Dividend stocks are one of the simplest ways for investors to create passive income. As public companies generate profits, a portion of those earnings are siphoned off and funneled back to investors in the form of dividends. Investors can decide to pocket the cash or reinvest the money in additional shares.
A dividend is a distribution of income via a company to its shareholders.[1] when a business enterprise earns a profit or surplus, it is able to pay a part of the earnings as a dividend to shareholders. Any amount now not dispensed is taken to be re-invested inside the commercial enterprise (referred to as retained earnings). The modern yr earnings as well as the retained income of previous years are available for distribution; a enterprise is usually prohibited from paying a dividend out of its capital. Distribution to shareholders can be in coins (usually a deposit right into a financial institution account) or, if the company has a dividend reinvestment plan, the amount may be paid by using the issue of further stocks or by means of share repurchase.
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A real estate builder wishes to determine how house size (House) is influenced by family income (Income) and family size (Size). House size is measured in hundreds of square feet and income is measured in thousands of dollars. The builder randomly selected 50 families and ran the multiple regression. Partial Microsoft Excel output is provided below:
a. Referring to Scenario 13-4, what annual income (in thousands of dollars) would an individual with a family size of 4 need to attain a predicted 10,000 square foot home (House = 100)?
b, Referring to Scenario 13-4, what is the predicted house size (in hundreds of square feet) for an individual earning an annual income of $40,000 and having a family size of 4?
Due to its p-value being less than 0.01, size is important in explaining house size and should be incorporated into the model.
[tex]H_{0}[/tex] The size has no bearing on how big a house is.
Vs.
[tex]H_{\alpha }[/tex] The size is important in describing the size of the house.
We can determine the statistical significance of each explanatory variable using the individual p-values.
The P-value for size is 0.0020, which is less than the level of significance
[tex]\alpha[/tex] = 0.01 0 given the Excel output table
and level of significance [tex]\alpha[/tex] = 0.01(1%)
So, at a 1% threshold of significance, we reject [tex]H_{0}[/tex].
The builder can therefore deduce that the size is important in explaining the size of the house and should be taken into account in the model.
The likelihood of receiving outcomes from a statistical hypothesis test that are at least as extreme as the actual results, assuming the null hypothesis is true, is known as the p-value in statistics.
The p-value provides the minimal level of significance at which the null hypothesis would be rejected as an alternative to rejection points. The alternative hypothesis is more likely to be supported by stronger evidence when the p-value is lower.
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Mr. Holmes operates a firm which is having a problem competing with other firms. You have been hired to analyze the problem and make recommendations to help increase profits. After analysis you have determined that he is a perfectly competitive firm operating at too small a scale, but at a breakeven point in the short run. Be sure to label your graphs.
a) Draw two graphs, one for the market and the other for the firm, labeling the equilibrium price and quantity at which Mr. Holmes is currently producing..
b) On the same graph, in a) above show and explain what Mr. Holmes should do to help him achieve long run equilibrium.
c) Why is Mr. Holmes cost decreasing as he approaches long run equilibrium.
In graph a) the market is in equilibrium with price Pc and quantity Qc, and the firm is in equilibrium with price Pf and quantity Qf. This suggests that the company is too small and is producing at breakeven in the short term.
In graph b), Mr. Holmes needs to increase the output to his Qe, which is the long-term equilibrium point. This allows you to increase your profits by using economies of scale to increase demand for your products. Higher production yields greater economies of scale, allowing you to produce more at a lower cost per unit.
Over the long run, Mr. Holmes' costs will decrease. because economies of scale reduce production costs as he increases his production. As he produces more, fixed costs are spread over more output and his average unit price goes down. This allows him to lower prices and become more competitive in the market. Because we produce at a higher level, we can also benefit from external economies of scale, such as lower input prices and access to new technologies, further reducing costs.
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How to write a business plan
During an engagement to review the financial statements of a nonissuer, an accountant becomes aware that several leases that should be capitalized are not capitalized. The accountant considers these leases to be material to the financial statements. The accountant decides to modify the standard review report bc management will not capitalize the leases. Under these circumstance, the accountant should:disclose the departure from GAAP in a separate paragraph of the accountant's report
In this situation, the accountant should make a separate paragraph in the accountant's report to explain the deviation from GAAP.
