Sankey Co. has earnings per share of $4.40. The benchmark PE is 197 times, What stock price would you consider appropriate? A. 42.98 B. $2410 C. $65.73 D. $86.68E. $44.77

Answers

Answer 1

Answer:

$44.77

Explanation:

Sankey corporation has earning per share of $4.40

The benchmark PE is 197 times

Therefore the appropriate stock price can be calculated as follows

= 197/4.40

= $44.77

Hence the appropriate stock price is $44.77


Related Questions

Exeter has a materials standard of 1 pound per unit of output. Each pound has a standard price of $27 per pound. During July, Exeter paid $141,000 for 4,970 pounds, which it used to produce 4,760 units. What is the direct materials quantity variance?a) $10,320 favorable
b) $27,780 unfavorable
c) $11,220 unfavorable
d) $17,460 unfavorable

Answers

Answer:

the direct material quantity variance is $5,670 unfavorable

Explanation:

The computation of the direct material quantity variance is shown below:

= (Standard quantity - actual quantity) × standard price

= (4,760 units × 1 pound per unit - 4,970 pounds) × $27 per pound

= (4,760 pounds  - 4,970 pounds) × $27 per pound

= $5,670 unfavorable

This is the answer but the same is not provided in the given options

Hence, the direct material quantity variance is $5,670 unfavorable

It is unfavorable because the actual pounds is more than the standard one

The demand for automobiles falls when the economy experiences a recession. If an automobile manufacturer lays off workers during a recession, this would be an example of:________. a. cyclical unemployment. b. natural unemployment. c. structural unemployment. d. frictional unemployment.

Answers

Answer:

a. cyclical unemployment.

Explanation:

Unemployment rate refers to the percentage of the total labor force in an economy, who are unemployed but seeking to be gainfully employed. The unemployment rate is divided into various types, these include;

I. Cyclical unemployment rate (CU).

II. Frictional unemployment rate (FU).

III. Structural unemployment rate (SU).

IV. Actual unemployment rate (AU).

V. Natural Rate of Unemployment (NU).

In this scenario, the demand for automobiles falls when the economy experiences a recession. Thus, if an automobile manufacturer lays off workers during a recession, this would be an example of a cyclical unemployment.

A cyclical unemployment can be defined as a type of unemployment which is typically related to changes in the business, economy or industry cycle such as recession, governmental policies etc.

Mathematically, cyclical unemployment rate can be calculated using the formula;

[tex]Cyclical \; unemployment \; rate (CU) = Actual \; unemployment \; rate (AU) – Natural \; unemployment \; rate (NU)[/tex]

Equipment is a(n)_________ (asset/liability/expense) account. It is reported on the___________ (left/right) side of the accounting equation and is__________ (increased/decreased) when equipment is purchased.

Answers

Answer: Asset: Left; Increased

Explanation:

Equipment is an asset account. It is reported on the left side of the accounting equation and is increased when equipment is purchased.

Equipment is a fixed asset because it lasts more than a year in the service of a company. As an asset, it will be reported on the left side of the accounting equation which means that when it increases it is to be debited.

It increases when more equipment is acquired.

How Much more did the average household spend on appliances, electronics, and furniture when it recieved the 2008 tax rebate?

Answers

Answer:

The households spent an average of $91 on durable goods like furniture, appliances, and electronics when they received a tax rebate in 2008.

Explanation:

In 2008, The U.S Federal government made an economic stimulus payment or tax rebate to American households of 90 billion dollars. This made a huge impact on the consumer market as the households spent more of the received payment on goods and services they both wanted and needed.

mehak Shergill????????​

Answers

Answer:

wowowowowowowowowowowowoowowowo

Explanation:

David leads his firm's marketing team. He is responsible for forecasting the business's sales. David's team prepared a questionnaire based on the market data that it has collected. David decided to send coples of these questionnaires to his company's Junior-level and senlor-level employees across varlous business functions, as well as to some renowned Industry experts. David plans to forecast his company's sales based on the opinions that he sees in this survey. Which method of sales forecasting does David plan to use?


