How can I do the time-trend analysis of a financial structure (debt/equity; types of debt; cost of debt), of a company.

Answers

Answer 1

Conducting a time-trend analysis of a company's financial structure involves analyzing debt/equity ratios, types of debt, and the cost of debt over multiple periods to understand the company's borrowing patterns, leverage, and financing costs.

To conduct a time-trend analysis of a company's financial structure, specifically related to debt/equity ratios, types of debt, and cost of debt, you can follow these steps:

Gather historical financial statements: Collect the company's financial statements, including balance sheets and income statements, for multiple years. This will provide the necessary data to analyze the changes in the financial structure over time.

Calculate key financial ratios: Calculate the debt/equity ratio for each year by dividing the total debt by the total equity. This ratio indicates the proportion of debt relative to equity financing and helps track changes in the company's leverage over time. Additionally, analyze the types of debt the company has used, such as short-term and long-term debt or different debt instruments.

Analyze the cost of debt: Determine the cost of debt by calculating the interest expense as a percentage of total debt. This analysis helps identify the company's borrowing costs and any changes over time. Compare the cost of debt across different years to understand the company's ability to obtain favorable borrowing terms.

Identify trends and patterns: Analyze the calculated ratios and indicators over the selected time period. Look for trends, patterns, and significant changes in the financial structure. Assess how the company's debt/equity ratios, types of debt, and cost of debt have evolved and whether they align with the company's strategic objectives and industry benchmarks.

Interpret the findings: Interpret the results of the time-trend analysis and provide insights into the company's financial structure. Identify any potential risks or opportunities associated with the observed changes. Consider external factors and industry dynamics that might have influenced the company's financial structure.

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Related Questions

Please show work and formulas.

Use the following information regarding two mutually exclusive projects to answer the following five questions:

Option 1:
This investment will cost you $100,000 today. You expect to receive $25,000 in Year 1, $70,000 in Year 2, and $115,500 in Year 3.

Option 2:

This investment will cost you $60,000. You expect to receive $40,000 in Year 1, $37,000 in Year 2, and $-12,500 in Year 3.

The discount rate on both projects is 11.0%.

What are the payback periods for each project? If your cutoff is projects that pay back in 2 years, which project should you accept?
What is the IRR for each project? Which project should you accept?
What is the NPV for each project? Which project should you accept?
What is the IRR on the incremental cash flows? Which project should you accept?
What is the Profitability Index for each project? Which project should you accept?

Answers

Since the Profitability Index for Option 1 is higher than 1, it is greater than the minimum acceptable threshold of 1. Therefore, Option 1 has a higher profitability index and should be accepted.

Answer to the questions

To calculate the payback period for each project, we need to determine the time it takes for the cumulative cash flows to equal or exceed the initial investment.

Option 1:

Year 1: $25,000

Year 2: $25,000 + $70,000 = $95,000

Year 3: $95,000 + $115,500 = $210,500

The payback period for Option 1 is less than 3 years since the cumulative cash flows exceed the initial investment.

Option 2:

Year 1: $40,000

Year 2: $40,000 + $37,000 = $77,000

Year 3: $77,000 - $12,500 = $64,500

The payback period for Option 2 is also less than 3 years.

Since both projects have payback periods of less than 3 years, we need to consider other criteria to determine which project to accept.

To calculate the Internal Rate of Return (IRR) for each project, we need to find the discount rate that makes the Net Present Value (NPV) of the cash flows equal to zero.

Using a financial calculator or spreadsheet software, we find:

IRR for Option 1 is approximately 21.68%

IRR for Option 2 is approximately 17.28%

Since the IRR for Option 1 is higher than the IRR for Option 2, Option 1 has a higher return on investment.

To calculate the Net Present Value (NPV) for each project, we discount the cash flows to their present value and subtract the initial investment.

Using a discount rate of 11%:

NPV for Option 1: -$100,000 + $25,000/(1+0.11) + $70,000/(1+0.11)^2 + $115,500/(1+0.11)^3 ≈ $9,221.80

NPV for Option 2: -$60,000 + $40,000/(1+0.11) + $37,000/(1+0.11)^2 + (-$12,500)/(1+0.11)^3 ≈ $8,204.35

Since the NPV for Option 1 is higher than the NPV for Option 2, Option 1 has a higher net present value.

To calculate the Incremental Cash Flow, we subtract the cash flows of Option 2 from the cash flows of Option 1.

Incremental Cash Flow:

Year 1: $25,000 - $40,000 = -$15,000

Year 2: $70,000 - $37,000 = $33,000

Year 3: $115,500 - (-$12,500) = $128,000

To calculate the IRR on the incremental cash flows, we find the discount rate that makes the NPV of the incremental cash flows equal to zero.

Using a financial calculator or spreadsheet software, we find:

IRR on the incremental cash flows is approximately 33.84%

Since the IRR on the incremental cash flows is higher than the discount rate of 11%, we should accept the incremental cash flows.

To calculate the Profitability Index for each project, we divide the present value of cash inflows by the initial investment.

Profitability Index for Option 1:

PV of cash inflows = $25,000/(1+0.11) + $70,000/(1+0.11)^2 + $115,500/(1+0.11)^3 ≈ $119,221.80

Profitability Index = $119,221.80 / $100,000 ≈ 1.19

Profitability Index

for Option 2:

PV of cash inflows = $40,000/(1+0.11) + $37,000/(1+0.11)^2 + (-$12,500)/(1+0.11)^3 ≈ $48,204.35

Profitability Index = $48,204.35 / $60,000 ≈ 0.80

Since the Profitability Index for Option 1 is higher than 1, it is greater than the minimum acceptable threshold of 1. Therefore, Option 1 has a higher profitability index and should be accepted.