The creation of financial statements must follow a set of accounting regulations known as generally accepted accounting principles (GAAP). The preparation of financial accounts in conformity with GAAP is needed for public enterprises, nonprofit organizations, and governmental agencies.
the instances where the financial statements differ from the accepted accounting standards. A corporation that employs an erroneous accounting technique, for instance, may be subject to a GAAP deviation.
In the event that there is a significant deviation from GAAP in the financial statements, the auditor should specifically describe the type of divergence and, if determinable, the dollar implications. Auditors should explain why they are unable to render an unqualified opinion.
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A worthless security had a holding period of six months when it became worthless on December 10, 2020. The investor who had owned the security had a basis of $20,000 for it. Which of the following statements is correct?
a. The investor has a long-term capital loss of $20,000.
b. The investor has a short-term capital gain of $20,000.
c. The investor has a short-term capital loss of $20,000.
d. The investor has a nondeductible loss of $20,000.
c. The investor has a short-term capital loss of $20,000.
c. The investor has a short-term capital loss of $20,000
The investor has a capital loss on the sale when the security becomes worthless. The holding period of the security determines whether the loss is treated as short-term or long-term. The loss is considered short-term if the holding period is less than one year. In this case, the holding period is six months, so the investor has a short-term capital loss of $20,000. This loss can offset the investor's capital gains in the same tax year.
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the direction of the industry over the next few years will likely be moving toward more tightly coupled hadoop and relational dbms-based data warehouse technologies.
Facts and numbers that are gathered with the intention of obtaining knowledge in order to gain insight are referred to as data.
Data warehousing is a method of gathering and analyzing data from many sources to offer insight into business management utilizing a network of computers known as a Hadoop cluster.
We must understand that the primary goal of data collecting is to give information and insights for management usage. As a result, the managers place far more value on an insight than a data warehouse or a Hadoop cluster.
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the total output from a production system in one day is 500 units and the total labor necessary to produce the 500 units is 250 hours. which of the following numbers represents the partial labor productivity? 0.5 units per hour 2 units per hour 0.5 units 2 units
Partial productivity measurements are those that are practical as indicators of total productivity but do not meet the criteria for measuring total productivity.
In reality, production measurement refers to incomplete productivity measures. In such instance, the units of measurement represent parts of overall productivity, and if properly interpreted, these parts are a good indicator of productivity growth. The concept of partial productivity effectively conveys the idea that total productivity is only, roughly, partially measured. Although measurements have some flaws, it is nevertheless possible to accurately evaluate the findings of partial productivity.
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JFG, Inc. has the following capital structure:1. 9.4 million shares of common stock priced at $28.12/share2. 3 million shares of preferred stock that pays a 6.7% dividend (par value = $100) and is currently priced at $101/share3. 200,000 outstanding bonds. The bonds mature in 10 years, have a par (face) value of $1,000, a 7% annual coupon, and a yield to maturity of 8.25%.What is the MV weight of Debt JFG would use in their WACC calculation? (Please show me the process. Thanks!)
24.43% is the MV weight of Debt JFG would use in their WACC calculation.
As per the given data,
we need to find out the MV weight of Debt JFG would use in their WACC calculation.
According to question,
it is given that,
JFG, Inc. has the following capital structure:
1. 9.4 million shares of common stock priced at $28.12/share
2. 3 million shares of preferred stock that pays a 6.7% dividend (par value = $100) and is currently priced at $101/share
3. 200,000 outstanding bonds.
Also, it is given that the bonds mature in 10 years, have a par (face) value of $1,000, a 7% annual coupon, and a yield to maturity of 8.25%.
Now, Market Value of each capital Structure
Market Value of Debt = 183,412,000 [200,000 Bonds x 917.06 per bond]
Market Value of Preferred Stock = 303,000,000 [3,000,000 shares x 101 per share]
Market Value of Equity = 264,328,000 [9,400,000 shares x 28.12 per share]
Total Market Value is 750,740,000
Price of the Bond
The Equity Price is the Current Earnings Rate plus the Face Value/Par Value. The Bond Price is calculated by using Excel Functions or by using a Financial Calculator.
