In 2016, Steve Wynn, who was then the chief executive and chairman of Wynn Resorts, received a total compensation of $28.2 million.
This placed him tenth on the list of top-paid US CEOs for that year. However, it's worth noting that his salary was also ranked sixth on As You Sow's list of the most overpaid CEOs. To give a bit more context, As You Sow is a non-profit organization that advocates for corporate responsibility and shareholder advocacy. They release an annual report on executive compensation, which includes a list of the most overpaid CEOs based on a formula that takes into account factors like total compensation, company performance, and industry standards. In their 2017 report, they found that Steve Wynn's compensation was 434 times higher than the median employee pay at Wynn Resorts.
It's also worth noting that Steve Wynn resigned from his position as CEO and chairman of Wynn Resorts in February 2018, following allegations of sexual misconduct. His departure from the company also led to a significant drop in the company's stock price.
So in summary, while Steve Wynn's compensation in 2016 was high enough to rank him among the top-paid US CEOs, it was also considered by some to be excessive and led to his inclusion on a list of the most overpaid CEOs.
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Natalie has decided to use a time-and-materials contract for a small portion of the project work. What must she include in this contract type to set a maximum amount for the vendor
If Natalie has decided to use a time-and-materials contract for a small portion of the project work, she can include a cost-plus-fixed-fee (CPFF) clause in the contract to set a maximum amount for the vendor.
A time-and-materials contract is a type of contract where the buyer agrees to pay the seller for the time and materials required to complete the work. This type of contract is often used when the scope of work is unclear or when the work involves a high level of complexity or uncertainty.
However, in a time-and-materials contract, the final cost of the project can be difficult to predict, as it depends on the amount of time and materials used by the vendor. To mitigate this risk, Natalie can include a cost-plus-fixed-fee clause in the contract, which sets a maximum amount for the vendor to charge for the work.
Under a cost-plus-fixed-fee contract, the buyer agrees to pay the seller for the cost of the materials and labor, plus a fixed fee that is negotiated between the two parties. The fixed fee is typically based on a percentage of the estimated cost of the work and is intended to cover the vendor's overhead and profit.
By including a cost-plus-fixed-fee clause in the time-and-materials contract, Natalie can ensure that the vendor does not exceed a certain amount for the work, while still allowing for flexibility in the scope of the project and the amount of time and materials required.
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Costs of Birthday Cakes. Assume that fixed costs are $10. The minimum average total cost occurs at output of:
The cost of birthday cakes can be broken down into fixed costs and variable costs.
Fixed costs are those that do not change with the amount of output, such as rent and equipment. Variable costs, on the other hand, vary with the level of output, such as ingredients and labor.
Assuming that fixed costs are $10, the minimum average total cost occurs at the output level where the variable costs are the lowest. This is because the average total cost is calculated by dividing the total cost (fixed cost plus variable cost) by the level of output.
Therefore, in order to minimize the average total cost of birthday cakes, it is important to determine the optimal level of output where the variable costs are minimized. This can be achieved through efficient production processes, careful ingredient selection and management, and effective labor utilization.
Overall, minimizing the average total cost of birthday cakes is important in order to maximize profits and ensure that the business is sustainable in the long run.
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Aggregate supply shifts to the left when Question 10 options: input prices rise. inflation expectations are lower. subsidies are higher. there is a decrease in regulations.
Aggregate supply is the total amount of goods and services that firms are willing and able to produce at a given price level in a specific period of time.
The position of the aggregate supply curve is determined by the costs of production, which are influenced by various factors such as input prices, labor costs, energy prices, taxes, subsidies, and regulations.When input prices rise, it becomes more expensive for firms to produce goods and services, reducing their profit margins and their incentive to supply output. As a result, the aggregate supply curve shifts to the left, indicating a decrease in the quantity of goods and services supplied at each price level. This can lead to higher prices and lower output levels, causing a contraction in the economy.
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When the government does not control ___, private individuals or businesses are responsible for funding the means by which they produce goods and services.
Private people or enterprises are responsible for funding the methods by which they generate products and services when the government does not dominate the economic system.
System of the economy when the means of production are privately owned and run for personal gain. The use of taxation and expenditure by the government to affect the economy is known as fiscal policy. Fiscal policy is often used by governments to encourage robust, long-term growth and to lower poverty.
