the market capitalization rate for admiral motors company is 8%. its expected roe is 14% and its expected eps is $7. the firm's plowback ratio is 40%.
a. Calculate the growth rate. (Input your answer as a nearest whole percent.)
Growth rate %
b. what will be its P/E ratio? (Do not round intermediate calculations.)
P/E ratio

Answers

Answer 1

The firm's plowback ratio is 40% are:

Growth rate=ROE*Plowback ratio

= (0.14*0.4) =5.6%

dividend payout ratio=1-Plowback ratio

= (1-0.4) =60%

Hence expected dividend=(60%*EPS)

= (0.6*7) =$4.2

Current price=D1/(Market Capitalization-Growth rate)

=4.2/(0.08-0.056) =$175

PE=Market price/EPS

= (175/7)

=25

The plowback ratio is calculated via way of means of subtracting the quotient of the once a year dividends consistent with percentage and income consistent with percentage (EPS) from 1. On the alternative hand, it may be calculated via way of means of figuring out the leftover budget upon calculating the dividend payout ratio.

The Plowback Ratio is the proportion of a company's income retained and reinvested into operations in place of being paid out as dividends to shareholders. The retention ratio refers to the proportion of internet earnings this is retained to develop the business, as opposed to being paid out as dividends. It is the alternative of the payout ratio, which measures the proportion of income paid out to shareholders as dividends. The retention ratio is likewise referred to as the plowback ratio.

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Related Questions

Which of the following statements about political action committees (PACs) is true?
answer choices
PACs may give unlimited contributions to the election campaigns of individual candidates.
PAC spending has not kept pace with inflation.
PAC activity is limited to direct contributions to candidates.
Social issue groups are the source of most PAC dollars.
PAC spending makes up a higher percentage of congressional campaign funds than of presidential campaign funds.

Answers

The true statement about Political Action Committees is: PAC spending makes up a higher percentage of congressional campaign funds than of presidential campaign funds (E).

Political Action Committee or PAC is an organization used to raise and distribute campaign funds to candidates seeking political office. PAC pools campaign contributions from its members and donates those funds to campaigns for or against candidates, ballot initiatives or legislation. PAC can be used by corporations, labor unions, and other special-interest groups to influence the political process.

PAC is regulated by the Federal Election Commission (FEC) and responsible to disclose their donors and expenditures periodically. An individual is limited to contribute up to $5,000 annually to PAC. However, PAC can receive an unlimited amount of money from both individuals and corporations. PAC may distribute unlimited amounts of money to candidates and parties but not directly to campaign.

There are 5 types of PACs:

Separate segregated fundsNonconnected committeesSuper PACsHybrid PACsLeadership PACs

Separate segregated funds or SSF is an PAC established by corporations, labor unions, membership organizations, or trade associations. This kind of PAC has limited contribution source, only from individuals associated or connected with the sponsoring organization.

Nonconnected Committees is the direct opposite of SSF. This kind of PAC is not sponsored by any specific entities or organizations and accept contributions from the general public. Nonconnected committees are not related to any corporation or union and typically formed to support state or local candidates or to address a single issue.

Super PACs is a nonconnected PAC that allows to raise unlimited contributions from individuals, corporations, and unions. Super PACs are not allowed to directly coordinating with any candidates or parties. Super PACs are only allow to make independent expenditures.

Hybrid PACs accept unlimited contributions from unlimited resources to a segregated bank account to financing independent expenditures. Hybrid PACs are the combination between the regular PAC and Super PAC concepts. Hybrid PACs have to maintain a separate bank account, subject to all the statutory amount of limitations and source of prohibitions.

Leadership PAC is established by a candidate or individual aiming or holding federal office position. Leadership PAC is financed, maintained, and controlled by its founder and usually created to support the canditiate for various federal and nonfederal offices. Leadership PAC is limited to only contributed up to $5,000 per election to a federal candidate committee.

