Which of the following statements concerning leases is true?
A Capital leases are favored by lessees

B Present value is irrelevant in accounting for leases

C The appearance of the account, Leased Asset, on the balance sheet signifies an operating lease

D The portion of a lease liability expected to be paid in the next year is reported as a current liability

Answers

Answer 1

The statement that is true concerning leases is: D) The portion of a lease liability expected to be paid in the next year is reported as a current liability.

When accounting for leases, the portion of a lease liability that is expected to be paid within the next year is classified as a current liability on the balance sheet. This reflects the obligation to make the lease payments in the near term.

Capital leases and operating leases are the two main types of leases. However, capital leases are not necessarily favored by lessees. The choice between capital leases and operating leases depends on various factors such as the nature of the lease arrangement and the specific needs of the lessee.

Present value is highly relevant in accounting for leases. The present value of lease payments is used to determine the initial recognition and measurement of lease liabilities and lease assets.

When it comes to the appearance of the account "Leased Asset" on the balance sheet, it signifies a capital lease, not an operating lease. Operating leases typically do not result in the recognition of a leased asset on the lessee's balance sheet.

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Related Questions

In early 2015​, Ford Motor​ (F) had a book value of equity of $ 24.8 ​billion, 4.0 billion shares​ outstanding, and a market price of $ 16.00 per share. Ford also had cash of $ 21.7 ​billion, and total debt of $ 119.2 billion. Three years​ later, in early 2018​, Ford had a book value of equity of $ 35.0 ​billion, 4.0 billion shares outstanding with a market price of $ 11.00 per​ share, cash of $ 26.5 ​billion, and total debt of $ 154.3 billion. Over this​period, what was the change in​ Ford?s a. market​ capitalization? b.​ market-to-book ratio? c. enterprise​ value?

Answers

The change in Ford's market capitalization over the period was -$20.0 billion, indicating a decrease. The market-to-book ratio decreased by -1.32, implying a lower valuation relative to the book value of equity. The enterprise value increased by $10.3 billion.

a. To calculate the change in Ford's market capitalization, we need to multiply the number of shares outstanding by the market price.

In early 2015:

Market capitalization = Number of shares outstanding * Market price = 4.0 billion * $16.00 = $64.0 billion

In early 2018:

Market capitalization = Number of shares outstanding * Market price = 4.0 billion * $11.00 = $44.0 billion

Change in market capitalization = Market capitalization in 2018 - Market capitalization in 2015 = $44.0 billion - $64.0 billion = -$20.0 billion

Therefore, the change in Ford's market capitalization over this period is -$20.0 billion.

b. The market-to-book ratio is calculated by dividing the market capitalization by the book value of equity.

In early 2015:

Market-to-book ratio = Market capitalization / Book value of equity = $64.0 billion / $24.8 billion = 2.58

In early 2018:

Market-to-book ratio = Market capitalization / Book value of equity = $44.0 billion / $35.0 billion = 1.26

Change in market-to-book ratio = Market-to-book ratio in 2018 - Market-to-book ratio in 2015 = 1.26 - 2.58 = -1.32

Therefore, the change in Ford's market-to-book ratio over this period is -1.32.

c. Enterprise value (EV) is calculated by adding the market capitalization, and total debt, and subtracting cash.

In early 2015:

EV = Market capitalization + Total debt - Cash = $64.0 billion + $119.2 billion - $21.7 billion = $161.5 billion

In early 2018:

EV = Market capitalization + Total debt - Cash = $44.0 billion + $154.3 billion - $26.5 billion = $171.8 billion

Change in enterprise value = EV in 2018 - EV in 2015 = $171.8 billion - $161.5 billion = $10.3 billion

Therefore, the change in Ford's enterprise value over this period is $10.3 billion.

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Consider a population of 1024 mutual funds that primarily invest in large companies. You have determined that μ, the mean one-year total percentage return achieved by all the funds, is 7.50 and that σ, the standard deviation, is 0.75, Complete (a) through (c). a. According to the empirical rule, what percentage of these funds is expected to be within ±2 standard deviations of the mean? %

Answers

Therefore, 95% of these funds are expected to be within ±2 standard deviations of the mean.

a. According to the empirical rule, what percentage of these funds is expected to be within ±2 standard deviations of the mean?

According to the empirical rule, what percentage of these funds is expected to be within ±2 standard deviations of the mean is 95%.The empirical rule is a statistical guideline that states that almost all of the observed data in a normally distributed dataset falls within three standard deviations of the mean.

This rule assumes that the data follows a bell-shaped normal distribution pattern.

The empirical rule is also referred to as the 68-95-99.7 rule, which is based on the percentage of the total area under the curve that lies within one, two, or three standard deviations of the mean.

Most values in a normally distributed dataset are expected to fall within two standard deviations (±2σ) of the mean (μ), according to the empirical rule.

According to the empirical rule, this represents 95% of all observed data.

That is to say that roughly 950 mutual funds (out of 1024 mutual funds) would be expected to achieve a one-year total percentage return that falls between

(7.50 - 2 x 0.75) = 6.0% and (7.50 + 2 x 0.75) = 9.0%.

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"15) Which of the following statements most accurately describes
social housing in NZ? Select one:
a. A declining sector with minimal demand
b. A largely private sector segment of the residential
marke"

Answers

The most accurate statement that describes social housing in New Zealand is around 40% of the total housing stock. Option d is correct.

Social housing in New Zealand refers to a section of the housing industry that is available to low-income New Zealanders, or those who would otherwise be unable to find affordable accommodation in the private sector. In New Zealand, social housing accounts for about 40% of the overall housing supply, making it a vital component of the nation's housing infrastructure.

Social housing is controlled by various governmental organizations in New Zealand, and it is their duty to provide affordable housing for people in need.

Social housing in New Zealand is growing due to the rising number of people in need of affordable housing. Social housing is primarily owned and managed by the government. Social housing accounts for around 40% of the total housing stock in New Zealand.

Therefore, d is correct.

