Out of the given statements, the following statement does NOT describe an advantage inherent in equity financing is option b) "Interest is tax-deductible."
Equity financing is one of the types of financing where the company gets funding by issuing shares of its stock in return for cash. It is a long-term source of funding that offers numerous benefits to the company.The following are some of the advantages of equity financing:
Equity financing provides permanent capital to the company.
Equity financing doesn't require the company to make any regular payments as the investors become part-owners of the company. Therefore, it helps in reducing the company's financial risk.
Equity financing provides access to a larger pool of funds than debt financing.
Equity financing doesn't have any maturity date, unlike debt financing.
Equity financing doesn't require the company to pay any interest to the investors.
Equity financing doesn't create any legal obligation for the company to pay dividends to the investors.
Therefore, out of the given statements, the following statement does NOT describe an advantage inherent in equity financing is "Interest is tax-deductible."
To learn more about equity, visit:
https://brainly.com/question/30655014
#SPJ11
The ability of a monopoly to influence prices by controlling the quantities that it produces in the market is called monopoly
(a) True
(b) False
The given statement, "The ability of a monopoly to influence prices by controlling the quantities that it produces in the market is called a monopoly" is false.
A monopoly is defined as a market structure in which a single producer or seller controls the market and, as a result, has no competition. In the economy, a monopoly exists when one company is the only supplier of a particular product or service. As a result of being the only supplier, the monopolistic company has complete control over the prices at which it sells its products or services.
In other words, the market is under the control of a single seller in a monopoly market. In a monopoly market, the seller determines the price of the product or service. Because the seller is the only one in the market, it has a lot of bargaining power when setting prices. It can do this by either increasing or decreasing the quantity of goods or services produced.Monopoly pricing refers to the practice of charging high prices for goods or services because there is no other competitor in the market. Because of this, customers are at the mercy of the monopolistic company.
To maximize their profits, monopolies must restrict the supply of goods or services and raise prices. As a result, monopolies often generate higher profits than competitive companies because they do not have to worry about competition. In conclusion, a monopoly's ability to influence prices by controlling the quantities that it produces in the market is called monopoly pricing.
To know more about monopoly visit:
https://brainly.com/question/33076874
#SPJ11
What is the effect of the declaration and subsequent issuance of a stock split (not effected in the form of a stock dividend) on each of the following?
Retained earnings Paid-in capital
a. no effect no effect
b. no effect increase
c. increase decrease
d. decrease increase
The effect of the declaration and subsequent issuance of a stock split (not effected in the form of a stock dividend) on retained earnings is no effect. This is because a stock split does not involve any transfer of assets or liabilities and therefore does not impact the company's earnings or losses. Option a is correct.
On the other hand, the effect of a stock split on paid-in capital is an increase. This is because a stock split increases the number of shares outstanding, but does not change the overall value of the company. As a result, the per-share value of the company's stock decreases, and investors need to purchase more shares to maintain the same level of investment. This increase in the number of shares sold leads to an increase in paid-in capital.
In a stock split, the company's financial statements will show an increase in the number of shares outstanding and a corresponding decrease in the par value per share.
However, the total amount of shareholders' equity remains the same. The correct option is a.
Learn more about Stock split: https://brainly.com/question/14247504
#SPJ11
PLEASE HELP ME WITH THIS PLS PLS PLS
You plan to set aside $500 for 5 years. The account pays annual interest of 8 percent, compounded quarterly. The ending balance (principal plus interest) will be ___at the end of 5 years.
Answer:
$942.27
Explanation:
The applicable formula for this case is A = p x ( 1 + r) ^ n
Where A is the amount after 5 years
p = Principal amount: $500
r = Interest rate : 8 % or 0.08 per year.
quarterly interest rate = 0.08/4 = 0.02
n = number of period : 8 year or 32 quarters (8 years x 4 )
A = $500 x (1 + 0.02) ^32
A= $500 x (1.02)^32
A =$500 x 1.88454
A=$942.27
Amount after five years will be $942.27
two ways in which young entrepreneurs can benefit from the National Youth Development Agency
South Africa's National Youth Development Agency has launched the Ithubalentsha Micro Enterprise Programme, which will provide young aspirant and established entrepreneurs with training, mentorship, micro-enterprise finance, market linkages and access to business opportunities.
