The correct answer to the question is (b) The efficient output is the intersection of marginal social cost and demand, while the free access equilibrium output is the intersection of private cost and demand.
The efficient output for a common resource is the point where the marginal social cost (MSC) of producing an additional unit of the resource is equal to the marginal social benefit (MSB) of consuming that unit. In other words, it is the point where the total benefits to society are maximized. This is usually the intersection of the MSC curve and the demand curve.
On the other hand, the free access equilibrium output for a common resource is the point where the marginal private cost (MPC) of producing an additional unit is equal to the marginal private benefit (MPB) of consuming that unit. This is the point where the resource is being used up until the point where the marginal cost equals the marginal benefit. This is usually the intersection of the MPC curve and the demand curve.
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The Shell Corporation has a 34% tax rate and owns a piece of petroleum-drilling epidament that costs $123,100 and will be depreciated at a CCA rate of 30%. Shell will kase the equipment to others and each year receive $34,000 in rent. At the end of the years, the firm will sell the equipment for $33,500. All values are presented in today's dollars Calculate the overall present worth of these cash flows with tax effects if market interest rate is 10% and annual inflation rate is 2%.
So, the overall present worth of these cash flows with tax effects is $17,847.65.
The overall present worth of these cash flows with tax effects can be calculated using the present value formula, which is:
PV = FV / (1 + r)^n
where PV is the present value, FV is the future value, r is the interest rate, and n is the number of periods.
In this case, the future value is the equipment's cost minus its salvage value at the end of its useful life. The salvage value is calculated by subtracting the accumulated depreciation from the equipment's cost.
The salvage value of the equipment at the end of its useful life is calculated as follows:
Salvage value = Cost - Accumulated Depreciation
Salvage value = 123,100−123,100 * (34/100) = $98,647
The future value of the equipment is therefore:
Future value = 123,100−98,647 = $24,453
The interest rate is the tax rate, which is 34%. The number of periods is the number of years that the equipment will be rented, which is 4 years.
PV = Future value / (1 + 34/100)^4
PV=24,453 / 1.344
PV = $17,847.65
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Suppose that the demand and supply for good X are
=60−2 +0.01+7 !"#
=−600+10 $"
Where = quantity demand; = quantity supply; =Price of X; = Average !$"
consumer income; and = Price of a related good R #
(i) Is good X normal or inferior? Explain.
(ii) Are goods X and R substitutes or complements? Explain.
(iii) Suppose that = 40,000 and = 20, what are the equilibrium price and
quantity?
(iv) What happens to equilibrium price and quantity if supply shift to:
=−360+10
The equilibrium price is therefore $25, and the equilibrium quantity is 35,000. The degree of the shift in the supply curve will determine the new equilibrium price and quantity.
I Good X is typical because demand for it is positively correlated with consumer income, meaning that as income rises, so does demand for product X.
(ii) Whether X and R are complements or substitutes depends on the sign of the coefficient of the price of the associated good R. A rise in the price of R will result in an increase in demand for X since X and R are substitutes due to the positive sign of the coefficient.
(iii) We must balance the demand and supply equations in order to determine the equilibrium price and quantity:
60−2P+0.01I+7PR = -600+10P
When we solve for P and Q, we obtain:
P = $25\sQ = 35,000
The equilibrium price is therefore $25, and the equilibrium quantity is 35,000. The degree of the shift in the supply curve will determine the new equilibrium price and quantity.
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There is a trade-off between the amount of consumption that people can enjoy today and the amount of consumption that they can enjoy in the future because?.
There is a trade-off between the amount of consumption for today and future because an increase in consumption in the future households must save, thus providing funds for investment.
A balance between consumption and savings needs to be created in order for achieving consistency. If there is no trade-off for today and nothing is saved for future generations, then in the future there will be no balanced resources for survival.
Investments need to be made from savings today so that consistency can be achieved for the amount of consumption of resources. In order to save ourselves and our future generations to suffer from the depletion of resources, we need to reduce our consumption of resources.
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What phenomenon allows marketers to reach customers directly over the internet, without the expense or complication of distribution channels?
Disintermediation allows marketers to reach customers directly over the internet, without the expense or complication of distribution channels.