Now,, the calculation of the Bond Price using financial calculator can be given as follows:
Variables Financial Calculator Figures
Face Value [-S1,000] FV 1000
Coupon Amount [S1,000 x 7%] PMT 70
Market Interest Rate
or Required Rate of Return [8.25%] 1/Y 8.25
Time to Maturity [10 Years] N 10
Bond Price PV ?
Further, we need to set the above keywords in the billing to find out the Combined Price. After entering the above keys into the financial calculator, we get:
Bond Price = $917.06
The weight of Debt to be used in the WACC Calculation can be given as:
Weight of Debt = Market Value of Debt / Total Market Value
By Putting values in above formula, we get:
= 183,412,000 / 750,740,000
= 0.2443 or
= 24.43%
Therefore, 24.43% is the MV weight of Debt JFG would use in their WACC calculation.
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The Foreign Corrupt Practices Act of 1977 forbids companies to pay kickbacks in the United States, but permits them to pay kickbacks to companies outside the United States.
false
The Foreign Corrupt Practices Act of 1977 forbids companies to pay kickbacks in the United States, but permits them to pay kickbacks to companies outside the United States.This statement is True.
It was common in the 1970s, and US firms even included it as an expense in their financial statements.The Foreign Corrupt Practices Act forbids this practise. The act was established in 1977 to promote accounting openness among American businesses and to stop public officials from choosing to accept bribes in order to influence. A US law called the FCPA (foreign corrupt practises act) was passed in 1977 to combat bribery and corruption among enterprises that pay foreign authorities, other foreign companies, or foreign institutions for business contracts or to speed up legal processes.
The Foreign Corrupt Practices Act of 1977 forbids companies to pay kickbacks in the United States, but permits them to pay kickbacks to companies outside the United States.This statement True or false?
complete question
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.
stock analysts can use fundamental analysis to identify undervalued stocks. the stock market exhibits informational efficiency. stock prices follow a random walk.
Option 3 is Correct. Based on the idea that the stock market displays informational efficiency, amy constructs her portfolio.
Investors utilize fundamental analysis as a tool to determine a stock's intrinsic worth. A stock's present price could not accurately reflect its true value. In the market, the stock may be overvalued or undervalued. The portfolios of Van and Amy are being compiled. Van invests in mutual fund shares and pays a manager's fees for actively managing the mutual fund's portfolio. He does this because he thinks the management can spot cheap stocks that will appreciate in value.
Amy isn't persuaded. She invests in shares of an index fund, a form of mutual fund that doesn't actively manage a portfolio but instead rather purchases all the stocks in a specific stock index. A technique used to estimate the value of a stock or security is fundamental analysis. Analysis of a company's management, business strategy, financial ratios, financial reports, and other data are all part of this process. The term "fundamentals" can also be used to describe macroeconomic statistics, market movements, and economic situations.
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Correct Question:
Van and Amy are building their portfolios. Van purchases shares in a mutual fund and pays fees to a manager who actively manages the mutual fund's portfolio. He does so because he believes that the manager can identify inexpensive stocks that will rise in value. Amy is not convinced. She buys shares in an index fund—a type of mutual fund that simply buys all of the stocks in a given stock index rather than actively managing a portfolio.
Amy builds her portfolio based on the notion that:
1. Stock analysts can use fundamental analysis to identify undervalued stocks.
2. All stocks are overvalued.
3. The stock market exhibits informational efficiency.
Toppers Construction needs heavy-duty equipment to install a new pipeline in northern Alaska. Toppers's engineers have been asked to provide detailed specifications and recommendations for the equipment needed. The Toppers engineers will primarily play the __________ role in the company's buying center.a. userb. initiatorc. gatekeeperd. buyere. influencere. influencer
The northern parts on or near the Arctic Ocean are referred to as North Alaska, a territory of the U.S. state of Alaska. It frequently refers to the Nome Census Area,
.
the North Slope Borough, the Northwest Arctic Borough, and portions of the Yukon-Koyukuk Census Area. The towns of Prudhoe Bay, Utqiavik, Kotzebue, Nome, and Galena are among the prominent ones. Since most of these places lack motorways, the only means to get there in good weather are by plane or snowmobile. The modern settlement of north Alaska was initially sparked by the discovery of gold and later by the extraction of petroleum. The area was formerly inhabited by numerous Alaska Native communities that subsisted on hunting, whaling, or salmon fishing. The habitat is dominated by tundra that covers coastal plains and mountain ranges.