Tanya is in the business of selling rubber mats. Ralph is in the business of selling real estate. Logan is in the business of selling stocks and bonds. Article 2 of the U.C.C. governs the sale of the items sold by:
The article 2 of the UCC governs the sale of the items sold by Tanya only.
What is the article 2 of the UCC?
This is the Uniform commercial code that governs the sale of items in the United states.
Transactions in the forms of goods are the only types of items that can be applied to the code.
Read more on the Uniform commercial code here:https://brainly.com/question/15980446
How can ratio analysis be used to interpret financial statements?
In order to get insights into profitability, liquidity, operational effectiveness, and solvency, ratio analysis examines line-item information from a company's financial statements.
Ratio analysis allows you to compare one firm to another in the same sector or sector and track how one company has changed over time.
What is ratio analysis?Ratio analysis is a quantitative examination of the information included in the financial statements of an organization. Ratio analysis is the study or analysis of the line items included in the company's financial statements.
It can be used to evaluate a number of aspects of a business, including profitability, solvency, liquidity, and operational effectiveness.
Learn more about ratio analysis, from:
brainly.com/question/14234253
#SPJ1
You won $1,000,000 in the lottery and decided to invest the funds. However, you do not know much about investments and decided to visit a local investment firm to get some more information. The representative was able to tell you about the different types of investments and investment strategies.
Questions
After your visit to the investment firm, demonstrate your knowledge of the investment environment by answering the following questions:
A. Explain the factors that will help to determine the rate of return that an investor requires on an investment.
B. Discuss THREE (3) types of investments that you could engage in. Include in your discussion the benefits and drawbacks of each type of investment.
C. Explain ANY TWO (2) career path that is available to persons interested in investment.
The correct answer of a) Time horizon, Inflation, Risk tolerance, B) Bonds, stocks, Real estate, and c) Investment banking, and portfolio management.
A) The following are the factors that help to determine the rate of return that an investor requires on an investment:
Time horizon: The length of time you plan to hold the investment will determine your required rate of return.Inflation: Inflation is one of the most important considerations in determining the rate of return an investor requires.Risk tolerance: Investors' risk tolerance, which varies depending on their age, income, and other factors, is a crucial component of determining their required rate of return.B) The following are the three types of investments that you could engage in:
1. Bonds - One of the advantages of investing in bonds is that they have lower risk than stocks. On the downside, bonds have low returns.
2. Stocks - Stocks have the potential to provide high returns, but they also come with a high level of risk. They are suitable for long-term investment horizons.
3. Real Estate - Real estate investments can provide stable cash flow and appreciation in value. However, the drawback is that they have a high cost of entry and require a lot of maintenance and attention.
C) Two career paths that are available to persons interested in investment include:
1. Investment Banking - Investment banking is a great option for people who enjoy working with businesses and are interested in helping companies grow.
2. Portfolio Management - Portfolio management involves overseeing a collection of investments and making decisions on behalf of investors.
know more about rate of return
https://brainly.com/question/17164328
#SPJ11
true or false? effective evaluation measures of a sales force should include both input and output measures.
The given statement " effective evaluation measures of a sales force should include both input and output measures." is True. Evaluation measures of a sales force should aim to provide both input and output measures. Input measures provide information on how effective and efficient the sales force is in utilizing available resources to reach the desired outcomes.
On the other hand, output measures offer details about the actual sales and profits made.The input measures of sales force evaluation typically involve assessing the recruitment, training, and deployment of the sales team members, the working environment, and the available sales tools and resources.
The output measures entail examining the sales volume, revenues, and profits attained over a given period. The ratio of sales to the number of sales representatives and customer feedback, are also commonly used as output measures in sales force evaluation.The use of both input and output measures in sales force evaluation is crucial in identifying the areas of strengths and weaknesses of a sales team.