What is Disintermediation?Disintermediation is the phrase used to describe the phenomena of removing middlemen from the supply chain, such as manufacturers selling directly to customers instead of through distributors and merchants. Disintermediation, in a nutshell, is the elimination of intermediaries whose cost of service has risen above the value they offer.
The act of eliminating the financial intermediary from a transaction is referred to as disintermediation. It might make it possible for a customer to place an order directly with a manufacturer rather than going via a distributor or retailer. It might also make it possible for a company to place an order directly with a manufacturer.
Because buyers are aware of supply prices obtained directly from the manufacturer, great market transparency frequently leads to disintermediation initiated by consumers. By buying directly from the manufacturer, consumers avoid the middlemen (wholesalers and retailers) and pay less.
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Which of the following is a problem with using real GDP as a measure of economic well-being? A) failure to measure the value of leisure B) inability to measure the underground economy C) externalities not factored in D) no assessment of quality variations E) all of the above
The problem with using with using real GDP as a measure of economic well-being is all of the above.
Hence, Option D is correct
Economic wellbeing is the state of having one's most fundamental needs satisfied as well as a stable source of income and assets to support one's future prosperity. People may be compelled to make short-term decisions during crises and afterward in order to survive—such as taking their kids out of school to work—that will have long-term negative effects.This covers the acquisition of food, clothing, housing, education, and recreational pursuits. Economic well-being also refers to the likelihood of running into problems with money when faced with emergencies or unforeseen costs, such as not having enough money to cover emergencies or pay for basic expenses.Consumer confidence, household savings rate, household indebtedness, financial net worth, unemployment rate, and labor underutilization rate are just a fewTo know more about economic well being here-
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When fire alarm sounds. Why should you evacuate children immediately even if you do not see flames?
Answer: because even if there is no fire there could be an explosion, fire and gasoline WILL make an explosion. So Basically it can start with fire but soon turn into an explosion. If it's a fire DRILL then it's for practice if that actually does happen.
Explain the difference between uninsured and underinsured.
Growing rice requires extensive irrigation in california. economists consider water to be a ______ for rice farmers in california.
Water is used by farmers to weed, develop seedlings in nurseries, germinate rice seed, and prepare their land for planting.
What are nurseries?Plants are propagated and cultivated to the proper size in nurseries. Instead of being used for agriculture, the plants in question are mostly used in gardening, forestry, or conservation biology.
Nursery: A location where plants are raised for sale, for transplantation, or as stock for grafting and budding. Woody and herbaceous plants, including ornamental trees, shrubs, and bulb crops, are produced and distributed by commercial nurseries.
Since a newborn doesn't need much space until they can walk, the smallest bedroom in the house is typically designated as the nursery, with the assumption that the space will be used nearly solely for sleeping.
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The premature death of an individual is an example of a ___a. nondiversifiable risk. b. pure risk c. speculative risk. d. physical hazard
The premature death of an individual is an example of a pure risk.
What is a pure risk?A pure risk is a type of risk that has only two possible outcomes: loss or no loss. There is no opportunity for a gain or profit in this type of risk. It is beyond the control of the insured, who has no influence over the occurrence of the event, as well as the outcome of the event. It is an example of a risk that is insurable.There are two kinds of risks: speculative risk and pure risk.
A pure risk is one in which there is only a chance of loss or no loss. In general, pure risks are insurable, whereas speculative risks are not. An example of a pure risk is the possibility of your house being destroyed by fire.What are the main features of pure risks?Pure risks are insurable risks that fall under the umbrella of insurance. It's crucial to understand the essential features of pure risks before delving into their different types. The following are the characteristics of pure risks:The risk of loss is real.
The insured has no influence over the occurrence of the event.Pure risks have only two potential outcomes, loss or no loss.Pure risks are insurable.
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Why do some auto insurance customers want medical coverage for their
policies?
A. To help find the best hospital to care for people they injured in a
car accident
B. To keep from having to make a co-pay in case of a minor injury
after an accident
C. To avoid having to pay for hospital bills resulting from an accident
they cause
D. To prevent uninsured motorists from suing them for injuries they
cause
9514 1404 393
Answer:
C. To avoid having to pay for hospital bills resulting from an accident they cause
Explanation:
The purpose of any sort of insurance is to limit or eliminate the policy-holder's liability. Medical insurance in an auto policy pays for medical bills the policy-holder might otherwise be liable for as a consequence of an auto accident.