Which of the following statements most accurately describes social housing in NZ? Select one:

a. A declining sector with minimal demand

b. A largely private sector segment of the residential market

c less than 5% of the current housing

d. Around 40% of total housing stock

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Cullumber Markets imports and sells small bear-shaped piñatas. In planning for the coming year, the company’s owner is evaluating several scenarios. For each scenario under consideration, prepare a contribution margin income statement showing the anticipated operating income. Consider each scenario is applied independently to the original data. Last year’s income statement is as follows:

Total

Per Unit

Sales revenue

$820,000 $20.00
Variable expenses

451,000 11.00
Contribution margin

369,000 $9.00
Fixed expenses

175,000
Operating income

$194,000
(a)

The sales price increases by 10% and sales volume decreases by 6%. (Round per unit answers to 2 decimal places, e.g. 0.38.)

Answers

Under the scenario where the sales price increases by 10% and sales volume decreases by 6%, the anticipated operating income can be calculated using a contribution margin income statement.

In order to calculate the anticipated operating income under the given scenario, we need to adjust the original data based on the changes in sales price and sales volume. First, we increase the sales price by 10%. The new sales price per unit becomes $20.00 + (10% of $20.00) = $22.00. Next, we decrease the sales volume by 6%. The new sales volume becomes 94% of the original sales volume. Using the adjusted sales price and sales volume, we can calculate the new sales revenue by multiplying the new sales price per unit with the new sales volume. To calculate the new variable expenses, we multiply the new sales volume by the original variable expense per unit.

The contribution margin is obtained by subtracting the new variable expenses from the new sales revenue. Finally, the anticipated operating income is calculated by subtracting the fixed expenses from the contribution margin. By applying these adjustments to the original data, we can generate a contribution margin income statement that shows the anticipated operating income under the scenario of a 10% increase in sales price and a 6% decrease in sales volume.

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Great Comfort Inc. are producing high end furniture in the USA and are looking to expand their operations. They have analyzed their opportunities and are currently considering two potential ways of expanding either in South America or in China. They are only able to choose one of the two markets. If they choose to expand in South America, they expect to have to invest USD300 million in a plant, which they expect would yield a yearly return of USD45 million for the next 15 years. If they instead choose to expand in China, they expect they would have to invest USD370 million, which would return USD25 million yearly for the first 4 years, followed by a yearly return USD60 million for the following 5 years and finally a yearly return of USD90 million for the last 6 years. Assume that the investment is made in year 0 and payments are made at the end of periods with first payment end of year 1 .
Answer the following:
1. Visualize the stream of cash flows for each investment opportunity.
2. Great Comfort Inc. demands a payback period of maximum 9 years. Calculate the payback period for both investment opportunities. Do they live up to the requirement? According to this, which is the preferred option?
3. Great Comfort Inc. has a discount rate of 7\%. Calculate the Net Present Value (NPV) of both investments and state which is the preferred option in this case.
4. Calculate the Internal Rate of Return (IRR) for both opportunities and comment on what this tells us about the options.
5. What are some disadvantages of the Payback Method?
Show your calculations

Answers

1. Visualizing the cash flows: South America Year 1-15: $45 million per year 2. Payback period (china)  = 5.17 years (rounded to 2 decimal places) 3. China: NPV = = -$51.81 million 4. The IRR for China is 11.07%, which indicates a higher return compared to the cost of capital (7%).  5 Disadvantages of the Payback Method: Ignores cash flows beyond the payback period

we need to analyze the cash flows, calculate the payback period, net present value (NPV), and internal rate of return (IRR) for each investment opportunity. Let's proceed step by step:

Visualizing the cash flows:

South America:

Year 1-15: $45 million per year

China:

Year 1-4: $25 million per year

Year 5-9: $60 million per year

Year 10-15: $90 million per year

Payback period:

South America:

Payback period = $300 million / $45 million per year = 6.67 years (rounded to 2 decimal places)

China:

Payback period = Year 4 + ($70 million remaining investment) / $60 million per year = 4 + 1.17 years = 5.17 years (rounded to 2 decimal places)

Both investments meet the payback period requirement of a maximum of 9 years. The preferred option based on payback period would be South America as it has a shorter payback period.

Net Present Value (NPV):

South America:

NPV = ∑ [CFt / (1 + r)^t] - Initial Investment

= ∑ [$45 million / (1 + 0.07)^t] - $300 million (t=1 to 15)

= $367.13 million - $300 million

= $67.13 million

China:

NPV = ∑ [CFt / (1 + r)^t] - Initial Investment

= ∑ [$25 million / (1 + 0.07)^t + $60 million / (1 + 0.07)^t + $90 million / (1 + 0.07)^t] - $370 million (t=1 to 15)

= $318.19 million - $370 million

= -$51.81 million

The preferred option based on NPV would be South America as it has a positive NPV.

Internal Rate of Return (IRR):

South America:

IRR cannot be calculated as there is a constant cash flow.

China:

IRR = 7% + [(Positive NPV) / (Positive NPV + Negative NPV)] * (IRR - 7%)

= 7% + [$51.81 million / ($51.81 million + $67.13 million)] * (IRR - 7%)

= 7% + 0.4369 * (IRR - 7%)

Solving the equation, IRR ≈ 11.07%

The IRR for China is 11.07%, which indicates a higher return compared to the cost of capital (7%). Thus, China has a higher IRR and is more favorable in terms of return.

Disadvantages of the Payback Method:

The payback method has limitations, including:

Ignores cash flows beyond the payback period.

Fails to consider the time value of money.

Doesn't provide a measure of profitability or the actual rate of return.

Calculations for payback period, NPV, and IRR have been shown above.

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CRP CAnadian Railway Pacific .Select one company or organization according to your choice. You have to assess the Strength, weakness, opportunities and threats in respect to chosen organization.

Answers

Canadian Pacific Railway (CPR) is a prominent transportation company that operates a transcontinental railway network in Canada and the United States. It demonstrates several strengths, weaknesses, opportunities, and threats in its business operations.

Extensive Railway Network: CPR has a vast railway network spanning thousands of kilometers, allowing it to serve a wide range of markets and customers.

Efficient Operations: The company has a reputation for operational excellence, including reliable freight transportation and on-time delivery.

Strategic Partnerships: CPR has established strategic partnerships with other railroads and logistics providers, enhancing its connectivity and expanding its service offerings.

Weaknesses:

Reliance on External Factors: CPR's operations are susceptible to external factors such as weather conditions and regulatory changes, which can impact service reliability and operational efficiency.

Limited Market Share: In certain regions, CPR faces competition from other transportation providers, limiting its market share and potential revenue growth.