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Earl was known for driving 30 miles to save a dollar on the price for his favorite beverage. Earl perceived price as ____, while most recognize ____ madeMoney Paid, Overall sacrifice

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Earl was known for driving 30 miles to save a dollar on the price for his favorite beverage. Earl perceived price as Money Paid, while most recognize Overall sacrifice made.

A skimming rate is a excessive rate meant to 'skim the cream of the marketplace'. It is great hired on the begin of a product's life (cycle) while the product is novel and clients are unsure approximately its value. For example, pocket calculators first bought at charges of round Rs 800.

Consider a farmers marketplace wherein every seller sells the identical kind of jam. There is little differentiation among every in their merchandise, as they use the identical recipe, and that they every promote them at an identical rate.

The above 3 situations of huge wide variety of consumers and sellers, homogeneous merchandise and freedom of access and go out are vital situations of natural competition, whereas absence of delivery cost isn't an vital condition.

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Collusion happens when suppliers come together to fix prices and output in order to manipulate the marketplace. This activity is perfectly legal in the United States.true or false

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True, Collusion happens when suppliers come together to fix prices and output in order to manipulate the market place. This activity is perfectly legal in the United States.

What is Collusion ?Collusion is a non-competitive, secret, and sometimes illegal agreement between competitors that seeks to unbalance the market. Collusion involves people or companies, usually competing with each other, conspiring to work together to gain an unfair advantage in a market.Collusion is a type of fraud that occurs when people work together to develop a task that is  an individual effort. It's copying someone else's work, or allowing someone else to copy your work.An example of  collusion is  secret agreements between companies to fix prices. Such agreements can be made completely informally.In fact, it may not even require proof that a company had any contacts to enforce competition practices.

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the total physical damage due to the september 11th attacks was about $16 billion. the economic damage is estimated to be $30 billion. we can thus estimate that the wealth of the u.s. dropped in the matter of a few hours by about $46 billion, causing group of answer choices deflation and the unemployment rate to fall deflation and the unemployment rate to rise inflation and the unemployment rate to rise inflation and the unemployment rate to fall

Answers

The economic damage caused by the September 11th attacks was estimated to be about $30 billion, which included a drop in the wealth of the US economy by about $46 billion.

This had a deflationary effect on the US economy, causing the unemployment rate to fall. This is because when the US economy is hit with a large drop in wealth, businesses tend to cut costs by decreasing the number of employees, leading to a decrease in the unemployment rate.

An economy experiences deflation, also known as negative inflation, when prices generally decline. This may be due to a surplus of commodities relative to the demand for those things, but it may also be due to an increase in the purchasing power of money.

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True or False: From a functional viewpoint, a nation's balance-of-payments can be grouped into the following categories: the current account, which refers to the monetary value of international flows associated with transactions in goods, services, income flows, and unilateral transfers and the capital and financial account, which includes all international purchases and sales of assets

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From a functional viewpoint, a nation's balance of payments can be grouped into current account and capital account - True

The difference between the total quantity of goods that a country sells and the total amount of goods that the country buys is known as the balance of trade. In contrast, a country's balance of payments accounts for all of its economic dealings with the rest of the world, including its capital account, the balance of trade, and balance of services.

The current account, which refers to the monetary value of international flows associated with transactions in goods, services, income flows, and unilateral transfers, and the capital and financial account, which includes all international asset purchases and sales, are the two categories into which a country's balance of payments can be divided functionally.

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many observers found support for the power elite model in the ties between political leaders and to the oil industry during the george w. bush administration. which of the following statements is true in this context?

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The following statements is true that President George W. Bush owned a oil company, Vice-President Cheney was head of the oil company Halliburton, and Condoleezza Rice was on Chevron's board of directors for a decade.

On May 27, 1968, while the United States was engaged in the Vietnam War, George W. Bush enlisted in the 147th Fighter-Interceptor Group of the Texas Air National Guard. He agreed to serve until May 26, 1974, spending the first two years on active duty while learning to fly and the next four years performing sporadic service.

Bush professes to comprehend the value of government intervention in private financial problems if it is anticipated that such engagement would have a detrimental effect on the economy as a whole. Bush typically favors free-market capitalism.