In addition, both types of measures can help organizations to establish effective strategies to optimize the performance of their sales force. Hence, it is true that effective evaluation measures of a sales force should include both input and output measures.
For more such questions on evaluation
https://brainly.com/question/30592279
#SPJ8
a financial plan is most influenced by
Answer: priorities and goals
Explanation: because
The financial plan is most influenced by priorities and goals Option(b) is correct.
What does Financial Plan means?Overall utilization, a financial plan is a complete assessment of a singular's ongoing compensation and future financial state by utilizing current known factors to foresee future pay, resource values and withdrawal plans.
In business, a financial plan can allude to the three essential financial assertions monetary record, pay explanation, and income proclamation) made inside a field-tested strategy. Financial estimate or financial plan can likewise allude to a yearly projection of pay and costs for an organization, division, or division.
A financial plan can likewise be an assessment of money needs and a choice on the most proficient method to raise the money, like through getting or giving extra offers in an organization A financial plan might contain forthcoming financial explanations, which are comparative, however unique, than a financial plan. Financial plans are the whole financial bookkeeping outline of an organization. Complete financial plans contain all periods and exchange types.
Therefore Option(b) is correct.
Learn more about Financial plan here:
brainly.com/question/1489472
#SPJ5
If you are a Japanese producer who sells products in the US, you want a foreign exchange future without going through the futures market. So, you borrow money in dollars with an interest rate of 5% and immediately convert it to yen at a rate of 1 dollar to 100 yen. Then you put the money in a Japanese interest-bearing account with an interest rate of 10%. What is the forward exchange rate in this case?
Answer:
104.76 yen per dollar
Explanation:
the forward rate = spot rate x [(1 + foreign interest rate) / (1 + domestic interest rate)] = 100 yen x [(1 + 10%) / (1 + 5%)] = 100 yen x (1.1 / 1.05) = 104.76 yen per dollar
Since the interest rate in Japan is higher than the interest rate in the US, investors will start to purchase more yens in order to gain higher interest rates, which will eventually appreciate the yen against the dollar until both interest rates match.
is laws and regulations that govern business. is well-defined rules for appropriate business behavior. do not vary from one person to another. is most important for advertising agencies. is the application of moral standards to business situations.
The Company pledges to conduct itself in a way that upholds all applicable laws, norms of conduct in the workplace, and business ethics, as well as to treat every employee equally and fairly.
Does a set of laws specify how a company ought to conduct itself?Every business has a code of conduct that is applicable to both the organization and its staff. The motivation behind the rule of conduct is business ethics. Corporate ethical guidelines are frequently adopted freely by businesses, but on occasion, these guidelines may also be mandated by law.
Business ethics: What Is It?The rules for ethically correct and wrong behavior in company are referred to as business ethics. Law defines behavior in part, but "legal" and "ethical" are not always synonymous. By defining permissible practices outside of the purview of the state, business ethics strengthen the law.
Learn more about business ethics here:
https://brainly.com/question/4048149
#SPJ4
Xanadu Industries manufactures and sells the same calipers as Utopia Industries. Employee wages account for 35 percent of the cost of manufacturing calipers at both Xanadu Industries and Utopia Industries. Xanadu Industries is seeking a competitive advantage over Utopia Industries. Richard, the manager put in charge of devising a strategy to meet this end, suggests lowering employee wages. This leads to a grave conflict between Richard and the labor union. Which of the following, if true, would suggest that the labor union will accept Richard's suggestion to lower the wages?
A) As they make a large number of precision instruments, caliper manufacturers receive huge volume discounts on raw materials.
B) Utopia Industries recently set up a new manufacturing facility in the vicinity.
C) Xanadu Industries has taken away 20 percent of Utopia Industries' business over the last year.
D) Utopia Industries pays its employees, on average, 10 percent more than does Xanadu Industries.
E) Many people who work for manufacturing plants live in areas in which the manufacturing plant is the only source of employment.
Answer: E) Many people who work for manufacturing plants live in areas in which the manufacturing plant is the only source of employment.