A common conception of capitalism is as an economic system where individual actors own and control property according to their interests and where supply and demand freely determine market prices in a way that can best benefit society.
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If a country's actual level of output is above the full-employment level of output, this would be described as
Answer:
This would be described as an "inflationary gap." This means that the economy is producing more than its potential, which can lead to rising prices and inflation. To address this, policymakers may take measures to reduce demand, such as raising interest rates or reducing government spending, to bring the economy back to its potential level of output.
Explanation:
If a country's actual level of output is above the full-employment level of output, this would be described as an overheated economy.
In this situation, the economy is operating at a level that exceeds its sustainable capacity, which can lead to inflationary pressures, as demand for goods and services outstrips supply. This can result in rising prices, as businesses try to maximize profits by raising prices in response to the increased demand.
An overheated economy can also lead to a buildup of imbalances and vulnerabilities in the economy, such as excess borrowing and debt, asset price bubbles, and shortages of key inputs like labor and raw materials. This can ultimately lead to a correction or recession, as the imbalances are unwound and the economy adjusts back to a sustainable level of output.
To prevent an overheated economy, policymakers can use a range of tools, such as monetary policy, fiscal policy, and regulation. For example, the central bank can raise interest rates to reduce borrowing and dampen demand, while the government can adjust tax and spending policies to reduce demand and cool off the economy.
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Swifty Corporation purchased a truck by issuing an $108,800, 4-year, zero-interest-bearing note to Equinox Inc. The market rate of interest for obligations of this nature is 10%. Prepare the journal entry to record the purchase of this truck.
The discount on the note payable is therefore $108,800 - $82,183 = $26,817. The note payable is recorded at its present value of $82,183.
The purchase of the truck on issuance of the zero-interest-bearing note can be recorded using the following journal entry:
Truck 108,800
Discount on Note Payable (26,817)
Note Payable 81,983
To record the purchase of a truck by issuing a 4-year, zero-interest-bearing note, market rate of interest at 10%
The face value of the note payable is $108,800, which is the cost of the truck. However, since the note is zero-interest-bearing, the interest expense has to be recognized by creating a discount on the note payable. The discount on the note payable is calculated as the difference between the face value of the note and the present value of the note payments, using the market rate of interest. In this case, the present value of the note payments is $82,183, calculated using the market rate of interest of 10% and a 4-year term. The discount on the note payable is therefore $108,800 - $82,183 = $26,817. The note payable is recorded at its present value of $82,183.
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Natural monopolies often arise in industries where the marginal cost of adding an additional customer is very low once the fixed costs of the overall system are in place. This results in what
Natural monopolies often arise in industries where there are significant fixed costs required to provide the service, and where the marginal cost of serving an additional customer is very low.
This situation often arises in infrastructure industries such as water supply, gas and electricity distribution, and transportation networks. In such cases, the high fixed costs of setting up the necessary infrastructure can be spread across a large number of customers, resulting in low per-unit costs. The result of this is that a single firm can provide the service at a lower cost than any potential competitor. This means that the firm can potentially charge a higher price than would be possible in a competitive market, and still make a profit. This is known as the monopoly pricing power. In order to protect consumers from excessive prices and to encourage innovation, governments often regulate natural monopolies. This can involve setting prices or profits, or regulating the quality of service. In some cases, the government may choose to nationalize the industry altogether, and provide the service itself. Overall, the existence of natural monopolies can have both benefits and drawbacks. On the one hand, they can provide essential services at a low cost, due to economies of scale. On the other hand, they can potentially charge excessive prices and stifle innovation without proper regulation.
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Newman's Own is a company that gives all of its profits to charities. The company produces popcorn, salsa, pasta sauce, and salad dressings under the Newman's Own brand name. These product lines are the company's
Newman's Own produces popcorn, salsa, pasta sauce, and salad dressings under the Newman's Own brand name. These product lines are the company's offerings or product lines.