Infrastructure Maintenance: Maintaining and upgrading the railway infrastructure requires significant investments, posing a financial challenge for CPR.

Opportunities:

Intermodal Growth: The increasing demand for intermodal transportation presents an opportunity for CPR to expand its services and capture additional market share.

E-commerce Boom: The rapid growth of e-commerce creates opportunities for CPR to provide efficient transportation solutions for online retailers and fulfill last-mile delivery needs.

International Trade Expansion: CPR can leverage its transcontinental network to facilitate trade growth between Canada, the United States, and global markets.

Threats:

Competitive Landscape: CPR faces competition from other major railroads and transportation modes, which can potentially affect pricing, market share, and customer retention.

Regulatory Environment: Changes in regulations governing the transportation industry can introduce compliance challenges and impact operational costs for CPR.

Technological Disruption: Advancements in technology, such as autonomous vehicles or alternative transportation modes, could pose a threat to traditional rail transportation in the long run.

In conclusion, Canadian Pacific Railway possesses strengths such as an extensive network and operational excellence, but it also faces weaknesses related to external dependencies and limited market share. The company has opportunities in intermodal growth, e-commerce, and international trade expansion, but it must also navigate threats from competition, regulatory changes, and technological disruption.

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Does structure of an organization should fit its situation or
environment and why?

Answers

Yes, the structure of an organization should fit its situation or environment.

The structure of an organization refers to how tasks, roles, and responsibilities are organized and coordinated within the company. It plays a crucial role in determining how effectively the organization can respond to its external environment and achieve its goals.

The environment in which an organization operates is dynamic and subject to constant change. Factors such as industry trends, technological advancements, customer preferences, and competitive landscape can significantly impact an organization's success. Therefore, it is essential for the organizational structure to align with the specific situation or environment.

An organization that adapts its structure to fit its situation can benefit in several ways. First, it enables the organization to be more flexible and responsive to changes in the external environment. By structuring departments, teams, and processes in a way that aligns with market demands and customer needs, the organization can quickly adapt and seize opportunities.

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Charles' father passed away some 12 months ago, leaving behind to him some properties, money and some shares of a company called Brightman Company Ltd., which was established by Charles' father and two friends of his, viz. Stanley and Larry. Charles now holds 30% of the total shares while Stanley and Larry each holds 35%. Being a shareholder, Charles has chance understanding the business of the Company, which was doing very well until about two years ago when the Company lost two major customers. The profit of the Company, though positive, has dropped by nearly 40%. Since Stanley and Larry are over 70 and eager to retire, they suggested to Charles to take over the whole Company by acquiring their shares at a bargain price. Charles was given the Company auditor's reports produced by Wong \& Luk Accounting Firm for his reference. Eventually Charles acquired 100% ownership of the Company. However, upon assuming the actual management of the Company, Charles found that the situation is worse than what he expected or understood from the auditor's report. Upoa detailed examination of the accounts, Charles found that the report acrually had misccpresented the profits of the Company. Charles now intends to stie Wong \& Luk. With reference to the facts given bbowe, please answer the following questions:
What is likely to be the paseed actioa. applicable in this case?

Answers

Charles is likely to file a lawsuit against Wong & Luk Accounting Firm for misrepresenting the Company's profits.

In this case, Charles, who inherited shares in Brightman Company Ltd., acquired full ownership of the company based on the auditor's reports provided by Wong & Luk Accounting Firm. However, after assuming management, Charles discovered that the actual financial situation of the company was worse than what was presented in the reports. Upon a detailed examination of the accounts, Charles found that the auditor's report had misrepresented the profits of the company, leading him to make an uninformed decision to acquire the shares. In response, Charles intends to take legal action against Wong & Luk Accounting Firm for their negligence in providing accurate financial information, seeking to hold them accountable for the misrepresentation and its resulting consequences.

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Assignment
Clearly identify and give a 200-word overview of your organisation
at the beginning of your assignment. This should describe the
industry within which it operates, the type of organisation

Answers

Our organization operates within the technology industry, specifically in the field of software development and artificial intelligence solutions. We are a leading software company that specializes in developing cutting-edge technologies and providing innovative solutions to businesses across various sectors. Our team of skilled engineers, data scientists, and designers work collaboratively to create software products and services that enhance efficiency, productivity, and decision-making for our clients. With a strong emphasis on research and development, we strive to stay at the forefront of technological advancements and deliver state-of-the-art solutions to meet the evolving needs of our customers.

In today's fast-paced and technology-driven world, our organization recognizes the critical role software development and artificial intelligence play in empowering businesses. We cater to a diverse range of industries, including finance, healthcare, e-commerce, and manufacturing, among others. By leveraging our expertise in software engineering, machine learning, and data analytics, we develop custom solutions tailored to each client's unique requirements.

Our organization prides itself on fostering innovation and staying ahead of the curve. We invest heavily in research and development to explore emerging technologies and integrate them into our solutions. Our commitment to quality and customer satisfaction drives us to deliver robust and user-friendly software applications that enable businesses to streamline operations, improve customer experiences, and gain a competitive edge.

With a customer-centric approach, we collaborate closely with our clients throughout the development process, ensuring transparency, effective communication, and timely delivery of projects. We also provide ongoing support and maintenance to ensure our solutions continue to meet the evolving needs of our clients in a rapidly changing technological landscape.

In summary, our organization operates in the technology industry, specializing in software development and artificial intelligence solutions. Through our dedication to innovation, research, and customer satisfaction, we strive to empower businesses across diverse sectors with advanced technological solutions that drive growth and success.

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Rogers Communications offers live, online chat options for customers lookng to solve a concern of liwe a question. These agents can hrowse customers' accounts and suggest products and services that would serve the specific needs of the custome. This beneff that the customer geis from this experience ls?

Answers

The benefit that the customer gets from live, online chat options offered by Rogers Communications is personalized offerings. The correct option is C.

Rogers Communications' live, online chat options provide customers with the benefit of personalized offerings. Through these chat sessions, trained agents have the ability to browse customers' accounts, gaining insights into their specific needs and preferences. This enables the agents to suggest products and services that are specifically tailored to meet those individual requirements.

By offering personalized offerings and recommendations, customers are more likely to find solutions that address their unique concerns and provide them with the best value. This level of customization enhances the browsing experience by saving customers time and effort in searching for suitable options, ultimately resulting in a more satisfying and efficient customer service experience. Therefore, the correct option is C.