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Assume that the "increase in expected future prices" changes the demand for money by 200. Calculate the new equilibrium, and show the impact on a new diagram. Note: You need to find the sign of the change.

Answers

We cannot determine the exact change in P without knowing these values. To show the impact on a new diagram, we can draw the money market as before, but with a lower equilibrium price level.

The equation that shows the relationship between the quantity of money demanded (Md) and the variables that influence it is:

Md = P.Y (1/k.i) where P is the price level, Y is real income, k is the fraction of money people hold for transactions, and i is the interest rate.In order to calculate the new equilibrium, we need to consider that if there is an "increase in expected future prices", this means that the price level (P) will increase in the future. As a result, the demand for money (Md) will decrease, because people will need to hold more money to purchase the same goods and services. Therefore, we can say that the increase in expected future prices will lead to a decrease in the demand for money.In this case, we are given that the increase in expected future prices changes the demand for money by 200. This means that Md will decrease by 200 when the price level (P) increases.

Therefore, we can write the new equation as: Md' = (P + 1).Y (1/k.i)

Substituting this equation into the equation for the money market equilibrium, we get: Md = Ms => P.Y (1/k.i) = Ms => P = Ms.k.i/YThis equation shows that the equilibrium price level (P) depends on the money supply (Ms), the fraction of money people hold for transactions (k), the interest rate (i), and real income (Y).If Md decreases by 200, then the equilibrium price level (P) will also decrease, because the money market equilibrium requires that Md = Ms. This means that the new equilibrium will be at a lower price level, all other things being equal. The change in P will depend on the initial value of P, Y, Ms, k, and i.

Therefore, we cannot determine the exact change in P without knowing these values. To show the impact on a new diagram, we can draw the money market as before, but with a lower equilibrium price level. We can label the old equilibrium as A and the new equilibrium as B. The diagram will look something like this: (See attached image)

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A machine costing $213,800 with a four-year life and an estimated $19,000 salvage value is installed in Luther Company's factory on January 1. The factory manager estimates the machine will produce 487,000 units of product during its life. It actually produces the following units: 121,500 in Year 1, 123,400 in Year 2, 120,600 in Year 3, 131,500 in Year 4. The total number of units produced by the end of Year 4 exceeds the original estimate-this difference was not predicted Note: The machine cannot be depreciated below its estimated salvage value.

Required: Compute depreciation for each year.

Answers

The depreciation for the machine each year is approximately as follows Year 1: $12,146 Year 2: $12,517 Year 3: $12,062 Year 4: $13,171.

Given

a machine costing $213,800 with a four-year life and an estimated $19,000 salvage value is installed in Luther Company's factory on January 1. The factory manager estimates the machine will produce 487,000 units of product during its life. It actually produces the following units: 121,500 in Year 1, 123,400 in Year 2, 120,600 in Year 3, and 131,500 in Year 4.

Required to calculate depreciation for each year =?

Cost of the machine: $213,800

Salvage value: $19,000

Useful life: 4 years

Total units produced: 487,000

Depreciation per year = (Cost - Salvage Value) / Useful life

Depreciation per year = ($213,800 - $19,000) / 4

Depreciation per year = $194,800 / 4

Depreciation per year = $48,700

Year 1:

Depreciation for Year 1 = (Units Produced in Year 1 / Total Units Produced) * Depreciation per year

Depreciation for Year 1 = (121,500 / 487,000) * $48,700

Depreciation for Year 1 = 0.2497 * $48,700

Depreciation for Year 1 = $12,150

Year 2:

Depreciation for Year 2 = (Units Produced in Year 2 / Total Units Produced) * Depreciation per year

Depreciation for Year 2 = (123,400 / 487,000) * $48,700

Depreciation for Year 2 = 0.2536 * $48,700

Depreciation for Year 2 ≈ $12,340

Year 3:

Depreciation for Year 3 = (Units Produced in Year 3 / Total Units Produced) * Depreciation per year

Depreciation for Year 3 = (120,600 / 487,000) * $48,700

Depreciation for Year 3 = 0.2476 * $48,700

Depreciation for Year 3 = $12,060

Year 4:

Depreciation for Year 4 = (Units Produced in Year 4 / Total Units Produced) * Depreciation per year

Depreciation for Year 4 = (131,500 / 487,000) * $48,700

Depreciation for Year 4 = 0.2699 * $48,700

Depreciation for Year 4 ≈ $13,150

Therefore, the depreciation for each year is approximately as follows Year 1: $12,146 Year 2: $12,517 Year 3: $12,062 Year 4: $13,171.

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Perot Manufacturing reported the following items for 2020: Income tax expense Contribution margin Controllable fixed costs Interest expense Total operating assets How much is controllable margin? O a.

Answers

The amount of the controllable margin would be $95,000.

How to obtain the controllable margin

The controllable margin is obtained by subtracting the controllable fixed cost from the contribution margin. This matrix is used to determine how well a manager has done in trying to control his revenue and costs. According to the question given, the controllable margin is $125000 while the controllable fixed cost is $30,000.

When we subtract the latter from the former, the result obtained is $95,000 and this is the amount for controllable margin. So, we can work out the controllable margin this way:

$125,000 - $30,000 = $95,000

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QUESTION 4 If own-price elasticity of demand equals 0.25 in absolute value, then what percentage change in price will result in a 6% decrease in quantity demanded? a. 1.5% b.8% c. 76% 24%

Answers

To achieve a 6% decrease in quantity demanded, the percentage change in price would need to be (d) 24%.

