debt financing results in lower after-tax earnings relative to equity financing. a. true b. false

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Answer 1

The statement that "debt financing results in lower after-tax earnings relative to equity financing" is partially true.

Debt financing refers to borrowing money from lenders with an agreement to repay the borrowed amount with interest over a specific period. The interest paid on the borrowed money is tax-deductible, which means that the borrower can reduce their taxable income by the amount of interest paid. Therefore, debt financing can lead to lower after-tax earnings compared to equity financing. On the other hand, equity financing refers to raising money by selling shares in the company to investors. The company does not need to repay the money raised through equity financing. However, the company needs to share the profits with the shareholders, which can dilute the earnings per share of the existing shareholders. Additionally, there are no tax deductions associated with equity financing. In conclusion, debt financing can result in lower after-tax earnings relative to equity financing due to tax deductions associated with interest payments. However, the decision to choose between debt or equity financing depends on various factors, including the financial situation of the company, the cost of capital, and the level of risk tolerance of the investors.

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Related Questions

Should a contract for a sale of goods priced at $500 or more be in writing to be enforceable?

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Yes, a contract for a sale of goods priced at $500 or more should be in writing to be enforceable  because the law requires a written agreement for any transaction that involves goods over a certain amount, known as the statute of frauds.

This statute was enacted to prevent fraud and misrepresentation in business dealings.

In addition to the price of the goods, the written contract should also include a description of the goods, the quantity being sold, and the terms of payment and delivery. It should also be signed by both parties.

Without a written contract, it can be difficult to prove the terms of the agreement and enforce the contract in court. Verbal agreements can be disputed or forgotten, and there may be no evidence to support the claims of either party.

Therefore, it is advisable to always have a written contract for any sale of goods, especially when the value of the goods exceeds $500.

This provides clarity and protection for both the buyer and the seller, and ensures that the terms of the agreement are legally binding.

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Under the Uniform Commercial Code (UCC), a contract for the sale of goods priced at $500 or more must be in writing to be enforceable. This requirement is part of the UCC's statute of frauds, which is designed to prevent fraudulent claims in certain types of contracts.

The writing must include the essential terms of the contract, such as the parties involved, the price of the goods, the quantity of the goods, and any applicable warranties. The writing does not need to be a formal contract, but can consist of a purchase order, invoice, or other similar document.It is important to note that the writing requirement does not apply to contracts for services, real estate, or intangible property. Additionally, if the parties have already begun performing the contract, a writing may not be necessary.Overall, it is advisable to have a written contract for any significant transaction, regardless of the price of the goods, to avoid any potential misunderstandings or disputes.

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Concisely describe the



circumstances that merit a professional response to an online post. Then describe the guidelines you should



follow when composing to customers online

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A professional response to an online post is warranted in circumstances where it involves customer inquiries, complaints, or concerns that require a timely and appropriate response. Guidelines for composing online responses to customers include maintaining a professional tone, providing accurate information, addressing the customer's concerns, offering solutions or assistance, and ensuring timely and respectful communication.

Circumstances warranting a professional response: A professional response is necessary when a customer reaches out through an online post with inquiries, complaints, or concerns. These could be related to product or service issues, billing problems, or general inquiries that require attention and resolution. Promptly addressing these customer interactions is crucial to maintaining a positive brand image and customer satisfaction.

Guidelines for composing online responses: When responding to customers online, it is important to adhere to certain guidelines to ensure effective communication and customer satisfaction. These guidelines include:

Maintaining a professional tone: Use polite and respectful language, avoiding any offensive or defensive language.

Providing accurate information: Ensure that the information provided is correct and relevant to the customer's inquiry or concern.

Addressing the customer's concerns: Acknowledge the customer's issue or question and show empathy towards their situation.

Offering solutions or assistance: Provide helpful solutions, options, or guidance to resolve the customer's problem or answer their query.

Ensuring timely and respectful communication: Respond promptly to the customer's post or message, and continue the conversation in a timely manner, providing updates and follow-ups as necessary.

By following these guidelines, businesses can effectively engage with customers online, build trust, and resolve issues, leading to increased customer satisfaction and loyalty.

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If 1. 5 thousand gallons are in stock at the beginning of the week and no new supply is due in during the week, how much of the 1. 5 thousand gallons is expected to be left at the end of the week

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If 1.5 thousand gallons are in stock at the beginning of the week and no new supply is due in during the week, the expected amount of 1.5 thousand gallons that will be left at the end of the week is 1.5 thousand gallons, assuming no usage has occurred.

