The Acmeville Metropolitan Bus Service currently charges $0.88 for an all-day ticket and is used by an average of 623 riders a day. The bus company is not earning a profit, but according to their contract with the city, they cannot cut the number of buses on the road. The must, therefore, find a way to increase revenues.
The bus company is considering increasing the ticket price to $1.10. The marketing department's studies indicate this price increase would reduce usage to 333 riders per day.
Calculate the price elasticity of demand for bus tickets to determine if the bus company should increase the price or decrease price to increase revenues.
Price elasticity of demand is _____.
Select one:
a. Demand is inelastic, so increasing ticket price will increase revenue
b. Demand is elastic, so decreasing ticket price will increase revenue
c. Demand is elastic, so increasing ticket price will increase revenue
d. Demand is inelastic, so decreasing ticket price will increase revenue

Answers

Answer 1

Price elasticity of demand is demand is elastic, so increasing ticket price will decrease revenue. Therefore, the correct option is C.

Price elasticity of demand is the percentage change in the quantity demanded of a good or service divided by the percentage change in the price of that good or service. Mathematically, it can be represented as follows:

Elasticity = (% Change in Quantity Demanded) / (% Change in Price)

The price elasticity of demand is used to measure the sensitivity of consumers to price changes. If demand is elastic, then a change in price will result in a larger percentage change in the quantity demanded. Conversely, if demand is inelastic, then a change in price will result in a smaller percentage change in the quantity demanded.

The formula for calculating the price elasticity of demand is:

Price elasticity of demand = (% Change in Quantity Demanded) / (% Change in Price)

Given: Initial price, P1 = $0.88, Initial quantity demanded, Q1 = 623 riders, Final price, P2 = $1.10, Final quantity demanded, Q2 = 333 riders.

First, calculate the percentage change in quantity demanded:

% Change in Quantity Demanded = (|Q2 - Q1| / ((Q1 + Q2) / 2)) x 100= (|333 - 623| / ((623 + 333) / 2)) x 100= (290 / 478) x 100= 60.67%

Next, calculate the percentage change in price:% Change in Price = (|P2 - P1| / ((P1 + P2) / 2)) x 100= (|1.10 - 0.88| / ((0.88 + 1.10) / 2)) x 100= (0.22 / 0.99) x 100= 22.22%

Now, use the formula to calculate the price elasticity of demand:

Price elasticity of demand = (% Change in Quantity Demanded) / (% Change in Price)

= 60.67% / 22.22%

= 2.73

Therefore, the price elasticity of demand is 2.73. Since the price elasticity of demand is greater than 1, the demand for bus tickets is elastic. This means that if the bus company increases the ticket price from $0.88 to $1.10, the quantity demanded will decrease by a larger percentage than the percentage increase in price.

Thus, increasing the ticket price will decrease revenue. Therefore, the answer is "Demand is elastic, so increasing ticket price will decrease revenue". Option C. is the correct answer.

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Related Questions

Which of the following is considered the most likely source of cyberattacks, based on a poll of global executives, information security managers, and IT leaders?
a. Group of answer choices
b. lone wolf attackers
c. cyberterrorists
d. careless insiders
e. MSSPs

Answers

The most likely source of cyberattacks, according to a poll of global executives, information security managers, and IT leaders, is careless insiders.

Who are careless insiders ?

Careless insiders refer to individuals within an organization who inadvertently or negligently cause a data breach or security incident, such as by falling for a phishing scam, misplacing a device containing sensitive information, or failing to follow established security protocols.

While external threats such as organized hacking groups and cyberterrorists are also a concern, the insider threat is often seen as more prevalent and difficult to detect. Additionally, the rise of remote work and the increased use of personal devices for work purposes has increased the risk of insider threats.

Therefore, organizations should prioritize training and awareness programs for their employees to help prevent these types of incidents. They should also establish and enforce clear security policies and procedures, and implement technical controls such as access controls and data loss prevention tools to mitigate the risk of insider threats.

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a. if you have a choice between depositing your $100 into an account that earns 6% simple interest for 5 years, or one that earns 5% compound interest for 5 years, which would you choose? instructions: enter your responses as whole numbers. after 5 years, your deposit in the 6% account would be worth $ 134 numeric responseedit unavailable. 134 incorrect.. after 5 years, your deposit in the 5% account would be worth $ 630 numeric responseedit unavailable. 630 incorrect.. therefore, you should choose the account that yields 5% compounded interest incorrect. b. what if you were depositing your $100 for 20 years? instructions: enter your responses as whole numbers. after 20 years, your deposit in the 6% account would be worth $ . after 20 years, your deposit in the 5% account would be worth $ . therefore, you should choose .

Answers

a) When depositing $100 for 5 years, the account that earns 6% simple interest should be chosen. b) When depositing $100 for 20 years, the account that earns 5% compound interest should be chosen.

a) If we deposit $100 in an account that earns 6% simple interest for 5 years, to calculate the interest, we use the formula

I = P * r * t

where I = interest, P = principal amount, r = rate of interest per year, and t = time period.

