$ 1,500,000 they can pay in dividends this year.
As per the Residual dividend policy company will pay Dividends after cutting the investment cost from total earnings.
Therefore Total Dividend Pay this Year = Total Earning - Investment.
Therefore Total Dividend Pay this Year = 2800000 - 1300000
Therefore Total Dividend Pay this Year = $ 1,500,000
A residual dividend coverage calculates dividends paid to shareholders, primarily based on the number of earnings ultimately after capital expenditures had been paid.
Agencies that pay residual dividends use cash go with the flow to cover expenses first, then pay dividends to shareholders from the amount it truly is left over.
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judy nicely, cfa, works for a large brokerage firm managing portfolios for individuals. in a meeting with patty owen, a client, nicely suggests moving a portion of owen's portfolio to u.s. bank certificates of deposit. nicely states that the principal is guaranteed up to federal deposit insurance corporation limits. nicely has:
Complied with CFA Institute Standards of Professional Conduct.
A bank certificate is only a letter from the bank that details how much money the account holder has on the date the certificate is sought, among other information. The Bank Statement, on the other hand, details all transactions made by the account holder from one certain date to another.
What is Bank certificates ?A certificate of deposit (CD) is a type of savings account where the issuing bank pays interest in exchange for holding a specified sum of money for a predetermined length of time, such as six months, a year, or five years. You will receive the amount you initially invested plus any interest when you cash in or redeem your CD.
What is federal deposit insurance corporation limits ?For each category of account ownership, the usual insurance amount is $250,000 per depositor, each insured bank. For deposits held in various account ownership types, the FDIC offers different levels of coverage.
Deposits are insured by the FDIC, which also oversees receiverships, makes huge and complicated financial institutions resolvable, and inspects and supervises financial institutions for safety, soundness, and consumer protection.
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in providing water tightness to an exterior wall. which strategy(ies) have been proven feasible and more likely to succeed?
The strategy can be used to provide water tightness to an exterior wall is barrier wall approach, sealing every joint/seam in the wall with membranes, sealants, or gaskets regardless of surface conditions or workers' skill level.
There are my different shape of barrier wall systems, but they all serve the same goals — preventing the flow of air, water, and vapor from entering or exiting a building. A barrier wall protects a building from weather often accros the use of a single component. Barrier wall can be used to a system of external wall assembly that maintains weather-tightness by preventing the intrusion of air, water and vapour.
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suppose a firm generates a lot of cash but has limited investment opportunities. is this stock more likely to be a utility stock or a technology stock? in addition, is the stock more likely to provide a high or low dividend yield? a utility stock that has a low dividend yield a utility stock that has a high dividend yield a technology stock that has a low dividend yield a technology stock that has a high dividend yield
It is more likely that a company's stock will be chosen as a technology stock over a lengthy period of time if it earns a lot of cash but offers few investment prospects.
Additionally, the dividend yield can vary depending on the stock.If the company has a lot of cash on hand, there may be more possibility to generate consistent quarterly profits.
The potential upside opportunity can be bigger when there is a lot of cash invested in utility stocks as well as receiving dividend income.
Utilities are a fantastic investment for people who desire high dividend yields and recession-proof companies in their portfolio because they are an integral element of the country's daily life.Because utility firms are regional, investors have a variety of enterprises to pick from.
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the levels of organizational culture are multiple choice strategy, mission, and values. stability and flexibility. observable artifacts, espoused values, and basic underlying assumptions. clan, hierarchy, market, and adhocracy. identity, commitment, and stability.
The layers of corporate culture are visible signs, ideals that are upheld, and fundamental underlying presumptions.
What are assumptions examples?An assume is something you believe to be true despite the lack of evidence. People could presume, for instance, you are a nerd when you don spectacles, even when it is untrue.