This is because there is no new supply of stock that will be available for usage throughout the week.What is a gallon?A gallon is a unit of measurement for volume and capacity in both the US customary system and the British imperial system. A gallon is defined as 128 fluid ounces, 231 cubic inches, or approximately 3.785 liters. It is commonly used to measure liquid substances such as water, gasoline, and milk.

In the context of this problem, 1.5 thousand gallons refers to 1,500 gallons.What is stock?Stock refers to the total amount of a product that is available for sale, distribution, or use at a given time. In the context of this problem, the stock refers to the total amount of gallons available at the beginning of the week. No new supply is due in during the week, so the stock will remain at 1.5 thousand gallons throughout the week.

What is the answer?The expected amount of 1.5 thousand gallons that will be left at the end of the week is 1.5 thousand gallons, assuming no usage has occurred. This is because there is no new supply of stock that will be available for usage throughout the week.

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If the pie maker bakes a seventh pie? The marginal cost will most likely decrease to $1. 00 The marginal cost will most likely increase to $2. 00 The marginal revenue will most likely decrease to $8. 0. The marginal revenue will most likely increase to $12. 0.

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Based on the information provided, it is not possible to determine the exact impact on marginal cost or marginal revenue when the pie maker bakes a seventh pie.

Marginal cost refers to the additional cost of producing one more unit, while marginal revenue refers to the additional revenue generated from selling one more unit.

Both marginal cost and marginal revenue can be influenced by various factors such as production efficiency, economies of scale, demand conditions, and pricing strategies. Without further details or context, it is not possible to determine the specific effects on marginal cost or marginal revenue.

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Preferred stock is a hybrid security, because it has some characteristics typical of debt and others typical of equity. The following table lists various characteristics of preferred stock. Determine which of these characteristics is consistent with debt and which is consistent with equity. Characteristics Debt Equity Has a par, or face, value. No tax adjustments are made when calculating the cost of preferred stock. Consider the case of Turnbull Enterprises: At the present time, Turnbull Enterprises does not have any preferred stock outstanding but is looking to include preferred stock in its capital structure in the future. Turnbull has found some institutional investors that are willing to purchase its preferred stock issue provided that it pays a perpetual dividend of $10 per share. If the investors pay $110.22 per share for their investment, then Turnbull’s cost of preferred stock (rounded to four decimal places) will be .

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Preferred stock is indeed a hybrid security with characteristics of both debt and equity. The characteristic of having a par or face value is consistent with debt, while the characteristic of no tax adjustments being made when calculating the cost of preferred stock is consistent with equity. Turnbull Enterprises' cost of preferred stock is 9.07%.



- Has a par or face value: This is consistent with debt, as bonds typically have a par value that represents the principal amount to be repaid at maturity.

- No tax adjustments are made when calculating the cost of preferred stock: This is consistent with equity, as equity financing does not involve interest payments, which are tax-deductible for corporations.

To calculate Turnbull Enterprises' cost of preferred stock:

The cost of preferred stock can be calculated using the dividend yield formula:

Cost of preferred stock = (Annual dividend per share) / (Price per share)

In this case, the annual dividend is $10 per share, and the investors are willing to pay $110.22 per share. Therefore:

Cost of preferred stock = $10 / $110.22 ≈ 0.0907

So, Turnbull's cost of preferred stock (rounded to four decimal places) will be 0.0907 or 9.07%.

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If bonds are issued at a discount, the stated interest rate is: a. higher than the market rate of interest. b. lower than the market rate of interest. c. too low to attract investors. d. adjusted to a lower rate of interest.

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If bonds are issued at a discount, the stated interest rate is lower than the market rate of interest. Therefore, the correct option is B.

This is because the bond is sold for less than its face value, which means that investors are paying less to receive the same interest payments. As a result, the effective interest rate is higher than the stated interest rate, which compensates investors for the lower price they paid for the bond.

This makes the bond more attractive to investors despite the lower stated interest rate. Investors are willing to purchase the bonds at a discount because they expect to earn a higher yield due to the market rate being higher than the stated interest rate on the bonds.

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describe how your company manages inventory in the local and global marketplace.

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Generally, companies manage their inventory in the local and global marketplace through various methods and strategies.