PLS HELP ME
use a fully labeled production possibility model to illustrate the production possibilities for this economy.
please also answer questions b,c, and d
GIVING BRAINLIESTS MUCH APPRECIATED
The economy would have to stop making 1.33 skateboards in order to create an extra 10,000 roller skates. Plotted on the curve between points B and C are 60,000 units of roller skates and 30,000 units of skateboards.
The overall cost formula is what?By dividing the total cost of manufacturing by the total amount paid in cash, the average total cost formula is produced. The total-cost formula, which can be calculated by dividing the total production cost by the volume of goods produced, is straightforward and user-friendly. Choosing a production, price, and sales strategy.
(Opportunity cost of producing 10,000 roller skates) = (Change in Skateboards) / (Change in Roller Skates)
= (70,000 - 30,000) / (85,000 - 55,000)
= 40,000 / 30,000
= 1.33 skateboards per roller skate
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Lucky Company borrowed $1,000,000 on December 31, 2017, by issuing $1,000,000, 8% mortgage note payable. The terms call for annual installment payments of $150,000 on December 31.
Prepare the journal entries to record the mortgage loan and the first two installment payments.
Indicate the amount of mortgage note payable to be reported as a current liability and as a long-term liability at December 31, 2019.
To record the mortgage loan, Lucky Company will make the following journal entry on December 31, 2017: At December 31, 2019, the mortgage note payable will be reported as a current liability for $150,000 (the amount due within one year) and as a long-term liability for $710,000 (the remaining principal balance due after one year).
Cash $1,000,000
Mortgage note payable $1,000,000
To record the first installment payment, Lucky Company will make the following journal entry on December 31, 2018:
Mortgage interest expense ($1,000,000 x 8%) $80,000
Mortgage note payable $70,000
Cash $150,000
To record the second installment payment, Lucky Company will make the following journal entry on December 31, 2019:
Mortgage interest expense (($1,000,000-$150,000) x 8%) $72,000
Mortgage note payable $78,000
Cash $150,000
For the first installment payment, $80,000 is recorded as mortgage interest expense, and $70,000 is recorded as a reduction of the mortgage note payable. The difference between the two ($10,000) represents a reduction of the principal balance.
For the second installment payment, the mortgage note payable balance at the end of the first year is $1,000,000 - $150,000 - $70,000 = $780,000. Therefore, the interest expense for the second year is $780,000 x 8% = $62,400. The total interest expense for the second year is $62,400 + $9,600 (difference between the installment payment and interest expense) = $72,000. $78,000 is recorded as a reduction of the mortgage note payable, and the difference ($72,000) represents a reduction of the principal balance.
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the employees at web light, a website design company, have been struggling to provide quality services to clients. an investigation reveals that employees feel dissatisfied and mentally fatigued due to the challenging nature of their jobs. selena, the hr manager, suggests simplifying jobs in order to reduce errors and increase accuracy. which option would be a way to simplify the mental demands of employees' jobs?
Using software that helps with tracking progress simplify the mental demands of employees' jobs.
In the same way that NeiFra Infosystems staff
Inc. has struggled to offer customers high-quality services.
According to an investigation, the difficulty of employees' jobs causes them to feel unsatisfied and worn out. The HR manager Ellen advises streamlining tasks to improve accuracy and decrease errors. The mental demands of employees' jobs can be made easier by using software that aids in tracking progress.
With the use of software, they are able to more effectively and efficiently identify the major issues as well as create patterns with ease. Software can assist NeiFra Infosystems Inc. in learning more quickly and effectively about the causes of the employee's dissatisfaction. which, if done manually, could take a long period.
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All of the following are advantages of going public except
A. more funds are available to publicly-traded firms.
B. the fact that a company is public helps in bank negotiations and marketing.
C. publicly-traded stocks afford the stockholders more liquidity.
D. the firm disseminates more information to the public on corporate affairs.
The option that is not an advantage of going public is D. the firm disseminates more information to the public on corporate affairs.
What are the advantages of going public?When a company goes public, it means that they are selling shares to the public and anyone can buy shares in that company. The advatage of this is that more funds are available to such a company because they are able to sell more shares to to public. More funds are also available because the company gets a better advantage when negotiating with banks as banks prefer public companies.