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Fiscal policy is defined as changes in federal ________ and ________ to achieve macroeconomic objectives such as price stability, high rates of economic growth, and high employment.
taxes; expenditures

Answers

Fiscal policy is defined as changes in federal taxes and expenditures to achieve macroeconomic objectives such as price stability, high rates of economic growth, and high employment.

What exactly is meant by "fiscal policy"?

The practice of influencing the economy through government spending and taxation is known as fiscal policy. Fiscal policy is typically used by governments to reduce poverty and encourage robust and sustainable growth.

What exactly is meant by "fiscal policy"?

Monetary strategy alludes to the spending and taxing strategies that the government employs to influence the economy.

What is the primary goal of fiscal policy?

The regulation of economic stability, full employment, and growth rate stabilization are the primary goals of fiscal policy. It is frequently upgraded with financial arrangement, including the financial framework, the stockpile of cash available for use and the administration of loan fees.

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mateo is a sales representative for a pharmaceutical company and works with orthopedic surgeons who perform joint replacement surgery. mateo's company is well known for its high-quality products and has become a preferred brand for many physicians. recently, mateo was asked to provide an estimate of the amount of product he thought would be purchased within his territory over the next year. this is an example of the method of forecasting demand.

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The above given is an example of the method of forecasting demand.

Understanding and predicting consumer demand is the process of making informed judgments about the supply chain, profit margins, cash flow, capital expenditures, capacity planning, and other factors. Often, but not always, by looking at historical data, demand forecasting aids organizations in estimating the total sales and revenue for a future period of time.

Through a number of forecasting techniques, demand forecasting enables manufacturing organizations to understand what their customers' demands are. Predictive analysis, conjoint analysis, client intent surveys, and the Delphi Method of forecasting are some of these techniques.

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While agile project management does not consist of one set method, most methods are based on similar principles. Which of the following agile project management principles would be described when creating a flow of value to customers by chunking project delivery into small, functioning increments?
Focus on customer value
Iterative and incremental delivery
Experimentation and adaptation
Self-organization
Continuous improvement

Answers

agile project management principles would be described when creating a flow of value to customers by chunking project delivery into small, functioning increments

Focus on customer value

What does "customer value" mean?

Customer value is the estimation of a product or service's value to a customer in comparison to potential substitutes. Worth refers to whether the customer believes that the benefits and services outweighed the price they paid. Customer value (CV) can be expressed in an equation as benefits minus costs (B - C).Which four categories of customer value are there?

The four different categories of value are: financial value, social value, psychological value, and functional value. Not all customers place the same value on different sources of value. The consumer and the purchase determine how important a value is.

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What is the range for the section scores and the total score according to the "Scores" web page?​

Answers

Based on the scores web page of the SAT exams, the range for the section scores and the total score according to the "Scores" web page is 400–1600.

What is the SAT exam?

SAT exam is a standardized test widely carried out for college admissions in the United States.

Following its inception in 1926, the SAT name and scoring have changed several times; it was initially called the Scholastic Aptitude Test, and then later changed to the Scholastic Assessment Test, then the SAT I: Reasoning Test, then the SAT Reasoning Test, then simply the SAT.

Various sections of SAT exams are the following:Reading TestWriting and Language TestMathematics

SAT exams are known for their difficulty, especially the Mathematical sections. Generally, it is believed that mathematics is more difficult as people tend to score lower marks compared to the verbal sections.

Also, the total score is the sum of the two section scores which ranges between 400 - 1600.

Hence, in this case, it is concluded that the correct answer is 400 - 1600

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The beginning of a six-year finance lease is December 31, 2018. The agreement specifies equal annual lease payments on December 31 of each year For the lessee, the first payment on December 31, 2018, includes Interest res Yes Yes Multiple Choice Option d Option a 《Prev 2of5,ヨNext > 3 5

Answers

Answer:

Yes, the first payment on December 31, 2018, includes principal and interest. This is because the lessee is paying for the use of the asset for the entire year, from January 1, 2018, to December 31, 2018. As such, the first lease payment includes the remaining principal and interest for the entire year.