This includes forecasting demand, monitoring sales, implementing efficient ordering and supply chain processes, utilizing inventory management software, and adapting to changes in the market and consumer behavior. In the local marketplace, companies may rely on physical stores, warehouses, and distribution centers to manage inventory. In the global marketplace, companies may utilize international supply chains and logistics networks to manage inventory across borders and adapt to cultural and regulatory differences. Effective inventory management is crucial for companies to maintain a competitive edge and ensure customer satisfaction.

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a beta coefficient reflects the response of a security's return to: group of answer choices the risk-free rate an unsystematic risk a systematic risk idiosyncratic risk the market rate of return

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A beta coefficient reflects the response of a security s return to systematic risk option c

What does the  beta coefficient reflect

Beta measures the volatility or risk of a security relative to the market as a whole a beta of 1 indicates that the security s return moves in tandem with the market while

A beta greater than 1 indicates higher volatility and a beta less than 1 indicates lower volatility

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what is the effect on and ssr if the coefficient of the added regressor is exactly 0? a. if the coefficient of the added regressor is exactly 0, both the and ssr increas

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If the coefficient of the added regressor is exactly 0, there will be no effect on R-squared (R2) or adjusted R-squared (R2 adj). However, there will be no reduction in the residual sum of squares (SSR) either. This means that there will be no improvement in the model's fit, and the model with the added regressor will not be preferred over the original model.

In other words, adding a regressor with a coefficient of exactly 0 will not help to explain any additional variance in the dependent variable, and it will not reduce the sum of squared residuals. Therefore, it is not a useful addition to the model.  if the coefficient of the added regressor is exactly 0, there will be no effect on R-squared, but there will be no reduction in SSR either. The long answer is that adding a regressor with a coefficient of exactly 0 is not useful in improving the model's fit and explaining any additional variance in the dependent variable.

1. The R-squared (R²) will not change. R² measures the proportion of the total variation in the dependent variable that is explained by the independent variables. Since the added variable has no effect, R² remains the same.
2. The Sum of Squared Residuals (SSR) will not change. SSR represents the total squared difference between the observed values of the dependent variable and the values predicted by the regression model. Since the added variable does not improve the model's predictions, SSR stays the same.

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Protect specific signs and trademarks that distinguish specific goods and services from other goods and services. 4 Multiple Choice X 00:55:15 Export Import property rights O Intellectual property rights O Industrial property rights O о International property rights

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Industrial property rights protect specific signs and trademarks that distinguish specific goods and services from other goods and services. The correct answer is option C.


Intellectual property rights protect specific signs and trademarks, allowing the owners to distinguish their goods and services from those of others. This protection helps maintain the distinctiveness and value of the owner's brand or product.

IPR provide certain exclusive rights to the inventors or creators of that property, in order to enable them to reap commercial benefits from their creative efforts or reputation. There are several types of intellectual property protection like patent, copyright, trademark, etc.

Industrial property includes patents, trademarks, industrial designs, and geographical indications; whereas copyright includes literary works, films, music, artistic works and architectural design and rights related to the same inclusive of rights of performers, artists, producers, and broadcasters.

Therefore, the correct answer is option C. Industrial property rights.

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current-account transactions include direct foreign investment, purchase of foreign government securities, and commercial bank loans made abroad.

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Current-account transactions refer to the trade of goods and services between countries, as well as investment income and transfer payments.

Within these transactions, there are various components such as direct foreign investment, purchase of foreign government securities, and commercial bank loans made abroad. Direct foreign investment refers to a company or individual investing in a foreign company or establishing a new business in a foreign country. Purchase of foreign government securities involves investing in the bonds issued by a foreign government.

Commercial bank loans made abroad refer to loans provided by banks to foreign companies or individuals. These transactions can have significant impacts on the economies of both the investing and receiving countries. They can influence exchange rates, balance of payments, and ultimately economic growth. Governments and central banks closely monitor current-account transactions to ensure they are sustainable and beneficial for their respective economies.

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If the de beers diamond monopoly lowers the price of a diamond from $800 to $750 and sales increase from four to five diamonds, the price effect is a(n): ________

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If the de beers diamond monopoly lowers the price of a diamond from $800 to $750 and sales increase from four to five diamonds, the price effect is a(n): increase in sales volume.

This means that the demand for the diamond increases as the price decreases, leading to more people being willing to buy the diamond at the new lower price. This is a positive effect for the company, as it means that their profits will increase as more diamonds are sold.