Public companies are also able to market better because they would be marketing to people who feel they own a piece of the company. Such companies will also have greater liquidity in their stock.
There is a disadvantage however, that the company will now have to disseminate more information to the public than usual because their owners are in the public domain.
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Why is it important to maintain network relationships, even after you have found a job?
a. You never know when you are going to have to find a new job.
b. You can return the favor by helping network members with career advice and job leads.
You will remain informed and connected to people in your field.
d. All of the above
C.
Please select the best answer from the choices provided
ΟΑ
B
С
OD
Answer:
D (all of the above)
Explanation:
When a person has gotten a job, it is critical to keep network contacts since a person never know when he will need to locate a new career, and he will stay informed and connected to bin his sector.
What is network relationships?Relationship networking is another name for network relationships. It's all about making connections and finding ways for both sides to gain. Like the relationship, networking and partnerships intersect in numerous ways, resulting in economic potential.
Even when a person has gotten a job, it is critical to keep network contacts since you never know when you will need to locate a new career, and he will stay informed and connected to people in the sector.
With the utilization of network ties, an individual might refund the kindness by supplying career counseling and job metals to network members.
Therefore, option D is correct.
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What role does product/service management play in marketing?.
Answer:
El Marketing de Servicios es un conjunto de tácticas que tienen como objetivo agregarle valor al servicio ofrecido, con el fin de persuadir al cliente para que opte por una determinada empresa. A través de una estrategia de Marketing de Servicios, es posible garantizar la máxima satisfacción de consumidores y usuarios
Explanation:
Answer:
✒️Answer:Product/service management is a marketing function that involves obtaining, developing, maintaining, and improving a product or service mix in response to market opportunities.
Explanation:
#CarryOnLearning\(watch.some.anime\)
Advances in technology has increased the number of people needed to
A. Develop computer software
B. Teach children in schools
C. Work on assembly lines
D. Serve in the military
Answer:
A. develop computer software
All of the following are true statements about the workers in the Lowell factory system EXCEPT a they worked a maximum five days a week for eight hours a day b they were virtually all New England farm girls c they lived in company boardinghouses and were forbidden to form unions d they worked in factories where the windows were nailed shut
The statement about the workers in the Lowell factory system which is incorrect is:
A. They worked a maximum five days a week for eight hours a dayAccording to the given question, we are asked to show the odd statement out from the given answer choices about the Lowell factory system which was not true.
As a result of this, we know that the Lowell factory workers were young girls who worked in Massachusetts in America at the height of the Industrial Revolution and they lived in company boarding houses, forbidden to form unions and the windows of the factories were nailed shut.
Therefore, the correct answer is option A
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Which of the following statements summarizes a problem-solution
organizational structure?
A. The information is arranged to show how or why something
happened.
B. The information is arranged in the order in which events took
place.
C. The information is arranged by a main topic and supporting ic
D. The information is arranged to explain an issue and reveal how
can be solved.
Answer: D) The information is arranged to explain an issue and reveal how can be solved.
Explanation: A problem-solution organizational structure presents a problem, provides evidence, and proposes solutions.
Management generally resists allowing employees to manage their own workflow because it decreases their motiviation. please select the best answer from the choices provided t f
It is false that management generally resists allowing employees to manage their own workflow because it decreases their motivation.
What are the impacts of allowing employees to manage their workflow?Employees when have the authority and responsibility in managing their own tasks then it creates higher productivity. It is due to their rise in motivation as management enhances their empowerment and involvement in the workplace.
Thereffore, when management does not offer power to control and make decisions for their task then it would dissatisfy them with work procedures.
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Answer:false
Explanation:took the test
A Treasury STRIPS is quoted at 89.388 and has 3 years until maturity. What is the yield to maturity? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.) YTM_______ %
A Treasury STRIPS is quoted at 89.388 and has 3 years until maturity. The yield to maturity is 3.77%
A Treasury STRIPS is quoted at 89.388 and has 3 years until maturity.