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Beginning inventory is $20,000. Purchases of inventory during the year are $100,000. Ending inventory is $50,000. What is cost of goods sold?$70,000Reason:$20,000 + $100,000 - $50,000 = $70,000.
The cost of goods is as follows; $20,000 + $100,000 - $50,000 = $70,000.
What is cost of goods?
The direct costs of producing the products that a business sells are referred to as its cost of goods sold (COGS). The cost of the labor and materials directly employed to make the goods are also included in this sum. It doesn't include indirect expenditures like those associated with the sales staff and distribution. The phrase "cost of sales" is another name for "cost of goods sold." All costs and expenses directly associated with the creation of goods are included in the cost of goods sold (COGS). Indirect expenses like sales and marketing and overhead are not included in COGS. Gross profit and gross margin are determined by deducting COGS from revenues (sales). Lower margins are the result of higher COGS. Depending on the accounting principles employed in the computation, COGS will have a different value.
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during my first three months of work, i attended three conferences; they were all required events for my training. during my first three months of work, i attended three conferences: they were all required events for my training. during my first three months of work, i attended three conferences, they were all required events for my training.
During my first three months of work, I attended three conferences; they were all required events for my training. This is the correct punctuation.
What is the function of a semicolon in a sentence?
Unquestionably, the semicolon is the underdog among the punctuation family. Some people are afraid of it, avoid it, and misuse it. It's time to start using semicolons more frequently, and we'll teach you how. You'll wonder how you ever managed without it once you've added it to your repertoire. You can clean up even the messiest prose with a semicolon while also adding variety and polish to your writing. It can be used as putting related clauses apart, Connective expressions buffered and dividing up long lists
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amazon is building an additional headquarters facility in virginia. which of the following was probably not a reason that amazon picked this location?
Amazon is building an additional headquarters facility in Virginia. Workers will have a high cost of living and long commuting times in area amazon chose in Virginia.
Give a brief account on Amazon.For the American global technology company Amazon.com, Inc., digital streaming, cloud computing, online advertising, and artificial intelligence are the key research topics. It is regarded as "one of the most significant economic and cultural forces in the globe" and is one of the most valuable brands in the world. It is one of the Big Five American technology companies, along with Microsoft, Apple, Meta, and Alphabet.
In his Bellevue, Washington, garage, Jeff Bezos began Amazon on July 5, 1994. It began as an online book marketplace but has since grown to include a wide range of goods, earning the nickname "The Everything Store."
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which of the following reasons could a decreased rate of growth in business and professional travel be attributed to?
The correct answer is technological improvement in virtual conferencing in business and professional travel be attributed.
Longer life expectancies, early retirement, flexible work schedules, and the propensity to take shorter, more frequent trips are a few factors contributing to the rise in travel. A variety of services are used by consumers away from their residences, typically on a temporary basis. Soft adventure travel is often risk-free and doesn't call for a lot of knowledge or expertise. Backpacking, birding, camping, canoeing, fishing, horseback riding, kayaking, safaris, sailing, and surfing are a few examples. The issue for the tourist sector is to include decarbonization in its value offer. In actuality, this entails rethinking the ideal travel experience and considering how sustainable practices might be implemented.
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True or false: Historical return data indicates that as the number of securities in a portfolio increases, the standard deviation of returns for the portfolio increases.
"Historical return data indicates that as the number of securities in a portfolio increases, the standard deviation of returns for the portfolio increases." This statement is True.