Explanation:

A stock's beta measures the:
A) market risk premium on the stock.
B) average return on the stock.
C) sensitivity of the stock's returns to those of the market portfolio.
D) difference between the return on the stock and the return on the market portfolio
C

Answers

A stock's beta measures the (C) sensitivity of the stock's returns to those of the market portfolio.

The correct option is (c).

A portfolio is a group of economic investments like stocks, bonds, commodities, cash, and coins equivalents, including closed-stop finances and trade traded budget (ETFs). humans commonly trust that stocks, bonds, and coins include the core of a portfolio.

Portfolios maintain all and any shape of investment assets. economic experts often talk about a portfolio of shares and bonds, but lots of humans construct portfolios to put money into gold, actual estate or cryptocurrencies, among other asset classes.

A portfolio is a compilation of substances that exemplifies your ideals, competencies, qualifications, training, schooling and reviews. It provides perception into your persona and work ethic.

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Preferred stock commonly has preference to dividends in the form of a fixed dividend rate and a preference over common stock to remaining corporate assets in the event of liquidation. Preferred stock usually does not give the holder the right to share in the management of the company. Common stock is the residual security possessing the greater risk of loss and the greater potential for gain; it is guaranteed neither dividends nor assets upon dissolution but it generally controls the management.
Distinguish between common and preferred stock.

Answers

Common stock is a security that represents ownership in a company.

Common stockholders have voting rights and receive dividends if declared. Common stockholders also have the right to receive a portion of a company's assets if the company is liquidated. Common stockholders have the last claim to a company's assets and profits.

Preferred stock is a type of security that has certain advantages and privileges compared to common stock. Preferred stockholders generally don't have voting rights, but have priority over common stockholders in receiving dividends, and in the event of liquidation, preferred stockholders have a higher claim to assets than common stockholders. Preferred stockholders also have the right to convert their shares into common stock at a predetermined price.

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which of the following statements about the correlation coefficient is false? group of answer choices the value ranges between -1 and 1. a value of 1 implies that the returns for the two stocks move together in a completely linear manner. a value of -1 implies that the returns move in a completely opposite direction. a value of 0 implies that the returns are independent. none of the above (that is, all statements are true)

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A correlation coefficient is a numerical measure of some type of correlation, meaning a statistical relationship between two variables.[a] The variables may be two columns of a given data set of observations,

often called a sample, or two components of a multivariate random variable with a known distribution.[citation needed] Several types of correlation coefficient exist, each with their own definition and own range of usability and characteristics. They all assume values in the range from −1 to +1, where ±1 indicates the strongest possible agreement and 0 the strongest possible disagreement.[2] As tools of analysis, correlation coefficients present certain problems, including the propensity of some types to be distorted by outliers and the possibility of incorrectly being used to infer a causal relationship between the variables (for more, see Correlation does not imply causation).

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Pharoah Co. receives $328,800 when it issues a $328,800, 10%, mortgage note payable to finance the construction of a building at December 31, 2020. The terms provide for annual installment payments of $54,800 on December 31.Prepare the journal entries to record the mortgage loan and the first two payments. (Round answers to 0 decimal places, e.g. 15,250. Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.)Date Account Titles and Debit CreditExplanationDec. 31, 2020Dec. 31, 2021Dec. 31, 2022Dec. 31, 2020Dec. 31, 2021Dec. 31, 2022Dec. 31, 2020Dec. 31, 2021Dec. 31, 2022

Answers

The journal entries for the issuance and the first two payments of Pharoah Co.'s mortgage notes payable are:

The issuance:

December 31, 2020

PPE - Asset             $328,800

Notes Payable                               $328,800

First payment:

December 31, 2021

Notes payable       $21,920

Interest expense   $32,880

Cash                                              $54,800

Second payment:
December 31, 2022

Notes payable       $24,112

Interest expense   $30,668

Cash                                              $54,800

From the case, we know that:

Notes payables = $328,800

Interest rate = 10%

PMT = $54,800

The Issuance of Mortgage Notes Payable

The issuance of mortgage notes payable should be recorded on its initial value of the notes payable, $328,800.

