When the Fed sells bonds to the bank and the public, the expected result is that:a) the supply of federal funds will rise, the federal funds rate will rise, and a contraction of the money supply will occur.b) the supply of federal funds will fall, the federal funds rate will rise, and a contraction of the money supply will occur.c) the supply of federal funds will rise, the federal funds rate will fall, and an expansion of the money supply will occur.d) the supply of federal funds will fall, the federal funds rate will fall, and an expansion of the money supply will occur.

Answers

Answer 1

When the Fed sells bonds to the bank and the public, the expected result is that option b) will occur.

The supply of federal funds will fall, the federal funds rate will rise, and a contraction of the money supply will occur. This is because when the Fed sells bonds, it is removing money from the system, thereby reducing the supply of federal funds.

As a result, banks will have less money to lend, causing the federal funds rate to increase. This increase in the rate will make borrowing more expensive, which will ultimately lead to a contraction in the money supply.

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Related Questions

insurance companies use to determine whom they will insure and what they will charge for insurance coverage.

Answers

Insurance companies use various factors to determine whom they will insure and what they will charge for insurance coverage. Some of the most common factors include age, gender, driving history, credit score, location, type of vehicle, and previous insurance coverage.

The goal is to assess the level of risk associated with the individual or property being insured, and then set premiums accordingly. For example, a young driver with a history of accidents is considered high-risk and will likely pay higher premiums than an older, more experienced driver with a clean record.

Ultimately, insurance companies want to ensure they are charging enough to cover potential losses while also remaining competitive in the market.

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One objective of a carefully managed compensation plan is to keep labor costs low. in order to achieve this objective, a firm should strive to keep wages, salaries, and benefits at or below the compensation levels of its competitors.
a. True
b. False

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True. A carefully managed compensation plan aims to balance the needs of the company with those of the employees while keeping labor costs low.

To achieve this objective, a company should compare its compensation levels with those of its competitors and adjust them accordingly to ensure they are not offering more than necessary.

This helps the company maintain its competitiveness while also controlling labor costs. A compensation plan is a comprehensive document that outlines the pay, perks, and terms of payment for your employees.

Plans for employee compensation contain information on potential bonuses, incentives, and commissions. Plans for pay may also include information on scheduled promotions and increments for years of service.

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your bank will pay you an interest rate of .082 percent per week. you want to have $20,500 in 7 years. how much will you have to deposit today? assume 52 weeks per year.

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You would need to deposit $10,010.17 today to have $20,500 in 7 years with an interest rate of .082 percent per week and assuming 52 weeks per year.

To calculate how much you need to deposit today to have $20,500 in 7 years with an interest rate of .082 percent per week, you need to use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:
A = the future value of the deposit
P = the principal amount (the amount you need to deposit today)
r = the interest rate per period (0.082 percent per week, or 0.00082)
n = the number of times the interest is compounded per year (52)
t = the number of years (7)

Plugging in the values, we get:

20,500 = P(1 + 0.00082/52)^(52*7)

Simplifying the exponent:

20,500 = P(1.0000157697)^364

Taking the exponent of both sides:

ln(20,500) = ln(P) + 364*ln(1.0000157697)

ln(P) = ln(20,500) - 364*ln(1.0000157697)

ln(P) = 9.908874 - 0.121745

ln(P) = 9.787129

Taking the antilogarithm of both sides:

P = e^9.787129

P = $10,010.17

Therefore, you would need to deposit $10,010.17 today to have $20,500 in 7 years with an interest rate of .082 percent per week and assuming 52 weeks per year.

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organizations today are concerned with how individuals use their communication technologies for non-work purposes because it costs them a significant
T
F

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Organizations today are indeed concerned with how individuals use their communication technologies for non-work purposes because it costs them a significant amount of time and resources (T). The reasons for this concern include:

1. Loss of productivity: When employees use communication technologies for non-work-related purposes, they spend less time focusing on their tasks, resulting in a decrease in overall productivity.

2. Increased costs: The use of communication technologies for non-work purposes can lead to higher costs, such as increased data usage, potential overage charges, and the need for additional IT support to manage and troubleshoot issues related to personal use.

3. Security risks: Personal use of communication technologies may introduce security vulnerabilities, as employees might access potentially harmful websites or download files that could contain malware or viruses, putting the organization's data and systems at risk.

4. Legal and compliance issues: Employees may use communication technologies to share or access sensitive information, which could result in the violation of privacy laws or industry-specific regulations, exposing the organization to legal and financial consequences.

5. Negative impact on workplace culture: Excessive personal use of communication technologies may lead to the perception of favoritism or unfairness among employees, creating a negative work environment and potentially affecting morale and employee retention.