Why do People make assumptions?The procedure of making assertions is one way the brain preserves energy. When find patterns in the way the world functions, we lean on our prior experiences. When we come across new circumstances, we adapt these patterns—or presumptions—to the new setting. This method spares us the effort of reexamining every circumstance from scratch.
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a court declares jimi to be mentally incompetent and appoints krispin to be his guardian. later, without krispin's knowledge, jimi signs a contract to sell his lake cabin to lazar for its real market value. the contract is
Jimi signs a contract to sell his lake cabin to lazar for its real market value. the contract is void.
What is meant by void contract ?
A formal contract that is effectively invalid and unenforceable from the moment it is established is known as a void contract.
Although both contracts may be voided for related reasons, a void contract varies from a voidable one.
If a contract cannot be enforced as written, it may be ruled invalid.
Invalid contracts can arise when one of the parties is unable to completely understand the ramifications of the agreement. For example, a person who is mentally ill or intoxicated may not be sufficiently sober to comprehend the terms of the agreement, making it void.
Agreements made by minors or for illicit purposes may likewise be declared void.
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shelley has a $180,000, 9%, 15-year loan. using an amortization schedule, what is the interest amount for payment 2?
The principal balance before Payment 4 is made is the same as the principal balance after Payment 3 - $178,558.24.
A principal balance is, at its most basic, the amount outstanding on a loan that needs to be repaid to satisfy the debt. It does not take into account future interest or fees that will accrue. The principal balance is equal to the full amount of money initially borrowed minus what has Payment already been paid against it, without adding in any of the interest that needs to be paid.
$180,000 ÷ 1,000 = $180 X 10.15 = $1,827.
Table Factor = 10.15 ((N = 15, i = 9%))
$180,000 × 9% × 1/12 = $1,350.
$1,827 - $1,350 = $477.
$180,000 - $477 = $179,523 principal balance before Payment 2.
$179,523 × 9% interest × 1/12 = $1,346.42.
$1,827 - $1,346.42 = $480.58.
$179,523 - $480.58 = $179,042.42 the principal balance before Payment 3.
$179,042.42 x 9% interest × 1/12 = $1,342.82.
$1,827 - $1,342.82 = $484.18.
$179,042.42 - $484.18 = $178,558.24 the principal balance after Payment 3 and before Payment 4.
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hugh tries his best to convince irene about a new business proposal, but irene presents some good counterarguments and stalls the proposal. this is an example of
This is an example of Resistance.
Why counterarguments are important?A position that contradicts your main argument is known as a counterargument. A strong persuasive writing and speaking strategy should include counterarguments, since they demonstrate that you have thought about opposing viewpoints.In addition, they give you the ability to argue against the adversary and support your perspective. A counterargument strengthens your ethos (credibility) since it demonstrates justice in your persuasive essay.Hugh's proposition was questioned by Irene, demonstrating her ability to correctly investigate certain topics. This mindset is beneficial, especially when we are unsure of a certain topic. By doing this, we may support the idea's proponents in their efforts to make improvements to the particular topic.
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Hugh tries his best to convince Irene about a new business proposal, but Irene presents some good counterarguments and stalls the proposal This is an example of Resistance.
Why counterarguments are important?A position that contradicts your main argument is known as a counterargument.A strong persuasive writing and speaking strategy should include counterarguments, since they demonstrate that you have thought about opposing viewpoints.In addition, they give you the ability to argue against the adversary and support your perspective.A counterargument strengthens your ethos (credibility) since it demonstrates justice in your persuasive essay.Hugh's proposition was questioned by Irene, demonstrating her ability to correctly investigate certain topics. This mindset is beneficial, especially when we are unsure of a certain topic. By doing this, we may support the idea's proponents in their efforts to make improvements to the particular topic.To learn more about counterarguments, refer to
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when a country does not adopt a formal pegged rate, but tries to keep its currency within some range of a reference currency, this is called a(n) blank system.
A blank system is used, when a nation does not adopt a formal fixed rate but still tries to keep its currency within a certain range of a reference currency.