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Your question seems incomplete, but I suppose the question was:

"Rogers Communications offers live, online chat options for customers looking to solve a concern or have a question. These agents can browse customers' accounts and suggest products and services that would serve the specific needs of the customer. This benefit that the customer gets from this experience is?

A) enhanced browsing

B) entertainment value

C) personalized offerings

D) deeper and broader selection

E) personalized customer service

Many central banks around the world have a dual mission: Keep inflation in check, and promote full employment. QUESTION: What can monetary authorities do to contribute to full employment? Shrink the Central Bank's balance sheet Increase banks' reserve requirements Reduce the amount of money lent directly to the Government Decrease interest rates

Answers

Monetary authorities can take several actions to contribute to full employment:
Decrease interest rates: By lowering interest rates, monetary authorities can stimulate borrowing and investment by businesses and individuals. This increased economic activity can lead to job creation and a reduction in unemployment.
Increase banks' reserve requirements: Requiring banks to hold a higher percentage of their deposits as reserves reduces the amount of money available for lending. This measure aims to control excessive credit expansion, which can contribute to inflationary pressures. By managing the money supply more effectively, monetary authorities can help maintain stable economic growth and employment levels.
Shrink the Central Bank's balance sheet: Central banks often expand their balance sheets through asset purchases, such as government bonds or mortgage-backed securities, during periods of economic instability. As the economy improves, monetary authorities can gradually reduce the size of their balance sheet by selling assets. This withdrawal of liquidity from the financial system can help prevent overheating and inflation, promoting a more balanced and sustainable employment environment.
Reduce the amount of money lent directly to the Government: When central banks lend money directly to the government, it can increase the money supply and potentially lead to inflation. By limiting such lending and encouraging governments to finance their activities through other means, such as taxation or bond issuance, monetary authorities can maintain price stability and create an environment conducive to full employment.
It is important to note that the specific actions taken by monetary authorities to contribute to full employment may vary depending on the country's economic conditions, inflationary pressures, and the mandates and tools available to the central bank. Central banks often work in conjunction with fiscal policies and other economic measures implemented by the government to achieve their dual objectives of price stability and promoting full employment.

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Part 1: Business Plan—Starting a Business You are an entrepreneur who has decided to start your own business. Select a product or service that currently does not exist in the market or to enhance an existing product to make it new and innovative. Create a business plan for your new company. Part I will consist of the following sections of a business plan. Company Summary Company Ownership Start-Up Summary Company Locations and Facilities Products Product Description Competitive Comparison Sourcing Technology Future Products Market Analysis Summary Market Segmentation Target Market Segment Strategy Industry Analysis (The Daily Perc Business Plan). As an entrepreneur, be innovative and document any potential challenges and what is needed to be successful. Guidelines The Business Plan must include all sections listed, including the sub sections. use of citations, grammar, and sentence structure. The Course Project points. It will be graded on quality of research topic, quality of paper information, use of citations, grammar, and sentence structure. You must follow APA formatting guidelines. Please use a minimum of six references to support your position and research on the product or service and industry.

Answers

This business plan outlines the establishment of a new company by an entrepreneur who aims to introduce an innovative product or enhance an existing product in the market.

The business plan begins with the Company Summary, providing an overview of the new company's mission, vision, and core values. The Company Ownership section outlines the legal structure and ownership distribution within the organization. The Start-Up Summary details the initial costs, funding sources, and financial projections for the start-up phase, including capital requirements and anticipated revenue.

Company Locations and Facilities describe the physical infrastructure needed for the business to operate effectively, considering factors such as office space, manufacturing facilities, and distribution centers. In the Products section, the entrepreneur presents a comprehensive description of the innovative product or the enhancements made to an existing product, highlighting its unique features, benefits, and competitive advantages.

To assess the market landscape, a Competitive Comparison is conducted, analyzing the strengths and weaknesses of existing competitors. The Sourcing strategy outlines how the entrepreneur plans to acquire necessary resources, whether through partnerships, suppliers, or in-house production capabilities. The Technology section highlights the technological solutions employed to improve product development, operational efficiency, and customer experience.

Future Products are discussed, illustrating the entrepreneur's vision for product expansion, diversification, or upgrades. The Market Analysis Summary examines the target market, including its size, growth potential, trends, and customer demographics. Market Segmentation and Target Market Segment Strategy identify specific customer segments and outline strategies to effectively reach and serve those segments.

The Industry Analysis section provides an overview of the industry, including key trends, challenges, and opportunities. The entrepreneur documents potential challenges and mitigating strategies, demonstrating a proactive approach to ensure success. The business plan is supported by a minimum of six references, which provide research and analysis on the product or service, industry trends, and market dynamics, ensuring credibility and a well-informed approach.

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The business idea component of the feasibility study includes which of the following aspects?
A. Stage of development
B. Competition
C. Market penetration
D. You, your firm, and your fit

Answers

The business idea component of the feasibility study includes aspects A, B, C, and D.

Here's an explanation of each aspect:

A. Stage of development: This aspect examines the current stage of development of the business idea. It assesses whether the idea is still in the conceptual phase, has progressed to the prototype or testing stage, or is ready for commercialization. Understanding the stage of development helps determine the feasibility of implementing the idea.

B. Competition: This aspect focuses on analyzing the competitive landscape related to the business idea. It involves identifying and evaluating existing competitors, their strengths and weaknesses, market share, pricing strategies, and any potential barriers to entry. Assessing competition provides insights into the viability and potential market position of the business idea.

C. Market penetration: This aspect involves assessing the potential market demand and the ability of the business idea to penetrate and capture a share of that market. It includes analyzing market size, target audience, market trends, customer needs, and the uniqueness or value proposition of the business idea. Evaluating market penetration helps determine the market potential and the likelihood of success for the business idea.

D. You, your firm, and your fit: This aspect focuses on assessing the capabilities, resources, and fit of the individuals or organization behind the business idea. It includes evaluating the qualifications, experience, skills, and expertise of the key individuals involved in executing the idea. Additionally, it considers the organization's resources, such as financial capacity, infrastructure, and operational capabilities, to determine if they align with the requirements of the business idea.

Considering these aspects within the business idea component of the feasibility study provides a comprehensive evaluation of the idea's potential for success. It helps identify any strengths, weaknesses, opportunities, or threats associated with the idea and aids in making informed decisions about its feasibility and potential implementation.