To address these concerns, organizations often implement policies and guidelines on the acceptable use of communication technologies, provide training on responsible usage, and monitor employee usage to ensure compliance and maintain productivity.

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During onboarding at her new job, jana learned about the company's founder, its history, and its products and services. jana's onboarding has covered:___________

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During Jana's onboarding at her new job, she learned about the company's founder, its history, and its products and services. The purpose of onboarding is to help new employees get acclimated to their new work environment and feel comfortable in their new role. One important aspect of onboarding is to provide employees with a comprehensive understanding of the company they are working for, including its history and the products and services it offers.

The history of a company can be an important factor in helping new employees understand its values and mission. Knowing the origins of the company and how it has evolved over time can give employees a sense of pride and belonging. Additionally, understanding the products and services that the company offers is essential for employees to be able to effectively communicate the company's value proposition to customers.

In Jana's case, her onboarding has covered important areas that will help her understand the company she is working for. By learning about the founder of the company, Jana can gain insight into the company's culture and values. Knowing the history of the company can help Jana understand how the company has evolved and what its future goals. Finally, learning about the company's products and services will help Jana become familiar with what the company offers and how it is positioned in the market.

Overall, Jana's onboarding has covered important aspects of the company she is working for that will help her become a successful employee. By understanding the company's history, values, and products, Jana will be able to effectively contribute to the company's success.

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Dwayne Wales contributed equipment, inventory, and $106,000 cash to a partnership. The equipment had a book value of $50,000 and a market value of $56,000. The inventory had a book value of $100,000 but only had a market value of $30,000 due to obsolescence. The partnership also assumed a $24,000 note payable owed by Dwayne that was originally used to purchase the equipment. What amount should be recorded to Dwayne's capital account? a. $216.000 b. $232,000 c. $192.000 d. $168.000

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the amount recorded to Dwayne's capital account should be $168,000 (option d).
The question asks for the amount to be recorded to Dwayne's capital account, considering his contributions and the note payable assumed by the partnership

The total value of Dwayne's contribution is:

Equipment market value: $56,000
Inventory market value: $30,000
Cash: $106,000
Total: $192,000

However, the partnership assumed a note payable of $24,000, which should be deducted from Dwayne's contribution:

$192,000 - $24,000 = $168,000

Therefore, the amount recorded to Dwayne's capital account should be $168,000 (option d).
The question asks for the amount to be recorded to Dwayne's capital account, considering his contributions and the note payable assumed by the partnership.

To find the answer, follow these steps:

1. Start with the cash contribution: $106,000
2. Add the market value of the equipment: $56,000
3. Add the market value of the inventory: $30,000
4. Subtract the note payable assumed by the partnership: -$24,000

Now, perform the calculations:

$106,000 + $56,000 + $30,000 - $24,000 = $168,000

So, the amount that should be recorded to Dwayne's capital account is $168,000, which corresponds to answer choice d.

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Explain the doctrine of promissory estoppel, and provide an example
of a hypothetical case where a court might likely apply the
doctrine.

Answers

The doctrine of promissory estoppel is a legal principle that prevents a party from going back on their promise if the other party has relied on that promise to their detriment.

Essentially, if one party makes a promise to another and the second party relies on that promise and suffers harm as a result of that reliance, the first party may be prevented from going back on their promise. For example, let's say that a company promises an employee a promotion in exchange for the employee relocating to another city for the company. The employee sells their house, moves their family, and starts working in the new city, but the company never follows through on the promotion. In this case, the employee could potentially sue the company under the doctrine of promissory estoppel, arguing that they relied on the promise of a promotion to their detriment (i.e. by selling their house and moving their family) and that the company should be held to their promise. A court might likely apply the doctrine of promissory estoppel in this case, as it would be unfair for the company to make a promise and then not follow through, causing harm to the employee. The court would consider whether the promise was clear and definite, whether the employee relied on the promise to their detriment, and whether it would be unconscionable for the company to go back on their promise. If the court finds that all of these elements are present, they may order the company to compensate the employee for their losses.

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as firms exit from a monopolistically competitive industry in the long run, the remaining firms' profits will begin to rise. (True or False)

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As firms exit from a monopolistically competitive industry in the long run, the remaining firms' profits will begin to rise. (True)

Your question asks whether it is true or false that in a monopolistically competitive industry, when firms exit in the long run, the profits of the remaining firms will rise. The answer is True.

Here is a step-by-step explanation:

1. Monopolistically competitive industries are characterized by a large number of firms producing differentiated products. Each firm has some degree of market power but faces competition from other firms with similar products.

2. In the short run, firms in a monopolistically competitive industry may earn positive, negative, or zero economic profits. However, in the long run, firms will enter or exit the industry until economic profits are driven to zero.