The First Payment

The first interest payment should use the initial value of the notes payable, to find the notes payable paid in this payment.

Interest expense = interest rate x residual value of notes payable

Interest expense = interest rate x initial value of notes payable

Interest expense = 10% x $328,800

Interest expense = $32,880

The notes payable paid on the first payment should be the residual PMT less by the interest expense for the period.

Notes payable paid = PMT - Interest expense

Notes payable paid = $54,800 - $32,880

Notes payable paid = $21,920

The Second Payment

On the second payment, the interest expense paid should use the residual value of the notes payable.
Residual value of Notes payable = initial value of notes payable - Notes payable paid

Residual value of Notes payable = $328,800 - $21,920

Residual value of Notes Payable = $306,680

Interest expense = interest rate x residual value of notes payable

Interest expense = 10% x $306,680

Interest expense = $30,668

The notes payable paid on the first payment should be the residual PMT less by the interest expense for the period.

Notes payable paid = PMT - Interest expense

Notes payable paid = $54,800 - $30,668

Notes payable paid = $24,112

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under partial performance, if the buyer in an alleged contract for the sale of land has paid any portion of the sales price and either has begun to permanently improve the land or has taken possession of the land, the courts will consider the contract partially performed, and this partial performance will amount to proof of the contract.

Answers

The complete statement is "under partial performance, if the buyer in an alleged contract for the sale of land has paid any portion of the sales price and either has begun to permanently improve the land or has taken possession of the land, the courts will consider the contract partially performed, and this partial performance will amount to proof of the contract."

What is partial performance?

Generally, It is possible for a party to be in violation of the agreement if they do not execute their duty at all if they do it but with significant flaws, or if they complete just a portion of their responsibilities, which is known as partial performance.

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CQ

under _________, if the buyer in an alleged contract for the sale of land has paid any portion of the sales price and either has begun to permanently improve the land or has taken possession of the land, the courts will consider the contract partially performed, and this partial performance will amount to proof of the contract.

If there are shipping cost economies that result from bundling orders for different items together, the ________ model becomes a relatively more attractive option.
multi-period
multi-item
fixed-order-quantity
fixed-order-interval
reorder-point

Answers

The inventory level that prompts a replenishment of that specific stock is known as the reorder point (ROP). It is the minimum quantity of a product that a company has on hand,

reorder point below which the product must be ordered again. reorder point is typically determined by adding safety stock to the projected usage during the lead period for replenishment. It was assumed in the EOQ (Economic Order Quantity) model that there is no delay between placing an order and receiving the materials. When the inventory level reaches zero, it is time to place an order to replenish the supply. The level of inventory increases from zero to the original level due to the immediate replenishment of stock.

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Intel's approach to equipment contracts is considered an example of real options analysis in action because the company ________ that give(s) Intel ________.
Multiple Choice
• purchases large quantities of key equipment; the ability to meet whatever demand is in the marketplace
• makes a small initial investment; the right to decide if it really wants to buy the equipment later
• uses innovative computer models; an advantage in negotiating contracts
• makes a large initial investment; the ability to acquire key equipment when and if it is needed
• uses options contracts; lower prices for its key equipment

Answers

Intel's approach to equipment contracts is considered an example of real options analysis in action because the company makes a large initial investment that give(s) the ability to acquire key equipment when and if it is needed. Option D is correct.

What is Intel?

The headquarters of the American technology business Intel Corporation are in Santa Clara, California. It is one of the creators of the x86 series of instruction sets, which are the ones used in the majority of personal computers, and the largest manufacturer of semiconductor chips in the world by revenue.

Further the computer industry expanded quickly in the 1990s, Intel made significant investments in fresh microprocessor designs.

During this time, Intel established itself as the leading provider of PC microprocessors and was well-known for using aggressive and anti-competitive strategies to maintain its market position.