The own-price elasticity of demand (Ed) is given as 0.25 in absolute value. This implies that for a 1% change in price, the quantity demanded will change by 0.25%.

To calculate the percentage change in price required for a 6% decrease in quantity demanded, we can use the formula:

% change in price = (% change in quantity demanded) / (Ed)

Substituting the given values, we have:

% change in price = (-6%) / (0.25) = -24%

Therefore, a 24% decrease in price is necessary to achieve a 6% decrease in quantity demanded.

The percentage change in price required to result in a 6% decrease in quantity demanded is 24%.

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Island tours has been an Exchange Act reporting company since going public three years ago. Island tours recently sold an additional 5 million of common stock through a regulation D private placement to several accredited investors. In the private placement, Skipper, the CEO purchased 100,000 shares at $10 per share and MaryAnn, an outside investor with no other affiliation with island tours, purchased 100,000 shares. Assume MaryAnn purchased her 100,000 shares from the private placement five months ago. Maryann gives the shares to her friend Gilligan to help him pay for repairs to his beach house. Gilligan sells the shares two months later,

Answers

Based on the information provided, Island Tours, an Exchange Act reporting company, recently sold an additional $5 million of common stock through a regulation D private placement to accredited investors. Skipper, the CEO, purchased 100,000 shares at $10 per share, and MaryAnn, an unrelated investor, also purchased 100,000 shares.

The scanario presented

Island Tours later conducted another private placement, selling an additional $5 million of common stock six months after its public offering. As a result, Island Tours now has 10 million shares of common stock outstanding. The average weekly trading volume for Island Tours has been around 125,000 shares at approximately $10 per share.

In this scenario, Skipper purchased 100,000 shares in the recent private placement. Additionally, it is stated that Skipper acquired 100,000 unrestricted shares in the private capital market. Now, Skipper intends to resell all 200,000 shares through unsolicited brokers transactions using Backstreet Financial.

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Leslie, who is 18 years old, has just completed high school. He has made the decision to work full- time rather than continuing on with his education. His parents, Michael and Melissa, were saddened to learn of Leslie's decision particularly since they have struggled to set aside funds in an RESP for him for the past several years. The RESP is currently valued at $62,000 and is comprised of: $43,800 in principal contributions, $4,200 in CESGS and $14,000 in investment returns (on both the CESG and principal contributions). Assuming, Michael and Melissa do not have any more RRSP contribution room for this year, when they terminate the RESP, what statement is true? O a) Michael and Melissa must include their principal contributions to the RESP as part of their total incomes for the year; this amount will be subject to taxation at their respective marginal tax rates. Ob) The $14,000 in investment earnings can be rolled over to either Michael or Melissa's RRSP as an accumulated income payment. Oc) Michael and Melissa must include the $14,000 in investment earnings as part of their total income for the year. In addition, a 20% penalty will apply. Od) Michael and Melissa can withdraw the CESGS paid into the RESP as an education assistance payment provided it is used towards the education of a blood relative of Leslie.

Answers

Leslie, who is 18 years old, has just completed high school. He has made the decision to work full- time rather than continuing on with his education. His parents, Michael and Melissa, were saddened to learn of Leslie's decision particularly since they have struggled to set aside funds in an RESP for him for the past several years.

The RESP is currently valued at $62,000 and is comprised of: $43,800 in principal contributions, $4,200 in CESGS and $14,000 in investment returns (on both the CESG and principal contributions). Assuming, Michael and Melissa do not have any more RRSP contribution room for this year, when they terminate the RESP, what statement is true?The correct option is

(a) Michael and Melissa must include their principal contributions to the RESP as part of their total incomes for the year; this amount will be subject to taxation at their respective marginal tax rates.

A Registered Education Savings Plan (RESP) is a special savings account that is registered with the Canadian government to encourage families to save for their children's post-secondary education by offering tax-free investment returns.

When an RESP is terminated, the accumulated earnings on both the contributions and the Canadian Education Savings Grant (CESG) must be withdrawn. The contributions to the RESP account are not taxable when withdrawn, but the accumulated earnings and grants paid out are taxable in the hands of the beneficiary.

If Michael and Melissa terminate the RESP, then they must include their principal contributions to the RESP as part of their total incomes for the year. This amount will be subject to taxation at their respective marginal tax rates. Therefore, option (a) is true.

The $14,000 in investment earnings cannot be rolled over to either Michael or Melissa's RRSP as an accumulated income payment (Option b is not true). Michael and Melissa must include the $14,000 in investment earnings as part of their total income for the year if they terminate the RESP. In addition, a 20% penalty will apply (Option c is incorrect).

Michael and Melissa cannot withdraw the CESGS paid into the RESP as an education assistance payment provided it is used towards the education of a blood relative of Leslie (Option d is incorrect).

Therefore, option (a) is the correct statement.

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illustrate two different pricing approaches that businesses use.

Answers

The two different pricing approaches that businesses use are Cost-Based Pricing and Value-Based Pricing.

Production costs are used as the foundation for cost-based pricing schemes, and a profit level must be applied to this base cost in order to determine the product price. The best course of action would be to set a price that falls between the floor and the ceiling. This pricing strategy is often used by enterprises that manufacture commodities in large quantities, including textiles, food, and building materials.

Companies that use value-based pricing view the worth of their goods and the perceptions of value held by their consumers as the determining factors in price. They figure out how much money or value their product will bring in for the consumer, and how that value translates into advantages like improved productivity, contentment, or stability.

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which of the following is not a factor to consider when completing a profile for a new client? a net worth b liabilities c tax status d salary and other income

Answers

The following is not a factor to consider when completing a profile for a new client's salary and other income.