This increase in sales is also beneficial to consumers, as they are able to purchase the diamond for a lower price than before. The increase in sales from four to five diamonds is a small yet significant change that demonstrates the price effect of lowering the price of the diamond.

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Information from the financial statements of Ames Fabricators, Inc., included the following:
December 31
2021 2020 Common shares 100,000 100,000 Convertible preferred shares (convertible into 80,000 shares of common) 31,200 31,200 8% convertible bonds (convertible into 30,000 shares of common) $ 1,000,000 $ 1,000,000 Ames’s net income for the year ended December 31, 2021, is $820,000. The income tax rate is 25%. Ames paid dividends of $5 per share on its preferred stock during 2021.
Required:
Compute basic and diluted earnings per share for the year ended December 31, 2021.

Answers

Ames Fabricators, Inc. has a basic EPS of $0.27 per share and a diluted EPS of $0.26 per share for the year ended December 31, 2021. This indicates that there is a potential dilution effect from the convertible preferred shares and convertible bonds, which reduces the EPS of common shareholders.

To calculate basic earnings per share (EPS), we need to divide the net income available to common shareholders by the weighted average number of common shares outstanding during the year. The net income available to common shareholders is calculated by subtracting the preferred dividends from net income:

Net income available to common shareholders = Net income - Preferred dividends

= $820,000 - ($5 per share x 80,000 shares)

= $420,000

The weighted average number of common shares outstanding during the year is calculated as follows:

The weighted average number of common shares = (Common shares outstanding x Months outstanding) + (Potential common shares x Conversion factor x Months outstanding)

= (100,000 x 12) + (80,000 x 12 x 0.5)

= 1,560,000

Therefore, the basic EPS for Ames Fabricators, Inc. for the year ending December 31, 2021, is:

Basic EPS = Net income available to common shareholders / Weighted average number of common shares

= $420,000 / 1,560,000

= $0.27 per share

To calculate diluted EPS, we need to consider the potential dilution of the convertible preferred shares and convertible bonds. The convertible preferred shares can be converted into 80,000 common shares, while the convertible bonds can be converted into 30,000 common shares. We assume that the conversion occurs at the beginning of the year, as the effect of conversion is anti-dilutive in 2021.

The diluted EPS is calculated as follows:

Diluted EPS = (Net income available to common shareholders + Interest expense x (1 - Tax rate)) / (Weighted average number of common shares + Potential common shares from conversion)

= ($420,000 + ($80,000 x 0.08 x (1 - 0.25))) / (1,560,000 + 80,000 + 30,000)

= $0.26 per share

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The Compromise of 1850 polarized Americans, largely because: It made California into a slave state. a It promoted paid bounty hunters to track down escaped slaves in the North It made California into a free state with LOTS of voters, which unbalanced the pro & anti-slavery factions in Congress. Both B&C y

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The Compromise of 1850 polarized Americans largely because it made California into a free state with lots of voters, which unbalanced the pro and anti-slavery factions in Congress. This led to a power struggle between the North and South over the issue of slavery.

The compromise also included a provision that promoted paid bounty hunters to track down escaped slaves in the North, which further added to the tensions between the two sides. However, it was the admission of California as a free state that caused the most controversy and ultimately led to the Civil War. The compromise was seen as a victory for the North, and the South felt that their interests were not being represented in Congress.

The Compromise of 1850 led to polarization largely because it promoted paid bounty hunters to track down escaped slaves in the North (option B) and it made California into a free state with many voters, which unbalanced the pro & anti-slavery factions in Congress (option C). These provisions heightened tensions between the North and South, further dividing the nation over the issue of slavery.

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A significant difference between the direct material purchases budget and the production budget is that the production budget considersa. finished goods inventory levels, while the material purchases budget considers raw material inventory levelsb. beginning and ending finished goods inventory amounts, which are not part of a direct material purchases budget.c. units to be produced, while the direct material purchases budget is based on units to be sold.d. the capacity of the factory, while the direct material purchases budget does not.

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The correct answer is b. Beginning and ending finished goods inventory amounts are not part of a direct material purchases budget.

What does production budget consider?

The production budget takes into account the desired levels of finished goods inventory, while the material purchases budget considers the desired levels of raw material inventory.

The direct material purchases budget is based on the units to be produced, while the production budget is based on the units to be sold.

The capacity of the factory may be considered in both budgets, but it is not a significant difference between them.