Substituting the given values, we get

I = 100 * 0.06 * 5 = $30.

So, the total amount in the account after 5 years will be $130.

On the other hand, if we deposit $100 in an account that earns 5% compound interest for 5 years, to calculate the interest, we use the formula

A = P(1 + r/n)^(nt)

where A = amount after t years, P = principal amount, r = rate of interest per year, n = number of times interest is compounded per year, and t = time period.

Substituting the given values, we get A = 100(1 + 0.05/1)^(1*5) = $128.76.

So, the total amount in the account after 5 years will be $128.76.

Therefore, we should choose the account that earns 6% simple interest for 5 years as it will give us more money.

b) If we deposit $100 for 20 years in an account that earns 6% simple interest, to calculate the interest, we use the formula

I = P * r * t

where I = interest, P = principal amount, r = rate of interest per year, and t = time period.

Substituting the given values, we get

I = 100 * 0.06 * 20 = $120.

So, the total amount in the account after 20 years will be $220.

On the other hand, if we deposit $100 for 20 years in an account that earns 5% compound interest, to calculate the interest, we use the formula

A = P(1 + r/n)^(nt)

where A = amount after t years, P = principal amount, r = rate of interest per year, n = number of times interest is compounded per year, and t = time period.

Substituting the given values, we get

A = 100(1 + 0.05/1)^(1*20) = $365.33.

So, the total amount in the account after 20 years will be $365.33.

Therefore, we should choose the account that earns 5% compound interest for 20 years as it will give us more money.

Note: The question is incomplete. The complete question probably is: a. You have a choice between depositing your $100 into an account that earns 6% simple interest for 5 years or one that earns 5% compound interest for 5 years, which would you choose? b. What if you were depositing your $100 for 20 years?

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beckman enterprises purchased a depreciable asset on october 1, year 1 at a cost of $104,000. the asset is expected to have a salvage value of $15,100 at the end of its five-year useful life. if the asset is depreciated on the double-declining-balance method, the asset's book value on december 31, year 2 will be: multiple choice $93,600 $56,160 $19,224 $22,464 $28,836

Answers

The asset's book value on the day of december 31, year 2 will be around $56,160. It can be calculated through double-declining balance method. The correct option is B.

What is the double-declining balance method?

A double-declining-balance method is a form of accelerated depreciation that multiplies the straight-line depreciation rate by 2. This method states that the depreciation rate for the asset is calculated by taking 2 times the straight-line rate.

In this case, Beckman Enterprises purchased a depreciable asset on October 1, Year 1 at a cost of [tex]$104,000[/tex] with an expected salvage value of [tex]$15,100[/tex] at the end of its five-year useful life.

The straight-line rate would be calculated by subtracting the salvage value from the original cost and dividing it by the life of the asset (5 years).


Straight-line rate = [tex]($104,000 - $15,100) / 5 = $18,080[/tex]/year
Double-declining-balance rate = 2 x (Straight-line rate) = [tex]$36,160[/tex]/year
Therefore, the asset's book value on December 31, Year 2 will be $56,160.

Therefore, the correct option is B.

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encourages employees to discuss management issues with her and to work together to resolve those issues in a democratic manner. Which statement would Zara most likely make? The key to staying on top in a high-tech industry is not wasting time checking out what other firms do, but acting immediately on my directives. In a high-tech business, it is more important to invest in technology than to invest in people. The key to keeping talented employees loyal to the company is to use a participative management style and treat them with respect, value their ideas, give them the resources they need, and expect great things from them. Spending a lot of money to buy out competitors for their technology is likely to backfire, because our firm is a leader in technology development. Question 2 10 pts Which activity is part of the organizing function of management? Going over a spreadsheet to analyze some financial data Teaching a new employee how to use a piece of office equipment Giving front-line workers additional resources needed to provide faster and better service to customers Developing a broad general strategy to help the organization meet its long-term growth objectives

Answers

Zara is a manager who encourages employees to discuss management issues with her and work together to resolve those issues in a democratic manner.

Based on this, it is most likely that Zara would make the following statement: "The key to keeping talented employees loyal to the company is to use a participative management style and treat them with respect, value their ideas, give them the resources they need, and expect great things from them." Zara's leadership style emphasizes collaboration, empowerment, and respect for employees' contributions. She recognizes that talented employees are essential to the success of the company and believes that a participative management style will help retain them.

The activity that is part of the organizing function of management is developing a broad general strategy to help the organization meet its long-term growth objectives. Organizing is the process of arranging resources and activities to achieve organizational goals effectively. It involves creating a structure for the organization and assigning responsibilities to individuals or groups to achieve the desired outcomes.

Developing a broad general strategy is a critical part of the organizing function because it helps to align the organization's activities with its long-term goals. By developing a strategy, managers can identify the resources needed, allocate them effectively, and ensure that everyone in the organization is working towards the same objectives. This activity helps to establish the framework within which other functions of management, such as planning, directing, and controlling, can take place. Ultimately, the organizing function of management is essential for achieving the organization's goals efficiently and effectively.