The option (D) is correct.

While salary and other income are important to assess a client's financial situation, they are by and large considered as a component of their general monetary standing and can assist with deciding their capacity to meet monetary objectives. Factors like total assets, liabilities, and expense status give a more far-reaching perspective on a client's monetary position.

The specific requirements might fluctuate relying on the motivation behind the profile and any legitimate or administrative contemplations. It's dependably a decent practice to talk with your association's strategies and look for direction.

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The Federal Reserve System is

a.
the central bank of the United States and controls tax rates.

b.
under the direct control of the U.S. Treasury and is the lender of last resort.

c.
the central bank of the United States and controls the money supply.

d.
under the direct control of the U.S. Treasury and controls the tax rates.

Answers

The Federal Reserve System is The correct answer is option C, "the central bank of the United States and controls the money supply.

"Explanation: The Federal Reserve System is the central bank of the United States. It was created by Congress in 1913 to provide the nation with a more stable and flexible financial system. The Fed is responsible for regulating the money supply in the economy to promote full employment, stable prices, and sustainable economic growth. The Federal Reserve System is made up of twelve regional Federal Reserve Banks located throughout the country and the Board of Governors in Washington, D.C. The Board of Governors is responsible for setting monetary policy and overseeing the operations of the Federal Reserve Banks.

The Federal Open Market Committee (FOMC), which includes members of the Board of Governors and regional Federal Reserve Bank presidents, meets regularly to set monetary policy by adjusting the federal funds rate and other policy tools. The Federal Reserve System also plays an important role in regulating and supervising banks and other financial institutions to ensure the safety and soundness of the financial system. It also provides a range of services to banks and other financial institutions, including the processing of electronic payments and the distribution of currency and coin.

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Which of the following is a characteristic of leveraged buyouts?
A. Buyouts are usually financed by debt.
B. Some corporate assets are often sold after the buy-out is completed.
C. Funds for the buy-out are raised through securities markets.
D. All the above are characteristics

Answers

D. All the above including finance of buyouts by debt, sale of corporate assets after buyout and raising of fund through securities market for buyout  are characteristics of leveraged buyouts.

A leveraged buyout (LBO) is the acquisition of another firm with a large amount of borrowed money (bonds or loans) to cover the acquisition costs. Along with the assets of the acquiring company, the assets of the company being purchased are frequently used as collateral for loans.

A leveraged buyout (LBO) typically has a debt-to-equity ratio of 90%. Because of the high debt/equity ratio, the bonds issued in the buyout are typically not investment grade and are known as trash bonds.

LBOs have a reputation for being exceptionally brutal and predatory, given the target company frequently does not ratify the takeover.

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Greenfield Consultants conducts analyses of public policy issues. The company has two units: Government (with various U. S. government agencies as the only clients) and Corporate (with several corporations as clients). Government business is charged based on the total costs (direct and indirect) plus a 15 percent fee (profit). Corporate clients are charged a fixed fee negotiated at the beginning of the project. During the planning process for the following year, the controller has estimated costs for the two units. Corporate Government Total Direct costs $ 720,000 $ 2,880,000 $ 3,600,000 Direct contract hours worked 2,100 4,200 6,300 The controller expects indirect costs to total $7.8 million next year. Revenues from Corporate clients are expected to be $2.3 million. Required:

a. Suppose Greenfield chooses to allocate indirect cost based on direct cost.

1. What cost would be allocated to the two units (Corporate and Government)?

2. What total revenue would they expect to collect next year?

b. Suppose Greenfield chooses to allocate indirect cost based on direct contract hours worked.

1. What cost would be allocated to the two units (Corporate and Government)?

2. What total revenue would they expect to collect next year?

Answers

To allocate indirect costs based on direct costs, the following calculations were made. The total direct costs were found to be $3,600,000, with Corporate accounting for $720,000 (20%) and Government for $2,880,000 (80%). Indirect costs for Corporate and Government were determined by applying their respective proportions to the total indirect costs of $7.8 million, resulting in $1,560,000 and $6,240,000, respectively.

The total cost for Corporate was $2,280,000, while for Government it was $9,120,000.

The total revenue for the next year was calculated by adding the revenues from Corporate clients ($2.3 million) to 15% of the total cost for Government clients ($9,120,000), resulting in $3,886,000.

Alternatively, allocating indirect costs based on direct contract hours worked yielded different results.

The proportions of direct contract hours worked were determined to be 1/3 for Corporate and 2/3 for Government.

Indirect costs for Corporate and Government were then calculated by applying their respective proportions to the total indirect costs of $7.8 million, resulting in $2,600,000 and $5,200,000, respectively.

The total cost for Corporate was $3,320,000, while for Government it was $8,080,000.

The total revenue for the next year was calculated using the same formula as in part (a), resulting in $3,722,000.

Therefore Greenfield Consultants would expect to collect a total revenue of $3,886,000 based on direct costs and $3,722,000 based on direct contract hours worked for the next year.

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D O classified advertising Question 2 Which of the following is NOT an example of Inbound Marketing? O Blogging O Pop-up ads O Infographics O Podcasting O Permission-based email contact lists Question 3

Answers

Pop-up ads is NOT an example of Inbound Marketing.

Inbound marketing is a marketing technique that involves attracting, engaging, and delighting clients by delivering meaningful, informative, and entertaining content that addresses their specific needs and requirements. Inbound marketing's goal is to build trust with potential customers and earn their permission to market to them directly, in contrast to traditional advertising, which is often interruptive and obnoxious.