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Cross-selling" means:
A) All of the above answers are correct.
B) Expansion of the business volume by "additional sales" of other products that the customer has not previously purchased or not purchased from the company.
C)Expansion of the business volume by customers, caused by the replacement of the previous product with a higher-quality product with higher sales and higher earnings.
D)Expansion of business volume by purchasing customer data from other companies in order to offer these customers their own products.

A or B or C or D

Answers

Cross-selling means the b) expansion of the business volume by "additional sales" of other products that the customer has not previously purchased or not purchased from the company.

What is Cross-selling?

Cross-selling is an advertising strategy that seeks to increase sales by suggesting additional goods or services that complement the product the customer is already buying. A familiar illustration of cross-selling is when McDonald's staff asks you if you would like to "supersize" your fries or add a soft drink to your order.

Cross-selling is frequently utilised in the banking, retail, and software industries, as well as in the hospitality and travel industries. When a bank tries to sell its credit card to a mortgage customer, it is an example of cross-selling. When a retail customer is offered a warranty for an appliance they are purchasing, it is another example of cross-selling.

Therefore, the correct answer is  b) expansion of the business volume by "additional sales" of other products that the customer has not previously purchased or not purchased from the company.

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Based on the Fedex Corporation v. U.S., 291 F. Supp. 2d 699
(W.D. Tenn. 2003) tax case,
Should there be a limit when deducting ordinary and necessary
business expenses?

Answers

The FedEx Corporation v. U.S. tax case, the specific issue at hand was related to the deductibility of certain expenses for tax purposes.

However, it is important to note that the case itself does not establish General rule or precedent regarding whether there should be a limit when deducting ordinary and necessary business expenses. The deductibility of business expenses is governed by the Internal Revenue Code (IRC) and related regulations, which provide guidelines on what expenses can be deducted and under what conditions. Generally, businesses are allowed to deduct ordinary and necessary expenses incurred in the course of conducting their business activities. However, the IRC does impose certain limitations and restrictions on deductibility, such as disallowing deductions for personal expenses or expenses that are considered excessive or extravagant.  Ultimately, whether there should be a limit when deducting ordinary and necessary business expenses is a matter of policy and can be subject to debate.

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While the NCAA acts like a cartel, it differs from a standard cartel in that it

a) coordinates schools’ activities so as to fix the market price, assign output levels to their members, divide revenue, and erect barriers to entry by outside producers, which are not typically cartel activities.

b) was formed to monopolize a market.

c) None of the statements are true.

d) was not formed to monopolize the market.

Answers

The NCAA acts like a cartel but differs from a standard cartel in that it coordinates schools' activities to fix the market price, assign output levels, divide revenue, and erect barriers to entry, which are not typically cartel activities.

The correct option is (a)

It differs from a standard cartel in terms of its specific activities. While standard cartels focus on fixing prices and output levels, dividing revenue, and restricting entry by outside producers, the NCAA engages in activities beyond these typical cartel behaviors.

The NCAA coordinates the activities of member schools in collegiate sports, setting rules and regulations that govern various aspects of intercollegiate athletics. These activities include establishing eligibility criteria for student-athletes, enforcing recruiting rules, and organizing and regulating competitions. The NCAA also plays a role in revenue distribution and enforcement of rules related to amateurism and fair competition.

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Following is the unadjusted Trail balance of Dhananjay Sanskruti Twinkle & Co as on 31.03.2021 Sales 215200 Sales Return 5000 Sales Discount 1200 Purchase 80000 Purchase return and allowances 9500 Purchase discount 2500 Freight In 3300 Salary and wages 11000 Rent 6000 Interest 1200 Office furniture 50000 Inventory 15000 Bills Receivable 13000 Cash and Bank 15000 Rent paid in advance 3000 Bills Payable 9000 Retained Earning 6500 Share Capital 30000 Secured Loan 11000 Accumulated Depreciation 3000 Software 40000 Accumulated Amortization 5000 Promotion expenses 3000 Loan and advances 45000 Total 291700 291700 Prepare the statement of profit and loss and Balance sheet after considering following adjustment (50)
a. Current year depreciation 3000 and amortization 2500
b. Accrued interest on Loan and advances 1700.
c. Outstanding salary and wages 1500
d. Estimated income tax, 5000
e. Closing inventory 26000

Answers

The given task requires the preparation of the statement of profit and loss and the balance sheet for Dhananjay Sanskruti Twinkle & Co as of March 31, 2021, after considering certain adjustments. The adjustments include current year depreciation and amortization, accrued interest on loan and advances, outstanding salary and wages, estimated income tax, and closing inventory.

To prepare the statement of profit and loss, we need to consider the adjustments provided. The adjustments include current year depreciation of $3,000 and amortization of $2,500, which are subtracted from their respective expense categories. The accrued interest on loan and advances of $1,700 is added to the interest expense category. The outstanding salary and wages of $1,500 are added to the salary and wages expense category. The estimated income tax of $5,000 is subtracted from the net income. Finally, the closing inventory of $26,000 is subtracted from the purchases category.

Once the statement of profit and loss is prepared, we can use the information to prepare the balance sheet. The balance sheet includes various asset, liability, and equity categories. The given trial balance provides the necessary information for these categories. The adjustments do not directly impact the balance sheet items. However, they may indirectly affect retained earnings and income tax payable.

By properly incorporating the adjustments and organizing the information from the trial balance, we can prepare the statement of profit and loss and the balance sheet as required.

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Suppose the government gives every firm enough permits so that, without trade, every firm must clean two units of pollution. What will the cost be to every firm, and the cost to clean 6 units of pollution? The market price for a permit is $1300. Net Cost for US Steel ={ Net Cost for Ford =↑ Net Cost for Apple = \{ Societal cost to clean =$

Answers

The cost to every firm is $2600, the cost to clean 6 units of pollution is $7800, and the societal cost to clean the pollution is also $7800.

To calculate the cost to every firm and the cost to clean 6 units of pollution, we need to consider the cost of permits and the amount of pollution each firm needs to clean.

Every firm must clean two units of pollution without trade.

The market price for a permit is $1300.