3. When some firms exit the industry, the demand for the remaining firms' products will increase as consumers have fewer alternatives. This increased demand will lead to higher prices for the remaining firms' products.

4. As prices rise, the remaining firms will expand production to meet the higher demand. This expansion may result in lower average costs due to economies of scale, further increasing profits.

5. In the long run, new firms may be attracted to the industry by the higher profits, leading to increased competition and driving profits back down to zero. However, until this happens, the remaining firms in the monopolistically competitive industry will experience rising profits as firms exit.

In conclusion, it is true that as firms exit from a monopolistically competitive industry in the long run, the remaining firms' profits will begin to rise.

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products that cost a lot of money but that people buy anyway because of the status and exclusivity that they project are called

Answers

The products that cost a lot of money but are still bought due to the status and exclusivity they project are called luxury goods or status symbols.

These items are often associated with high-end brands and are seen as a display of wealth and social status. Examples of luxury goods include designer handbags, high-end watches, luxury cars, and private jets. Despite their high price tags, many people are willing to invest in these products to project a certain image and gain social recognition.

These items are typically associated with high quality, prestige, and a sense of exclusivity that appeals to consumers who are willing to pay a premium for them.

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meli corporation manufactures two products: product l61p and product b60e. the company uses a plantwide overhead rate based on direct labor-hours. it is considering implementing an activity-based costing (abc) system that allocates its manufacturing overhead to four cost pools. the following additional information is available for the company as a whole and for products l61p and b60e. activity cost pool activity measure total cost total activity machining machine-hours $ 280,000 14,000 mhs machine setups number of setups $ 225,000 450 setups product design number of products $ 84,000 2 products order size direct labor-hours $ 310,000 10,000 dlhs activity measure product l61p product b60e machine-hours 6,000 8,000 number of setups 290 160 number of products 1 1 direct labor-hours 7,000 3,000 using the plantwide overhead rate, the percentage of the total overhead cost that is allocated to product b60e is closest to:

Answers

Thus, the percentage of the total overhead cost allocated to product B60E using the plantwide overhead rate is closest to 30%.

Using the plantwide overhead rate, the percentage of the total overhead cost allocated to product B60E can be calculated as follows:

First, determine the total overhead cost:
Total overhead cost = $280,000 (machining) + $225,000 (machine setups) + $84,000 (product design) + $310,000 (order size) = $899,000

Next, calculate the plantwide overhead rate based on direct labor-hours:
Total direct labor-hours = 7,000 (product L61P) + 3,000 (product B60E) = 10,000 DLHs
Plantwide overhead rate = Total overhead cost / Total direct labor-hours = $899,000 / 10,000 DLHs = $89.90 per DLH

Now, find the overhead cost allocated to product B60E using the plantwide overhead rate:
Overhead cost for B60E = Direct labor-hours for B60E * Plantwide overhead rate = 3,000 DLHs * $89.90 per DLH = $269,700

Finally, calculate the percentage of the total overhead cost allocated to product B60E:
Percentage allocated to B60E = (Overhead cost for B60E / Total overhead cost) * 100 = ($269,700 / $899,000) * 100 ≈ 30%

The percentage of the total overhead cost allocated to product B60E using the plantwide overhead rate is closest to 30%.

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You recently stepped into the role of information security manager at a medium-sized e-commerce company with roughly 500 to 1,000 employees organization-wide. the company has hired a third-party consultant to evaluate its information security posture. the consultant has concluded the evaluation and noted several high security risks. these action items must be addressed to ensure that the company's information assets are secure. Required:
Your task is to provide recommendations to address multiple identified security risks and explain your decisions to your leadership team.

Answers

As the newly appointed information security manager at our e-commerce company, I have reviewed the third-party consultant's evaluation and identified several high-security risks that need to be addressed to ensure our information assets are secure.

To begin with, we need to establish a comprehensive security awareness training program for all our employees. This program should cover best practices for password management, email and internet use, and identifying and responding to social engineering attacks.

We also need to implement a strict access control policy to ensure that only authorized personnel have access to sensitive information. This includes implementing two-factor authentication, limiting user privileges to a need-to-know basis, and regularly reviewing access logs to identify any suspicious activity.

Another critical area we need to address is our network security. This involves implementing robust firewalls, intrusion detection and prevention systems, and regular vulnerability assessments to identify and patch any security flaws in our systems.

Lastly, we need to ensure that our data backup and disaster recovery plans are up to date and tested regularly. This includes storing critical data off-site and having a well-defined plan in place for recovering from any data loss or system downtime.

Overall, these recommendations will help mitigate the identified security risks and ensure that our information assets are secure. As the information security manager, I am committed to working with our leadership team to implement these measures and continually assess our security posture to stay ahead of emerging threats.