A product line refers to a group of related products offered by a company under a particular brand name. In this case, Newman's Own offers a range of food products including popcorn, salsa, pasta sauce, and salad dressings under the Newman's Own brand name. The company's unique selling proposition (USP) is that all profits from the sale of its products are donated to charity. This approach to corporate social responsibility (CSR) has been a key factor in the success of the company, as consumers are increasingly interested in supporting brands that prioritize social and environmental issues. By offering a range of food products under the Newman's Own brand name and donating all profits to charity, the company has been able to establish a strong brand identity and customer loyalty, while also contributing to important causes.
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Reba feels comfortable making suggestions to her manager. Reba is likely part of a ___________ culture. Group of answer choices
Reba is likely part of a culture that encourages open communication and values employee input. This type of culture is known as a participative or collaborative culture.
In a participative culture, employees are empowered to contribute their ideas and suggestions, and managers are open to listening and incorporating these ideas into decision-making processes.
This type of culture fosters a sense of ownership and accountability among employees and can lead to increased job satisfaction and productivity. People in low power distance cultures tend to view managers as approachable, fostering open communication and collaboration.Additionally, a participative culture can promote innovation and creativity as employees feel free to share their ideas without fear of retribution. Overall, a participative culture values the opinions and input of all employees, regardless of their level within the organization, and encourages them to contribute to the success of the company.Thus, Reba is likely part of a low power distance culture. In this type of culture, individuals feel comfortable interacting with their superiors and offering suggestions, as the hierarchical distance between them is minimized.Know more about the open communication
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When the United Airline broke his guitar during luggage handling, Dave had to make many rounds of phone calls and went through many red-tapes in order to log a complaint to a manager at United. Based on this scenario, which type of injustice did Dave experience
Dave experienced systemic injustice. This is because the incident of United Airlines breaking his guitar during luggage handling is not an isolated case.
It is a recurring issue that affects many passengers. Dave had to go through a lot of hassle and bureaucracy to file his complaint, indicating that the system is not designed to address such issues efficiently. This systemic injustice is a result of the airline's failure to prioritize customer satisfaction and implement better procedures for luggage handling.
Based on the scenario where United Airline broke Dave's guitar during luggage handling and he had to make many rounds of phone calls and go through many red-tapes to log a complaint, Dave experienced procedural injustice.
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Investors in variable annuities will sometimes be subject to surrender charges and administrative fees. These charges and fees will
Investors in variable annuities will sometimes be subject to surrender charges and administrative fees. These charges and fees will surrender charges
Surrender charges are fees that are assessed when an investor withdraws funds from a variable annuity before a certain period of time has elapsed, typically between 5 and 10 years. These charges can be a percentage of the amount withdrawn, and the percentage decreases over time as the surrender period expires. Surrender charges are meant to discourage investors from withdrawing their funds early, as it can be costly to do so.
Administrative fees are charges assessed by the insurance company to cover the costs of administering the annuity. These fees can include expenses such as record-keeping, accounting, and customer service. Administrative fees are typically a percentage of the account value and can vary depending on the insurer and the specific annuity contract.
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Most discounted cash flow valuations involve using cash flows from an: Group of answer choices explicit forecast period and a terminal value historical period, and explicit forecast period, and a terminal value historical period and a terminal value historical period and an explicit forecast period
When it comes to discounted cash flow valuations, most of them rely on cash flows from both an explicit forecast period and a terminal value.
The explicit forecast period is typically a shorter time frame, usually spanning a few years, where the company's financial performance can be predicted with a reasonable degree of accuracy. This period allows for the calculation of cash flows, which are then discounted to their present value using a discount rate.
The terminal value, on the other hand, represents the company's future cash flows beyond the explicit forecast period. Estimating the terminal value involves using assumptions about the company's long-term growth and profitability, which can be challenging to predict accurately. This is why the terminal value is typically calculated using a more conservative approach, such as perpetuity or a multiple of earnings.
Lastly, some discounted cash flow valuations may also involve cash flows from a historical period, usually to help assess the company's past financial performance and identify any trends or patterns. However, the historical period is not typically used to determine the company's intrinsic value, as it does not reflect the company's future potential. Overall, incorporating both explicit forecast and terminal value cash flows is crucial to performing an accurate discounted cash flow valuation.
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Over a period of several years, an organization has exceeded the capacity of its emergency electric generator. The organization should: Group of answer choices
The organization should consider upgrading its emergency electric generator to meet its increased capacity needs.