A. moving averages method

B. jury of executive opinion method

C. buyer intentions method

D. Delphi method​

Answers

Answer:

C

Explanation:

Initial Outlay -$5,000 Year 1 $3,000 Year 2 $3,500 Year 3 $3,200 Year 4 $2,800 Year 5 $2,500. a. What is the PI if the discount rate is 20%?b. What is the NPV if the discount rate is 20%? Round to the second decimal place. Type only numbers without any unit ($, %, etc.) If there are multiple answers, then type NA.c. What is the IRR if the discount rate is 20%? Answer in the percent format. Round to the hundredth decimal place. Type only numbers without any unit ($, %, etc.)d. What is the EAA if the discount rate is 20%? Round to the penny. Type only numbers without any unit ($, %, etc.)

Answers

Answer:

a. What is the PI if the discount rate is 20%?

profitability index = present value of cash flows / initial outlay

PI = $9,137.41 / $5,000 = 1.83

b. What is the NPV if the discount rate is 20%?

NPV = -$5,000 + $9,137.41 = $4,137.41

c. What is the IRR if the discount rate is 20%?

the discount rate is irrelevant when you are calculating the IRR, since the IRR is the discussion rte at which the NPV = $0

IRR = 55.23%

Explanation:

Initial Outlay -$5,000

Year 1 $3,000

Year 2 $3,500

Year 3 $3,200

Year 4 $2,800

Year 5 $2,500.

1 Explain how researchers identify research problems. ​

Answers

Answer:

You can identify a research problem by reading recent research, theory and debates on your topic to find a gap in what is currently known about it. You might look for: A phenomenon or context that has not been closely studied. A contradiction between two or more perspectives.

- I hope this helps have a great day!

Real income is:___________ a) Nominal income adjusted for inflation. b) The amount of money income received in a given time period, measured in current dollars. c) The use of nominal dollars to gauge changes in income. d) None of the other choices.

Answers

Answer:

A. Nominal income adjusted for inflation.

Explanation:

Real income is simply the amount usually in monetary terms a person, enterprise or others makes after accounting for inflation. It is also called real wage that is an individual's income.

Real income are also defined as Income that is adjusted to inflation.

Nominal income are defined as income not adjusted to inflation.

In 2019, longtime partner ________ was so unhappy with its Amazon relationship that it dropped the firm for both air and ground deliveries.

Answers

Answer:

"FedEx" would be the correct answer.

Explanation:

Lengthy-time supplier FedEx had been so disappointed with some of its Amazon partnership throughout 2019 that something that dumped the business with both aerial refueling as well as surface deliveries. Investment opportunities by Amazon in its distribution program irritated FedEx as well as leading to the split of the businesses.

Suppose that the market for a product is characterized by a downward-sloping, linear demand curve and an upward-sloping, linear supply curve.
(a) Suppose the price elasticity of supply is 0.6. Will the deadweight loss from a $2 tax per unit be smaller if the absolute value of the price elasticity of demand is 0.3 or if the absolute value of the price elasticity of demand is 1.5? Explain.
(b) If a $2 tax per unit results in a deadweight loss of $100, how large would be the deadweight loss from a $4 tax per unit? Explain.

Answers

Answer:

A) The deadweight loss will be greater when the absolute value of price elasticity of demand = 0.3

B) The deadweight loss is bigger when the value of Nd is larger and also

since a $2 tax per unit results in a deadweight loss of $100 the deadweight loss for a $4 tax per unit will be 2 times larger  i.e. $200

Explanation:

A) Given

price elasticity of supply (Ns)= 0.6

absolute value of elasticity (Nd) = 0.3

absolute value of elasticity 2 ( Nd ) = 1.5

we will apply the deadweight rule here

DWL = -0.5*(Ns Nd)/(Ns - Nd ) * (t^2) * Q/P

For;

( Nd = 0.3 ) = -0.5*( 0.6*0.3) / (0.6-0.3 ) * 2^2

                  = - 0.5 * ( 0.18 / 0.3 ) * 4 = -1.2

( Nd = 1.5 ) = -0.5*(0.6*1.5 )/( 0.6 - 1.5 ) * 2^2

                 = -0.5 * ( 0.9 ) / (-0.9) * 4 = 2

The deadweight loss will be greater when the absolute value of price elasticity of demand = 0.3

B) The deadweight loss is bigger when the value of Nd is larger and also

since a $2 tax per unit results in a deadweight loss of $100 the deadweight loss for a $4 tax per unit will be 2 times larger  i.e. $200

Which one of the following is not one of the four most common ways people can save money in banks?

money market accounts

fractional reserves

checking accounts

certificates of deposit

Answers

Answer:

Fractional Reserves

Explanation:

Banks are required to hold money to lend out. If you deposit $100 into your account that is $100 for the bank to lend that money out to ones who need it.