The formula is:
Price = Future value or par value/[1 + (YTM/2)\(]^{2\times \text{Number of years}}\)
The value of Price = 89.388
Future value or par value = 100
Number of years = 3
Now putting the values in the formula
89.388 = 100/[1 + (YTM/2)\(]^{2\times 3}}\)
89.388 = 100/[1 + (YTM/2)]⁶
Multiply by [1 + (YTM/2)]⁶ on both side, we get
89.388 × [1 + (YTM/2)]⁶ = 100
Divide by 89.388 on both side, we get
[1 + (YTM/2)]⁶ = 100/89.388
Taking the power of 1/6 on both side, we get
[1 + (YTM/2)] = (100/89.38\()^{1/6}\)
[1 + (YTM/2)] = 1.0189
Subtract 1 on both side, we get
YTM/2 = 0.0189
Multiply by 2 on both side, we get
YTM = 0.0378
YTM = 3.78%
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WILL GIVE BRAINLIEST! Why would someone choose to start a company as a Franchise rather than a Sole Trader or Partnership?
Answer:
Explanation:
The franchisee has the advantage of having an established brand that potential customers easily can recognize. On the other hand, the sole proprietor must develop his own brand and promote it through extensive, and possibly expensive, marketing campaigns.
kala is financing a house for $123,500. she has to pay $300 plus 1.05% for a brokerage fee. how much are the mortgage brokerage fees? (2 points) $429.68 $1,296.75 $1,596.75 $2,152.50
The mortgage brokerage fees for Kala's house are $1,296.75. Therefore, the correct option is b.
Kala is financing a house for $123,500. She has to pay $300 plus 1.05% for a brokerage fee. The amount of mortgage brokerage fees can be calculated using the following formula:
Total Mortgage Brokerage Fees = (Percentage fee x Mortgage amount) + Flat fee.
In this case, Mortgage amount = $123,500, Flat fee = $300, and Percentage fee = 1.05% = 1.05/100 = 0.0105
Substitute the given values in the formula:
Total Mortgage Brokerage Fees = (0.0105 x $123,500) + $300= $1,296.75
Therefore, the amount of mortgage brokerage fees are $1,296.75. Hence, option (b) is correct.
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Delon needs to modify the style of his form elements in Access 2016. Which tab in the ribbon should he use to apply Quick styles to a form? Form Design Tools > Design Form Design Tools > Arrange Arrange Form Design Tools > Format
Answer:
Form Design Tools > Format edg 2021
Explanation:
Form Design Tools> Format is the style Delon needs to modify the form of his elements. Thus, option D is correct.
What is a design tab?The Table Tools contextual tab will appear on the ribbon when you insert or select a table in Microsoft Publisher . You can easily arrange your table, add or remove rows and columns, set the alignment of cells, and format the typography of the text in your table using the two options on this tab, Design and Layout.
Table formatting, cell and table borders, placement of the table on the page, and table size are all included in the Design tab. You can manage the design and appearance of your presentation using the commands on the Design Tab. You can choose a theme from the ones that are offered, and you can alter the color schemes as well. The use of themes streamlines the process of developing polished presentations.
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Paying for the right to buy a stock at a given price is known as a ________________.
ANSWER
strike price
Explanation:
call option give the holder the right to buy 100 shares of a company at a specific price known as the strike price
Days in Inventory + Days in Receivables - Days in Payables = (4 words)
Cash Conversion Cycle: The cash conversion cycle (CCC) is a metric that measures the time it takes a company to turn its investments in inventory and other resources into cash flows.
It is calculated by adding the number of days it takes to sell inventory (days inventory outstanding, or DIO), the number of days it takes to collect receivables (days sales outstanding, or DSO), and the number of days it takes to pay its payables (days payable outstanding, or DPO). The resulting figure is the cash conversion cycle (CCC), which is expressed in days.
The cash conversion cycle (CCC) is an important metric for a company to monitor because it is directly related to its ability to generate cash. The longer the CCC, the more cash the company must tie up in inventory and receivables, and the fewer funds it has available for other uses. Thus, a shorter CCC is generally more desirable, as it indicates better cash flow management and improved liquidity.
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Tina works a cash register and has to hold her arm at a certain angle to scan her customers' items. What is the ergonomic hazard in this situation?
Select the best option.
Awkward posture
Incorrect tool usage
Relaxed arms and shoulders
Repetitive moveme
Answer:
repetitive movement
Explanation:
i actually had this question in my last period that's so fun hahha good luck
The ergonomic hazard in this situation given above is:
A. Awkward postureAccording to the given scenario, a cashier has to hold her hand in a certain manner in order to properly scan the items of the customers who came to make purchases at the store.