An electric generator is a device that converts mechanical energy into electrical energy. It is a machine that generates electrical power by converting kinetic energy (energy of motion) into electrical energy. The mechanical energy required to drive the generator can come from a variety of sources, such as turbines, engines, or hand-cranked systems.
Electric generators work on the principle of electromagnetic induction, which states that an electric current is produced in a conductor when it is exposed to a changing magnetic field. In a generator, a coil of wire is rotated inside a magnetic field, causing the wire to cut through the lines of magnetic flux and generate an electrical current. The amount of electrical energy produced by the generator depends on the strength of the magnetic field, the speed of the rotating coil, and the number of turns of wire in the coil.
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Compare the Maastricht Treaty convergence criteria with the OCA criteria. How are these convergence criteria related to the potential benefits and costs associated with joining a currency union
The Maastricht Treaty convergence criteria and the Optimum Currency Area (OCA) criteria are two frameworks used to assess the suitability
The Maastricht Treaty convergence criteria, also known as the "Maastricht criteria" or the "convergence criteria," were established as part of the Treaty on European Union in 1992. These criteria were designed to ensure economic stability and convergence among European Union (EU) member states before adopting the euro as their common currency. The Maastricht criteria include requirements for price stability, fiscal discipline, exchange rate stability, and long-term interest rates.
The OCA criteria, on the other hand, are a set of theoretical criteria developed by economist Robert Mundell and later refined by economist Peter Kenen. The OCA criteria are used to assess the optimal conditions for forming and sustaining a successful currency union. The OCA criteria focus on factors such as labor mobility, fiscal integration, openness of economies, and synchronization of business cycles.
While there are overlaps between the two frameworks, the Maastricht criteria are primarily concerned with ensuring economic convergence among potential currency union members before joining, while the OCA criteria provide a broader set of considerations for determining the long-term viability and potential benefits of a currency union.
Both sets of criteria are related to the potential benefits and costs associated with joining a currency union:
Benefits:
1. Enhanced trade and economic integration: Joining a currency union can facilitate seamless trade and reduce transaction costs among member countries, leading to increased economic integration and efficiency.
2. Price stability: Membership in a currency union can promote price stability by eliminating exchange rate fluctuations and reducing currency-related uncertainties, providing a stable environment for business and investment.
3. Lower borrowing costs: Membership in a currency union can result in lower borrowing costs for member countries, as they can access a larger and more liquid financial market.
Costs:
1. Loss of independent monetary policy: Joining a currency union means giving up the ability to have an independent monetary policy. Member countries must rely on a common monetary policy determined by the central authority of the currency union, which may not always align perfectly with their individual economic conditions.
2. Loss of exchange rate flexibility: By adopting a common currency, member countries lose the ability to adjust their exchange rates to address trade imbalances or economic shocks specific to their economy.
3. Loss of fiscal autonomy: Currency union membership may involve surrendering some degree of fiscal autonomy as member countries must adhere to common fiscal rules and coordination, limiting their ability to pursue independent fiscal policies.
The convergence criteria, whether it be the Maastricht criteria or the OCA criteria, provide a framework to evaluate the readiness and potential benefits of joining a currency union. They help assess the level of economic integration, stability, and alignment of economic factors among potential member countries. By meeting these convergence criteria, countries aim to mitigate potential costs and maximize the benefits associated with joining a currency union.
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An auditor most likely would inspect loan agreements under which an entity's inventories are pledged to support management's financial statement assertion of: Group of answer choices Presentation and disclosure. Valuation or allocation. Existence or occurrence. Completeness.
An auditor would most likely inspect loan agreements under which an entity's inventories are pledged to support management's financial statement assertion of existence or occurrence.
This assertion refers to the fact that all the inventories included in the financial statements actually exist and belong to the entity. By inspecting the loan agreements, the auditor can verify whether the inventories pledged as collateral for the loans actually exist and are owned by the entity.
The auditor can also verify whether the inventories pledged are accurately reflected in the financial statements and whether any disclosures related to these loans and inventories are complete and accurate.
This inspection is necessary to ensure that the financial statements are free from material misstatement and fairly present the financial position and results of operations of the entity.
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As a resource becomes scarce, the price of recovery and production increases. This makes it ___ to explore for new resources and find ways to use available ones more efficiently. Multiple choice question.