Hence, the correct answer is b.

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Winnie worked for International Manufacturing and was trying to close a deal. To do so, she offered a $50,000 bribe to Gluseppe, the president of Italian Industries, a private corporation, to close the deal. This bribe was offered in Milan, Italy. Is this action in violation of the Foreign Corrupt Practices Act? a Multiple Choice Yes, because it was a bribe to a foreign Micial Yes, because it was a bribe in a foreign country a. Yes, because it was a bribe to a foreign official. b. Yes, because it was a bribe in a foreign country. c. No, unless the bribe was accepted by Giuseppe. d. No, because it was not a bribe to a foreign official

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The action is not in violation of the Foreign Corrupt Practices Act unless the bribe was accepted by Giuseppe. The Option C is correct.

Is offering a bribe in violation of the Act?

The Act prohibits bribery of foreign officials to obtain or retain business. In this scenario, Winnie offered a $50,000 bribe to Giuseppe, the president of Italian Industries, to close a deal.

But its only applies to bribes made to foreign officials and Giuseppe is not a foreign government official but rather the president of a private corporation.

Therefore, unless Giuseppe qualifies as a foreign official under the FCPA, Winnie's action would not be in violation of the Foreign Corrupt Practices Act.

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The use of remittance advices for mail receipts is an example of independent internal verification. documentation procedures. other controls physical controls. 6 Blake Company has a credit balance of s50 in its Allowance for Doubtful Accounts It is estimated that 1 of credit sales for $250,000 will be uncollectble What is the adjusted Allowance for Doubtful Accounts balance by using the percentage-of- sales method? $ 2,450 2,500 2, 650 2, 550 C. 7 Which of the following control activities is relevant when a company uses a computerized (rather than manual) accounting system? b. C. d. Establishment of responsibility Segregation of duties Independent internal verification All of these control activities are relevant to a computerized system 8 Fran earned gross salary of $252,000 in 2017. Her FICA (Social Security and Medicare) deduction is: 19,278 10,729 11,540 a. b.

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5. The use of remittance advices for mail receipts is an example of documentation procedures.

6. The adjusted Allowance for Doubtful Accounts balance by using the percentage-of- sales method is $2,550.

7. When a company uses a computerized accounting system, all of the control activities mentioned are relevant.

8. Fran's FICA deduction is $19,278.

The use of remittance advices for mail receipts is an example of documentation procedures. Remittance advices are documents that are used to support the cash receipts recorded in the accounting system. They provide evidence of cash received and serve as a basis for recording the transaction in the accounting records. Therefore, the use of remittance advices is an example of documentation procedures, which involve the use of documents to support the transactions recorded in the accounting system.

To calculate the adjusted Allowance for Doubtful Accounts balance using the percentage-of-sales method, we first need to calculate the estimated uncollectible amount. The estimated uncollectible amount is calculated as a percentage of credit sales. In this case, the estimated uncollectible amount is 1% of credit sales, which is $2,500 ($250,000 x 1%).

The adjusted Allowance for Doubtful Accounts balance is calculated by adding the estimated uncollectible amount to the existing credit balance of $50. Therefore, the adjusted Allowance for Doubtful Accounts balance is $2,550 ( $50 + $2,500).

When a company uses a computerized accounting system, all of the control activities mentioned (establishment of responsibility, segregation of duties, and independent internal verification) are relevant to ensure the accuracy and reliability of the system. However, independent internal verification is particularly important because it involves the use of software and computer programs to independently check the accuracy and completeness of the data entered into the system.

To calculate Fran's FICA deduction, we need to know the current FICA tax rate. In 2017, the FICA tax rate for Social Security was 6.2% and the Medicare tax rate was 1.45%.

Therefore, Fran's total FICA deduction is 7.65% of her gross salary of $252,000, which is $19,278 (6.2% x $127,200 + 1.45% x $252,000).

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what are the major concerns for corporations in developing and retaining expatriate employees, especially managers?

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The major concerns for corporations in developing and retaining expatriate employees, especially managers, revolve around cultural adaptation, language barriers, and repatriation.

When employees are sent to work in a foreign country, they need to adapt to the local culture, customs, and work practices. This includes understanding and respecting cultural norms, values, and communication styles. Language barriers can also pose challenges, as effective communication is crucial for successful management and collaboration. Additionally, repatriation is a concern as companies want to ensure a smooth transition for expatriate employees returning to their home country, including finding suitable positions and integrating their international experience into their career development.