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matching question match the statements on the left with whether they apply to private accounting, public accounting or government/not-for-profit agencies. this area of accounting includes offering tax advice and auditing services this area of accounting includes offering tax advice and auditing services drop zone empty. this area of accounting includes business regulation and law enforcement this area of accounting includes business regulation and law enforcement drop zone empty. this area of accounting is where employees work for businesses this area of accounting is where employees work for businesses drop zone empty. public accounting private accounting

Answers

This area of accounting includes offering tax advice and auditing services:
- Public accounting
- Private accounting

This area of accounting includes business regulation and law enforcement:
- Government/not-for-profit agencies
This area of accounting is where employees work for businesses:
- Private accounting

There are different areas of accounting that individuals or organizations can specialize in. The three main areas of accounting are public accounting, private accounting, and government/not-for-profit accounting.

Public accounting refers to the practice of providing accounting, auditing, tax, and consulting services to individuals, businesses, and other organizations that are not part of the firm providing the services. Public accounting firms are typically large and offer a range of services to clients, including tax advice and auditing services.

Private accounting refers to the practice of accounting in which an accountant is employed by a single business or organization. Private accountants may perform a range of tasks, such as bookkeeping, financial analysis, or management accounting, to support the internal operations of the business.

Government/not-for-profit accounting refers to the practice of accounting in which accountants work for government agencies or not-for-profit organizations, such as charities or universities. These accountants are responsible for managing the finances of their organizations, ensuring compliance with accounting standards and regulations, and reporting on financial performance to stakeholders.

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Suppose the Brazilian government sets the price of coffee at $1 per pound when the market price is $10 per pound. The government's action will: O improve efficiency, since the low price will force producers to find cheaper production methods. cause a surplus of coffee, since coffee is now cheap, cause a shortage of coffee, even in a coffee-rich country. O improve equality between rich and poor, since the poor can now afford coffee,

Answers

The Brazilian government's action of setting the price of coffee at $1 per pound when the market price is $10 per pound will cause a shortage of coffee, even in a coffee-rich country. This is because the low price will increase demand while discouraging producers from supplying coffee at such a low price, leading to a mismatch between supply and demand.

The government's action of setting the price of coffee at $1 per pound when the market price is $10 per pound will likely cause a shortage of coffee, even in a coffee-rich country. This is because the low price will not be sufficient to cover the costs of production, and producers will have little incentive to continue producing coffee. Additionally, consumers will likely buy more coffee at the lower price, leading to increased demand and further exacerbating the shortage. While the action may make coffee more affordable for some consumers, it is not likely to improve efficiency or equality between rich and poor.

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What are the potential role of NGOs in relation to the government and private sectors? What are the most important potential areas of comparative advantage of NGOs? What are the most important voluntary failures that can inhibit NGOs from realizing their comparative advantages in development activities?

Answers

The potential role of NGOs in relation to the government and private sectors can be characterized by their ability to fill gaps, provide specialized expertise, and promote grassroots participation.

They often collaborate with governments and private sectors to address pressing social, economic, and environmental challenges.



One significant area of comparative advantage for NGOs is their ability to be more flexible and responsive than governments or private sectors. They can quickly adapt to changing circumstances and provide targeted, localized solutions. Additionally,

NGOs often possess deep community connections and grassroots networks, enabling them to effectively mobilize resources and engage local populations.



Another key area of comparative advantage is their focus on marginalized or underprivileged groups, which are often overlooked by governments and private sectors.

NGOs can advocate for their rights and provide essential services to these communities.



However, NGOs can face voluntary failures, which can inhibit them from realizing their comparative advantages in development activities. These include a lack of accountability and transparency,

which can result in inefficiencies or mismanagement of resources. Additionally, NGOs may encounter issues with coordination and collaboration, leading to overlapping efforts or gaps in service delivery.



In conclusion, NGOs play a critical role in bridging the gap between governments and private sectors, offering unique comparative advantages such as flexibility and grassroots engagement.

However, addressing voluntary failures like accountability and coordination issues is essential for NGOs to fully capitalize on their potential in development activities.

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Which of these factors will cause the aggregate demand curve to shift?
A) an increase in productivity
B) a change in the price level
C) A change in the expectations of households and firms

Answers

The factor that causes the aggregate demand curve to shift is C) A change in the expectations of households and firms.