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For goods-producing firms, at which of the following levels of resource planning does scheduling for individual subassemblies and resources by week and day take place?
Question 3 options:
a. Execution
b. Demand forecasting
c. Aggregate planning
d. Disaggregation

Answers

The scheduling for individual sub-assemblies and resources by week and day takes place at the execution level of resource planning for goods-producing firms.The correct option is a.

What is resource planning?

Resource planning is the process of allocating a company's resources such as manpower, machinery, and other assets to meet the demands of customers effectively. Resource planning is important in ensuring that the available resources of a company are used efficiently.Resource planning for goods-producing firms is typically divided into three levels: aggregate planning, disaggregation, and execution. These levels differ in terms of their scope, time horizon, and level of detail.Aggregate planning is a high-level planning method that aims to match the firm's resources with anticipated demand over a long period of time. Demand forecasting is one of the key elements of aggregate planning. In contrast, disaggregation involves breaking down the aggregate plan into detailed plans for individual products and components. At this level, the plans are generally made on a monthly or weekly basis, and the details of the production process are specified. Finally, at the execution level, scheduling for individual subassemblies and resources by week and day takes place.Resource planning is an important process for goods-producing firms because it helps them optimize their resources, reduce waste, and increase efficiency. By planning for resources, goods-producing firms can ensure that they meet the demands of their customers while minimizing the costs associated with production.

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when additional units cannot be produced or there is no time to produce more, the supply curve group of answer choices is horizontal. is upward sloping, left to right. is vertical. will shift.

Answers

The supply curve is vertical when additional units cannot be produced or there is no time to produce more.

What is a supply curve?

A supply curve is a graphical representation of the relationship between the price of a good or service and the amount of that good or service that sellers are willing to produce and sell. Supply curves are typically upward-sloping, indicating that as the price of good rises, producers are willing to supply more of it. As the price of a good falls, producers are willing to supply less of it. However, there are situations where the supply curve may be horizontal or vertical.

Vertical supply curve: If the price of good changes but the quantity supplied remains the same, the supply curve is vertical. This situation occurs when the quantity supplied is fixed, regardless of the price. This situation may arise in the case of inelastic goods like prescription medicines. When the price of a particular medicine is high, it will still sell the same amount because there is no alternative to that medicine. Therefore, the supply curve will be vertical.

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a reliable job analysis yields consistent results under similar conditions, when multiple analysts reach the same conclusion about the major duties that comprise a position. question 4 options: true false

Answers

The statement "A reliable job analysis yields consistent results under similar conditions when multiple analysts reach the same conclusion about the major duties that comprise a position" is TRUE.

A job analysis is an analytical approach to acquiring relevant data to support and define human resources management principles, tactics, and practices. Job analysis determines the relevant information that's essential for making crucial HR decisions that are primarily concerned with selecting, training, and evaluating individuals for specific job roles.

Therefore, job analysis should be reliable, and it should generate consistent results under the same conditions. It should also be based on concrete data and conclusions that are objective and accurate.

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Taylor Underwood, a member, is a CPA who has her own accounting practice. Taylor is is the sole owner of the practice and she has one non-CPA employee working as her accounting assistant, Which of the following names is Taylor permitted to use for her firm?A. Taylor Underwood & Company Certined Public AccountantsB. Taylor Underwood, Certified Public AccountantsC. Taylor Underwood & Company, Certified Public AccountantD. None of the above are permitted

Answers

Answer:Option B Explanation:The term “Certified Public Accountants” or “CPA” can only be used by individuals or firms that meet specific licensing requirements established by each state. However, the CPA designation is not a requirement for owning an accounting practice. An accountant is a professional who works with individuals or businesses to manage their finances. So, the name that Taylor is allowed to use for her firm is Taylor Underwood, Certified Public Accountants, as she is the sole owner of the accounting practice.The other names are not permitted since “Taylor Underwood & Company Certified Public Accountants” implies that more than one CPA is involved in the practice which is not the case. Similarly, “Taylor Underwood & Company, Certified Public Accountant” does not adhere to the requirement that the CPA designation must be plural if it is included in the name.The other options like Taylor Underwood & Company Certified Public Accountants and Taylor Underwood & Company, Certified Public Accountant are not allowed as they fail to adhere to the requirement that the CPA designation must be plural if it is included in the name.

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a country that alters the demographic of its workforce in a manner that increases the labor force, such as by raising the legal minimum retirement age, is likely to experience? a sustainable, high income growth rate b.more productive workers in all facets of the economy c.All of these are true

Answers

A country that alters the demographic of its workforce by raising the legal minimum retirement age is likely to experience a sustainable, high income growth rate, more productive workers in all facets of the economy, and other positive outcomes.

Raising the legal minimum retirement age can increase the labor force by allowing older, more experienced workers to remain in the labor force for longer. This can lead to higher productivity, as more experienced workers are more likely to contribute positively to their workplace. The increase in the labor force can also lead to a higher income growth rate, as businesses will be able to hire more workers, leading to an increase in total revenue. Furthermore, the increased labor force can also lead to increased economic growth, as more workers can contribute to the country's GDP.