Cost to every firm:

Since every firm needs to clean two units of pollution, and the market price for a permit is $1300, the cost to every firm would be:

Cost to every firm = 2 units of pollution * $1300/permit

Cost to every firm = $2600

Cost to clean 6 units of pollution:

To clean 6 units of pollution, we need to determine the number of permits required. Since each permit allows the firm to clean one unit of pollution, we divide the total units of pollution by the number of units cleaned per permit:

Number of permits required = 6 units of pollution / 1 unit per permit

Number of permits required = 6 permits

The cost to clean 6 units of pollution would be the cost of the permits:

Cost to clean 6 units of pollution = Number of permits * Market price per permit

Cost to clean 6 units of pollution = 6 permits * $1300/permit

Cost to clean 6 units of pollution = $7800

Societal cost to clean:

The societal cost to clean the pollution would be the sum of the costs to every firm. If we assume there are three firms (US Steel, Ford, and Apple), the societal cost to clean the pollution would be:

Societal cost to clean = Cost to every firm * Number of firms

Societal cost to clean = $2600 * 3

Societal cost to clean = $7800

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In an attempt to address concerns about the increasing cost of education, the government is proposing to introduce caps on private school fees, which would enforce a price ceiling on the amount that private schools can charge parents to educate their children. The proposed price ceiling is $2,000 per year. The market equilibrium price is $4717 per year and the equilibrium quantity of private high school places available is 70,000 enrolments. The supply of private high school places at the price ceiling is 60,000 enrolments whilst the willingness of parents to pay for school fees is $6403 per year at the quantity of 60,000 enrolments. What is the dead weight loss as a result of the price ceiling in dollars? Answer to the nearest whole dollar.

Answers

The deadweight loss resulting from the price ceiling is $775,000.

To calculate the deadweight loss resulting from the price ceiling, we need to compare the consumer surplus and producer surplus at the equilibrium quantity (70,000 enrolments) with the price ceiling quantity (60,000 enrolments). Here are the step-by-step calculations:

1. Calculate consumer surplus at the equilibrium quantity:

Consumer surplus at the equilibrium quantity is the area below the demand curve and above the equilibrium price. Given the equilibrium price of $4,717 and the equilibrium quantity of 70,000 enrolments, we can calculate the consumer surplus as follows:

Consumer Surplus = 0.5 * (Equilibrium Price - Price Ceiling) * (Equilibrium Quantity - Price Ceiling Quantity)

Consumer Surplus = 0.5 * ($4,717 - $2,000) * (70,000 - 60,000)

2. Calculate producer surplus at the equilibrium quantity:

Producer surplus at the equilibrium quantity is the area above the supply curve and below the equilibrium price. Since the price ceiling affects consumers, the producer surplus remains unchanged at the equilibrium quantity.

3. Calculate consumer surplus at the price ceiling quantity:

Consumer surplus at the price ceiling quantity is the area below the demand curve and above the price ceiling. Given the price ceiling of $2,000 and the price ceiling quantity of 60,000 enrolments, we can calculate the consumer surplus as follows:

Consumer Surplus at Price Ceiling Quantity = 0.5 * (Price Ceiling - Supply Price) * (Price Ceiling Quantity)

4. Calculate deadweight loss:

Deadweight Loss = Consumer Surplus at Equilibrium Quantity - Consumer Surplus at Price Ceiling Quantity

Substitute the given values into the equations to calculate the respective surpluses and deadweight loss, and round the final answer to the nearest whole dollar.

Please note that without specific information on the shape of the demand and supply curves, assumptions are made for the calculations, and the results may vary depending on the actual market conditions.

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Barack, age 56, is concerned about inflation risk, and is seeking an investment that would help insulate him against this risk. Which of the following products would be least suitable for Barack?

A. Stock portfolio

B. Segregated fund

C Annuity

D. Mutual fund

Answers

The least suitable product for Barack to insulate against inflation risk would be the Annuity. (Option C)

Annuities are financial products that provide a fixed stream of income over a specified period or for the lifetime of the investor. While annuities can provide stability and guaranteed income, they may not be the best choice for protecting against inflation risk. Unlike other investment options, such as stocks or mutual funds, annuities do not typically offer the potential for growth or adjustment for inflation.

Inflation erodes the purchasing power of money over time. If the rate of inflation exceeds the rate of return on an annuity, the real value of the income received from the annuity may decrease. This means that the fixed income payments received from the annuity may not keep up with the rising cost of living, leading to a decline in the individual's standard of living.

On the other hand, investments like stocks or mutual funds have the potential for growth and may offer better protection against inflation. These investments can provide higher returns over the long term, allowing investors to preserve or increase their purchasing power in the face of inflationary pressures. Therefore, considering Barack's concern about inflation risk, the annuity option would be the least suitable choice for him.

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The growth rate in dividends is a function of two ratios. They are Select one:
a. ROE and the retention ratio.
b. book value per share and EPS.
c. dividend yield and growth rate in stock price.
d. ROA and ROE.

Answers

The correct answer is option a. ROE and the retention ratio heavily influence the growth rate of dividends.

Option an is the proper solution. Return on Equity (ROE) and the retention ratio are the two ratios that most heavily influence the growth rate of dividends.

A company's profitability is gauged by its capacity to profitably use shareholders' equity, or ROE. A higher ROE indicates that the company is making good use of its equity to produce profits. A corporation typically has the potential to produce higher dividend growth rates when it has a higher ROE.

The percentage of earnings that a business keeps for reinvestment as opposed to paying out as dividends is known as the retention ratio. When a firm keeps more of its earnings, it can reinvest those funds in its operations, which can boost earnings and, in turn, the growth rate of its dividend.

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Questions:
1. UsingthePESTLEanalysis,doacomprehensivescanningofthebusiness environment discussing in detail the threats and opportunities for Gredon Nigeria Limited
2. Basedonyouranalysisinno.1above,suggeststrategiesonhowtotake advantage of the opportunities and how to mitigate the identified threats.
3. HowcanGredonNigeriaLtdtakeadvantageofthedemographicprofileand broadband penetration in Nigeria to increase sales

Answers

1. Gredon Nigeria Limited can leverage the demographic profile and broadband penetration in Nigeria to increase sales.

Gredon Nigeria Limited can take advantage of the demographic profile and broadband penetration in Nigeria to increase sales by implementing targeted marketing strategies and embracing digital platforms. The demographic profile of Nigeria, with its large and diverse population, offers opportunities for Gredon to tailor its products and marketing campaigns to specific consumer segments. By conducting market research and understanding the preferences and needs of different demographic groups, Gredon can develop personalized offerings that resonate with their target audience. Additionally, with the increasing broadband penetration in Nigeria, the company can leverage digital platforms to reach a broader customer base. By utilizing social media marketing, influencer collaborations, and online advertising, Gredon can effectively promote its products and engage with customers. Furthermore, partnering with internet service providers or telecommunications companies can allow Gredon to explore bundled services and enhance its online presence. By capitalizing on the demographic profile and broadband penetration in Nigeria, Gredon Nigeria Limited can tap into a larger customer base, drive sales growth, and establish a strong market presence.