Thus option D is correct.

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which one of the following companies is grading system using in the united states to rate corporate bonds

Answers

Moody's is grading system using in the united states to rate corporate bonds.

A corporate bond is a bond that a corporation issues to obtain money for a number of purposes, such as continued operations, mergers and acquisitions, or business expansion. The phrase is typically used to describe longer-term debt instruments with a minimum one-year maturity. The bond credit rating division of Moody's Corporation is known as Moody's Investors Service, or just Moody's. This division represents the company's traditional business and has its old name. International financial research on bonds issued by corporate and governmental entities is offered by Moody's Investors Service.

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The federal reserve can lower the money supply by conducting open-market group of answer choices purchases or by lowering the discount rate. sales or by raising the discount rate. sales or by lowering the discount rate. purchases or by raising the discount rate. next

Answers

The federal reserve can lower the money supply by conducting open market sales or raising the discount rate (B).

Open market operation (OMO) is one of three federal reserve's monetary policies to control the amount of money supply in the market. The federal reserve will sell or buy the US treasury securities and other securities to adjust the federal funds rate that would affect the short-term rates, long-term rates, and foreign exchange rates.

The federal reserve will sell securities in the open market operation to lower the amount of money supply. The federal reserve will increase the discount rate and encourage people to save and invest more instead of spending their money for consumption. The federal funds rate used in interbank loans will be higher, resulting the bank to be more unwilling to do interbank loans to secure their reserves and will decrease their loanable funds to public.

The federal reserve will buy security security through the open market operation to increase the amount of money supply in the economy. The Fed will lower the discount rate, encouraging public to use their spending more on consumption and boost the economic growth. The federal funds will be lower, increasing the loanable funds that banks provide for the public.

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under partial performance, if the buyer in an alleged contract for the sale of land has paid any portion of the sales price and either has begun to permanently improve the land or has taken possession of the land, the courts will consider the contract partially performed, and this partial performance will amount to proof of the contract.

Answers

If the purchaser in an alleged land sale contract has made any payments toward the purchase price and has either started making permanent improvements to the property or has taken possession of it. It's true.

Partial Performance Accepted: If a buyer has received a portion of real or personal property and paid the contract price associated with that portion of the property, and if the parties cannot be put back in their pre-contractual positions, a court may order the balance of the contract to be fulfilled.

The equitable theory known as the doctrine of part performance was put in place to stop fraud and illegal advantage-taking due to the document's lack of registration. Equity look at as it is done, which ought to have been done, is the tenet upon which this doctrine is built.

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Six years ago, Linus Corporation granted Pauline a nonqualified option to purchase 5,000 shares of Linus stock for $13 per share. On date of grant, the market price was $11 per share. Last year, Pauline exercised the option when the market price was $47 per share. This year, she sold the stock for $40 per share. Compute Pauline's gain or loss recognized on sale.
A) $135,000 gain
B) $10,000 loss
C) $35,000 loss
D) No gain or loss on sale

Answers

The gain or loss recognized on sale is  B) $10,000 loss

The bargain element is $14,000 ($64,000 FMV of 1,000 shares − $55,000 cost).

The 3 fundamental groups on the Periodic desk are metals, nonmetals, and metalloids. factors within each institution have comparable bodily and chemical houses. some of the physical properties used to differentiate between the 3 businesses are Luster = the capability of a substance to mirror mild.

The factors are categorized as an element, non-steel, and metalloid. the acute left facet factors within the periodic table are metals, for instance, sodium, calcium, cesium, etc. but, elements on the proper facet are normally called non-metals, carbon, chlorine, oxygen, etc.