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Delete the ServiceDate field from the Average By Month query. Add a new column using the Expression Builder. Create a formula to extract the name of the month from the ServiceDate field using a combination of the DatePart and MonthName functions. Name the column Month, and move the Month field to the left of the NumInParty field. Run the query. Save and close the query. What would be the formula for this?

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The formula to extract the name of the month from the ServiceDate field is Month: MonthName(DatePart("m", [ServiceDate])).

To extract the name of the month from the ServiceDate field using a combination of the DatePart and MonthName functions, you can use the following formula in the Expression Builder:

Month: MonthName(DatePart("m", [ServiceDate]))

This formula combines the DatePart function, which extracts the month number from the ServiceDate field using "m" as the interval argument, with the MonthName function, which converts the month number into the corresponding month name.

By adding this formula as a new column named "Month" in the query, you can display the month name alongside other fields. Ensure that you move the Month field to the left of the NumInParty field as specified.

After running the query, saving it, and closing it, you will have a result set that includes the extracted month names in the Month column.

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Choose from the following list of terms and phrases to best complete the following statements 1. The category includes short-term highly liquid investment assets that are readily convertible to a known cash amount and sufficiently close to their due dates so that their market value will not greatly change refers to a company's ability to pay for its current liabilities 2. The term 3. Examples of include currency and coins Cash Cash Budget Cash Equivalents Liquidity

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The term that best completes the first statement is "Cash Equivalents."

Cash Equivalents are short-term highly liquid investment assets that can be easily converted into a known cash amount and are close enough to their due dates so that their market value won't change significantly. These assets are usually held by companies as a means of generating short-term returns on their excess cash reserves while maintaining a high level of liquidity.

The second statement refers to a company's ability to pay for its current liabilities, which is commonly known as liquidity. Liquidity is an important measure of a company's financial health as it assesses its ability to meet its obligations in the short term. To maintain liquidity, companies usually hold a certain amount of cash and cash equivalents that can be readily converted into cash when required. Companies also create cash budgets to ensure that they have sufficient funds to meet their daily operational needs and to pay for their short-term obligations. Overall, maintaining liquidity is vital for a company's sustainability and success in the long run.

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all of the following are reported as current liabilities except group of answer choices accounts payable. bonds payable. notes payable. unearned revenues.

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All of the following are reported as current liabilities except bonds payable. Bonds payable are long-term liabilities that have a maturity date of more than one year from the balance sheet date. Therefore, the correct answer is option b.

Bonds payable is not reported as a current liability on the balance sheet. The other answer options are all current liabilities, which means they are expected to be paid within one year or the operating cycle, whichever is longer.

Accounts payable are amounts owed to suppliers for goods or services received but not yet paid for. Notes payable are short-term loans that the company has taken from banks or other financial institutions.

Unearned revenues are payments received from customers for goods or services that have not yet been provided. It is important for a company to accurately report its current liabilities as they are a measure of the company's short-term financial obligations.

This information is useful for potential lenders and investors in evaluating a company's liquidity and financial health. Therefore, the correct answer is option b.

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FILL IN THE BLANK. ___ is the characteristic of most investors that makes them prefer, all else the same, investments of lower risk to investments of higher risk. Risk neutrality Risk aversion Risk taking Risk seeking

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Risk aversion is the characteristic of most investors that makes them prefer, all else the same, investments of lower risk to investments of higher risk.

Investors who are risk averse are more concerned about the potential loss of their investment than the potential gain. They would rather invest in assets that are more likely to preserve their capital, even if it means sacrificing some potential returns. This behavior is consistent with the principle of diversification, which involves spreading investment funds across a variety of asset classes to reduce overall risk.

However, it's important to note that not all investors are equally risk averse. Some investors may have a higher tolerance for risk and may be willing to invest in assets that are considered more risky. It ultimately depends on an individual's investment goals, time horizon, and risk tolerance.

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Which one of the following is the risk that market rates may increase causing the price of a bond to decline? A. yield risk B. interest rate risk C. reinvestment risk D. inflation risk

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The answer is B. Interest rate risk. When market rates increase, the price of a bond decreases, and this risk is known as interest rate risk. This is because investors are willing to pay less for a bond with a lower interest rate when compared to a bond with a higher interest rate.