Overall, raising the legal minimum retirement age can lead to a number of positive outcomes for a country, such as a sustainable, high income growth rate, more productive workers in all facets of the economy, and increased economic growth.

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because of time delays between receiving inventory and making the journal entry a. liabilities are usually correctly stated b. liabilities are usually understated c. liabilities are not affected

Answers

because of time delays between receiving inventory and making the journal entry liabilities are usually understated. The correct answer is b.

Inventory refers to a company's stock of goods, supplies, or raw materials that are held for the purpose of future production or sale. Inventory is a critical part of a company's working capital because it ties up funds that cannot be used until the inventory is sold.

Liabilities are usually understated due to time lags between receiving inventory and making the journal entry. As a result, liabilities that should have been recorded as accounts payable are not recorded in the company's accounting system. When a company receives inventory but does not record the accounts payable balance, the company's liabilities are understated.

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ms. beal recognized a $42,400 net long-term capital gain and a $33,000 net short-term capital loss this year. what is her current net income tax cost from her capital transactions if her marginal rate on ordinary income is 37%?

Answers

According to the question, the current net income tax cost from Beal's capital transactions is $9,100.

What is net income?

Net income is a financial metric that is used to measure the profitability of a business after all expenses have been deducted from the gross income. It is calculated by subtracting the cost of goods sold (COGS), operating costs, taxes, and any other expenses from the total revenue. Net income is also known as net profit, bottom line, or net earnings.

This is calculated by taking her net long-term capital gain of $42,400 and multiplying it by the marginal rate of 37%, which is $15,688. We then take the net short-term capital loss of $33,000 and subtract it from the $15,688, which leaves us with a net tax cost of $9,100.

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The first document that must be completed when opening a checking account is the
A. Deposit Slip
B. Reconciliation Statement
C. Check Register
D. Signature Card

Answers

The correct answer is D, Signature Card. This document is necessary to verify the identity of the account holder and provide legal consent to the bank to open the account. The signature card also provides all the necessary information such as the account holder's name, address, and social security number. Additionally, this document will include the account holder's signature, the date the document was signed, and a witness signature.


The first document that must be completed when opening a checking account is the Signature Card.What is a Signature Card?A Signature Card is a legal document that allows an individual or authorized signatory to sign a check on behalf of a company. Banks usually ask account holders to sign a Signature Card when opening a checking account.What is a checking account?A checking account is a bank account that is frequently used to store money for daily transactions. You may use checks, debit cards, and automated clearing house transfers to withdraw money from your checking account.The first document that must be completed when opening a checking account is the Signature Card.

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an indifference curve represents bundles of goods that a consumer part 2 a. prefers to any other bundle of goods. b. ranks from most preferred to least preferred. c. views as equally desirable. d. all of the above.

Answers

The answer to this question is D: All of the above. An indifference curve represents bundles of goods that a consumer prefers to any other bundle of goods, ranks from most preferred to least preferred, and views as equally desirable.

An indifference curve shows the combination of goods that give an individual the same amount of utility or satisfaction. Therefore, the consumer is indifferent between any two goods on the curve as they are considered to be equal.

Indifference curves are used to evaluate consumer preferences for a pair of goods. The line represents the amount of utility that the consumer receives from consuming one or more commodities.

The correct option is d. all of the above.

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large companies that try to take advantage of economies of scale in production and distribution often attempt a

Answers

Large companies that try to take advantage of economies of scale in production and distribution often attempt a centralization of management.

What are economies of scale?

Economies of scale is a term that refers to the financial benefits that businesses can get as their output levels rise. This refers to the idea that as a firm produces more of a good or service, its fixed costs are spread out over more units, lowering the cost per unit.

What is centralization of management?

Centralization of management is a system in which a group of officials or executives at the top of a business or other organization is in charge of making decisions, developing policies, and delegating responsibilities to lower-level managers.

Centralization provides a more uniform method for decision-making, ensuring that all employees in the organization are on the same page and working toward the same objectives. Large companies that try to take advantage of economies of scale in production and distribution often attempt a centralization of management.

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Olympus Corporation, an international Japanese manufacturer of optics and reprography products, has adopted a structure that interconnects business units and functions such as manufacturing and R&D to create global integration with local responsiveness. This is an example of what type of structure?

Answers

Olympus Corporation, an international Japanese manufacturer of optics and reprography products, has adopted a structure that interconnects business units and functions such as manufacturing and R&D to create global integration with local responsiveness. This is an example of Matrix structure.

What is the Matrix structure?

The matrix structure combines the advantages of two other organizational structures, functional and divisional, to address the disadvantages that are inherent in each.

Matrix organizations mix elements of functional and divisional structures to get the best of both worlds. They have a vertical hierarchy that divides departments and functions while also having a horizontal hierarchy that connects teams and employees to accomplish specific projects.