Explanation:
The scenario that'll make the labor union accept Richard's suggestion to lower the wages is when many people who work for manufacturing plants live in areas in which the manufacturing plant is the only source of employment.
The reduction in wages by Xanadu Industries wouldn't bring about loss.of workers as the manufacturing plant is the only industry in the area. Another way the company can reduce cost is through the reduction in its raw materials cost. If the employees aren't satisfied due to the reduction in wages, they can look for employment at Utopia Industry.
Therefore, the correct option is E.
______ is a payment by a firm to a hostile party for the firm's stock at a premium, made when the firm's management feels that the hostile party is about to make a tender offer.
g south korea's comparative advantage in cellular technology can be attributed to:climate.factor endowments.exchange rates.technology.
out of the options provided in the following question, South Korea's comparative advantage in cellular technology can be primarily attributed to (6.) technology.
South Korea has a highly skilled workforce and has made significant investments in research and development (R&D) over the years, particularly in the area of information and communication technology (ICT). This has allowed the country to develop and maintain a competitive edge in the cellular technology industry.
While factors such as climate and factor endowments (e.g. availability of natural resources) can play a role in a country's economic development, they are less relevant in the case of South Korea's success in cellular technology. Similarly, exchange rates may impact a country's international trade and competitiveness, but they are not a primary factor in South Korea's success in cellular technology.
For more such questions on Cellular Advantage.
https://brainly.com/question/28960620
#SPJ4
Banks buy and sell foreign currency to provide their customers with the ability to:
Banks offer foreign currency exchange services to facilitate their customers' needs for international transactions. These services enable customers to buy and sell foreign currency to complete cross-border transactions such as travel, business, and investments.
Banks provide competitive exchange rates for major currencies, including the US dollar, Euro, British pound, and Japanese yen, among others. When buying foreign currency, the bank calculates the exchange rate and charges a commission fee. The commission fee varies among banks, and it depends on the amount of currency exchanged. Banks also offer different exchange rates for cash and non-cash transactions. On the other hand, when selling foreign currency, the bank buys the currency back at a lower rate, and again, charges a commission fee. Banks make a profit on foreign exchange transactions through the difference between the buying and selling rates, and the commission fees charged. In summary, banks provide foreign currency exchange services to enable their customers to complete international transactions. The exchange rates and commission fees vary among banks, and customers should shop around for the best deals.
Learn more about foreign currency here:
https://brainly.com/question/15874744
#SPJ11
Briefly explain the laws that apply to the promotion of this product/service.
Explanation:
Product promotion is the act of advertising a good or service with the goal of increasing sales. Many companies use different techniques to promote their products through a vast array of communication media.
If someone stole from you ... and you stole it back ... would you technically still be stealing it ? .
if time=money is an ATM a time machine . (0¿0)
Answer:
yes that would still be stealing unless you where taking back what they stole from you but if you take a random thing that wasn't yours to begin with that would be stealing
Answer:
No you are simply taking back what was yours however, like Charleheighstidham, said if you take something of theirs then you are stealing
Time is abstract money not literal money so no to that but it would be awesome if atm machines were time machines
Explanation:
What is the relationship between consumers and producers in economics?
Answer:
the consumers create demand for goods and services when prices are high consumers buy less. when prices are lower consumers buy more. producers make and sell what the consumers want.
Explanation:
hope this helps :)
You have decided to pursue a career in nursing. You are willing to relocate based on salary differences. The states you are willing to relocate to have the following average hourly wages: NY = $33.55, MA = $33.37, CA = $31.54, and FL $24.58. What is the mean salary for these options?
Your answer :
The mean of salary for these options is $30.76\
hope I helped. :)
How can we apply accounting and bookkeeping in our daily lives?
Tim Horton wants to raise funds to open a branch of their coffee shop in Trinidad. To raise the funds, Tim Horton would sell bonds 100 $1,000 par value with a coupon interest rate of 6%. The bonds would mature in 15 years and interest would be paid semi-annually. The required rate of return is expected to be 8%.
Requirement:
a) Calculate the value of one bond
b) What is the total amount Tim Horton would raise if all bonds were sold?