What is currency?Currency is defined as a unit of account that is issued by a government and is accepted at face value.
The definition of "equivalent amount" gives the term "currency" the definition given there. Reference Currency refers to the currency in which the applicable Sub-underlying Fund's assets are all valued and reported.
When a currency's value is fixed in relation to a reference currency, such as the U.S. dollar, the exchange rate between that currency and other currencies is then set by the exchange rate of the reference currency.
Later, Marshall Shalin's developed the concept of three modes of exchange, which could be detected throughout more specific civilizations than just Capitalist and Non-Capitalist. He did this by using Karl Polanyi's work. These are market exchange, reciprocity, and redistribution.
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the state income tax where kristin lives is levied at the rate of p\%p% of the first \$ 28000$28000 of annual income plus (p 2)\%(p 2)% of any amount above \$ 28000$28000. kristin noticed that the state income tax she paid amounted to (p 0.25)\%(p 0.25)% of her annual income. what was her annual income?
Kristin's annual income is $32000.
Let A, and T be Kristin's annual income and the income tax total, respectively.
T = p%×28000+(p+2)%×(A-28000)
= p%×28000+ p%×(A-28000) + 2%×(A-28000)
=p%×A+2%×(A-28000)
According to the question,
T=(p+0.25)%×A=p%×A+0.25%×A
p%×A+2%×(A-28000) = (p+0.25)%×A=p%×A+0.25%×A
2%×(A-28000) = 0.25%×A
A = $32000
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how much the bond price will be if the market rate is the same as the coupon rate for a $1,000 face value bond? how much the same bond will be priced if the maturity is only 3 months away when market rate has dropped 2% below the coupon rate?
If the Market rate and coupon rate are the same, then the bond price can't change which means the bond price is the same as the face value, so here the Bond price will be $1000 as it's not changed because the market rate and coupon rate are the same.
If the 2% decrease in bond interest rate then the bond price is increased above par value so there is a market premium, so the bond price will be increased by 2% = $1020
The stocks and the bond price are generally related to each other. When the price of the bond begins to fall, the stock market will plummet too. Stock returns and bond returns can both be negative. The price which investors are willing to pay is known as the bond price. The market price of the bond consists of two parts. The face value of the bond represents the first part and the bond interest payment represents the second part.
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write names of any four equipment that uses modern technology
Answer:
routers
Internet modems
desktop or notebook computers
servers
headsets
The four pieces of equipment that use modern technologies are an Internet modem, a Router, an internet switch, An Uninterruptable Power Supply (UPS)
Internet modem
The term "modem" is misleading because it dates back to the time when a digital signal was required to be modulated before being sent over an analog phone line and demodulated upon arrival.
However, every firm needs a link between an Internet Service Provider (ISP) and an office network.
Router
Every device on a network may receive a different IP address from a router. This is necessary for features like shared printing and scanning.
Anyone with the necessary credentials can connect securely to network devices from home or while on the go by setting up a virtual private network (VPN) on a router.
An Internet switch
Physical ports on routers are often few. Fortunately, a switch may be used to connect a router. Switches can have up to 48 ports. Stacking switches is another option. Therefore, each VoIP phone in your office that has, let's say, 24 lines will require a port (although a VoIP phone and a computer can be daisy-chained to a single switch port).
An Uninterruptable Power Supply (UPS)
A few hundred dollars to many thousands of dollars can be spent on a UPS, and companies like CyberPower provide a variety of products in this price range.
Low-end UPSs can run modems, routers, and switches for a few hours during a power outage because they consume little power. Employees with fully charged laptops can keep working.
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what is the difference between the deductions from employee paychecks termed levies and garnishments?
The difference between the deductions from employee paychecks termed levies and garnishments is that the levies are ordered by the federal government and garnishment by the courts.
