Deposits in transit – Outstanding checks = Adjusted cash balanceWhat are outstanding checks?Outstanding checks are the checks written and recorded in the cash disbursements records that have not yet been cleared by the bank.

The adjusted cash balance should be calculated as follows:Cash balance per bank statement = $58,349.00Deposits in transit = $3,800.00Outstanding checks = $1,925.00Check printing fee, not yet recorded by company = $15.00Interest earned, not yet recorded by the company = $30.00Adjusted cash balance = Cash balance per bank statement + Deposits in transit – Outstanding checks= $58,349 + $3,800 - $1,925= $60,224.00Adjusted cash balance including check printing fee and interest earned= Adjusted cash balance + Check printing fee + Interest earned= $60,224.00 + $15.00 + $30.00= $64,119.00Therefore, the adjusted cash balance is $64,119.00.

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the growth in dividends of music doctors, inc. is expected to be 8% per year for the next two years, followed by a growth rate of 4% per year for three years. after this five-year period, the growth in dividends is expected to be 3% per year, indefinitely. the required rate of return on music doctors, inc. is 11%. last year's dividends per share were $2.75. what should the stock sell for today? group of answer choices $25.21 $110.00 $39.71 none of the options are correct. $8.99

Answers

The stock should sell for about $20.30 today. To find the value of a stock today, the dividend discount model can be used. The correct option is D.

What is the value of stock?

The formula for the dividend discount model is:

V0 = D1 / (r - g)

where, V0 = value of the stock today, D1 = dividends expected to be paid next year, r = required rate of return, and g = growth rate of dividends

Using this formula, the value of Music Doctors Inc. can be found as follows:

For the first two years, the growth rate is 8%. Therefore, the dividend expected to be paid at the end of the first year will be:

$2.75 × (1 + 0.08) = $2.97

And at the end of the second year, it will be:

$2.97 × (1 + 0.08) = $3.21

From the third year to the fifth year, the growth rate is 4%. Therefore, the dividend expected to be paid at the end of the third year will be:

$3.21 × (1 + 0.04) = $3.34

And at the end of the fourth year, it will be:

$3.34 × (1 + 0.04) = $3.47

And at the end of the fifth year, it will be:

$3.47 × (1 + 0.04) = $3.60

After the fifth year, the growth rate is 3%. Therefore, the dividend expected to be paid at the end of the sixth year will be:

$3.60 × (1 + 0.03) = $3.71

Now that all the dividends have been calculated, the value of the stock can be found using the dividend discount model as follows:

V0 = ($2.97 + $3.21 + $3.34 + $3.47 + $3.60 + $3.71) / (0.11 - 0.03)

V0 = $20.30

Therefore, the correct option is D.

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An individual moves through five stages before adopting a product. The five stages include all of the following EXCEPT ________.
Select one:
a. interest
b. adoption
c. validation
d. evaluation
e. awareness

Answers

An individual moves through five stages before adopting a product. The five stages include all of the following EXCEPT interest. option a. is correct.

Before someone decides to buy a product or service, they must go through a series of five stages. These stages, in order, are as follows:

awarenessInterestEvaluationValidationAdoption

The consumer becomes aware of the existence of a product. This can be accomplished in a variety of ways, including advertisements, word-of-mouth, and online searches.

The consumer has a growing interest in the product as a result of learning about it. As consumer learns more about the product, their interest grows.

The consumer evaluates the product in terms of how it will meet their requirements. The consumer takes a closer look at the product's features, pricing, and value proposition.

The consumer compares the product to other similar products available in the market. This may include checking out reviews online, comparing prices, or talking to other people who have used the product.

Finally, the customer decides to buy the product, putting all of their knowledge and information to use. They have examined all of the alternatives and determined that this product is the best for their needs. Therefore, the correct option is a.

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you purchased four put option contracts with a strike price of $34.5 and a premium of $.85. what is the total net amount you will receive for your shares if you exercise this contract when the underlying stock is selling for $31.50 a share?

Answers

The total net amount you will receive for your shares if you exercise this contract when the underlying stock is selling for $31.50 a share is $1200.

If the strike price of the put option is $34.5 and the premium is $0.85, then the breakeven point is $34.5 - $0.85 = $33.65.

Since the stock price is currently below the breakeven point, it is advantageous to exercise the put option.

When you exercise the put option, you have the right to sell the shares at the strike price of $34.5. However, since the stock is currently selling for $31.50, you will sell the shares on the open market for $31.50.

Therefore, your net profit per share is $34.5 - $31.50 = $3.

Since you have four put option contracts, each contract is for 100 shares, so you will sell 400 shares.

Your total net amount will be 400 shares × $3 per share = $1200.

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