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The financing cycle includes procedures for authorizing, executing, and recording transactions that involve: (Select all that apply)
a. mortgages
b. deferred taxes
c. unearned revenues
d. bank loans
e. capital stock

Answers

The financing cycle includes procedures for authorizing, executing, and recording transactions that involve:

a. Mortgages

d. Bank Loans

e. Capital Stock

a. Mortgages - This involves a lender providing a loan to a borrower, secured by the borrower's property (i.e. a house). The lender and borrower typically enter into a contract that outlines the terms of the loan, such as the interest rate, repayment period, and other conditions.

d. Bank loans - This involves a lender providing a loan to a borrower, typically secured by the borrower's assets. The lender and borrower typically enter into a contract that outlines the terms of the loan, such as the interest rate, repayment period, and other conditions.

c. Capital stock is the total amount of money a company has to use for investments, operations, and other purposes. It consists of the company's issued shares of common and preferred stock and is obtained from the sale of these shares or from borrowing funds. The capital stock is also known as share capital, shareholder's equity, or a company's net worth.

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Look at the figure Fiscal Policy Choices. If the government uses discretionary fiscal policy for the economy in panel (a) when real GDP is Y1, government spending is likely to be _____ and taxes are likely to be _______.
1.) increased; cut
2.) increased; increased
3.) reduced; cut
4.) reduced; increased1.) increased; cut

Answers

If the government uses discretionary fiscal policy for the economy in panel (a) when real GDP is Y1, government spending is likely to be increased and taxes are likely to be cut. Therefore, option (1) is the correct answer.

The use of taxation and expenditure by the government to impact the economy is known as fiscal policy. Fiscal policy is often used by governments to encourage robust, long-term growth and lower poverty. The current global economic crisis brought greater attention to the function and goals of fiscal policy as governments intervened to protect financial institutions, spur economic growth, and lessen the crisis's effects on vulnerable populations.

Fiscal and monetary policy are the two main tools available to policymakers when they want to affect the economy. The money supply is influenced by changes in interest rates, bank reserve requirements, the buying and selling of government securities, and foreign exchange, all of which are indirectly targeted by central banks. Governments have an impact on the economy via altering tax rates and types, spending amounts and types, and borrowing amounts and types.

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joshua applies for a bank loan to purchase a new house. however, joshua's creditworthiness is questionable so the bank requests that a third party with reasonable creditworthiness cosign the loan agreement. joshua's sister, emily, cosigns as a guarantor while joshua is the surety. within the year, joshua loses his job and his loan payments are delayed for over two months. which of the following is most likely to be true in this case?

Answers

The bank must pursue Joshua and attempt to collect as much as possible from him before it can pursue Emily.

Why do banks require collateral when granting a borrower credit?

A property or other type of physical wealth that the borrower holds, such as a home, animals, a car, etc., is known as collateral. The banks provide money to the borrower based on these assets. For the lender, the collateral acts as a form of security.

A secured creditor is what, exactly?

Any lender or creditor connected to the creation of a credit product that is supported by collateral is a secured creditor. Collateral serves as backing for secured credit products. Assets that are pledged as security for the repayment of a loan are referred to as collateral in the context of a secured loan.

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bolka corporation, a merchandising company, reported the following results for october: sales $ 464,000 cost of goods sold (all variable) $ 173,500 total variable selling expense $ 24,600 total fixed selling expense $ 23,000 total variable administrative expense $ 8,900 total fixed administrative expense $ 38,200 the gross margin for october is: The contribution margin for October is:
Multiple Choice
$257,000
$207,000
$290,500
$195,800

Answers

The contribution margin for the month of October will be $290,500.

What is the contribution margin?

A gross or per-unit basis might be used to express the contribution margin. It indicates the additional revenue made for each product or unit sold after the variable element of the business's costs has been subtracted. The selling price per unit less the variable cost per unit is the contribution margin. The metric, also known as dollar contribution per unit, shows how a specific product affects the company's overall earnings. It offers a means of demonstrating the potential for profit of a specific product being offered by a business and displays the percentage of sales that goes toward paying the business's fixed costs. Profit is the amount that remains after fixed expenses have been paid.

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an expected value is computed by dividing the results (i.e., outcomes) by their respective probabilities and subtracting them. t/f

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The answer is true. The expected value, commonly denoted by E(x), in a probability distribution is the weighted average of all theoretically possible values of a random variable, with weights determined by their respective theoretical probabilities.