Wage garnishments are deducted from an employee's pay in accordance with a court order to pay back a debt or fulfill a legal requirement. The most frequent reasons for income garnishments include child support, unpaid taxes or credit card debt, defaulted school loans, medical expenses, and unpaid court costs.
Every pay period, up until you make other arrangements to pay your past-due taxes, a portion of your salary will be paid to the IRS if the IRS levies (seizes) your wages. You've paid all outstanding taxes you owe, or. The levy is released.
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A negative balance that remains after total expenses are subtracted from total income.
Deficit is the negative balance that remains after total expenses are subtracted from total income.
What is Deficit ?
A deficit happens in the financial sense when liabilities exceed assets, imports exceed exports, or costs exceed income. A surplus is the opposite of a deficit, which is a deficiency or loss. A government, business, or individual can have a deficit if they spend more money than they make in a specific time frame, often a year.
Running a deficit will decrease any present surplus or increase any existing debt, whether the situation is personal, business, or governmental. Deficits are often thought to be unsustainable in the long run for this reason.
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which of the following would most likely be classified as a current liability? a.two-year notes payable b.unearned rent c.bonds payable d.mortgage payable
Most likely, unearned rent would be categorised as a current liability.
Unearned rent represents the prepayment of rent that is recorded as a liability until the revenue is earned. The accounting journal entry is a debit to a cash account and credit to the unearned rent current liability account.
Is a 2 year bank loan a non current liability?
Bank loans: Bank loans are often a type of non-current liability because they are usually paid back over a period of time that is greater than one year. For example, a company may take out a five-year bank loan in order to finance the purchase of new equipment.
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firms that do not have access to the capital necessary to develop overseas operations should engage in a(n)
licensing agreement is a must to develop overseas operations
What is capital?
A factory and its equipment, intellectual property like patents, or a person's or a company's financial assets are all examples of things that offer their owner value or an advantage and fall within the expansive definition of capital. Despite the fact that money itself can be referred to as capital, the term is typically used to refer to cash used to buy items or make investments.
A firm should engage in licensing agreements to develop overseas operations A licensing agreement is a legal, written agreement between two parties known as a "licence agreement" that authorises one party to utilise another party's trademark, brand, or patent. The contract specifies the sort of licencing agreement, the usage guidelines, and the manner in which the licensor will be paid. It is made between the licensor (the property owner) and the licensee (the permitted party). Depending on what is being licenced, several contract types apply. Additionally, licencing agreements resolve disagreements regarding sales, quality problems, and royalties.
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dentify capital budgeting decisions. multiple select question. employee attainment decisions equipment replacement decisions expansion decisions product costing decisions
According to the facts in the question, the step of group decision-making being discussed is Analyzing the decision that needs to be made. They are being asked to “assess a condition. the answer is product costing decision.
Which implies that a decision has already been made and that they must examine it to ensure that it is exactly what they desire.It implies that ideals and unconsciously held abilities, reflexes, and habits constrain decision-makers.A model of decision-makers who use their own perception and sense of reason to address difficult issues is called limited rationality. This occurs when decision-makers search for answers based on their own constrained thinking, ignoring every technology process already in use, including data analysis and artificial intelligence, which are useful tools for minimising constraints.The drawback of limited rationality is that it doesn’t optimise the decision-making process.
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mr. garcia is planning for retirement. he deposits $650 each month into a retirement account. the account pays 9% per year compounded monthly. how much will he have in 17 years when he retires?
Since Mr. Garcia is planning for retirement and calculate his amount after 15 years of investment means he look for Future Value of an Annuity.
What are the present and future values?
The amount of money that has to be invested in order to accomplish a particular future goal is known as the present value. Future value is the dollar amount that, if invested, will grow over time. The amount you must invest in order to obtain the future worth is known as the present value.
An illustration of future value
The future value formula, FV=PV(1+i)n, increases the present value PV by a factor of 1 + I for each period into the future. The future value calculator calculates the FV using a number of variables, including: The whole present value. a large number of times, usually years. rate of interest.