A "shift" in economics refers to a change in the position of a curve on a graph. In this context, it refers to a change in the aggregate demand curve's position.
The "demand curve" represents the relationship between the price of a good or service and the quantity demanded by consumers at different price levels.
Now, let's analyze the factors given:
A) An increase in productivity: This affects the supply side of the economy rather than demand, so it does not cause a shift in the aggregate demand curve.
B) A change in the price level: A change in the price level affects the quantity demanded, but it does not shift the demand curve. Instead, it results in a movement along the demand curve.
C) A change in the expectations of households and firms: This factor can influence spending decisions by households and firms. If they expect higher incomes or profits in the future, they may spend more today, increasing the aggregate demand. In this case, the aggregate demand curve will shift.
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View Policies Current Attempt in Progress Manson Industries incurs unit costs of $6 (54 variable and $2 ford) in making an assembly part for its finished product. A supplier offers to make 15.000 of the assembly part at $5 per unit. If the offer is accepted, Manson will save all variable costs but no food costs. Prepare an analysis showing the total cost saving, if any, Manson will realize by buying the part. (Enternetve amounts using either a negative sin preceding the numberes-45 or parentheses es (451) Make Buy Net Income Increase (Decrease)
Variable manufacturing costs Fixed manufacturing costs
Purchase price Total annual cost 5 $ $ The decision should be to the part
e Textbook and Media

Answers

Manson Industries incurs unit costs of $6 in making an assembly part for its finished product. A supplier offers to make 15,000 of the assembly part at $5 per unit. If the offer is accepted, Manson will save all variable costs but no fixed costs. The decision whether to make or buy the part depends on the total cost savings that Manson will realize by buying the part.

To determine the total cost savings, we need to compare the cost of making the part to the cost of buying the part. The cost of making the part includes both variable costs and fixed costs, while the cost of buying the part only includes the purchase price.

The variable manufacturing cost per unit is $6 - $2 = $4. This means that Manson saves $4 per unit on variable costs if it buys the part instead of making it.

The fixed manufacturing cost is not relevant to the decision since it remains the same regardless of whether Manson makes or buys the part.

The total annual cost of making the part can be calculated by multiplying the total number of units by the unit cost:

Total annual cost = 15,000 units x $6 per unit = $90,000

The total cost of buying the part is simply the purchase price multiplied by the number of units:

Total cost of buying = 15,000 units x $5 per unit = $75,000

Therefore, the cost savings realized by buying the part is:

Cost savings = Total annual cost - Total cost of buying
Cost savings = $90,000 - $75,000 = $15,000

Since the cost savings are positive, buying the part is the better option.

In terms of net income, the cost savings will increase Manson's net income by $15,000.

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Discussion 8 A After reading Chapter 10, can you tell which policy was used by the US government to mitigate the economic effects of the COVID-19 pandemic?

Answers

In response to the pandemic, the US government implemented a variety of policies to support individuals, families, and businesses affected by the pandemic.

The Coronavirus Aid, Relief, and Economic Security (CARES) Act was one of the most significant pieces of legislation passed to address the economic fallout of the pandemic.

The CARES Act included several provisions aimed at mitigating the pandemic's economic effects. These included:

1. Direct payments to individuals: The CARES Act provided a one-time payment of up to $1,200 per individual and $2,400 per couple, as well as an additional $500 per child.

2. Unemployment benefits: The CARES Act expanded unemployment benefits by increasing the amount of money individuals could receive, extending the duration of benefits, and making benefits available to self-employed workers and independent contractors.

3. Small business support: The CARES Act provided loans and grants to small businesses affected by the pandemic. The Paycheck Protection Program (PPP) was one of the most significant components of the small business support, which provided forgivable loans to businesses to help cover payroll and other expenses.

4. Economic impact payments: The CARES Act also included provisions to support businesses affected by the pandemic, such as tax credits and deferments.

In addition to the CARES Act, the US government implemented other policies to address the pandemic's economic effects, such as extending tax deadlines, providing rental assistance, and offering loan forbearance options.

Overall, the US government implemented a variety of policies to mitigate the economic effects of the COVID-19 pandemic. While the policies were not without controversy or criticism, they provided essential support to individuals, families, and businesses affected by the pandemic.

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T/F product life cycle is the way demand for a product changes in a predictable pattern over time.

Answers

The statement "product life cycle is the way demand for a product changes in a predictable pattern over time." is true because it describes the stages a product goes through over time, including its introduction, growth, maturity, and decline.

The product life cycle is a model that describes how demand for a product changes in a predictable pattern over time. It consists of four stages: introduction, growth, maturity, and decline.

In the introduction stage, demand is low as consumers are not yet familiar with the product. In the growth stage, demand increases rapidly as more consumers become aware of the product and start purchasing it. In the maturity stage, demand starts to level off as the market becomes saturated and competition increases. In the decline stage, demand decreases as consumers start to lose interest in the product or newer and better alternatives become available.

Understanding the product life cycle is essential for businesses to make informed decisions about marketing, pricing, and product development strategies.