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Which of the following statement is false?
Group of answer choices
a Credit unions are not taxed.
b Credit unions are thrift institutions.
c Credit unions are owned by depositors.
d Credit unions are open to general public.

Answers

c) Credit unions are owned by depositors.

Credit unions are not owned by depositors but rather by the members who hold accounts with them. Depositors, or members, have a say in the credit union's operations and elect a board of directors to represent their interests.

1.If accretion expense at the end of 2021 is $20,946, what will be the accretion expense at the end of 2022 (all other variables remain the same)? Assume the credit-adjusted risk-free rate used to compute expected present value is 10%. $__________

Answers

The provided information states that the accretion expense at the end of 2021 is $20,946, with all other variables remaining the same. However, the necessary details to calculate the accretion expense at the end of 2022 are not provided, such as the beginning carrying amount or the specific liability in question. Accretion expense represents the increase in the carrying amount of a liability over time, and it is influenced by factors such as the beginning carrying amount and the credit-adjusted risk-free rate. Without these details, it is not possible to accurately determine the accretion expense at the end of 2022.To calculate the accretion expense, the beginning carrying amount would be multiplied by the credit-adjusted risk-free rate. Therefore, to obtain the precise value for the accretion expense at the end of 2022, additional information regarding the beginning carrying amount or the specific liability involved would be required.

To calculate the accretion expense at the end of 2022, we need to consider the change in expected present value and apply the accretion formula. Accretion expense represents the increase in the carrying amount of a liability over time due to the passage of time and the change in the expected present value of future cash flows.

Given that all other variables remain the same, we can assume that the change in the expected present value from 2021 to 2022 is equal to the accretion expense in 2021, which is $20,946.

The formula for accretion expense is:

Accretion Expense = Beginning Carrying Amount * Credit-Adjusted Risk-Free Rate

Since the beginning carrying amount is not provided in the question, we cannot calculate the exact accretion expense at the end of 2022. We would need additional information on the beginning carrying amount to compute the accurate value.

However, if we assume the beginning carrying amount is $100,000 (as an example), and the credit-adjusted risk-free rate is 10%, we can calculate the accretion expense:

Accretion Expense = $100,000 * 10% = $10,000

Therefore, if the beginning carrying amount is $100,000, the accretion expense at the end of 2022 would be $10,000. Please note that this value is based on the assumption of the beginning carrying amount and may differ depending on the actual value provided.

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Thomas Elliott Company's bonds mature in 10 years, have a par value of $1,000, and make an annual coupon interest payment based on an annual coupon rate of 6.5%. The market requires an interest rate of 5.24% on these bonds. What is the bonds' price?
(Multiple Choice)
a $1,147.71
b $1,096.17
c $1,116.97
d $1,024.74

Answers

The bond price is approximately $1,147.71. The correct answer is (a).

To calculate the price of the bond, we can use the present value formula for bonds. The formula is as follows:

Bond Price = (Coupon Payment / (1 + Market Interest Rate)) + (Coupon Payment / ([tex]1 + Market Interest Rate)^2[/tex]) + ... + (Coupon Payment + Par Value) / [tex](1 + Market Interest Rate)^n[/tex]

Where:

Coupon Payment = Par Value * Coupon Rate

n = Number of years to maturity

Let's calculate the bond price:

Coupon Payment = $1,000 * 6.5% = $65

Market Interest Rate = 5.24%

Par Value = $1,000

Number of years to maturity = 10

Bond Price = ($65 / (1 + 5.24%)) +[tex]($65 / (1 + 5.24)^2)[/tex]+ ... + ($65 + $1,000) /[tex](1 + 5.24)^{10[/tex]

Using a financial calculator or spreadsheet, we can calculate the bond price:

Bond Price ≈ $1,147.71

Therefore, the correct answer is (a) $1,147.71.

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Give three reasons why should a company prefer equity over debt?
Explain.

Answers

There are several reasons why a company may prefer equity financing over debt financing. Here are three key reasons:

1. No Repayment Obligations: Unlike debt, equity financing does not involve repayment obligations. When a company raises funds through equity, it does not need to make regular interest payments or repay the principal amount. This can provide greater financial flexibility, especially in times of economic uncertainty or when the company is in its early stages and has limited cash flow. Equity financing allows the company to retain cash for operations, expansion, or other strategic initiatives.

2. Sharing Risk: Equity investors, such as shareholders or venture capitalists, bear a portion of the company's risk. In case of business failure or financial losses, equity investors may face a reduction or loss of their investment. By sharing the risk with equity investors, the company's financial burden is reduced compared to taking on high levels of debt. This sharing of risk can provide a cushion and protect the company's financial stability.

Long-Term Capital: Equity financing can provide long-term capital for the company's growth and expansion plans. Equity investors often have a long-term perspective and are interested in the company's future success. By bringing in equity investors, the company can secure funds for the long term, allowing it to invest in research and development, new projects, acquisitions, or market expansion. Equity financing is particularly beneficial for companies that have a long-term growth strategy and need capital to support their initiatives.

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Which of the following will would cause the price of oranges to fall?

a. There is a shortage in oranges.

b. An article is published in which it is claimed that tangerine causes a serious disease and oranges and tangerine are substitutes.

c. The price of land through out Florida decreases and Florida produces a significant proportion of the nations oranges.

d. All are correct.

Answers

The price of oranges would fall if there is a shortage in oranges, if an article claims that tangerines cause a serious disease and oranges are substitutes, or if the price of land decreases in Florida, a significant orange-producing region.

The correct answer is:

d. All are correct.