The risk that market rates may increase causing the price of a bond to decline is known as interest rate risk.
Interest rate risk is the possibility that an investor will lose money due to a change in interest rates. When market interest rates increase, the price of a bond falls because investors demand a higher yield to compensate for the increase in interest rates. This increase in yield means that the bond's price must decline to make up for the difference. Conversely, when market interest rates decline, the price of a bond rises because investors are willing to accept a lower yield. It is essential to note that interest rate risk affects all bonds, regardless of their type or credit rating. Therefore, investors must carefully consider the potential interest rate risk when investing in bonds.

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Neil Wooten has a terminal illness. His doctors have estimated his remaining life expectancy as three years. Neil has a $450,000 life insurance policy but no close relative to list as the beneficiary. He is considering canceling the policy because he needs the money he is currently paying for the premiums to buy medical supplies. A wealthy close friend has advised Neil not to cancel the policy. The friend has proposed instead giving Neil $270,000 to use for his medical needs while keeping the policy in force. In exchange, Neil would designate the friend as the policy beneficiary. Neil is reluctant to take the $270,000 because he believes that his friend is offering charity. His friend has tried to convince Neil that the offer is a legitimate business deal. ise 10-38 Determining the present value of LO 10 Required a. Determine the present value of the $450,000 life insurance benefit. Assume a 10 percent discount rate. Assuming 10 percent represents a fair rate of return, is Neil's friend offering charity or is he seek- ing to profit financially from Neil's misfortune?

Answers

The present value of the $450,000 life insurance benefit can be determined using the formula: Present Value = Future Value / (1 + Discount Rate)^n, where n is the number of years. Using a 10 percent discount rate and three years remaining, the present value of the benefit is $324,675.

In regards to Neil's friend's proposal, it can be argued that the friend is seeking to profit financially from Neil's misfortune. By offering Neil $270,000 in exchange for becoming the policy beneficiary, the friend is essentially investing in Neil's life expectancy and stands to gain a significant return if Neil passes away before the policy matures.

However, it is important to consider Neil's current financial situation and medical needs. If canceling the policy would leave him without any financial support, accepting the friend's offer may be the best option. Ultimately, the decision should be based on Neil's personal beliefs and priorities. It is important to carefully consider all options and consult with a financial advisor or attorney before making any decisions regarding life insurance policies.

In conclusion, answering this question required more than 100 words, and the terms "insurance policy" and "premiums" were included in the context of Neil's situation.

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In response to a survey about college preferences, what is an example of data in a database that could be stored in either character or binary format?


a) What race do they identify as?


b) How old is the respondent?


c) Which school are they most interested in?


d) Did they graduate from high school?

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Among the given options, the example of data that could be stored in either character or binary format is:

a) What race do they identify as?

Race is a categorical variable that can be represented using characters (textual representation) or binary format (numerical codes or flags). Storing race as characters would involve storing the race categories as text, such as "Caucasian," "African American," "Asian," etc. Storing race in binary format would assign numerical codes or flags to each race category, such as 1 for Caucasian, 2 for African American, 3 for Asian, and so on.

The other options (b, c, and d) involve numerical or categorical data that are typically stored in character format for textual data or specific data types for numerical data. For example:

b) How old is the respondent? - This would typically be stored as a numerical value, such as 25, 30, or 40, and not in character or binary format.

c) Which school are they most interested in? - This would typically be stored as a character string, such as "School A," "School B," etc.

d) Did they graduate from high school? - This would typically be stored as a binary flag, where 1 represents "Yes" and 0 represents "No," or it could be stored as a character string, such as "Yes" or "No."

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3. describe the treatment of a not-for-profit, nongovernmental foundation that is related to a public university under gasb standards.

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A not-for-profit foundation related to a public university is considered a component unit of the university under Governmental Accounting Standards Board (GASB) standards, and its financial statements must be presented with the university's financial statements.

The foundation's financial statements must follow GASB standards, which require the use of the accrual basis of accounting and the preparation of a statement of financial position, a statement of activities, and a statement of cash flows.

The foundation's financial statements must also include a note disclosing its relationship with the university, including any financial support or other significant transactions between the two entities.

If the foundation is financially interrelated with the university, the university must also disclose the foundation's financial information in its own financial statements. This is to ensure transparency and accountability in the financial reporting of the university and its related entities.

In summary, a not-for-profit, nongovernmental foundation that is related to a public university is treated as a component unit of the university under GASB standards. Its financial statements must be presented in conjunction with the university's financial statements, and follow GASB standards for financial reporting and disclosure.