Fractional reserves are not one of the four most common ways people can save money in banks. Fractional reserves are a banking system in which only a fraction of bank deposits are backed by actual cash on hand and are available for withdrawal. The correct option is B.

How are fractional reserves used?

With fractional-reserve banking, the bank is only obligated to keep a portion of customer deposits on hand, freeing it up to lend the remainder of the money. While having enough cash on hand to cover withdrawal demands, this strategy is intended to continuously stimulate the amount of money available in the economy.

Fractional reserves are not one of the four most common ways people can save money in banks because it is not a savings option for consumers. Fractional reserve banking is a system used by banks to create money and lend out a portion of their deposits while keeping a fraction of the deposits in reserve.

This process is not related to individual savings and is a function of the banking system. The four most common ways people can save money in banks are checking accounts, savings accounts, money market accounts, and certificates of deposit.

Thus, the ideal selection is option B.

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Priya has held several different positions within the same company. She has been an Assistant to the Marketing Manager, a Sales Representative, and a Budget Analyst. Priya is being considered for a promotion at her place of employment. Based on her prior experience, which would be the most likely position for Priya to be promoted to?

Chief Executive Officer
Marketing Manager
Training Specialist
Credit Analyst


FIRST ANSWER GETS BRAINLIEST

Answers

Answer:

Marketing Manager.

Answer:

Marketing Manager

Explanation:

1. What have been the percentage change in the value of Bitcoin (Links to an external site.) expressed in U.S. dollars over the last 30 days? Describe the one-year change and five-year change in the value of Bitcoin? Do you detect a trend?2. Is Bitcoin (Links to an external site.) money? Does Bitcoin fulfill the functions of money that are explained in Chapter 14 (Links to an external site.)? Discusswhy or why not? If you conclude that Bitcoin is not money what is it? Explain.3. Have you/would you invest in Bitcoin or another cryptocurrency? Why or why not?

Answers

Answer and Explanation:

1. Percentage change in the value of bitcoin for the last 30 days in US dollars = 18370-12885.75= 5484.25/12885.75*100= 42.75%

2. Bitcoin is currently used as money and considered legal for such purposes in countries like US, Canada, Japan, UK. It is generally not accepted and considered legal tender proper yet

3.

What is the difference between a departmental accounting system and a responsibility accounting system? Are the reports of departmental net income and the departmental contribution to overhead useful in assessing a department manager's performance? Explain

Answers

Answer:

Part 1

Department Accounting system seeks to establish the Departmental Economic Performance whilst the Responsibility Accounting System seeks to establish the Performance of Personnel Responsible for a particular department.

Part 2

No, reports of departmental net income and the departmental contribution to overhead are not useful in assessing a department manager's performance.

Because, they take into account those incomes and costs attributable to the particular department including central costs. This means it ignores whether or not the costs were wholly controllable by the manager.

Explanation:

Department Accounting system seeks to establish the Departmental Economic Performance whilst the Responsibility Accounting System seeks to establish the Performance of Personnel Responsible for a particular department.

The reports of departmental net income and the departmental contribution to overhead are not useful in assessing a department manager's performance this is because they take into account those incomes and costs attributable to the particular department including central costs. This means it ignores whether or not the costs were wholly controllable by the manager.

In assessing a department manager's performance, we look into incomes and expenses that were sorely within their control other than those items that are just attributable to the department they are responsible for.