The expected value is the long-term average value of a random variable (also known as the expected value, expectation, average, or mean value). The probability-weighted average of all conceivable values is also shown. One frequently utilised financial notion is probabilities value. One frequently utilised financial notion is expected value. It denotes the expected value of an investment in financial terms. One can calculate the EV of potential scenarios by calculating their probability.

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which of the following results in the depreciation of a country's currency and may cause more stable currencies, such as the u.s. dollar or the european euro, to come into widespread use?

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Hyperinflation is the results in the depreciation of a country's currency and may cause more stable currencies, such as the U.S. Dollar or the European Euro, to come into widespread use.

Depreciation of country's currency can be for a number of reasons, including economic and political instability, a trade deficit, and inflation. When a currency depreciates, it becomes less valuable relative to other currencies.

This can lead to higher prices for imported goods, and can make a country's exports more expensive and less competitive. A currency depreciation can also have a negative impact on a country's economy and its citizens.

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E11-15 (Algo) Journalizing Cash Dividends [LO 11-3) 6 Bogscraft Company has outstanding 70,000 shares of $10 par value common stock and 27,000 shares of $20 par value preferred stock (8 percent). On February 1, the board of directors voted in favor of an 8 percent cash dividend on the preferred stock. The cash dividends were paid on March 15. The company closed its books at its fiscal year-end, June 30. onts Required: Prepare journal entries to record the events on (a) February 1. () March 15, and (June 30. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) cBook View transaction list Print Journal entry worksheet 1 3 Record the declaration of a cash dividend of 8 percent to the 27,000 shares $20 par value preferred stock outstanding. Note: Enter debits before credits. General Journal Debit Credit Date February 01 Record entry Clear entry View general Journal

Answers

We should record the announced dividends and the resulting obligation to pay dividends on February 15. We noted the decline in the cash assets and liabilities account on March 15; the dividends account was closed to retained earnings on June 30 (the year's end):

What distinguishes a cash dividend from a stock dividend?

When a firm pays out cash dividends, its profits are not reinvested in the company's operations. As opposed to stock dividends, which exclusively involve the issuance of the firm's own stock to equity owners, stock dividends don't need a corporation to use its cash reserves or profits.

Who qualifies for a cash dividend?

You must own the stock in your demat on the settlement date of the dividend issue in order to qualify for dividends. To ensure that the stocks arrive in your demat account by the record date, you should have purchased the stock at minimum one day before the ex-date.

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An elderly client is visiting an Investment Adviser Representative (IAR) in the IA's office. He tells the IAR that he is going to have major surgery and is concerned about the safety of his stock certificates that he keeps at home in a small fireproof box. The Investment Adviser Representative wishes to help the client out. Which of the following should the IAR NOT do?
A. Drive the client to his house to retrieve the stock certificates and then take him to the bank used by the Investment Adviser where the client rents a safe deposit box in the client's name and deposits the securities
B. Ask the client for the name of his attorney and then call him to ask for his opinion of what should be done in this situation
C. Drive the client to his house to retrieve the stock certificates and then take him to the Investment Adviser's bank and place the certificates in the Investment Adviser's safety deposit box, making sure to write down all of the certificate numbers and other pertinent information
D. Drive the client to his house to retrieve the stock certificates and then take him to his bank where the client rents an existing safe deposit box and deposit the securities

Answers

The Investment Adviser Representative who wishes to help the client out should NOT Drive the customer to his home to collect the stock certificates, then accompany him to the bank of the investment advisor and have him deposit the certificates in the advisor's safety deposit box while taking careful note of all the certificate numbers and other important details.

Hence, option A is correct.

A qualified custodian, not the investment advisor, must have custody of any securities held in custody. If the investment adviser were to store the certificates in its own safe deposit box, it would be taking custody. It is acceptable to accompany the client to his bank where he deposits the securities in his current safe deposit box. (Selection D) Choice A is the best option because the customer can rent his own safe deposit box at any bank, including the one the IA uses.

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