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What is the dividend yield on Stock A that sells at $20/share, when Company A pays a quarterly dividend of $0.05 per share? dividend yield=[?]\% Give your answer as a percent rounded to the nearest tenth .

Answers

Answer:

The dividend yield on Stock A is 1%, rounded to the nearest tenth.

Explanation:

To calculate the dividend yield, we need to first calculate the annual dividend per share:

Annual dividend per share = Quarterly dividend per share x 4

Annual dividend per share = $0.05 x 4 = $0.20

Next, we can calculate the dividend yield:

Dividend yield = (Annual dividend per share / Stock price) x 100%

Dividend yield = ($0.20 / $20) x 100% = 1%

Therefore, the dividend yield on Stock A is 1%, rounded to the nearest tenth.

Rubio recently invested $30,500 (tax basis) in purchasing a limited partnership interest in which he will have no management rights in the company. His at-risk amount is $22,350. In addition, Rubio’s share of the limited partnership loss for the year is $35,650, his share of income from a different limited partnership is $6,575, and he has $50,500 in wage income and $15,250 in long-term capital gains.
a. How much of Rubio’s $35,650 loss is allowed considering only the tax-basis loss limitations?
b. How much of the loss from part (a) is allowed under the at-risk limitations?
c. How much of Rubio’s $35,650 loss from the limited partnership can he deduct in the current year considering all limitations?

Answers

Answer:

a. The tax-basis loss limitation is the amount that Rubio has invested in the limited partnership, which is $30,500. Therefore, his tax-basis loss limitation is $30,500.

Thus, the amount of Rubio's $35,650 loss allowed under the tax-basis loss limitation is $30,500.

b. Rubio's at-risk amount is $22,350. Therefore, the amount of the loss allowed under the at-risk limitations is $22,350.

Thus, the amount of Rubio's $35,650 loss allowed under the at-risk limitations is $22,350.

c. The amount of the loss allowed in the current year is the lesser of the tax-basis loss limitation or the at-risk limitation. Therefore, the amount of Rubio's $35,650 loss allowed in the current year is $22,350.

However, Rubio can carry forward the remaining $13,300 ($35,650 - $22,350) loss to future years, subject to the same limitations.

The tax-basis loss limitation allows Rubio to deduct up to $30,500, while the at-risk limitation restricts the deductible loss to $22,350. Considering both limitations, Rubio can only deduct $22,350 as the final deductible loss.

Deductible loss

a. The tax-basis loss limitation determines the maximum amount of loss that Rubio can deduct based on his tax basis in the limited partnership. Since his tax basis is $30,500, the amount of the loss allowed under the tax-basis limitation is $30,500.

b. The at-risk limitation further restricts the deductible loss to the amount of money that Rubio is considered to have at risk in the investment. His at-risk amount is $22,350, so the maximum deductible loss under the at-risk limitation is $22,350.

c. To determine the final deductible loss, we need to consider all limitations, including both the tax-basis and at-risk limitations. Since the at-risk limitation of $22,350 is lower than the tax-basis limitation of $30,500,

Rubio can only deduct the amount allowed by the at-risk limitation. Therefore, the deductible loss for Rubio from the limited partnership is $22,350.

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Christina wants to take the day off on her birthday and she wants to get paid for it. According to article 11.07 b she can do this. Select one: O True O False

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The given statement "according to article 11.07 b of most employment contracts, employees are entitled to take their birthday off as a paid day off" is true because this provision is usually included in employment contracts as a form of recognition and appreciation for employees.

Taking the day off on one's birthday is a common practice and a small gesture that can improve an employee's job satisfaction and morale. However, it is important to note that not all employment contracts may include this provision. Therefore, employees should always read and understand their employment contracts to know their rights and entitlements.

Moreover, some employers may require employees to provide proof of their birthday, such as a birth certificate or government-issued identification, to prevent abuse of this provision. In summary, if an employee's employment contract includes the provision allowing them to take their birthday off as a paid day off, they are entitled to do so.

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n june 30, the board of directors of sandals, incorporated, declares a 2-for-1 stock split on its 26,000, $1 par, common shares. the market price of sandals common stock is $31 on june 30. what are the number of shares, par value per share, and market price per share immediately after the 2-for-1 stock split? (round dollar values to 2 decimal places.)

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To solve this problem, we need to explain how to calculate the number of shares, par value per share, and market price per share immediately after the 2-for-1 stock split for Sandals, Incorporated.

1. Number of shares: To find the new number of shares after the stock split, multiply the original number of shares by the split ratio (2-for-1).
  26,000 shares * 2 = 52,000 shares

2. Par value per share: The par value per share remains the same in a stock split. So, the new par value per share is $1.