On May 1, 2025, Hecala Mining entered into an agreement with the state of New Mexico to obtain the rights to operate a mineral mine in New Mexico for $10.1 million. Additional costs and purchases included the following: Development costs in preparing the mine $2,500,000Mining equipment 143,400Construction of various structures on site 36,500After the minerals are removed from the mine, the equipment will be sold for an estimated residual value of $12,000. The structures will be torn down. Geologists estimate that 730,000 tons of ore can be extracted from the mine. After the ore is removed the land will revert back to the state of New Mexico. The contract with the state requires Hecala to restore the land to its original condition after mining operations are completed in approximately four years. Management has provided the following possible outflows for the restoration costs:Cash Outflow Probability$530,000 40%630,000 30%730,000 30%Hecalaâs credit-adjusted risk-free interest rate is 7%. During 2021, Hecala extracted 113,000 tons of ore from the mine. The companyâs fiscal year ends on December 31.Required:a. Determine the amount at which Hecala will record the mine.b. Calculate the depletion of the mine and the depreciation of the mining facilities and equipment for 2021, assuming that Hecala uses the units-of-production method for both depreciation and depletion.c. How much accretion expense will the company record in its income statement for the 2021 fiscal year?d. Are depletion of the mine and depreciation of the mining facilities and equipment reported as separate expenses in the income statement?e. During 2022, Hecala changed its estimate of the total amount of ore originally in the mine from 730,000 to 930,000 tons. Calculate the depletion of the mine and depreciation of the mining facilities and equipment for 2022 assuming Hecala extracted 143,000 tons of ore in 2022.

Answers

Answer:

Hecala Mining

a) Hecala will record the mine at a cost of $12600,000

b1) Depletion of Mine for 2021:

= 113,000 * $17.26

= $1,950,380

b2) Depreciation of mining facilities and equipment for 2021:

= 113,000 * $0.23

= $25,990

c) Accretion expense:

= $155,000 * 0.763

= $118,265

d) Yes.  The depletion of the mine and the depreciation of the mining facilities and equipment are reported as separate expenses in the income statement.

e1) Depletion of mine in 2022:

= $13.04 * 143,000

= $1,864,720

e2) Depreciation of facilities and equipment:

= $0.17 * 143,000

= $24,310

Explanation:

a) Data and Calculations:

Cost of Mining rights =     $10,100,000

Development costs =          2,500,000

Cost of mines =                $12,600,000

Construction of facilities =          $36,500

Mining equipment = $143,500

Salvage value               12,000

Depreciable value of equipment 131,500

Cost of facilities & equipment  $168,000

Geologists production estimate = 730,000 tons

Period of mining = 4 years

b) Cost of Mine Restoration:

Cash Outflow     Probability       Expected cost

$530,000                40%                $212,000

 630,000                30%                   189,000

 730,000                30%                   219,000

Costs of Mine Restoration           $620,000

Interest rate = 7%

Annual cost of mine restoration = $155,000 ($620,000/4)

c) Depletion of mine based on original output estimate:

= $12,600,000/730,000

= $17.26 per ton

Revised Depletion of mine:

Depleted cost of mine = $12,600,000 - $1,950,380 = $10,649,620

Depleted tons balance = 930,000 - 113,000 = 817,000 tons

Depletion per ton = $10,649,620/817,000 = $13.04 per ton

d) Depreciation rate of facilities and equipment:

= $168,000/730,000

= $0.23 per ton

Revised Depreciation rate:

Cost of facilities and equipment = $142,010 ($168,000 - $25,990)

Rate = $142,010/817,000

= $0.17 per ton

Troy's financial records for the year reflect the following:Interest income from bank savings account $ 900Taxable annuity receipts 1,800Safe deposit box rental (to hold annuity documents) 125Investment interest expense 3,200Calculate Troy's net investment income and his current investment interest deduction.Assume that Troy does not itemize his personal deductions. How is any potential excess investment interest deduction treated?

Answers

Answer and Explanation:

The computation of the investment income, the deduction of interest on investment, and the treatment of the deduction of interest on investment is given below:

Investment income is

= $900 + $1,800

= $2,700

And,

Investment expenses = $125

So,

Net investment income is

= $2700 - $125

= $2,575

And,

Investment interest paid = $3,200

The allowed deduction would be lower of interest on investment and the net investment income

So, the allowable deduction would be $2,575

Now the remaining amount i.e. disallowed is

= $3,200 - $2,55

= $625

This amount would be carried forward to the future years

Suppose that because of a sudden increase in life expectancy, a lot of people decide to save more for what they expect to be a longer retirement. This will:____.1. shift the demand for loanable funds to the right causing the interest rate to rise. b. shift the demand for loanable funds to the left causing the interest rate to fall. c. shift the supply of loanable funds to the left causing the interest rate to rise. d. shift the supply of loanable funds to the right causing the interest rate to fall.