As a result of this, we can see that the ergonomic hazard which is described from the above scenario is that of an awkward posture which Tina, the cashier has to perform.
Therefore, the correct answer is option A
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Tech it Easy (TECH) sells computers and laptops. Tech includes a four-year warranty on each computer/Ipad they sell. Management estimates that the cost of providing the warranty coverage is 5% of sales in the first year and 1% of sales in each of years two and three and 1% in year four. Other facts follow: TECH reported a $180,000 provision for warranty payable on its December 31, 2022 balance sheet. TECHS sales for 2023 were $3,780,000 · The cost to TECH of meeting their warranty claims in 2023 was $320,000; $180,000 for parts and $240,000 for labor. TECH's sales for 2024 were $2,890,000. The cost to TECH of meeting their warranty claims in 2024 was $168,000; $80,800 for parts and $87,200 for labor. TECH's sales for 2025 were $1,975,000. The cost to TECH of meeting their warranty claims in 2025 was $154,000; $95,000 for parts and $59,000 for labor. What is the balance of the warranty payable account at December 31, 2025?
The balance of the warranty payable account at December 31, 2025, is $246,800.
To calculate the balance of the warranty payable account at December 31, 2025, we need to consider the sales and warranty costs for each year.
In the first year, the warranty cost is 5% of sales, so the provision for warranty payable is $3,780,000 * 5% = $189,000.
In the second and third years, the warranty cost is 1% of sales, so the provision for warranty payable each year is $2,890,000 * 1% = $28,900.
In the fourth year, the warranty cost is also 1% of sales, so the provision for warranty payable is $1,975,000 * 1% = $19,750.
To calculate the balance of the warranty payable account at December 31, 2025, we subtract the warranty costs incurred in each year from the provisions for warranty payable.
Balance at December 31, 2022: $180,000
Balance at December 31, 2023: $189,000 - $320,000 = -$131,000
Balance at December 31, 2024: -$131,000 + $168,000 = $37,000
Balance at December 31, 2025: $37,000 + $154,000 = $191,000
However, we also need to account for the warranty costs incurred in 2025. The cost of meeting warranty claims in 2025 is $154,000, so we subtract this amount from the balance at December 31, 2025:
Balance at December 31, 2025 = $191,000 - $154,000 = $37,000
Therefore, the balance of the warranty payable account at December 31, 2025, is $37,000.
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what is one of the most important internal controls for cash ?
Several tools are used as internal controls for cash. The management's continuous and regular oversight of the bank account is the finest tool.
Setting up internal controls is an essential step in developing your organization's risk management and security policies. Internal control methods aid in defending your company against threats to its general reputation, finances, and business plan. To make sure your organisation is operating effectively and efficiently, controls act as a form of check-up. Internal financial controls assist your company in maintaining the regulatory compliance mandated by industry standards. In order to safeguard investors, the Sarbanes-Oxley Act of 2002 (SOX) of the U.S. government demands evidence that businesses are honestly disclosing their financials. Establishing a system of controls for your company's cash management and financing helps support business continuity and protect your finances.
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if+d1+=+$1.50,+g+(which+is+constant)+=+8.5%,+and+p0+=+$55,+what+is+the+stock’s+expected+total+return+for+the+coming+year?
The expected total return of the stock for the upcoming year given that if d1 = 1.50, g (which is constant) = 8.5%, and p0 = 55 can be calculated using the following formula:
Total \ return = Dividend \ yield + Capital \ gain \ yield
The dividend yield can be calculated using the formula:
Dividend \ yield =
\frac{d_1}{p_0}
Substituting the given values in the formula, we get:
Dividend \ yield =
\frac {1.50}{55} = 0.0273
= 2.73\%
The capital gain yield can be calculated using the formula:
Capital \ gain \ yield = g
Substituting the given value of g in the formula, we get:
Capital \ gain \ yield = 0.085
= 8.5\%
Now substituting both the calculated values in the formula of expected total return, we get:
Total \ return = Dividend \ yield + Capital \ gain \ yield
Total \ return = \(2.73\% + 8.5\% = 11.23\%\)
the stock's expected total return for the coming year is 11.23%.
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