As consistent with portfolio definition, it's miles a set of a extensive variety of assets which might be owned by buyers. The said series of financial assets may also be valuables ranging from gold, shares, budget, derivatives, assets, coins equivalents, bonds, etc. A portfolio is a systematic collection of student work that represents scholar sports, accomplishments, and achievements over a specific time frame in a single or more areas of the curriculum. There are two essential sorts of portfolios: showcase Portfolios: college students pick and post their fine work.
A portfolio is a set of work samples that you may deliver to an interview, send to a prospective corporation, or even post online. Portfolios can: offer proof of labor which you've achieved. Illustrate your capabilities and abilties. display the satisfactory of your work.
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You and employees from other departments are discussing challenges in your shared work processes. When talking about how to improve work processes with them, it is most important to consider... O how long they have been with the company. O their individual perspectives. their previous experiences working with you.
O how similar your ideas are to each other. O their role in the work process.
When discussing with employees the challenges in their shared work processes and how to improve the work processes with them, the most important thing is to consider their individual perspectives. Option B is correct.
How to improve shared work processes?In an organization, there are individuals with different personalities and skills, which must be integrated so that the organizational culture is positive and favorable to cooperation, innovation, strengthened relationships and productivity.
It is therefore necessary that there be communication and integration developed between all departments, in addition to a supportive leader who is ethical, provides feedback and assists in the needs of his subordinates.
Therefore, a company is a set of integrated systems where teamwork is essential so that there is alignment of planned actions with the objectives to be achieved.
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All states have adopted the Uniform Individual Accident and Sickness Policy Provision Law. If an insurer changes any of these provisions, they must make sure it does not:
Alter the minimum requirements of any provision
The insurer must assure that any variation must be at least as favorable as the original wording, and no mandatory provision may be deleted if applicable to the coverage.
Alter the minimum requirements of any provision. The insurer must assure that any variation must be at least as favorable as the original wording, and no mandatory provision may be deleted if applicable to the coverage.
Provisions are finances set aside by a commercial enterprise to cowl particular predicted destiny fees or different financial influences. An example of a provision is the estimated loss in the fee of stock due to obsolescence.
In accounting, the matching precept states that prices must be stated inside the identical monetary 12 months because of the correlating revenues. this is due to the fact fees that belong to a certain 12 months can turn out to be deceptive if accounted for in preceding or destiny monetary years. Provisions, therefore, modify the modern year stability to be more correct by means of making sure that costs are recognized within the identical accounting duration as the applicable prices.
Provisions are recognized on the stability sheet and are also expensed on the earnings assertion. The most not unusual sort of provision is a provision for terrible debt. A provision for awful debt is one that has been calculated to cover the debts encountered for the duration of an accounting length that is not anticipated to be paid.
This provision is typically blanketed within the price range created through a company and can be envisioned based totally on beyond revel in with bad debt amounts as well as industry averages.
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When one producer is able to supply total output in a market at a lower cost than when production is divided between multiple producers, competition may be impossible. The result is a ______ monopoly. a. natural b. artificial c. competitive d. productive
Production is divided between multiple producers; competition may be impossible. The result is a natural monopoly.
Firms revel in no limitations to access and all customers have ideal information. There are such a lot of companies generating the equal merchandise that not one of the companies can achieve sufficient strength in the end to persuade the industry. Thus, eventually, all the viable reasons of income are assumed away.
In monetary theory, ideal opposition happens while all corporations promote same merchandise, marketplace percentage does now no longer have an impact on rate, corporations are capable of input or go out without limitations, customers have ideal or complete information, and corporations can not decide prices.
A company will close down temporarily if the sales it might get from generating is much less than the variable charges of production. This happens if rate is much less than common variable cost. 4. A company will go out a marketplace if the sales it might get if it stayed in enterprise is much less than its overall cost.
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Which of the following is correct when, In the same year, beginning Inventory is overstated by $1,700 and ending Inventory is understated by $740? O Net income is overstated by $2.440 Net income Is understated by $2,440 O Net income is understated by $960 Net income is overstated by $960.