Answers

Answer: d. shift the supply of loanable funds to the right causing the interest rate to fall.

Explanation:

Loanable funds come from the deposits(savings) that people make in financial institutions like banks. If more people were to make deposits, the amount of savings in the system would therefore increase.

To illustrate this increase the supply for loanable funds curve will shift to the right which will cause the interest rates to fall as there is now more supply relative to demand.

Adler​, Milton​, and Bryant have capital balances of $20,000​, $30,000​, and $50,000​, respectively. The partners share profits and losses as​ follows:a. The first $30,000 is divided based on the​ partners' captal balances.b. The next $30,000 is based on​ service, shared equallyby Adler and Bryant. Milton does not receive a salary allowance.c. The remainder is divided equally.Requirements1. Compute each​ partner's share of the $72,000 net incme for the year.2. Journalize the closing entry to allocate net income for the year. Adler Milton Bryant TotalNet income (loss) $72,000Capital allocation:Adler $6,000Milton $9,000Bryant $15,000Salary allowance:Adler 15,000Milton 0Bryant 15,000Total salary and capital allocation 21,000 9,000 30,000 (60,000)Net income (loss) remaining for allocation 12,000Remainder shared equally:Adler 4,000Milton 4,000Bryant 4,000Total allocation (12,000)Net income (loss) remaining for allocation 0Net income (loss) allocated to the partners $25,000 $13,000 $34,000Requirement 2. Journalize the closing entry to allocate net income for the year. ​(Record debits​ first, then credits. Select the explanation on the last line of the journal entry​ table.)Date Accounts and Explanation Debit CreditIncome Summary 72,000Adler, Capital 25,000Milton, Capital 13,000Bryant, Capital 34,000To close Income Summary account to partners' capital.

Answers

Answer:

Adler​, Milton​, and Bryant

1. Computation of each partner's share of the $72,000 net income for the year:

                                  Adler​       Milton​        Bryant         Total

First $30,000:

Capital allocation      6,000      9,000         15,000       30,000

Second $30,000:

Salary allowance     15,000        0              15,000        30,000

Remainder $12,000:

Shared equally        4,000       4,000           4,000        12,000

Total                   $25,000    $13,000      $34,000     $72,000

2. Closing Journal Entry to allocate the net income for the year:

Date     Accounts and Explanation       Debit     Credit

Dec. 31 Income Summary                   $72,000

            Adler, Capital                                         $25,000

            Milton, Capital                                           13,000

            Bryant, Capital                                          34,000

To close Income Summary account to partners' capital.

Explanation:

a) Data and Calculations:

Net Income = $72,000

Sharing formula:

First $30,000 is divided based on the​ partners' capital balances.

Next $30,000 is based on​ service, shared equally by Adler and Bryant.

Remainder is divided equally.

                                  Adler​       Milton​        Bryant         Total

Capital balances   $20,000​  $30,000​     $50,000​    $100,000

Ratio of capital          2 :            3 :                5                10

First $30,000:

Capital allocation      6,000      9,000         15,000       30,000

Second $30,000:

Salary allowance     15,000        0              15,000        30,000

Remainder $12,000:

Shared equally        4,000       4,000           4,000        12,000

Total                   $25,000    $13,000      $34,000     $72,000

Select the correct answer.
Which action can help you become an effective learner?
OA enrolling in a graduate program
O B. limiting your learning to what you need for your career
OC. maintaining a positive attitude toward learning
OD. only exploring topics that interest you

Answers

Answer:

c

Explanation:

maintaining a positive attitude toward learning

Maintaining a positive attitude toward learning action can help you become an effective learner. Thus, option (c) is correct.

What is learning?