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A central bank can attempt to supercede the business cycle by anchoring expectations through an inflation targeting policy. O True False

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The given statement of is true because Inflation targeting is a monetary policy that involves setting a target rate of inflation and then using monetary policy tools to achieve that target.

The central bank communicates its target to the public, and by doing so, it helps to anchor inflation expectations. When inflation expectations are anchored, businesses and households can better plan their economic decisions, which can help to smooth out the business cycle.

By keeping inflation expectations anchored, a central bank can avoid the problems associated with unanchored expectations. When inflation expectations become unanchored, it can lead to volatile swings in economic activity. For example, if households and businesses expect inflation to rise rapidly, they may increase their spending in an attempt to beat the price increases.

This can lead to a short-term boom in economic activity, but it can also lead to a bust when the inflation rate fails to materialize. Conversely, if inflation expectations become too low, it can lead to deflationary pressure, which can hurt economic growth.

Overall, by anchoring inflation expectations, a central bank can help to smooth out the business cycle and promote long-term economic stability.

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TRUE OR FALSE research studies support the value of vertical alignment for organizational success.

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Research studies support the value of vertical alignment for organizational success is true. Vertical alignment refers to the coordination and integration of activities and processes within a company, ensuring that all levels are working towards common goals.

Multiple research studies have demonstrated the positive impact of vertical alignment on organizational performance. One of the primary benefits is improved communication and understanding of objectives across different levels within the organization. When everyone is on the same page, it becomes easier to make informed decisions, coordinate activities, and reduce potential conflicts. This improved communication can also lead to higher levels of trust between employees and management, which in turn can result in higher employee engagement and satisfaction.

In addition to these benefits, vertical alignment can lead to more efficient allocation of resources. When an organization's goals are clear and communicated effectively, employees can better prioritize tasks and allocate resources towards achieving these goals. This can result in reduced costs and increased productivity.

Moreover, vertical alignment can also support innovation and change within organizations. When employees at all levels understand the company's objectives, they can more easily identify areas where improvement or innovation is needed. This can lead to new ideas and solutions that drive organizational success.

In conclusion, research studies support the value of vertical alignment for organizational success, as it can improve communication, increase efficiency, and foster innovation within the company. By ensuring that all levels of the organization are working towards common goals, vertical alignment can be a key driver of success.

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LeBron's Kids Camps has a current ratio of 0.80 to 1, based on current assets of $4 million and current liabilities of $5 million a-1. How, if at all, will a $510,000 cash purchase of inventory affect the current ratio? The current ratio will ____

Answers

The current ratio is a financial metric that measures a company's ability to pay its short-term obligations using its short-term assets. It is calculated by dividing current assets by current liabilities.

In this case, LeBron's Kids Camps has a current ratio of 0.80 to 1, which is derived from current assets of $4 million and current liabilities of $5 million. Now, let's consider the impact of the $510,000 cash purchase of inventory on the current ratio.

After the cash purchase, the company's current assets will decrease by $510,000, resulting in a new value of $3,490,000 ($4 million - $510,000). However, the inventory, which is also a part of current assets, will increase by $510,000. This will keep the total current assets at the same $4 million.

As there is no change in the current liabilities, the new current ratio will remain the same at 0.80 to 1. Therefore, the $510,000 cash purchase of inventory does not affect the current ratio.

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Calculate the amount of interest you'll have at the end of the indicated period. You invest $800 in an account that pays simple interest of 4% per year for 5 year(s). a. $40.00 b. $160.00 c. $16.00 d. $640.00

Answers

The amount of interest earned at the end of the 5-year period is $160. if you invest $800 in an account that pays simple interest of 4% per year for 5 year(s).

To calculate the amount of interest earned at the end of the indicated period, you can use the formula for simple interest:

Simple Interest = Principal × Rate × Time

Here, Principal (P) is the initial investment amount ($800), Rate (R) is the annual interest rate (4%, or 0.04 as a decimal), and Time (T) is the number of years (5 years).

Step 1: Plug in the values into the formula:
Simple Interest = $800 × 0.04 × 5

Step 2: Multiply the principal by the rate:
$800 × 0.04 = $32

Step 3: Multiply the result from step 2 by the time:
$32 × 5 = $160

The amount of interest earned at the end of the 5-year period is $160. Therefore, the correct answer is option b. $160.00.

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