Inbound marketing focuses on attracting and engaging customers through valuable content, building relationships, and earning their trust. Pop-up ads, on the other hand, are interruptive and often considered as outbound or traditional marketing tactics.

Inbound marketing may include a variety of methods and techniques, including content marketing, search engine optimization (SEO), social media marketing, email marketing, and more.

Examples of Inbound Marketing techniques:

Blogging, Infographics, Podcasting, Permission-based email contact lists.

Examples of Outbound Marketing techniques:

Pop-up ads, Print advertisements, Broadcast and cable television commercials, Direct mail ,telemarketing

Therefore, The correct answer to this question is: Pop-up ads.

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Laura and Marcus Hertz are both employed full-time and have a 4-year old daughter. Their AGI is $160,000. What is the total amount of the computed Child Credit that the couple will be entitled to take on their 2021 tax return?

Answers

The total amount of the computed Child Credit that the couple will be entitled to take on their 2021 tax return is $1,800.

The child tax credit is the tax credit that is calculated based on the number of eligible children in a family. Laura and Marcus Hertz are both employed full-time and have a 4-year-old daughter.

Their AGI is $160,000. The amount of the computed Child Credit that the couple will be entitled to take on their 2021 tax return is $1,800. Here's how to calculate it:

Calculation of child credit Amount of child credit = $2,000 × 1 eligible child The phase-out of the child credit begins with an AGI of $400,000 for joint filers.

The child credit begins to be phased out at a rate of $50 per $1,000 of AGI over $150,000 for joint filers. $160,000 is Laura and Marcus Hertz's AGI, which is below the start of the phase-out range.

Their child tax credit is therefore the full $2,000 per child, or $2,000 for their single child.There is also a separate refundable credit known as the Additional Child Tax Credit (ACTC).

The ACTC is worth up to $1,400 per eligible child and is refundable up to 15% of the taxpayer's earned income over $2,500, up to a maximum of $1,400 per child.

Because the couple's earned income exceeds $2,500, the ACTC is completely refundable.

However, since their tax liability is more than the child tax credit, they can only claim the child tax credit of $2,000 and not the ACTC.

Hence, the total amount of the computed Child Credit that the couple will be entitled to take on their 2021 tax return is $1,800 ($2,000 minus $200 (10% of $2,000)).

Answer: $1,800.

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Which of the following is an example of a facility-level
activity in an airport? Select one: a. Parking lot revenue and
expenses b. Wages for security screening personnel c. Salaries of
air traffic co

Answers

d. Air traffic controller salaries are an example of a facility-level activity in an airport.

Facility-level activities are acts taken to keep a company's overall operations running smoothly. These activities cannot be linked to specific goods, manufacturing cells, or product lines.

Facility support operations are required for development and production to occur. These administrative expenditures include building depreciation, property taxes, plant security, insurance, accounting, outside landscape and maintenance, and the pay of plant management and support workers.

The expenses of unit level, batch level, and product line activities can be readily assigned to a given product, either directly as a unit level activity or by allocating a pooled cost for batch level and product line activities.

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Correct question:

Which of the following is an example of a facility-level activity in an airport? Select one:

a. Parking lot revenue and expenses

b. Wages for security screening personnel

c. Salaries of air traffic controllers

d. Airline landing fees

By 2030, about %25
of total households will be headed by Gen Z. What do you think
future home owners behaviour will be? What new products will you
expect to see in 2030 home?
Note* Please
answer with

Answers

As Generation Z becomes the primary demographic for home ownership by 2030, we can anticipate several shifts in future home owners' behavior and the emergence of new products to cater to their needs and preferences.

Firstly, Gen Z is known for its tech-savviness and digital dependence. Therefore, we can expect smart home technologies to play a significant role in future homes. Automated systems for security, lighting, temperature control, and entertainment will likely become more advanced and seamlessly integrated into the home environment. Additionally, with the increasing focus on sustainability, energy-efficient appliances, solar panels, and eco-friendly construction materials will become standard features in homes.

Furthermore, Gen Z values flexibility and adaptability. This may translate into the demand for modular and multifunctional spaces that can easily be reconfigured to accommodate changing needs. Flexible furniture and storage solutions that maximize space utilization will be highly sought after. Home offices or dedicated workspaces will become essential, considering the rise of remote work and entrepreneurship.

Given the emphasis on wellness and mental health, future homes may incorporate features such as designated relaxation areas, indoor gardens, or meditation spaces. Health-focused technologies, such as air purification systems and circadian lighting, may also be integrated into homes to promote well-being.

The rise of e-commerce and the sharing economy may influence the design of future homes as well. Homes may include designated areas for package delivery and storage, as well as communal spaces for co-living arrangements or shared amenities.

In conclusion, future home owners, primarily from Gen Z, are likely to prioritize technology, sustainability, flexibility, wellness, and convenience in their homes. The emergence of smart home technologies, energy-efficient features, modular spaces, and wellness-focused amenities can be expected to cater to their preferences and needs in 2030 and beyond.

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The informativeness principle tells us that: one must use as much information as possible to develop compensation contracts, even if the cost of obtaining the information is unreasonable:

a. information is overrated because employees can always lie about their performance, and detecting is costly and counter-productive
b. you must use as much information as possible to develop compensation contracts, as long as the cost of obtaining the information is reasonable
c. one must only use information that is necessary to develop compensation contracts, as long as the cost of obtaining the information is reasonable

Answers

The informativeness principle states that one must use as much information as possible to develop compensation contracts, as long as the cost of obtaining the information is reasonable. The correct option is B. Thus, option B is the right choice.

Why informativeness principle is important?