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if a portfolio had a return of 12%, the risk-free asset return was 4%, and the standard deviation of the portfolio's excess returns was 25%, the sharpe measure would be
The sharpe ratio for a portfolio with return of 12%, risk-free asset return of 4% and excess return of 25% will be 32%.
Write a short note on Sharpe ratio.In finance, the Sharpe ratio compares an investment's performance to a risk-free asset after accounting for its risk. It is calculated by dividing the difference between the returns on the investment and the risk-free return by the standard deviation of the returns on investments. It is a way to gauge how much more money an investor makes for each unit of increased risk.
The Sharpe ratio aims to demonstrate how well an asset's return makes up for an investor's assumed risk.
To solve the question :
Sharpe Ratio will be calculated using the formula :
= (Rp−Rf)/σp
where,
Rp = return of portfolio
= 12/100
= 0.12
Rf = risk-free rate
= 4/100
= 0.04
σp = standard deviation of portfolio’s excess return
=25/100
= 0.25
Therefore, Sharpe Ratio will be:
= (Rp−Rf)/σp
= (0.12 - 0.04)/0.25
= 0.08/0.25
= 0.32 or 32%
Hence, the Sharpe ratio is 32%.
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a contra-asset account, such as allowance for doubtful accounts or accumulated depreciation, has a normal balance of a and causes total assets to . multiple choice question. credit; increase debit; increase credit; decrease debit; decrease
A Contra-asset account, such as Allowance for Doubtful Accounts or Accumulated Depreciation, has a normal balance of credit and causes total assets to decrease.
An economic entity or a business can own or control any resource as an asset. It is anything that has the potential to generate gains in terms of the economy. Assets are ownership value that can be exchanged for cash.
Assets include tangible things like machinery, real estate, raw materials, and inventory, as well as intangible things like patents, royalties, and other intellectual property. An account's balance is the amount still owing on it. In accounting, the term "balance" refers to the difference between the total of debit entries and the total of credit entries made into an account during a given financial period. A debit balance is displayed when there are more total debits than total credits.
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on july 8, jones inc. issued an $79,800, 6%, 120-day note payable to miller company. assume that the fiscal year of jones ends july 31. using a 360-day year, what is the amount of interest expense recognized by jones in the current fiscal year? when required, round your answer to the nearest dollar.
The amount of interest expense recognized by jones in the current fiscal year is $306
The following illustrates how interest costs were calculated:
= Principal * Interest * Days * Days * Rate of Interest (total number of days in a year)
Simple interest is a simple and straightforward formula for figuring out how much interest will be charged on a loan. The daily interest rate, the principal, and the number of days between payments are multiplied to determine simple interest.
Simple interest is calculated by dividing the principal by the time, interest rate, and time period. "Simple Interest = Principal x Interest Rate x Time" is the written formula. This is the most fundamental formula for calculating interest.
= $79800.00 x 6% x (23 / 360)
= $305.98
The nearest dollar is $306
the period of 23 days runs from July 8 to July 31.
By multiplying the principal amount by the rate of interest and the duration, we simply applied the basic interest formula.
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an insured who had a life insurance policy for $1 million died. in filing the claim, his wife and children discovered that there was no beneficiary named on the policy. what will happen to the death benefit in this case?
In this case the Life insurance with no beneficiary will paid out to the insured's estate. A probate court then decides where the money goes.
What do you mean by life insurance?
Life Insurance tends to provide for financial support in the event of untimely death as well as acts as a long term investment. Beneficiaries of life insurance mainly include the policyholder appointed to receive the guaranteed death benefit of their life insurance policy. It is the person who is entitled to receive the benefits of the policy. In case without a mentioned beneficiary to claim the death payout, the benefit is paid to the deceased's estate
Life insurance majorly includes
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which of the following is a false statement regarding the benefits of netnography for companies? a. the findings from netnography can be generalizable. b. understand consumer preferences in a product category c. understand consumer choices and identify industry trends d. help product engineers develop new and improve existing products e. assist companies in developing marketing strategies
The following is a false statement regarding the benefits of netnography for companies the findings from netnography can be generalizable.