In the same year, beginning Inventory is overstated by $1,700 and ending Inventory is understated by $740? Net income is understated by $960
What Are the Advantages of Inventory Management?Running a successful goods business depends on precise inventory management. Regular stock tracking can assist prevent stock mistakes and other issues. The advantages of effective inventory management include the following: A more accurate inventory: When you have effective inventory management, you are aware of what is on hand and only order the quantity of goods required to satisfy demand. Reduced Risk of Overselling: Keeping track of what is in stock and what is backordered helps you avoid overselling products. Savings: Until it is sold, stock costs money. Carrying expenses include of labor wages, storage, handling, and transportation costs. Inventory can also be lost due to theft, calamities, or obsolescence. Avoiding Stock outs and Excess Stock: A business can reduce the number of days by improving planning and management.
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the standard report issued by an accountant after reviewing the financial statements of a nonissuer should state that_____
In contrast to Fed actions that account for changes in inflation and the economy on a case by case basis, deciding to follow the Taylor rule in setting the Fed Funds rate would be best characterized as a _____.
a) regime
b) policy
In contrast to Fed actions that account for changes in inflation and the economy on a case by case basis, deciding to follow the Taylor rule in setting the Fed Funds rate would be best characterized as a regime.
How would you characterize inflation?A broad increase in prices for products and services over an extended period of time, which reduces both consumer and company purchasing power, is referred to as inflation. To put it another way, your dollar (or whatever currency you use to make purchases) will not go as far as it did yesterday.
What brings up an inflation?A boost in consumer spending as a result of rising household incomes and more jobs creates more aggregate demand, giving businesses more room to raise the price of their goods and services. This causes a spike in inflation when it occurs across a significant number of industries and businesses.
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Suppose the real interest rate is 2% per year, and the inflation rate is 3% per year. According to the Fisher effect, if the inflation rate rises to 4% per year, then eventually
A) the nominal interest rate will rise by approximately 1 percentage point, and the real interest rate will not change.
B) the real interest rate will fall, the nominal interest rate will rise, with i ‐ r = pi
C) the nominal interest rate will fall by approximately 1 percentage point, and the real interest rate will not change.
D) the real interest rate will fall by 1 percentage point, and the nominal interest rate will not change.
A
Option (A). The nominal interest rate will rise by approximately 1 percentage point, and the real interest rate will not change.
What you mean by Nominal Interest Rate?
This Nominal interest rate paid or earned to the lender or investor. So if you, the borrower, borrow her 6% interest and he borrows $100, you can expect to pay $6 interest. Interest rates were raised to account for inflation.
What you mean by Real Interest Rate?
The real interest rate is the inflation-adjusted lending rate, measured by the GDP deflator. However, comparability is limited as the conditions relating to lending rates vary from country to country.
What the difference between nominal interest rate and real interest rate?
The Nominal interest rate is real interest rate and the expected inflation rate. The real interest rate reflects the true cost of funding for borrowers and the real rate of return for lenders or investors.
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What are 2 examples of student code of academic integrity?
Answer:
Plagiarism and Cheating
Diversification is possibly the best technique for reducing the problems associated with international transactions. Provide one example each of international financial diversification and international operational diversification and explain how the action reduces risk.
Investments are spread among a variety of financial products, industry, and other categories as part of the risk-reduction strategy known as diversification. By making investments in various sectors that would all react differently to a single occurrence, it seeks to reduce losses.
What benefits do you get from diversification?Lowering your risk involves distributing your funds among and within several investment vehicles, such as stocks, bonds, and cash. It is one of the finest strategies to withstand market fluctuations and sustain development potential.
How does diversification lower risk?You can invest in multiple stocks at once thanks to diversification. If there is no unique emergency in the markets, if one security fails, it is quite likely that others will not be impacted by the downturn. The precise investments you make won't be simultaneously exposed to the same risk.
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at the beginning of the year, calvin paid $5,000 for 60 shares of eddington stock. in june, he received a $300 cash distribution with respect to the stock. his form 1099-div reported that $170 was an ordinary dividend and $130 was a nontaxable return of capital. compute calvin's tax basis in his 60 shares at year-end. multiple choice $5,000 $4,870 $4,830
The tax basis of Calvin for 60 shares at the end of the year will be $4,870
How do you calculate tax-basis?