Answer:
a) The value of one bond is $837.08.
b) The total amount Tim Horton would raise if all bonds were sold is $83,708.
Explanation:
a) Calculate the value of one bond
This can be calculated as follows:
Annual coupon = Bond face value * Coupon interest rate = $1,000 * 6% = $60
Annual coupon discount factor = ((1 - (1 / (1 + r))^n) / r) .......... (1)
Where;
r = required semi-annual rate of return = required annual rate of return / number of semi-annual in a year = 8% / 2 = 0.08 / 2 = 0.04
n = number of semi-annuals = number of years * number of semi-annual in a year = 15 * 2 = 30
Substituting the values into equation (1), we have:
Semi-annual coupon discount factor = ((1-(1/(1 + 0.04))^30) / 0.04) = 17.2920333006645
Present value of coupon = ((Annual coupon / number of semi-annual in a year) * Semi-annual coupon discount factor) = (($60 / 2) * 17.2920333006645 = $528.76
Present value of the face value of the bond = Face value of the bond / (1 + r)^n = ($1,000 / (1 + 0.04)^30 = $308.32
Therefore, we have:
Bond value = Present value of coupon + Present value of the face value of the bond = $528.76 + $308.32 = $837.08
Therefore, the value of one bond is $837.08.
b) What is the total amount Tim Horton would raise if all bonds were sold?
Number of bonds expected to be sold = 100
Value of one bond = $837.08
Total amount that would be raised = Number of bonds expected to be sold * Value of one bond = 100 * $837.08 = $83,708
Therefore, the total amount Tim Horton would raise if all bonds were sold is $83,708.
FIRST ANSWER WILL BE NAMED BRAINLIEST
Which action would effectively and appropriately address a budget deficit?
A. reduce income
B. reduce expenses
C. apply for bankruptcy
D. apply for new credit
Answer:
It is letter B
Explanation:
Reducing expenses would effectively and appropriately address a budget deficit. Thus option B is correct.
What is the budget?A budget is a financial plan that projects future earnings and costs. A budget, put simply, forecasts future finances in addition to anticipated revenues and expenditures. Calculating the company's earnings and costs for a set period of time is the procedure for creating a budget.
Increasing tax rates while decreasing government expenditures are the two apparent ways to minimize a budget deficit. the reduction of government spending and/or the raising of taxes, which results in either a rise in the primary surplus or a decrease in the budget deficit. greater taxes and less funding by the government. If public spending is lower than tax receipts, a budget surplus results.
Therefore, option B is the correct option.
Learn more about budget, Here:
https://brainly.com/question/15683430
#SPJ2
Elizabeth works for a local restaurant. At the end of her shift, she is required
to write in the time that she arrived and the time she is leaving so that she
can be paid appropriately. Today Elizabeth was 15 minutes late for work.
What would be the most ethical thing for Elizabeth to do?
The most ethical thing for Elizabeth to do is write down the actual time she arrived and the actual time she finished.
What is a Ethical values?A Ethical values are personal or business values that guide the way through which it is done while in compliance with laws and regulations.
Hence, in this case, the most ethical thing for Elizabeth to do is write down the actual time she arrived and the actual time she finished.
Therefore, the Option A is correct.
Read more about Ethical values
brainly.com/question/21136969
Alpha and Beta Companies can borrow for a five-year term at the following rates: Moody's credit rating Fixed-rate borrowing cost Floating-rate borrowing cost Alpha Aa 12. 1% LIBOR Beta Baa 15. 2% LIBOR + 1% i. Calculate the quality spread differential (QSD). Ii. Develop an interest rate swap in which both Alpha and Beta have an equal cost savings in their borrowing costs. Assume Alpha desires floating-rate debt and Beta desires fixed-rate debt. No swap bank is involved in this transaction
The quality spread differential (QSD) is the difference in borrowing costs between two companies with different credit ratings. In this case, the QSD between Alpha and Beta is the difference between the fixed-rate borrowing costs for Alpha (12.1%) and Beta (15.2%), which is 3.1%.