As a resource becomes scarce, the price of recovery and production increases. This makes it more important to explore new resources and find ways to use available ones more efficiently. In a world where natural resources are limited, it is crucial to manage them properly to ensure their sustainability.
As the demand for resources increases, the need for exploration and production also increases, making it even more important to find ways to use them more efficiently. When a resource becomes scarce, it becomes more expensive to extract, refine, and transport it. This increased cost makes it more challenging for businesses and individuals to access the resource, and it also drives up the price for consumers. This is why it is essential to find new ways to explore and extract resources, as well as to develop technologies that make them more efficient.
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Eagle Company has $400,000 of 5-year bonds payable outstanding. These bonds had a premium of $40,000 at issuance, which was 2 years ago. The company uses the straight-line amortization method. The current carrying amount of these bonds is:
The current carrying amount of the bonds payable is $384,000.
The premium on the bonds is amortized over the life of the bonds using the straight-line method, which means that an equal amount of the premium is amortized each year.
The total premium on the bonds is $40,000, and the bonds have a 5-year term, so the annual amortization of the premium is:
Premium amortization per year = Total premium / Number of years = $40,000 / 5 = $8,000 per year
Since the bonds have been outstanding for 2 years, the total amount of premium amortized to date is:
Premium amortized to date = Annual amortization x Number of years = $8,000 x 2 = $16,000
The current carrying amount of the bonds is the face value of the bonds minus the unamortized premium. The face value of the bonds is $400,000, so the current carrying amount is:
Carrying amount = Face value - Unamortized premium
Carrying amount = $400,000 - $16,000 = $384,000
Therefore, the current carrying amount of the bonds payable is $384,000.
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A __________ territorial agreement assigns the dealer an exclusive territory and the manufacturer agrees not to sell to other dealers in that territory in exchange for an agreement by the dealer that it will not operate outside the area assigned.
A territorial agreement is a contractual agreement between a manufacturer and a dealer that outlines the dealer's exclusive territory for selling the manufacturer's products.
This type of agreement is often used in franchising and distribution agreements. The dealer is granted the exclusive right to sell the manufacturer's products in a specific geographical area and the manufacturer agrees not to sell to other dealers in that territory. In exchange, the dealer agrees not to operate outside of the assigned territory.
The purpose of a territorial agreement is to protect the interests of both parties. The manufacturer is able to control the distribution of its products and ensure that the dealer has a viable market to sell to. The dealer is able to establish a customer base and build a profitable business within their assigned territory without having to compete with other dealers.
It's important to note that a territorial agreement is not the same as a non-compete agreement. A territorial agreement only restricts the dealer from selling outside of the assigned territory, while a non-compete agreement restricts the dealer from competing with the manufacturer in any way. Territorial agreements are generally more favorable to dealers because they still have the freedom to sell products outside of the manufacturer's product line. Overall, territorial agreements are an effective way for manufacturers and dealers to work together to build profitable businesses.
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A varying interest in a partnership is: Multiple choice question. when a partner's interest in the partnership increases and/or decreases during the year a partner reconsidering whether he or she should have invested in a partnership a partnership making different decisions about how to expand the partnership's business or market share
The correct answer is: when a partner's interest in the partnership increases and/or decreases during the year Option A.
A varying interest in a partnership refers to the situation where a partner's level of involvement and commitment to the partnership fluctuates over time. This can happen due to a variety of factors, such as changes in the partner's personal circumstances, disagreements with other partners, or changes in the partnership's performance or prospects. When a partner's interest in the partnership increases, they may become more engaged in the partnership's activities, contribute more resources and ideas, and seek to take a more active role in decision-making.
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If you rent a vacation home out regularly, the size of your deductions is determined by whether you actively manage it and by the ______.
If you rent out your vacation home regularly, the size of your deductions is determined by whether you actively manage it and by the amount of personal use it receives. Active management means that you are regularly involved in making decisions about the property, such as advertising it for rent, screening tenants, and handling maintenance and repairs.
If you actively manage the property, you can deduct all of your rental expenses, including mortgage interest, property taxes, insurance, utilities, and repairs. However, if you do not actively manage the property and it is considered a passive activity, your deductions may be limited. Additionally, the amount of personal use the property receives can also affect your deductions. If you use the property for more than 14 days per year or 10% of the total rental days, your deductions may be reduced.