Olympus Corporation has adopted the Matrix structure that interconnects business units and functions such as manufacturing and R&D to create global integration with local responsiveness. This means that the organization has established an integrated global structure that allows them to work effectively and efficiently.

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When a manager assesses a particular situation and decides what to do according to the individual and environmental situation, the manager is utilizing the contongency viewpoint. (true or false)

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In the following question, among the given options, the statement is said to be true. When a manager assesses a particular situation and decides what to do according to the individual and environmental situation, the manager is utilizing the contingency viewpoint. hence, this statement is true.

A contingency viewpoint is a leadership approach that takes into account various external factors, including industry trends, the economy, and competition, among others. This viewpoint acknowledges that no single leadership style is best for all situations; instead, the optimal course of action depends on the current scenario. The contingency viewpoint proposes that managers use different styles based on the situation. Leaders who utilize this viewpoint believe that flexibility is essential and that it is essential to change their management style based on the needs of the situation. This strategy is frequently successful since the manager is adaptable to the situation at hand. Contingency theories of leadership take into account the surroundings, allowing for situational context to be a primary factor in determining how a leader should lead. The most effective approach for leaders in any given situation can be determined using contingency theories. This flexibility allows for the best outcome for the leader and the people they are leading.

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consider the following cash flows: year cash flow 2 $ 22,800 3 40,800 5 58,800 assume an interest rate of 9.6 percent per year. if today is year 0, what is the future value of the cash flows five years from now?

Answers

The future value of the given cash flows at 9.6 percent five years from now is $153,232.90.

Based on the given cash flows we need to determine the future value of the cash flows five years from now when the interest rate is 9.6 percent per year. When calculating the future value of money, we must first determine the present value of each cash flow before adding them together.

Present value is the worth of a sum of money today compared to what it would be worth in the future if invested at a specific interest rate. The future value of the cash flows will be calculated based on the interest rate of 9.6 percent per year.

The formula for the present value of an annuity is:

PVA = PMT[(1 - (1 + r)^n)/r]

Where PVA = Present Value of Annuity, PMT = Payment, r = Interest Rate, n = Number of Periods.

For the first cash flow, we need to calculate the present value:

PVA2 = $22,800 [(1 - (1 + 0.096)^3)/0.096] = $18,191.56

For the second cash flow, we need to calculate the present value:

PVA3 = $40,800 [(1 - (1 + 0.096)^2)/0.096] = $31,598.87

For the third cash flow, we need to calculate the present value:

PVA5 = $58,800 [(1 - (1 + 0.096)^1)/0.096] = $47,322.33

Therefore, the total present value of the cash flows is:

PVA = $18,191.56 + $31,598.87 + $47,322.33 = $97,112.76

The formula for the future value of an annuity is:

FVA = PMT[(1 + r)^(n - 1)]/r

Where: FVA = Future Value of Annuity, PMT = Payment, r = Interest Rate, n = Number of Periods.

We can now use the formula for the future value of the annuity to calculate the future value of the cash flows:

FVA = $97,112.76[(1 + 0.096)^(5 - 1)]/0.096 = $153,232.90

Therefore, the future value of the cash flows five years from now is $153,232.90.

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Question 1Share ValuationThe board of Santova Ltd is exploring ways to expand the number of shares outstanding in an effort to reduce themarket price per share to a level that the firm considers more appealing to investors.

The options under consideration are a 20% stock dividend and, alternatively, a 5-for-4 stock split. At the same time, the firm’s equity account and other per-share information are as follows:

Preferred stock0Common stock ( 100,000 shares at R1 par)100000Paid-in capital in excess of par900000

Retained earnings700000Total stockholders' equity1700000Share priceR30EPSR3,60DPSR1,08P/ER8,33a)

Show the effects on the equity account, EPS and P/E ratio of a 20% of a stock dividend.

After stock 20% dividendPreferred stockCommon stock ( )[2]Paid-in capital in excess of par[2]Retained earnings[2]Total stockholders' equity0[2]Change in price[1]Net Income[1]Change in EPS[1]b) Show the effect on the equity accounts, EPS and P/E ratio of a 5-for-4 stock split.

After 5-for-4 stock splitPreferred stockCommon stock ( )[2]Paid-in capital in excess of par[2]Retained earnings[2]Total stockholders' equity0[2]Change in price[1]Change in EPS[1]Change in the number of Outstanding shares. ​

Answers

The effects on the equity account, EPS and P/E ratio of a 20% of a stock dividend is represented

common stock = 120,000. Paid-in capital in excess of par account after the dividend

= 580,000. Revised balance = 1480,000.

Total stockholders’ equity is equals to 17,000,000.

Change in price is decrease by $ 5.

The earnings per share (EPS) after the dividend is equals to the 3.

Change in EPS = Decrease by 0.6.

Change in number of outstanding shares is equals to the increase by 20,000 shares.