3. Market price per share: To find the new market price per share, divide the original market price by the split ratio (2-for-1).
  $31 / 2 = $15.50 (rounded to 2 decimal places)

So, after the 2-for-1 stock split, Sandals, Incorporated has 52,000 shares with a par value of $1 per share, and the market price per share is $15.50. Your question is now solved!

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many consumers who are aware of the indirect impact their consumption has on the environment multiple choice question. are increasing consumption to increase their impact on the environment. have stopped consumption altogether to reduce their impact. are changing their behavior to minimize their impact. have decided not to consume anything that impacts the environment in any way.

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Many consumers who are aware of the indirect impact their consumption has on the environment are changing their behavior to minimize their impact.

One way that consumers are minimizing their impact on the environment is by adopting sustainable practices such as reducing, reusing, and recycling.

They are also choosing to purchase products that are environmentally friendly, such as those made from recycled materials, or products that are biodegradable or compostable.

In addition, many consumers are choosing to reduce their carbon footprint by reducing their energy consumption. This can include using energy-efficient appliances, turning off lights and electronics when not in use, and using public transportation or carpooling instead of driving alone.

Consumers are also becoming more aware of the environmental impact of their food choices, and many are choosing to eat more plant-based diets or to purchase locally sourced and sustainably produced foods.

Overall, consumers who are aware of the indirect impact their consumption has on the environment are changing their behavior to minimize their impact.

This change in behavior is driven by a growing awareness of the need to protect the environment and a desire to make a positive impact on the planet.

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consider the following supply and demand schedule for candy bars: price supply (millions of candy bars) demand (millions of candy bars) $0.25 2 14 $0.50 6 12 $0.75 10 10 $1.00 14 8 $1.25 18 6 $1.50 22 4 $1.75 26 2 what would happen to the price of this product if a tax of $0.75 per candy bar sold were enacted by the government? the equilibrium price is now $ and the equilibrium quantity is now

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If a tax of $0.75 per candy bar sold were enacted by the government, it would increase the cost of production for candy bar manufacturers. As a result, the supply curve would shift leftward, indicating a decrease in the supply of candy bars at each price level. This would cause a new equilibrium to be established at a higher price level and a lower quantity.


At the original equilibrium, the quantity demanded of candy bars at a price of $0.75 is 10 million, and the quantity supplied is also 10 million. If a tax of $0.75 per candy bar sold were enacted by the government, the supply curve would shift leftward by the amount of the tax, which is $0.75. This would cause the supply curve to shift up and to the left, indicating that the cost of producing candy bars has increased.

As a result, at each price level, the candy bar manufacturers would supply fewer candy bars. For example, at a price of $0.75, the quantity supplied would decrease from 10 million to 9.25 million. At a price of $1.00, the quantity supplied would decrease from 14 million to 13.25 million.

On the other hand, the demand for candy bars would remain the same, as the tax does not affect the willingness of consumers to buy candy bars. Therefore, the demand curve would stay the same.

The new equilibrium price and quantity would be established at the point where the new supply curve intersects with the original demand curve. This new equilibrium price would be higher than the original equilibrium price, and the new equilibrium quantity would be lower.

After the tax is enacted, the new equilibrium price would be $1.25, and the new equilibrium quantity would be 8 million candy bars. This means that the price of candy bars would increase by $0.50, and the number of candy bars sold would decrease by 2 million.

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Calculate the cash and cash equivalent:
Securities with a duration less than 3 months: $10,000
Cash in hand: $2,200
Overdraft: $3,500
Investment property: $7,500

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The cash and cash equivalent is $8,700.

The cash and cash equivalent can be calculated by adding the cash in hand and the securities with a duration of less than 3 months, and then subtracting the overdraft. Therefore:

Cash and cash equivalent = Cash in hand + Securities with a duration less than 3 months - Overdraft

Cash and cash equivalent = $2,200 + $10,000 - $3,500

Cash and cash equivalent = $8,700

Since investment property is not a cash or cash equivalent, it is not included in the calculation.

Cash and cash equivalent is a measure of a company's ability to pay off its short-term debts and obligations. It includes cash on hand, cash in bank accounts, and other assets that can be easily converted into cash within a short period of time, typically three months or less.

In the given example, the securities with a duration less than 3 months and cash in hand are both included in the calculation of cash and cash equivalent because they are readily convertible to cash within the specified time frame. On the other hand, the overdraft is subtracted because it represents a short-term liability or debt that the company owes and needs to pay off in the near future.