If you rent a vacation home out regularly, the size of your deductions is determined by whether you actively manage it and by the percentage of personal use versus rental use. In order to maximize your deductions, it is essential to actively manage your vacation home and ensure that personal use does not exceed the allowed limits. By carefully tracking rental income, and expenses, and managing the property accordingly, you can effectively reduce your tax liability and benefit from the deductions available for rental property owners. Remember to consult a tax professional for specific advice tailored to your situation.
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For a given price level, if a stock market crash makes consumers less willing to spend, then the ______ shifts _____.Multiple Choiceaggregate demand curve; rightaggregate demand curve; leftaggregate supply curve; upwardaggregate supply curve; downward
The correct answer is "aggregate demand curve; left". A stock market crash leads to a decrease in consumers' confidence in the economy, which reduces their willingness to spend.
As a result, there is a decrease in the overall demand for goods and services, causing the aggregate demand curve to shift leftward. This shift results in a decrease in both the price level and real output in the short run. The shift in the aggregate demand curve represents a contractionary shift, indicating a decrease in economic activity. This shift also leads to a decrease in the number of goods and services produced in the economy, causing a reduction in the employment level.
The government can use monetary and fiscal policy tools to stabilize the economy during such a situation. The Federal Reserve can reduce interest rates and increase the money supply, while the government can increase spending and reduce taxes. These measures can help increase consumer confidence and shift the aggregate demand curve back to the right, thereby promoting economic growth and stability. Overall, a stock market crash can have significant impacts on the economy, and it is crucial for policymakers to take appropriate measures to mitigate these effects.
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Three years ago, Katie remodeled her home. Rather than discarding some shelving units that were in her home, she moved them to the employee lounge of the business that she owns. Her original cost (basis) in the shelves was $3,500. The fair market value of the shelves when she converted them to business use was $2,500. Katie has taken depreciation on the shelves of $300. She sold the shelving units this year for $3,600. What is the amount of her basis and the amount of the gain or loss recognized on the sale of the shelves?
The amount of basis and the amount of the gain or loss recognized on the sale of the shelves are $2200 and -$1400 respectively.
Katie has depreciated $300 off the value of the shelves.
Fair market value at the date of conversion = $2,500
Depreciation on the Shelves = $300
Basis = Fair market value - Depreciation
Basis = $2500 - $300 = $2,200
So Basis = $2,200
Now
Sale Price of Shelves = $3,600
Adjusted Basis = $2,200
Loss is calculated as follows: Sale price - Adjusted Basis
Loss = $3600 - $2200
Loss = -$1400
So, Loss = $1400
The term "depreciation" is used in accounting to refer to two distinct but related concepts: first, the actual decline in an asset's fair value over time, such as the value of factory equipment declining annually as it is used and wears; and second, the allocation in accounting statements of the asset's initial cost to the periods in which the asset is used.
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Sorvino Co. is expected to offer a dividend of $3.20 per share per year forever. The required rate of return on Sorvino stock is 13 percent. Thus, the price of a share of Sorvino stock, according to the dividend discount model, is $____.
Sorvino Co. is expected to offer a dividend of $3.20 per share per year forever. The required rate of return on Sorvino stock is 13 percent. Thus, the price of a share of Sorvino stock, according to the dividend discount model, is $ D. 24.62.
The dividend discount model is a financial valuation method that estimates the value of a stock based on its future dividend payments. In this case, Sorvino Co. is expected to offer a dividend of $3.20 per share per year forever, and the required rate of return on the stock is 13 percent.
To calculate the price of a share of Sorvino stock according to the dividend discount model, we need to use the formula:
Price per share = (Dividend per share) / (Required rate of return - Dividend growth rate)
Since the dividend is expected to remain constant forever, the dividend growth rate is 0. Thus, the formula becomes:
Price per share = (Dividend per share) / (Required rate of return)
By plugging in the given values, we get:
Price per share = $3.20 / 0.13 = $24.62
Therefore, the price of a share of Sorvino stock, according to the dividend discount model, is $24.62. The dividend discount model helps investors determine the intrinsic value of a stock, allowing them to make informed decisions about whether to invest in a particular company. In this case, the model indicates that Sorvino Co. shares may be a good investment if the market price is below $24.62, as this suggests that the stock is undervalued. Therefore, the correct option is D.