To calculate tax basis of Calvin for 60 shares, purchase price os stock and and non-taxable dividend obtained from it.
So, tax basis = Purchase price of stock – Non-taxable dividend
= $ 5,000 - $ 130
= $ 4, 870
Since, ordinary dividend is regarded as ordinary income, they are included in tax basis calculation and are subject to taxation.
What is tax basis?Tax basis is the cost basis of an asset at the time it is sold.
The initial cost of purchasing an asset is the cost basis.
The asset's value may either increase or decrease over its lifetime. This adjusted value is referred to as the adjusted cost basis.
The tax basis for an asset is its adjusted cost basis during the time of sale. The distinction between an asset's tax basis and its sale price helps determine whether a company makes a profit or a loss as well as whether taxes are owed or offset in the case of a loss.
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shay's rebellion demonstrated the weakness of the articles of confederation in dealing with economic and domestic crises.
The uprising, which was led by veteran Daniel Shays, exposed the limitations of the federal government established by the Articles because it was unable to either pay the veterans' salaries or muster an army to put an end to the uprising.
Shays's Rebellion showed the shortcomings of the Articles of Confederation-based governance and prompted George Washington and others to urge for strengthening the federal authority to quell future outbreaks.
The Articles of Confederation's flaws were exposed by Shay's Rebellion. When the national authority was unable to quell the uprising, the first signs of federalism started to take hold. Of course, the British refused to acknowledge the Declaration and kept dispatching troops to put an end to the uprising.
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Assume that the inflation rate becomes much higher in the U.K. relative to the U.S. This will place ____ pressure on the value of the British pound. Also, assume that interest rates in the U.K. begin to rise relative to interest rates in the U.S. The change in interest rates will place ____ pressure on the value of the British pound.
a. upward; downward
b. upward; upward
c. downward; upward
d. downward; downward
The correct option is downward and upward i.e. option C.
A higher inflation rate will put downward pressure on the value of the British pound. The value of the British pound will decline in terms of US dollars. This is because inflation means that the price level will rise more than normal. This will result in a decline in the demand for British goods. Hence, consumers will prefer to purchase American goods. Thus, the demand for dollars will increase, and at the same time due to inflation, the supply of pounds will increase decreasing the value of pounds.
Now, as the interest rates in the UK become higher than the interest rates in the US, clearly, investors will prefer to invest in the UK. This will increase the demand for British pounds and the supply of dollars. As a result, the value of British pounds will also show an upward trend.
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a brilliant general who helped develop the greatest army the world has ever seen and bring about important change in asia
George Patton is a brilliant general who helped develop the greatest army the world has ever seen and bring an about important change in Asia.
In the European and Mediterranean theatres of World War II, George Patton, a U.S. Army officer, excelled at mobile tank combat. The general was affectionately called to by his men as "Old Blood-and-Guts" because of his severe discipline, hardness, and self-sacrifice. But throughout his career, he caused countless difficulties due to his impulsive behavior and volatile temper.
Patton was chosen to represent the United States in Stockholm, Sweden, at the Olympic Games in 1912. In the contemporary pentathlon there, he battled against military commanders from all around the world.
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if a breach of contract case is filed in federal court, the court . has subject matter jurisdiction if the claim is for less than $75,000 and no plaintiff lives in the same state as any defendant has no subject matter jurisdiction, but can hear the case at its own discretion has no subject matter jurisdiction and cannot hear the case has subject matter jurisdiction if the claim is for more than $75,000 and no plaintiff lives in the same state as any defendant
If a breach of contract case is filed in the federal court, the court, so the court has subject matter jurisdiction if the claim is for less than $75,000 and where there are no plaintiff who live in the same state as any defendant.
The federal courts tend to have jurisdiction over cases involving the United States government, the Constitution or the federal laws, or any controversies which goes on between the states or between the U.S. government and foreign governments.
However, the requirement where a court have subject-matter jurisdiction means that the court can only assume power which is over a claim which it is authorized to hear.
Hence, some courts are said to be banned from hearing cases of a certain nature.
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