QSD = Fixed-rate borrowing cost for Beta - Fixed-rate borrowing cost for Alpha QSD = 15.2% - 12.1% QSD = 3.1%
To develop an interest rate swap in which both Alpha and Beta have an equal cost savings in their borrowing costs, Alpha will need to pay the fixed-rate borrowing cost for Beta (15.2%) and Beta will need to pay the floating`-rate borrowing cost for Alpha (LIBOR).
Assuming a notional principal amount of $10 million, the swap will work as follows:
Alpha borrows $10 million at LIBOR and pays Beta 15.2% fixed-rate interest. Beta borrows $10 million at 15.2% fixed-rate and pays Alpha LIBOR floating-rate interest. The net effect of the swap is that Alpha will have achieved a fixed-rate borrowing cost of 15.2%, which is a cost savings of 3.1% compared to their initial fixed-rate borrowing cost of 12.1%. Likewise, Beta will have achieved a floating-rate borrowing cost of LIBOR, which is a cost savings of 1% compared to their initial floating-rate borrowing cost of LIBOR + 1%.
This swap allows both companies to achieve their desired borrowing structures while also achieving equal cost savings. No swap bank is involved, so both companies are directly entering into the swap agreement with each other.
Therefore, quality spread differential (QSD) is 3.1%.
Learn more about quality spread differential (QSD), here:
https://brainly.com/question/31531836
#SPJ1
Identify the problem by analyzing the given scenario. An IT software company is losing market share because it fails to launch new products in a timely manner. Decisions are centralized at the top, and employees have little or no voice. One way to solve this problem is to use teams to eliminate ____ in the company.
Explanation:
to eliminate their best efforts in the company
Answer:
"bureaucratic barriers"
Explanation:
i got it right on plato
suppose the interest rate​ (and therefore the yield to​ maturity) by the same amount on treasury bills and bonds. between a​ one-year treasury​ bill, and a​ twenty-year treasury​ bond, an investor would prefer a
An investor would prefer a one-year Treasury bill over a twenty-year Treasury bond if the interest rate (and yield to maturity) increase by the same amount on both.
When interest rates rise, bond prices decrease, and longer-term bonds are more sensitive to interest rate changes compared to shorter-term bonds. Therefore, if the interest rate increases by the same amount on both the one-year Treasury bill and the twenty-year Treasury bond, the bond's price will be affected more, resulting in a greater decline in the value of the twenty-year bond compared to the one-year Treasury bill.
For example, if the interest rate rises by 1%, the price of the twenty-year Treasury bond will decrease by a larger percentage compared to the one-year Treasury bill. This is because the twenty-year bond has a longer duration and more years of coupon payments, which are discounted at the higher interest rate.
Given the same increase in interest rates, an investor would prefer a one-year Treasury bill over a twenty-year Treasury bond because the shorter-term bill is less affected by interest rate changes, preserving its value better compared to the longer-term bond.
To know more about interest rate , visit:- brainly.com/question/28236069
#SPJ11
"The key to success is to focus our conscious mind and things we desire not things we fear."
by brian tracy
Answer:
The key to success is to focus our conscious mind on things we desire not things we fear.
Explanation:
its quite amazing
Employees tend to stay with one company for their entire careers.
Please select the best answer from the choices provided
OTrue
OFalse
Answer:The answer would be true, unless the employee had to leave for personal reasons
Explanation:
collecting information from secondary sources such as business, government, trade, and general-interest publications plays an important role in?
Collecting information from secondary sources such as business, government, trade, and general-interest publications plays an important role in Environmental scanning.
A company is a legitimate entity that exists independently of its owners. Many of the same legal rights and obligations that apply to individuals also apply to businesses. They have legal authority to make agreements, lend and borrow money, file lawsuits, hire staff, possess property, and pay taxes.
Media are the channels of communication or the means of storing and disseminating data. The phrase applies to areas of the mass media communications sector such print media, publishing, the news media, photography, film, radio, and advertising.
To know more about collecting information CLICK HERE
https://brainly.com/question/28198171
#SPJ4