Some of the ability benefits of netnography encompass the provision of simply reachable facts that may lessen a number of the time-ingesting nature of ethnographic studies through offering extra sources for contrast and study, substantially decreased charges relative to standard fieldwork strategies while. The barriers of netnography draw from the want for researcher interpretive skill, and the dearth of informant identifiers gift withinside the online context that may cause issue generalizing outcomes to businesses out of doors the sample.
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2) according to your notes, which of the following are true about the business cycle? a) as output falls, unemployment rises. b) economic fluctuations are irregular and unpredictable. c) most macroeconomic quantities fluctuate together. d) all of the above.
Business cycles are periodic because they follow regular boom-and-bust cycles.
Which four phases comprise the business cycle?
The expansion, peak, contraction, and trough phases of the cycle are the four stages. The current stage of the economic cycle can be determined by looking at things like GDP, interest rates, the number of people employed, and consumer spending.
Which four factors drive business cycles?
The movement of the gross domestic product (GDP), the availability of capital, and expectations regarding the future are all factors that contribute to the business cycle. There are typically four distinct phases to this cycle: peak, contraction, trough, and expansion.
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a stock is expected to pay dividends of $1.20 per share in year 1 and $1.35 per share in year 2. after that, the dividend is expected to increase by 2.5% annually. what is the current value of the stock at a discount rate of 14.5%? $ (keep 2 decimal digits in your final answer)
If a stock is expected to pay dividends of $1.20 per share in year 1 and $1.35 per share in year 2. the current value of the stock at a discount rate of 14.5% is $10.87.
How to find the current value of the stock?First step is to find the price inn year 2 (P2)
P2 = D3 ÷ (r - g)
Price in year 2= 1.35 × 1.025 ÷ (0.145 - 0.025)
Price in year 2 = $1.38375 ÷ (0.145 - 0.025)
Price in year 2 = $1.38375 ÷ 0.12
Price in year 2= $11.53125
Now let find the current price
Current Price = $1.20 ÷ 1.145^1 + $1.35 ÷ 1.145² + $11.53125 ÷ 1.145²
Current Price = $10.87
Therefore the current price is $10.87.
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the expected returns for acme company are shown below: economy probability return boom 0.10 20% above average 0.20 15% average 0.40 10% below average 0.20 5% recession 0.10 -10% calculate expected return and standard deviation for acme.
The expected return shows the typical rate of return that investors might anticipate receiving over a sufficient amount of time.
What is return probability?Expected return is simply a measure of probabilities intended to show the likelihood that a given investment will generate a positive return, and what the likely return will be. The purpose of calculating the expected return on an investment is to provide an investor with an idea of probable profit vs risk.
Data and Calculations:
Scenario Probability Expected Expected Variance Squared
Return Value Variance
A 0.2 +30% 0.06 0.045 0.002025
B 0.3 +15% 0.045 0.03 0.0009
C 0.1 -10% -0.01 -0.005 0.000025
D 0.4 -20% -0.08 -0.065 0.004225
The expected return is 1.5%.
= 1.5%
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as a business owner who sells products to customers and a consumer who purchases products from other sellers, dinesh has a deep understanding about the perceived value received when purchasing a good or service. he decides to teach his son, who will eventually take over the business, about this concept. what does dinesh tell his son that he will be teaching him about?
As a business owner who sells products to customers and a consumer who purchases products from other sellers, dinesh tell that he will be teaching his son about perceived value. received when purchasing a good or service.
The perceived value comes down to the price the public is willing to pay for a good or service. Even a snap decision pf perceived value made in a store aisle involves an analysis of a product's ability to fulfill a need and provide satisfaction compared to other products under different brand names.