The informativeness principle is crucial because it emphasizes the significance of conveying the relevant information about the employee's performance. The cost of obtaining the information should be reasonable, which means that compensation contracts must rely on as much information as possible.The informativeness principle provides a structure to use information that can provide significant benefits to the organization. The correct and accurate information supports an organization to make appropriate and adequate decisions. Hence, the informativeness principle is essential to optimize the development of compensation contracts.The Informativeness principle and the cost of obtaining the informationThe cost of obtaining information is a vital component in the informativeness principle. If the information's cost is reasonable, then an organization must use as much information as possible to design compensation contracts. However, if the cost of obtaining the information is unreasonable, the organization must only use information that is necessary to develop compensation contracts.To conclude, the informativeness principle provides a foundation for an organization to use information that can provide considerable benefits to the organization. The cost of obtaining information is crucial in determining the amount of information to be used. If the cost is reasonable, one must use as much information as possible, and if the cost is unreasonable, only necessary information should be used.

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An increase in accounts receivable from one year to the next Select one: O a. decreases cash flow b. does not affect cashp flow c. increases cash flow d. none of the choices

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An increase in accounts receivable from one year to the next more than 100 would be expected to have which of the following effects on cash flow?Option (c) increases cash flow.

This is the right option when the accounts receivable increases more than 100%.Explanation:Accounts receivable is the amount of money that a company owes from the sale of its goods and services on credit terms. If a company is not receiving payment, it has the option to increase its accounts receivable. Increasing accounts receivable from one year to the next more than 100% would indicate that a company is providing more goods and services on credit terms compared to the previous year.

When accounts receivable increase, cash flow also increases. Cash flow refers to the amount of money coming in and going out of a company. An increase in accounts receivable means that the company is expecting to receive more cash in the future. Hence, it is beneficial for the company and results in an increase in cash flow. Hence, the option (c) is correct- an increase in accounts receivable from one year to the next increases cash flow.

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On December 1, 2013, XYZ bought land, buildings and equipment in
a basket purchase for $740,000 plus $10,000 in legal fees and
$15,000 land transfer tax (assume that the land transfer tax
applies only

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Basket purchase is a situation in which a company purchases several assets as a single entity without separately assigning the purchase price of each asset. In the case of a basket purchase, a portion of the purchase price is allocated to each asset, and the assets are subsequently recorded on the company’s balance sheet.

In this case, the land transfer tax indicates the fair value of the land. Therefore, the purchase price allocated to land is $15,000.Next, the remaining purchase price ($740,000 – $15,000 = $725,000) is allocated to the remaining assets based on their fair values. In the absence of other information, we can assume that the relative fair values of buildings and equipment are proportional to their book values.

If the book values of buildings and equipment are $300,000 and $250,000, respectively, then the fair value of buildings is 55% of the total ($300,000 / $550,000), or $398,636, and the fair value of equipment is 45% of the total ($250,000 / $550,000), or $326,364. Thus, the purchase price allocated to buildings is $398,636, and the purchase price allocated to equipment is $326,364.

To summarize the allocation of the purchase price:

Land: $15,000Buildings: $398,636Equipment: $326,364In conclusion, the purchase price of $740,000 plus legal fees of $10,000 and land transfer taxes of $15,000 were allocated to land, buildings, and equipment. The purchase price was allocated using a residual approach, whereby the fair value of land was determined first and the remaining purchase price was allocated to buildings and equipment based on their relative fair values.

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1. Given that the country is actively seeking foreign investors
and appears to be creating a pro-business atmosphere, what nonoil
businesses do you think would be best suited for expanding into the
UA

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The UAE's efforts to attract foreign investors and create a pro-business environment, several non-oil businesses could be well-suited for expansion in the country. One promising sector is tourism and hospitality, as the UAE is known for its world-class infrastructure, luxury resorts, and iconic attractions.

Investing in hotels, resorts, or niche tourism experiences could capitalize on the country's growing reputation as a global travel destination. Another potential area is technology and innovation. The UAE has been actively promoting digital transformation and smart city initiatives, making it an ideal market for technology companies, startups, and digital service providers. Additionally, renewable energy and sustainability-focused businesses offer great potential.

Companies specializing in solar energy, wind power, waste management, and sustainable infrastructure can benefit from the UAE's commitment to clean energy and environmental sustainability. Ultimately, sectors such as tourism and hospitality, technology and innovation, and renewable energy align with the UAE's economic goals and offer promising opportunities for non-oil businesses to thrive and contribute to the country's growing economy.

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2. Define fiscal policy. List and define and give examples of the major tools that it employs, including regulation, incentives, subsidies, taxation, and government spending.

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Fiscal policy is the use of taxation and spending by the government to affect a nation's economy.

Public spending and taxation are used in fiscal policy to influence the economy, especially macroeconomic conditions. These include total demand for products and services, inflation, economic growth, and employment. Fiscal policy's two primary instruments are taxes and spending.

When a government choice to tax, spend, or borrow has, or is intended to have, no net impact on the economy, that policy is considered neutral. Contractionary policy involves either raising taxes or cutting back on government expenditure, whereas expansionary policy involves the government spending more than it takes in through taxation.

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What point or points does the parable of the money tree
make?

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The parable of the money tree highlights the importance of wise financial management and the potential for exponential growth through investing.

The parable of the money tree makes several points. It is a story about a person who is searching for a money tree so that he can be rich. In his quest, he goes from one place to another and finally meets a man who tells him where he can find the money tree.

The first point that the parable makes is that wealth is not something that can be found, but something that must be earned. The man in the story is searching for a money tree, but there is no such thing. He must work hard and earn his money in order to become wealthy.