The process of gaining new understanding, information, actions, abilities, values, perspectives, and preferences is known as learning. Humans, creatures, and some robots all have the potential to learn, and there is evidence that certain plants can learn as well. The process of acquiring new skills, information, knowledge, and values is known as education.

As an individual learns, a good attitude allows you to relax, remember, focus, and absorb information. When setbacks or obstacles occur, they will motivate those closest to them to do their all and help to drive projects forward. The best method to learn is to maintain a good attitude toward learning.

Therefore, option (c) is correct.

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You bought a stock six months ago for $74.82 per share. The stock paid no dividends. The current share price is $77.59. What is the APR and EAR of your investment? (Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Answer and Explanation:

The computation is shown below;

Percentage returns is

= (End value - Beginning value) ÷ Beginning value

= ($77.59 - $74.82) ÷ $74.82

= 3.70%

Now

APR is

= 3.70 × 2

= 7.40%

As the given months is six but we have to compute for 12 months that why we multiplied it by 2

And,

EAR = (1 + APR ÷ m)^m - 1

where

m = compounding periods

So,

= (1 + 0.074 ÷ 2)^2 - 1

=7.54%

kya clark borrowed 7500 ay 6%ordinary interest for 180 days after 40 days she made a partial payemnt of 2500 after another 70 days kya made a second partial payment of 3000 using the U.S rule what is the final amount due?

Answers

Answer:

$2,133.52

Explanation:

lets try to put some dates into the question:

Kya borrowed $7,500 on June 1.

On July 10, she made a partial payment of $2,500. The loan's balance on July 10 was $7,500 + [$7,500 x 6% x 40/360 (remember ordinary interest is 360 days)] = $7,550 - $2,500 = $5,050

On September 18, Kya made a second payment of $3,000. The loan's balance before the payment = $5,050 + ($5,050 x 6% x 70/360) = $5,108.92 - $3,000 = $2,108.92

On November 27 when her loan is due, she will need to pay $2,108.92 + ($2,108.92 x 6% x 70/360) = $2,133.52

A 2-year maturity bond with face value of $1,000 makes annual coupon payments of $80 and is selling at face value. What will be the rate of return on the bond if its yield to maturity at the end of the year is: (Do not round intermediate calculations. Enter your answers as a percent rounded to 2 decimal places.) Rate of Return a. | 6% b. | 8% c. | 10%

Answers

Solution:

Annual coupon payment of the bond is $80

At the beginning of the year, remaining maturity period is 2 years.

Price of the bond is equal to face value, i.e. the initial price of the bond is $1000.

New price of the bond = present value of the final coupon payment + present value of the maturity amount.

New price of the bond = [tex]$\frac{80}{1+r} +\frac{1000}{1+r}$[/tex]

where, r is the yield to maturity at the end of the year.

Substitute 0.06 for r in the above equation,

Therefore new price of the bond is  = [tex]$\frac{80}{1+0.06} +\frac{1000}{1+0.06}$[/tex]

                                                           = [tex]$\frac{1080}{1.06}$[/tex]

                                                           = $ 1010.87

Calculating the rate of return of the bond as

[tex]$\text{rate of return}=\frac{\text{coupon+new price-old price}}{\text{initial price}}$[/tex]

                     [tex]$=\frac{80+1018.87-1000}{1000}$[/tex]

                     = 0.09887

Therefore, the rate of return on the bond is 9.887%

                                                                    ≈ 10 %

In computing the cost of common equity, if the dividend (D1) goes downward and market price (P0) goes up, required rate of return (Ke) will:_____.a. go up.
b. go down.
c. stay the same.
d. slowly increase.

Answers

Answer:

b. go down.

Explanation:

The Formula for Required rate of return Ke = Dividend (D1) / Price. So, increase in price which is denominator will leads to decrease in the required rate of return. Hence, In computing the cost of common equity, if the dividend (D1) goes downward and market price (P0) goes up, required rate of return (Ke) will Go down

Suppose the economy is at a point below its physical production possibilities frontier but above its institutional production possibilities frontier. In response to this situation, Keynesian economists may propose that government enact ________ fiscal policy to correct this ________ gap by ________ government expenditures.