The question was incomplete, Find the full content below:
Sorvino Co. is expected to offer a dividend of $3.20 per share per year forever. The required rate of return on Sorvino stock is 13 percent. Thus, the price of a share of Sorvino stock, according to the dividend discount model, is $____.
a. 4.06
b. 4.16
c. 40.63
d. 24.62
e. none of the above
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Find the time required for an investment of 5000 dollars to grow to 7100 dollars at an interest rate of 7.5 percent per year, compounded quarterly. (2 decimal places)
The time required for an investment of 5000 dollars to grow to 7100 dollars at an interest rate of 7.5 percent per year, compounded quarterly, is 8.25 years.
An investment of 5000 dollars to grow to 7100 dollars at an interest rate of 7.5 percent per year, compounded quarterly. The time required for the growth is as follows:
1. Write down the formula for compound interest:
A = P(1 + r/n)^(nt),
where A is the final amount, P is the principal amount, r is the annual interest rate, n is the number of times the interest is compounded per year, t is the time in years.
2. Plug in the given values:
7100 = 5000(1 + 0.075/4)^(4t).
3. Simplify the equation:
7100 = 5000(1 + 0.01875)^(4t).
4. Divide both sides by 5000:
1.42 = (1.01875)^(4t).
5. Take the natural logarithm (ln) of both sides:
ln(1.42) = 4t * ln(1.01875).
6. Solve for t:
t = (ln(1.42) / (4 * ln(1.01875)).
7. Calculate the value for
t: t ≈ 8.25.
The time required for an investment of 5000 dollars to grow to 7100 dollars is approximately 8.25 years (rounded to 2 decimal places).
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Falana received $7,000 in cash from a client for professional services rendered. This transaction would
Falana's transaction of receiving $7,000 in cash from a client for professional services rendered would result in an increase in her business's cash account and an increase in revenue.
When Falana receives payment for the professional services she provided, this is an example of a transaction that affects her business's financial position. In this specific case, two primary elements of the accounting equation are impacted: assets and equity. Specifically, the cash account (an asset) increases by $7,000 as she receives the payment, and the revenue account (a part of equity) also increases by $7,000, reflecting the income earned from the services provided.
This transaction illustrates the double-entry accounting system, which requires that every transaction impacts at least two accounts. As one account (cash) increases, another account (revenue) must also increase to maintain the balance of the accounting equation (Assets = Liabilities + Equity).
In this scenario, there is no liability involved, as the transaction only involves Falana receiving payment for her services. This increase in cash and revenue will be recorded in Falana's general ledger, and eventually be reflected in her financial statements, such as the balance sheet and income statement.
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You are the manager of a firm and have to decide whether or not to undertake the following project. The project has an internal rate of return (IRR) of 10%. Your company's beta is 0.5, the expected market return is .10 and the risk-free rate is zero. Which is the correct decision?
The correct decision undertake the project because the IRR of the project is greater than the cost of capital. The correct option is b.
To calculate the cost of capital using the Capital Asset Pricing Model (CAPM). Here's a step-by-step explanation:
1. Identify the relevant terms: company's beta (0.5), expected market return (0.10), and risk-free rate (0).
2. Apply the CAPM formula: Cost of Capital = Risk-free Rate + Beta * (Expected Market Return - Risk-free Rate).
3. Plug in the values: Cost of Capital = 0 + 0.5 * (0.10 - 0) = 0.05 or 5%.
4. Compare the IRR of the project (10%) with the cost of capital (5%).
Since the IRR of the project (10%) is greater than the cost of capital (5%), the correct decision is to undertake the project. This is because the project's return is higher than the required rate of return, which means it will generate value for the company.
So, the correct answer is: b) Undertake the project because the IRR of the project is greater than the cost of capital.