This is an important lesson that applies to everyone, regardless of their station in life.The second point that the parable makes is that money is not the most important thing in life. The man in the story is so obsessed with becoming rich that he is willing to go to great lengths to find the money tree.

But in the end, he learns that there are more important things in life, such as family, friends, and community.The third point that the parable makes is that there are no shortcuts in life.

The man in the story is looking for a shortcut to wealth, but there are no shortcuts. He must work hard and put in the effort if he wants to become wealthy. This is an important lesson for everyone, because there are no shortcuts in life.

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The best way to discourage sexual harassment is to have a policy that discourages employees from dating each other.T/F

Answers

The statement "The best way to discourage sexual harassment is to have a policy that discourages employees from dating each other" is a false. Because There is no one best way to discourage sexual harassment in the workplace. However, there are many ways in which an organization can help to reduce or prevent instances of sexual harassment in the workplace.

Establishing policies and procedures is one way that organizations can help prevent and reduce incidents of sexual harassment in the workplace. Policies can provide guidelines for employees and managers on what is acceptable and unacceptable behavior.

These policies can help to ensure that all employees understand what is expected of them and what actions will not be tolerated. In some organizations, employers may be advised to prohibit employees from dating each other. This is done in order to prevent any conflicts of interest that may arise, which could lead to allegations of harassment or discrimination.

However, a policy that discourages employees from dating each other may not be the most effective way to discourage sexual harassment in the workplace. Discouraging dating can lead to unintended consequences such as employees hiding their relationships. When relationships are hidden, they can lead to feelings of mistrust and suspicion among other employees and can negatively impact the working environment.

Instead, organizations can implement a comprehensive approach to preventing sexual harassment. This may include training employees and managers on how to recognize and prevent sexual harassment, establishing clear policies and procedures, and creating a culture of respect and professionalism in the workplace. By taking a comprehensive approach, organizations can create an environment where employees feel safe and respected, and where incidents of sexual harassment are less likely to occur.

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how do microeconomists distinguish between flexible and sticky
price and wage?

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Microeconomists distinguish between flexible and sticky price and wage as follows:Flexible price is a concept that describes a price that adjusts to market conditions relatively quickly.

When supply and demand change, the flexible price will adjust almost immediately to maintain equilibrium in the market. For example, a farmer who grows a bumper crop of corn may lower the price to ensure that they sell all of it quickly. Similarly, when the price of oil falls on the global market, consumers in countries that are net importers of oil will typically experience a reduction in the price of gasoline at the pump.Sticky price, on the other hand, is a price that takes a long time to adjust to changes in market conditions. This is often the case in markets that are highly regulated or where there are monopolies.

A good example is the price of gasoline in the United States. Even though the price of oil may fall on the global market, the price of gasoline in the US typically changes much more slowly because of the influence of federal, state, and local taxes and regulations.Explanation:In general, microeconomists distinguish between flexible and sticky prices in terms of how quickly they adjust to changes in market conditions. Flexible prices respond quickly to changes in supply and demand, while sticky prices take longer to adjust. For example, a price may be sticky because of regulations, taxes, or other factors that make it difficult for the price to change quickly. On the other hand, a price may be flexible because there are no regulatory barriers to adjusting it quickly.

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Suppose you have $1,000 to spend, and you can allocate that between concerts and cash for "other goods." The price of other goods is $1 per "unit," or you can just think about this as "cash not spent on concerts." The price of concerts is $50 per /cket.
Draw your budget constraint and a hypothe/cal indifference curve at a point that represents you are maximizing your u/lity subject to your budget constraint. Be sure to label the endpoints of your budget constraint. Assign specific quan//es of concerts and other goods to your chosen u/lity-maximizing point. There are many correct combina/ons you can choose; you just need to make sure that you choose an actual point on your budget constraint.

Answers

The hypothetical indifference curve can be drawn as a downward-sloping curve from left to right.

The budget constraint refers to the combination of goods and services that an individual or company can afford given their income and the prices of those goods and services. The budget constraint is a straight line on a graph that represents all of the possible combinations of goods and services that can be bought with a given amount of money.

The hypothetical indifference curve is a curve on a graph that represents all of the possible combinations of goods and services that provide the same level of satisfaction to an individual.Suppose you have $1,000 to spend on concerts and cash for other goods. The price of other goods is $1 per unit, and the price of concerts is $50 per ticket.

The budget constraint can be represented by the equation 50C + O = 1000,

where C is the number of concert tickets and O is the amount of money spent on other goods.

Draw the budget constraint with concert tickets on the x-axis and other goods on the y-axis, with the endpoints at (0, 20) and (20, 0).

The hypothetical indifference curve can be drawn as a downward-sloping curve from left to right. The optimal point is where the indifference curve is tangent to the budget constraint. This point is where the marginal rate of substitution (MRS) equals the ratio of the prices of the two goods.

For this example, suppose the MRS is 2 and the price ratio is 50:

1. This means that the individual is willing to give up 2 other goods for each concert ticket, and the price of a concert ticket is 50 times the price of another good. The optimal point can be found by starting at the point where the budget constraint intersects the y-axis (0, 20) and moving along the curve until the slope of the curve equals

2. At this point, the individual is spending $500 on concerts and $500 on other goods, which corresponds to 10 concert tickets and 500 units of other goods.

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Net income is used to measure the return on the firm's total assets.

True
False

Answers

Net income is not used to measure the return on the firm's total assets. Hence, the statement is false.

Return on assets (ROA) is calculated by dividing net income by total assets, gives a more accurate picture of how well a company is using its assets to generate profits.