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Classify each item as associated with the government cutting taxes or the government increasing spending The government cuts taxes The government increases spending Answer Bank funds infrastructure spending and public goods increases private-sector spending often results in increased paying down of private debt supported by those who think the government does not spend enoughsupported by those wh think the government spends too much temporarily removes funding from the private sector

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The government cuts taxes: funds infrastructure spending and public goods, increases private-sector spending, often results in increased paying down of private debt.

The government increases spending: supported by those who think the government does not spend enough, supported by those who think the government spends too much, temporarily removes funding from the private sector.

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(Q.1) Calculate the amount of capital which is outstanding on 1st Jan 2033 in the case of an amortised loan of €250,000 repayable monthly in arrears over 30 years, where draw down was 1st Jan 2020 and the first payment was made on 31st Jan 2020. The nominal annual rate of interest being applied is fixed at 6.0%, convertible monthly.

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The amount of capital outstanding on 1st Jan 2033 for the given loan would be approximately €141,343.97.

To calculate the outstanding balance on 1st Jan 2033, we need to use the amortization formula for a loan with monthly payments. The formula is:

P = (PV * r) / (1 -[tex](1 + r)^(-n))[/tex]

where,

P = Monthly payment

PV = Present value or loan amount

r = Monthly interest rate

n = Total number of payments

Here, PV = €250,000, r = 0.06/12 (6.0% annual rate converted to monthly rate), and n = 30 years * 12 months/year = 360 months.

Using the formula, we get the monthly payment as:

P = (250000 * 0.005) / (1 - (1 +[tex]0.005)^(-360))[/tex]= €1,498.88

To calculate the outstanding balance on 1st Jan 2033, we need to find the balance after 156 payments (from Feb 2020 to Jan 2033). We can use the formula for the remaining balance of an amortized loan:

B = PV * (1 + r)^n - P *[tex][(1 + r)^n - 1][/tex] / r

where

B = Balance after n payments

PV = Present value or loan amount

r = Monthly interest rate

n = Number of payments made

P = Monthly payment

Substituting the values, we get:

B = 250000 *[tex](1 + 0.005)^156[/tex]- 1498.88 *[tex][(1 + 0.005)^156 - 1][/tex]/ 0.005 = €141,343.97

Therefore, the outstanding balance on 1st Jan 2033 would be approximately €141,343.97.

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In your opinion, is this statement true or false, The smaller is the turnover of company's receivables, the shorter is the time spon between sales and collecting the cash from those sales

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In my opinion, the statement is true. The turnover of a company's receivables refers to how quickly the company is collecting cash from its customers.

Therefore, if the turnover is smaller, it means that it is taking the company longer to collect cash from its sales. This would also mean that there is a longer time span between the sale and the collection of cash. Conversely, if the turnover is higher, it means that the company is collecting cash from its customers at a faster rate and therefore the time span between the sale and collection of cash is shorter.

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when formulating international strategies, managers must determine the best blank strategy and how to attain a competitive advantage.

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In the process of developing international strategies, it is crucial for managers to identify the most effective competitive approach and methods for achieving a competitive edge.

When companies expand their operations internationally, they must consider various factors to formulate successful strategies. One of the most important considerations is determining the best competitive strategy to follow in the target market.

This may involve choosing between a cost leadership, differentiation, or focus strategy, depending on the company's strengths, resources, and the nature of the industry. Additionally, companies must also identify and exploit opportunities to attain a competitive advantage in the international market.

This could be achieved through various means such as investing in research and development, enhancing production processes, improving the supply chain, or developing innovative marketing techniques.

The attainment of a competitive advantage is essential for the long-term success of the company in the international market, as it enables the company to differentiate itself from its competitors and offer unique value to customers.

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what is considered a valid reason for small businesses to insure the lives of its major shareholders?

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A valid reason for small businesses to insure the lives of its major shareholders is to ensure business continuity and protect the financial stability of the company. This practice, known as key person insurance or key man insurance, provides a safety net for the business in case of the untimely death of a significant shareholder.

When a major shareholder passes away, the small business may face financial challenges due to the loss of their expertise, experience, and leadership. Insuring the life of a major shareholder can provide the company with funds to cover financial obligations, such as outstanding debts or operational expenses, during a transitional period.

Furthermore, the payout from a key person insurance policy can help the business maintain its creditworthiness, as lenders and creditors may be more willing to continue working with the company if they know that it is financially protected in the event of the death of a major shareholder.

Additionally, the insurance proceeds can be used to buy out the deceased shareholder's stake in the business, preventing disputes among the remaining shareholders or potential takeovers from external parties.

In summary, a valid reason for small businesses to insure the lives of its major shareholders is to safeguard the company's financial stability and ensure business continuity. By doing so, the business can successfully navigate the challenges that may arise from the sudden death of a major shareholder, protecting its future and the interests of all stakeholders involved.

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