Dividends means the distribution of company's profit into it's shareholders and stock dividend is defined as percentage increase in number of shares held. The number of shares of common stock after the dividend is shares = 100,000 x (1 + 20%) = 120,000

The balance in the common stock account after the dividend is = 120,000 x $ 1 = 120,000

The balance in the paid-in capital in excess of par account after the dividend is $ = 20,000 x (Current price - par value) = 20,000 x (30 - 1) = 580,000

Revised balance = 580,000 +900,000

= 1480,000

The balance in the retained earnings account after the dividend is = Current balance - new number of shares x current share price = 700,000 - (120,000 - 100,000) x 30 = 100,000

Total stockholders’ equity = 120,000 + 1480,000 + 100,000 = 17,000,000

The price per share of common stock after the dividend is total wealth remain the same. Hence, the price per share of common stock after the dividend is

= Share price before dividend / (1 + % dividend) = 30 / (1 + 20%) = $ 25

Change in price = decrease by $ 5

The earnings per share (EPS) after the dividend is = 3.6 / (1 + 20%) = 3

Change in EPS = Decrease by 0.6. Hence, the change in number of outstanding shares is increase by 20,000 shares.

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When production levels are expected to decline within a relevant range, what effects would be anticipated with respect to each of the following? Fixed Costs Variable Costs Per Unit Per Unit A) Increase No change B) Increase Increase C) No change No change D) No change Increase Please use this information to answer questions 13, 14 & 15: Assume the following information for SABRES Company: Prime Costs $525,000
Conversion Costs 598,000
Direct Materials Used 105,000
Beginning Work In Process 198,000
Ending Work In Process 81,000 13. Direct Labor used is calculated to be: $ ___
14. Factory Overhead is calculated to be: $ ___
15. The total all in manufacturing cost for the period is calculated to be: $ ___

Answers

13. Direct Labor used is calculated to be: $-32,000.14
14. Factory Overhead is calculated to be: $493,000.15.
15. The total all-in manufacturing cost for the period is calculated to be: $1,018,000


When production levels are expected to decline within a relevant range, the following effects would be anticipated with respect to each of the following:

Fixed Costs: No change.

Variable Costs Per Unit: Increase.Per Unit: Increase.

Therefore, the correct option is D) No change, Increase, Increase.

13. Calculation of Direct Labor used:

Direct Materials Used = $105,000

Conversion Cost = $598,000 - Direct Materials Used = $493,000

Direct Labor = Conversion Cost - Prime Cost = $493,000 - $525,000= $-32,000

Thus, Direct Labor used is calculated to be $-32,000.14.

Calculation of Factory Overhead:

Factory Overhead = Conversion Cost - Direct Materials Used= $598,000 - $105,000 = $493,000

Thus, Factory Overhead is calculated to be $493,000.15.

Calculation of the total all-in manufacturing cost:

Prime Costs = $525,000

Conversion Costs = $598,000

Total manufacturing cost = Prime Cost + Factory Overhead= $525,000 + $493,000 = $1,018,000

Thus, the total all-in manufacturing cost for the period is calculated to be $1,018,000.

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what is a storage location? the place where raw materials are received the place within a plant where materials are kept until they are needed the place where materials are collected for staging and inspection the place within a plant where machines are installed for production purposes the place within a plant where finished goods are kept for sale

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A storage location refers to the place within a plant where materials are kept until they are needed. A storage location is a designated area in a facility or plant where goods are kept until they are ready to be used or sold. It is crucial in the supply chain as it aids in the efficient management of inventory levels, ensuring the supply of goods on a regular basis.

Companies keep inventories of raw materials, work-in-progress goods, and finished goods at different storage locations. Raw materials are kept in one location, work-in-progress materials in another location, and finished goods are kept in a separate location. These locations are strategically placed throughout the plant or warehouse, allowing materials and goods to be transported quickly and easily from one place to another.

Furthermore, the area must be well-ventilated and lit, and employees must adhere to strict safety procedures while operating within the storage location.

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fultz chiropractic acquired the colby massage parlor in august 2018. as part of the transaction, they promised colby stockholders 5,000 additional shares in august 2020, which coincides with the two-year anniversary of the acquisition. in which year should they add the promised shares to the diluted eps calculation?

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Fultz Chiropractic should add the promised shares to the diluted EPS calculation in the year 2020 because the organization guaranteed the shares to Colby Stockholders in August 2020, coinciding with the two-year anniversary of the acquisition.

What is diluted EPS?

Diluted Earnings Per Share takes into account the possibility that an organization may issue additional shares of stock that could decrease the earnings per share of existing shareholders. Diluted EPS is calculated by including all potential additional shares in the EPS calculation.

For example, if an organization had convertible securities or stock options, the dilution effect on EPS would be determined by the quantity of shares that would be created if all of these securities were exercised.

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the united states has gone through many transitions in how business is conducted and will continue to do so. how were the first businesses in the united states conducted?

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The first businesses in the United States were conducted as home-based cottage industries or small-scale commercial activities.

About small-scale commercial activities.

These businesses, which were prevalent in the late 18th and early 19th centuries, were usually run by a single person or a small group of family members or neighbors.Because the transportation infrastructure was still underdeveloped, most of these businesses were situated near rivers or other bodies of water that were used for transporting goods.