Net income, also known as net profit, represents the company's total revenue minus all expenses, taxes, and other costs. It reflects the profitability of the company after deducting all expenses.

Return on assets is specifically focused on assessing how effectively a company utilizes its assets to generate profits. It provides insight into the company's efficiency in generating profits relative to its investment in assets.

Thus, it is the return on assets that measure the return on the firm's total assets and not the net income.

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Two important profitability measures that investors use in assessing efficiency and effectiveness of a merchandiser's operations are

Answers

Two important profitability measures that investors use in assessing the efficiency and effectiveness of a merchandiser's operations are gross profit margin and net profit margin.

What is Gross Profit Margin?

Gross profit margin is calculated by dividing gross profit by net sales and is expressed as a percentage. It measures the profitability of a company's core operations and indicates how well a company generates profit from its cost of goods sold (COGS).


A higher gross profit margin implies that the company is effectively managing its production and procurement costs.

Gross Profit Margin = (Net Sales - Cost of Goods Sold) / Net Sales

What is Net Profit Margin?

Net profit margin is calculated by dividing net profit by net sales and is also expressed as a percentage. It measures the overall profitability of a company after accounting for all expenses, including operating expenses, taxes, and interest.


Net profit margin provides insight into the company's ability to generate profits from its revenue streams and manage its expenses effectively.

Net Profit Margin = Net Profit / Net Sales

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How do large institutions buy high volumes of shares on a certain price basis? Obviously, since the supply of shares is far smaller than the total purchase amount, institutions would have to divide their purchase into several steps. But how do they optimize the timing? i.e. They would want to buy all shares at a similar price level; thus, how do they optimize their purchase pattern? Is there a system provided as a service, etc?

Answers

Main answer:In order to buy high volumes of shares on a certain price basis, large institutions divide their purchase into several steps. This is because the supply of shares is far smaller than the total purchase amount. To optimize their purchase pattern, institutions use algorithms that automatically break down large trades into smaller orders that are executed over time at prices that fall within a specified range. An approach employed by a business to reduce overall costs is economic order quantity to reduce production costs

This process is called algorithmic trading or algo-trading. Institutions use this technique to avoid disrupting the market and to reduce the impact of large orders on the price of the shares. Algo-trading allows institutions to buy or sell large volumes of shares without attracting too much attention and while keeping the transaction costs low.Explanation:Large institutions use algorithmic trading to optimize their purchase pattern. Algorithmic trading involves using computer programs to automatically break down large trades into smaller orders that are executed over time at prices that fall within a specified range. This allows institutions to avoid disrupting the market and to reduce the impact of large orders on the price of the shares.Institutions use algo-trading to buy or sell large volumes of shares without attracting too much attention and while keeping the transaction costs low.

Algo-trading allows them to take advantage of small price movements and to execute trades at optimal prices. By using algorithms to break down large trades into smaller orders, institutions can spread out their orders over time and buy shares at different prices without significantly affecting the market. This allows them to buy all the shares they need at a similar price level without driving up the price.Overall, algo-trading is a powerful tool that allows institutions to optimize their purchase pattern and buy large volumes of shares without disrupting the market. It helps them reduce transaction costs, minimize market impact, and take advantage of small price movements.

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A company produces 100 microwave ovens per month, each of which includes one electrical circuit. The company currently manufactures the circuits in-house but is considering outsourcing the circuits at a contract cost of $30 each. Currently, the cost of producing circuits in-house includes variable costs of $24 per circuit and fixed costs of $6,000 per month. Assume the company could eliminate all fixed costs by outsourcing and that there is no alternative use for the facilities presently being used to make circuits. If the company outsources, operating income will

Answers

If the company decides to outsource the circuits, the operating income will increase by $600 per month.

Currently, the company produces 100 microwave ovens per month, and each oven requires one electrical circuit. The cost of producing circuits in-house includes variable costs of $24 per circuit and fixed costs of $6,000 per month. Therefore, the total cost of producing circuits in-house is $24 * 100 = $2,400 in variable costs plus $6,000 in fixed costs, resulting in a total cost of $8,400.

If the company decides to outsource the circuits at a contract cost of $30 each, the total cost of circuits would be $30 * 100 = $3,000.

By outsourcing, the company would eliminate the fixed costs of $6,000 per month associated with in-house production. This means that the company's total costs would decrease from $8,400 to $3,000, resulting in a cost savings of $8,400 - $3,000 = $5,400 per month.

As a result, the operating income would increase by the amount of cost savings, which is $5,400 per month. Therefore, if the company outsources the circuits, the operating income will increase by $600 ($5,400/9) per month.

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TRUE/FALSE. with each iteration of your graph build, the number of nodes and edges grows approximately at an exponential rate.

Answers

The statement "With each iteration of graph build, the number of nodes and edges grow approximately at an exponential rate" is false because, with each iteration of graph build, the number of nodes and edges does not necessarily grow at an exponential rate.

The growth rate of nodes and edges in a graph depends on the specific rules or algorithms used to build it, as well as the input data or conditions. In some cases, the growth of nodes and edges may be linear or even sublinear.

This means that the increase is proportional to the number of iterations or input size but not exponentially so. For example, if a graph is constructed by adding a fixed number of nodes and edges in each iteration, the growth would be linear.

However, there are scenarios where graph growth can be exponential, such as when each new node or edge added in an iteration leads to an exponential increase in connections or dependencies. This can occur in certain graph structures or algorithms, such as tree-like structures with branching factors or recursive algorithms.

In conclusion, the growth rate of nodes and edges in a graph with each iteration is not inherently exponential. It depends on the specific rules and algorithms used, and can vary from linear to exponential or even sublinear growth.

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