The perceived value is a customer's own perception of a product or service's merit or desirability to them, especially in comparison to a competitor's product. The perceived value is measured by the price the public is willing to pay for a good or service.
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a company is planning to have a booth at a job fair to recruit for landscapers. in order to help potential applicants decide whether they are a good fit for the job, the company should:
A corporation intends to attract landscapers by setting up a stand at a job fair. To assist potential applicants in determining whether they are a suitable match for the position, the firm could have a current employee who is a landscaper to staff the booth and explain both the benefits and drawbacks of the work. Thus, the right answer is to have a current employee who is a landscaper help staff the booth and tell interested people both the plusses and minuses of the job.
What are the qualities of a good applicant?Concentrate on your personality or personal characteristics that distinguish you as the ideal candidate for the position. You may also highlight qualities that are unique to you because not many people have them, and they will undoubtedly make you the best applicant for the post.
Attributes of a Desired Candidate
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Why is cash rather than petty cash credited when a petty cash fund is replenished?.
Your "Cash Account" will be credited because it will be debited on your "Petty Cash Account" when your petty cash is replenished.
The reason for credit entry on Cash Account and debit entry on Petty Cash Account is because of double entry accounting system. Cash Account and Petty Cash Account are recorded on a separate journal, therefore when a petty cash fund is replenished, you will have to credit your cash on your cash account journal entry because you take money out from it and then you put it into your petty cash account and make a separate journal entry on your petty cash account showing that money has been put into it and therefore debited on your Petty Cash account.
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garden-grow products is considering a new investment whose data are shown below. the equipment would be depreciated on a straight-line basis over the project's 3-year life, would have a zero salvage value, and would require some additional working capital that would be recovered at the end of the project's life. revenues and other operating costs are expected to be constant over the project's life. what is the project's npv?
The NPV of the project by Garden - Grow Products, given the depreciation, and cash flows, is $23,852.37.
How to find the NPV?To find the NPV, we need to find the cash inflows in the three years that Garden - Grow Products embarked on the project.
First find the annual depreciation:
= Net investment in fixed assets / 3 years
= 75, 000 / 3
= $25, 000
The profit before taxes for each of the three years:
= Sales - depreciation - operating costs
= 75, 000 - 25, 000 - 25, 000
= $25, 000
After tax profit is then:
= 25, 000 x ( 1 - tax rate)
= 25, 000 x (1 - 35%)
= $16, 250
The cash flows in year 1 and 2 each is:
= After tax profit + Depreciation
= 16, 250 + 25, 000
= $41, 250
The cash flows in year 3 is:
= 41, 250 + 15, 000 working capital
= $56, 250
The NPV is then:
= Present value of cash inflows from 3 years - Investment into project
= 41, 250 / 1.1 + 41, 250 / 1.1² + 56, 250 / 1.1³ - 90, 000
= $23,852.37
The rest of the question is:
WACC 10.0%
Net investment in fixed assets (basis) $75,000
Required new working capital $15,000
Straight-line depreciation rate 33.333%
Sales revenues, each year $75,000
Operating costs (excl. depreciation.), each year $25,000
Tax rate 35.0%
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sage hill technologies inc. applies manufacturing overhead based on machine hours. budgeted manufacturing overhead cost for the coming year is $759000 and budgeted machine hours are 330000 hours. actual manufacturing overhead totaled $96000. manufacturing overhead was overapplied by $36020. how many machine hours were actually used during the year? 330000 machine hours 57400 machine hours 759000 machine hours 33000 machine hours
Sage hill technologies inc. applies manufacturing overhead based on machine hours. 650 many machine hours were actually used during the year.
Variable overhead efficiency = (actual labor hours less budgeted labor hours) x hourly rate for standard variable overhead
= (870-500*2)*5 = 650 Favorable.
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