Answers

Answer: contractionary; inflationary; decreasing

Explanation:

A contractionary fiscal policy is used in order to reduce the money that is in circulation. In this policy, the government increases tax and also cuts its spending.

The contractionary fiscal policy will be used according to Keynesian to correct the inflationary gap by decreasing the expenses of the government.

A corporate bond that pays interest rates annualy yields a rate of return of 9.50%. the inflation rate for the same period is 3%. What is the real rate of return on this bond?a. 1.06%.
b. 12.50%.
c. 3.00%.
d. 6.31%.
e. 3.17%.

Answers

Answer:

d. 6.31%

Explanation:

The relationship between the  nominal interest rate(9.50%),inflation rate( 3%) and the real rate of return is shown by the formula below:

(1+nominal rate of return)=(1+inflation rate)*(1+real  rate of return)

nominal rate of return=9.50%

inflation rate=3%

real  rate of return is the unknown

(1+9.50%)=(1+3%)*(1+real  rate of return)

1.095=1.03*(1+real  rate of return)

1.095/1.03=1+real  rate of return

real  rate of return=(1.095/1.03)-1

real rate of return=6.31%

What type of account is Discount on Bonds Payable and what is its normal​ balance? A. Reversing​ account; Debit B. Contra​ liability; Debit C. Contra​ liability; Credit D. Adjusting​ account; Credit

Answers

Answer:

B. Contra​ liability; Debit

Explanation:

Discount on the bond is contra liability account and it has debit balance because liabilities normally have a credit balance, so the contra account of liabilities must have a debit balance.

Discount on Asset is reported under the bond payable value. The net payable on the bond is calculated by deducting the discount on bond value from the bond payable value ( usually face value of the bond. )

When the order acceptance occurs during the early portions of the production lead time, how would you describe the current manufacturing environment? a. Make to stock (MTS) b. Assemble to order (ATO) c. Make to order (MTO) d. Assemble to stock (ATS)

Answers

Answer:

The current manufacturing environment would be described as:

c. Make to Order (MTO).

Explanation:

The 'make to order' strategy means that the company accepts orders during the production lead time and produces products based on the customer's specifications.  The goods will not be stocked after production, instead they will be shipped to the customer who requested for them immediately after production.  It is unlike 'make to stock' production strategy, where orders result from production planning based on sales estimates.

Suppose you take a fixed-rate mortgage of $150,000 at 3.21% per annum for 30 years. How much of the payment is interest in 72 month?a. $349.40 b. $640.53 c. $875.56 d. $65,432 e. none of the above

Answers

Answer:

$349.40

Explanation:

The interest in 72 month is only obtained when an amortization table for this mortgage is constructed.

So we first need to find the annual instalment as follows :

PV = $150,000

i = 3.21%

N = 30

P/YR = 1

FV = $ 0

PMT = ?

Using a financial calculator to input the values as above, the annual instalment is $7,862.08.

In 72 months, this will be 6 years. So in the 6th year, the interest will be $4,293.52. Monthly interest will approximate $349.40 ($4,293.52 ÷ 12).

Palms, Inc. wants to sell enough palm trees to earn a profit of $20,000. If the unit sales price is $40, unit variable cost is $22, and total fixed costs are $120,400, how many trees must be sold to earn a profit of $20,000?a. 6,689.
b. 312,000.
c. 7,800.
d. 8,911.

Answers

Answer:

c. 7,800

Explanation:

Contribution margin per tree = Unit selling price - Unit variable cost = $40 - $22 = $18

Sales(trees) required = (Fixed costs+Operating income) / Contribution margin per tree = ($120,000+$20,000) / $18 = $140,000 / $18 = 7,800 trees

Answer: Number of tress to be sold = 7,800-C

Explanation:

Contribution margin =  Selling expense - Variable cost

= $40- $22

= $18

Contribution Margin Ratio= Contribution Margin/ sales expense  x 100

=18/ 40 x 100

= 45%

To earn a  target profit of $20,000

A) Sales to attain the target profit = [(Fixed expenses + Target profit) ÷ Contribution Margin  ratio]

= ($120,400+ $20,000) / 0.45

$140,400/0.45

= $312,000

No. of tress to be sold =Sales to attain the target profit/ selling price

$312,000/$40

=$7,800

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