Explanation:

All of the mentioned factors would cause the price of oranges to fall.

a. There is a shortage in oranges: When there is a shortage of oranges, the supply is limited, leading to an increase in price. However, if there is a surplus or excess supply of oranges, the price would likely decrease.

b. An article is published claiming that tangerines cause a serious disease and oranges and tangerines are substitutes: If an article spreads fear or misinformation about tangerines, which are substitutes for oranges, it may negatively impact the demand for tangerines and lead consumers to choose oranges instead. This increased demand for oranges may result in a decrease in their price.

c. The price of land throughout Florida decreases, and Florida produces a significant proportion of the nation's oranges: A decrease in the price of land in Florida, a major orange-producing region, can lower the production costs for orange growers. As a result, the supply of oranges may increase, leading to a decrease in their price.

Considering these factors, all of the options mentioned would contribute to a decrease in the price of oranges.

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Does PPP (purchasing power parity) hold in the short run?
Critically discuss the problems in verifying the PPP
hypothesis.

Answers

In the short run, PPP does not always hold due to various factors and challenges in verifying the hypothesis.

Purchasing Power Parity (PPP) is an economic theory that suggests that in the long run, the exchange rates between two currencies should adjust to equalize the purchasing power of each currency.

One of the main problems in verifying the PPP hypothesis is the presence of transaction costs. Transaction costs, such as tariffs, taxes, transportation expenses, and trade barriers, can affect the prices of goods and services in different countries. These costs can disrupt the equalization of prices and prevent the immediate arbitrage opportunities that would align exchange rates according to PPP.

Additionally, non-tradable goods and services pose a challenge to PPP. Some goods and services, such as housing, healthcare, and education, are not easily tradable across borders. The prices of these non-tradable goods are influenced by local factors and regulations, making it difficult to compare prices between countries and determine the validity of PPP.

Furthermore, PPP assumes that there are no barriers to trade, capital flows, or restrictions on competition. In reality, countries have different regulations, policies, and market structures that can distort prices and prevent the immediate adjustment of exchange rates. Factors such as government interventions, monopolies, and protectionist measures can hinder the convergence of prices and undermine the validity of PPP.

Another challenge in verifying PPP is the existence of different inflation rates across countries. PPP relies on the assumption that inflation rates are similar in different countries. However, inflation rates can vary due to factors such as differences in monetary policies, productivity levels, and supply and demand dynamics. Inflation differentials can lead to deviations from PPP and affect the relative purchasing power of currencies.

Lastly, PPP does not account for factors such as income levels, preferences, and cultural differences that influence consumption patterns. Individuals may have different preferences for goods and services, leading to variations in relative prices and purchasing power across countries. These factors are not captured by PPP, limiting its ability to accurately reflect the actual purchasing power relationships.

In conclusion, while PPP is a useful long-term concept, it faces challenges in the short run. Transaction costs, non-tradable goods, trade barriers, inflation differentials, and cultural factors all contribute to the difficulties in verifying the PPP hypothesis. It is important to consider these limitations when applying PPP and interpreting its implications for real-world economic analysis.

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Sanji Cables has annual credit sales of $2854748 and accounts receivable of $204496. Assume that average daily credit sales is credit sales over 360 , compute the company's average collection period.

Answers

The average collection period for Sanji Cables is approximately 25.78 days.

To calculate the average collection period, we need to divide the accounts receivable by the average daily credit sales.

Average daily credit sales can be calculated by dividing the annual credit sales by the number of days in a year (360):

Average daily credit sales = Annual credit sales / 360

Average daily credit sales = $2,854,748 / 360

Average daily credit sales ≈ $7,929.30

Now we can calculate the average collection period by dividing the accounts receivable by the average daily credit sales:

Average collection period = Accounts receivable / Average daily credit sales

Average collection period = $204,496 / $7,929.30

Using a calculator, we find:

Average collection period ≈ 25.78 days

Therefore, the average collection period for Sanji Cables is approximately 25.78 days.

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You purchased a $1,000 bond with a coupon rate of 6% on January 1, 2021 for $940. On the same date you also purchased a share of ABC Inc for $83. During 2021 you received a dividend of $1.50 on the ABC share. It is now January 1, 2022 and the bond is selling for $980 and the ABC share is worth $90.

Required, round all answers to two decimal points and either provide your calculations in the space provided

What was your total dollar return on the bond over the past year?
What was your total nominal return on the bond over the past year?
If the inflation rate last year was 4%, what was your total real rate of return on the bond?
Compute the total percentage return on the ABC share.
What was the dividend yield on the ABC share.
What was the capital gain yield on the ABC share.

Answers

1. Total dollar return on the bond over the past year: $100

2. Total nominal return on the bond over the past year: 4.26%

3. Total real rate of return on the bond: 0.26%

4. Total percentage return on the ABC share: 9.64%

5. Dividend yield on the ABC share: 1.81%

6. Capital gain yield on the ABC share: 8.43%

To calculate the answers, we need the following information:

Bond:

- Purchase price: $940

- Coupon rate: 6%

- Face value: $1,000

- Selling price: $980

ABC Share:

- Purchase price: $83

- Dividend received: $1.50

- Selling price: $90

1. Total dollar return on the bond over the past year:

Coupon payment received = Face value * Coupon rate = $1,000 * 6% = $60

Price change = Selling price - Purchase price = $980 - $940 = $40

Total dollar return = Coupon payment received + Price change = $60 + $40 = $100

2. Total nominal return on the bond over the past year:

Initial investment = Purchase price = $940

Final value = Selling price = $980

Total nominal return = (Final value - Initial investment) / Initial investment * 100 = ($980 - $940) / $940 * 100 ≈ 4.26%

3. Total real rate of return on the bond:

Inflation rate = 4%

Total real rate of return = Total nominal return - Inflation rate = 4.26% - 4% ≈ 0.26%

4. Total percentage return on the ABC share:

Dividend received = $1.50

Price change = Selling price - Purchase price = $90 - $83 = $7

Total percentage return = (Dividend received + Price change) / Purchase price * 100 = ($1.50 + $7) / $83 * 100 ≈ 9.64%

5. Dividend yield on the ABC share:

Dividend yield = Dividend received / Purchase price * 100 = $1.50 / $83 * 100 ≈ 1.81%

6. Capital gain yield on the ABC share:

Capital gain yield = Price change / Purchase price * 100 = $7 / $83 * 100 ≈ 8.43%

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