The complete question is:
You are the manager of a firm and have to decide whether or not to undertake the following project. The project has an internal rate of return (IRR) of 10%. Your company's beta is 0.5, the expected market return is .10 and the risk-free rate is zero. Which is the correct decision?
a) Don't undertake the project because the cost of capital is greater than the IRR of the project.
b) Undertake the project because the IRR of the project is greater than the cost of capital.
c) Don't undertake the project because the cost of capital is lower than the IRR of the project.
d) Undertake the project because the IRR of the project is lower than the cost of capital.
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Which is the chief (number one, numero uno) method used by interest groups to influence public policy?
The correct answer is lobbying, the chief method used by interest groups to influence public policy is lobbying.
Lobbying involves attempting to influence government officials, legislators, or other decision-makers to take specific actions or make certain policy decisions. This can be done through various means, such as meeting with officials, providing information or research to support their position, or organizing grassroots campaigns to mobilize public support. Interest groups may also engage in other activities to influence public policy, such as contributing to political campaigns, filing lawsuits, or engaging in public relations campaigns to shape public opinion. However, lobbying is generally considered to be the most effective and direct method for interest groups to influence public policy. This is because it involves direct interaction with decision-makers and allows interest groups to present their views and arguments in a persuasive manner.
The correct answer is lobbying.
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The video lecture on Corporate Social Responsibility claims that advertising only serves the purpose of informing potential customers. Group of answer choices True False
While informing potential customers is one of the purposes of advertising, it is not the only one, and the lecture on Corporate Social Responsibility likely discussed the various purposes of advertising beyond just information provision. Given statement is False.
While advertising does inform potential customers about products or services, it also serves other purposes beyond just providing information. Advertising is a marketing tool used by companies to promote their brand and products, influence consumer behavior, create brand awareness and loyalty, and ultimately increase sales and profits.
Advertising can also be used as a tool for corporate social responsibility (CSR) by promoting socially responsible practices, such as environmental sustainability, ethical sourcing, or community involvement.
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The three types of consumption are: Group of answer choices investments, nondurables, and services. compulsive, impulsive, and deliberate. durables, nondurables, and services. investments, durables, and services.
Durables are products that are expected to last for a long time, such as cars, appliances, and furniture. These products are typically more expensive and are expected to provide long-term benefits.
Nondurables, on the other hand, are products that are used up or consumed quickly, such as food, clothing, and toiletries. These products are typically less expensive and are meant to be used or consumed within a short period of time.
Services refer to non-material products or experiences that are provided to consumers, such as healthcare, transportation, and entertainment. Services are often intangible and are provided by people or organizations rather than physical products.
It's important to note that the categorization of consumption can vary depending on the context or industry. However, in general, these three types of consumption are widely recognized and used in economics and business.
The three types of consumption are durables, nondurables, and services. Let me provide a detailed explanation for each type:
1. Durables: These are long-lasting goods that are used over an extended period of time, such as cars, appliances, and furniture. They are typically more expensive and purchased less frequently than nondurables.
2. Nondurables: These are short-lived goods that are consumed quickly and need to be replaced frequently. Examples of nondurables include food, beverages, and personal care items like soap and shampoo.
3. Services: These are intangible products that do not involve physical goods but provide value to the consumer. Examples of services include healthcare, education, and financial services.
In summary, the three types of consumption are durables, nondurables, and services, each with different characteristics and usage patterns.
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The three types of consumption are durables, nondurables, and services. Durables refer to goods that have a longer lifespan and can be used repeatedly, such as cars, appliances, and furniture.
Nondurables are goods that have a shorter lifespan and are typically consumed in a single use or a few uses, such as food, clothing, and personal care products. Services refer to intangible activities that are consumed, such as healthcare, education, and entertainment.
Understanding these three types of consumption is important in analyzing consumer behavior and predicting market trends, as they each have unique characteristics and factors that influence their demand and consumption patterns.
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The method of analyzing capital investment proposals that divides the estimated average annual income by the average investment is
The method of analyzing capital investment proposals that divides the estimated average annual income by the average investment is called the average rate of return.
The average rate of return is a popular method for evaluating capital investment proposals as it provides a simple way to determine the profitability of a project.
By dividing the estimated average annual income by the average investment, the average rate of return expresses the percentage return that the investment is expected to generate each year.
This metric can be compared to the required rate of return to determine whether the investment is worthwhile. Generally, a higher average rate of return is preferable as it indicates that the investment is more profitable.
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