The production and distribution of goods were highly localized, with craftsmen specializing in specific trades like shoemaking, blacksmithing, or tailoring. A large number of these craftsmen worked from their homes, producing goods that were then sold in local markets or by traveling peddlers.In many instances, people lived on farms and engaged in some form of small-scale commercial activity, such as selling dairy products, eggs, vegetables, or livestock.

As the United States economy grew, large-scale commercial enterprises started to emerge, which were characterized by mass production, specialization of labor, and the introduction of new technologies.

However, the small-scale commercial activities that characterized the early years of the United States continued to exist, especially in rural areas where the cost of transportation made it difficult for large-scale businesses to operate.

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: Paint Job Estimator A painting company has determined that for every 115 square feet of wall space, one gallon of paint and eight hours of labor will be required. The company charges $25.00 per hour of labor. Write a program that prompts the user for price of the paint per gallon, the number of rooms to be painted and the square feet of wall space in each room, and displays a report showing: • The number of gallons of paint required • The cost of the paint • The hours of labor required The labor charges • The total cost of the paint job . Input volidation Do not accept a value less than 0 for the price of paint per gallon. Do not accept a value less than 1 for the number of rooms, Do not accept a value less than 25 for the square feet of wall space in a room. . Modular decomposition Define tunctions that are consistent with your algorithm Make sure to include functions aligned with the following characteristics: Void type Return type Rely on Value parameters for sending data to the function Rely on Reference parameters for updating multiple data elements within a function Note: I used the following function prototypes in my implementation, but you can define your own . . . ones double getPricePerGallon() int getRooms . . int calcWallSpace(int rooms) void calcPaint(int sgrFeet, double pricePaint, int& gallons, double& cost) void calcLabor(int sgrFeet, double & hours, double& cost) . >> paintEstimator.cpp Output Sample Microsoft Visual Studio Debug Console Paint Job Estimator ... Price per gallon of paint (>=0): 10.50 Number of rooms to be painted (>=1): 3 Square feet of wall space (>=25) Room 1: 150 Room 2: 70 Room 3: 180 Paint Job Estimate Paint ... Gallons of Paint: Cost of Paint: 4 $ 42.ee Labor ... Hours of Labor: Cost of Labor: 27.83 $ 695.65 Total Cost: $ 737.65

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The program displays a report showing the number of gallons of paint required, the cost of the paint, the hours of labor required, the labor charges, and the total cost of the paint job.

What is program?

Program is a set of instructions that tells a computer how to perform a specific task. Programs can be written in a variety of programming languages such as C++, Java, and Python. Programs are made up of a series of commands that are executed by the computer in order to perform the desired task.

The paint job estimator program is designed to calculate the total cost of a paint job for a given number of rooms. The program begins by prompting the user for the price of paint per gallon, the number of rooms to be painted, and the square feet of wall space in each room. The program then calculates the number of gallons of paint required, the cost of the paint, the hours of labor required, the labor charges, and the total cost of the paint job.
The program utilizes several functions in order to achieve its goal. The getPricePerGallon() function is used to prompt the user for the price of paint per gallon and validate that it is not less than 0. The getRooms() function is used to prompt the user for the number of rooms to be painted and validate that it is not less than 1. The calcWallSpace() function is used to prompt the user for the square feet of wall space in each room and validate that it is not less than 25.
The calcPaint() function is used to calculate the number of gallons of paint required and the cost of the paint. This function relies on value parameters for sending data to the function, including the square feet of wall space, the price of paint per gallon, and the number of gallons of paint required. The calcLabor() function is used to calculate the hours of labor required and the labor charges. This function relies on reference parameters for updating multiple data elements, including the square feet of wall space, the hours of labor required, and the cost of labor.

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true or false ireland produces more potatoes than any other country. this means it has an absolute advantage in potato production.

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False, I believe China produced more potatoes than any other country.

in recent years, direct labor as a percentage of total cost began declining, which caused overhead to

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In recent years, as direct labor as a percentage of total cost has declined, overhead costs would have increased.

Direct labor refers to the cost of labor directly involved in the production of goods or services, such as wages paid to workers who operate machinery or perform other tasks related to production. Overhead, on the other hand, refers to indirect costs that are not directly tied to production, such as rent, utilities, and administrative expenses. As the proportion of direct labor to total cost declines, it means that the other costs of production, including overhead, are becoming relatively more important. This is because a smaller proportion of total cost is being allocated to direct labor, leaving a larger share for other costs, including overhead. Therefore, as direct labor as a percentage of total cost declines, overhead costs would increase.

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what factors define canada as a postindustrial market economy?

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Canada is a postindustrial market economy because of its emphasis on service-based sectors, high-value knowledge-based businesses, economic integration, social safety net, infrastructure, and transportation system.

Due to a number of important features, Canada's economy is classified as a postindustrial market economy. First, there has been a transition in the economy away from manufacturing and heavy industry and towards service-based sectors like banking, healthcare, and information technology. Also, a focus is placed on high-value, knowledge-based businesses that demand specialized training and education, such as digital media, biotechnology, and research and development. Canada also has a high degree of economic integration with other nations, which is fueled by trade, investment, and involvement in international supply chains. In addition to promoting social equity and economic stability, the nation's robust social safety net and government funding for social programs also facilitate the smooth flow of people and things across the nation. Overall, the highly trained workforce, innovation, and integration into the international market are the hallmarks of Canada's postindustrial market economy.

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diminishing marginal rate of substitution can be seen when indifference curves part 2 a. are downward sloping. b. become flatter as we move down and to the right. c. cross. d. are convcave.

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Diminishing marginal rate of substitution can be seen when indifference curves part 2" is that become flatter as we move down and to the right. Hence option b. is correct.

What is marginal rate of substitution?

The extent to which a consumer can switch from one commodity to another while still feeling the same degree of fulfillment is known as the marginal rate of substitution.

For example, if a customer has two products, x and y, and is willing to exchange x for y at a rate of 2:1 that is the customer is willing to give up two units of x for one unit of y and still be equally satisfied, the MRS of x for y is 2.

Moving from left to right along the indifference curve results in a decreasing marginal rate of substitution. This decrease in the MRS is referred to as the law of diminishing marginal rate of substitution.

An indifference curve is a contour that graphically represents a consumer's taste or preference. It's a curve that depicts all of the possible combinations of two goods that provide the same level of fulfillment or pleasure to the customer.

The following are the qualities of an indifference curve: Downward-sloping, A curve that is not self-intersecting and Indifference curves that are farther to the right and higher are preferred to those that are lower and to the left.

Hence option b. is correct become flatter as we move down and to the right.

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What is the difference between financial and economic investment?

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Financial investment is a short-term investment, whereas economic investment is a long-term investment. Financial investment is an investment in financial assets, while economic investment is an investment in capital goods. Financial investment is made to generate a financial return, whereas economic investment is made to generate output and increase productivity.

An investment is an act of using money to purchase assets with the expectation that those assets will increase in value over time or generate income. Investments can be both financial and economic investments. Generally, financial investment focuses on the capital gains or appreciation of the asset, while economic investment focuses on the expected returns from the activity itself.

Financial investments are made to generate returns on investment. Financial investments aim to make money with your money. Financial investment is primarily focused on increasing wealth and reducing risk. Financial investment refers to the use of money to purchase assets that generate returns, such as stocks, bonds, mutual funds, real estate, and derivatives.

Economic investment is the act of investing money in capital goods, such as machines, buildings, factories, or infrastructure, to improve productivity, expand production capacity, or reduce production costs. Economic investments are made to generate output and increase productivity. It is primarily focused on increasing efficiency and competitiveness.

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Services range from highly tangible (a construction services provider builds a building) to highly intangible (a speaker delivers a speech). Intangible services cannot be stored. It cannot be requisitioned from inventory. In addition, service delivery involves some form of customer interaction. Variability in customer needs and expectations can create quality problems, especially when the service outcome is difficult to specify. The inability to store services:A))makes it easier to acquire services than goods.B))means timing is non-critical to successful service acquisition.C))creates quality assurance difficulties.D))is of little importance at the time of supplier selection.

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The inability to store services creates quality assurance difficulties. Therefore option is the correct answer.

Services refer to activities performed by people or machinery with the intention of creating customer value. Services range from highly tangible to highly intangible. A construction services provider, for instance, builds a building, whereas a speaker delivers a speech, which is an intangible service.In addition, service delivery involves some form of customer interaction.

Variability in customer needs and expectations can create quality problems, especially when the service outcome is difficult to specify. Because of its characteristics, it is more difficult to assess the quality of services compared to goods.

The inability to store services is the feature of services. Services cannot be stored; they cannot be requisitioned from inventory. As a result, they cannot be manufactured ahead of time or kept in stock. The inability to store services is a significant disadvantage because it creates quality assurance difficulties.

Among the given alternatives, option C) creates quality assurance difficulties as it is the correct answer.

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when the federal reserve announces that it is implementing a new interest rate policy, the _____ will be affected. a. real interest rate b. consumer lending rate c. nominal interest rate d. federal funds rate

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When the federal reserve announces that it is implementing a new interest rate policy, the federal funds rate will be affected. Therefore, option D is correct.

The federal funds rate is the interest rate at which banks lend each other money overnight to satisfy reserve requirements. It is known as the most important of all interest rates because it affects the cost of borrowing for everybody else.

The Federal Reserve System (Fed) regulates the amount of money available in the economy by adjusting the federal funds rate. When it raises the federal funds rate, it signals to banks that they must increase their own interest rates on loans to keep up with market demands. This will have an impact on consumer lending rates, mortgages, and business loan rates.

When the Federal Reserve announces that it is implementing a new interest rate policy, the federal funds rate will be affected. As previously stated, when the federal funds rate is adjusted, the real interest rate, consumer lending rate, and nominal interest rate will all be affected.

Hence, option D is correct.

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