the next dividend payment by savitz, incorporated, will be $4.55 per share. the dividends are anticipated to maintain a growth rate of 3 percent forever. if the stock currently sells for $58 per share, what is the required return?

Answers

Answer 1

The required return for Savitz, Inc.'s stock is 10.29% using the constant growth model formula.

The required return for a stock is the minimum rate of return that an investor expects to earn on their investment in the stock, taking into account the risk involved in the investment. It is the rate of return that compensates investors for the time value of money, inflation, and the risk they are taking by investing in the stock.

To calculate the required return, we can use the constant growth model formula:

R = ([tex]\frac{D1}{PO}[/tex]) + g.

D1 is the next dividend payment, which is given as $4.55. P0 is the current stock price, which is given as $58. The growth rate is given as 3%.

Plugging in the values, we get

R = ([tex]\frac{4.55}{58}[/tex]) + 0.03 R = 0.1029, or 10.29%.

Therefore, the required return for the stock is 10.29%.

Learn more about the required return https://brainly.com/question/20114045

#SPJ11


Related Questions

A perfect correlation, whether positive or negative, is ________ in the real world.Answers:A. found in most human studiesB. zeroC. found in most animal studiesD. very unlikely to occur

Answers

The given statement 'A perfect correlation, whether positive or negative, is very unlikely to occur in the real world' is true. Therefore, option D is the correct answer.

Correlation is a statistical concept that refers to the degree of connection between two variables. It is a type of study that determines the relationship between variables. The correlation can be categorized into two types. These are:Positive correlationNegative correlationPositive correlation:In a positive correlation, variables move in the same direction. That is, if one variable increases, the other variable also increases. This is also called direct correlation.

Examples of positive correlation are the height and weight of a person. If height increases, weight also increases.Negative correlation:In negative correlation, variables move in opposite directions. That is, if one variable increases, the other variable decreases. This is also called inverse correlation.Example of negative correlation are price and demand. If the price of the product increases, the demand for the product decreases.So, the correct option is D.

Learn more about research methods and statistics in psychology:https://brainly.com/question/30493220

#SPJ11

Answer:

sD. very unlikely to occur

Explanation:

A rising GDP and a falling unemployment rate are most likely indicators that an economy is in which phase of the business cycle?

answer: expansion

Answers

A rising GDP and a falling unemployment rate are most likely indicators that an economy is in the expansion phase of the business cycle.

During the expansion phase, the economy experiences an increase in economic activity and employment opportunities, resulting in a rise in GDP and a decline in unemployment rate. This phase is typically characterized by increased consumer and business spending, rising stock prices, and increasing confidence in the economy. The expansion phase is usually followed by the peak, recession, and trough phases in the business cycle.

The business cycle refers to the fluctuation of economic activity in an economy over time. It is typically characterized by alternating periods of expansion and contraction, with the peak, recession, and trough phases in between. Various factors contribute to the business cycle, including consumer spending, business investment, and government policies.

learn more about GDP here

https://brainly.com/question/30504843

#SPJ1

Some firms offer _____, which provide powerful Web-based support for transaction such as order processing, billing, and customer relationship management.
A. ASP
B. IBS
C. fixed usage
D. fire-fee transfer

Answers

Some firms offer IBS (Internet Business Solutions), which provide powerful Web-based support for transactions such as order processing, billing, and customer relationship management.

IBS (Internet Business Solutions) refer to e-commerce solutions that businesses offer to customers for making online purchases or paying bills. IBS is a comprehensive and adaptable e-commerce package that allows companies to build and deploy their e-commerce sites quickly.

IBS allows companies to create an IBS, track customer orders and preferences, and manage the financial aspects of online transactions. These tools are effective in streamlining the sales and billing process, automating customer interactions, and improving order accuracy and fulfillment. The correct option is B. IBS.

Learn more about Internet Business Solutions at https://brainly.com/question/13165862

#SPJ11

You subscribe to Sirius XM Radio and pay $12 at the end of each month (which equates to $144 per year). You plan to keep this service for the next five years. Assume you have plenty of cash in your emergency reserve fund, which is in a bank account earning 4% interest per annum. XM Radio offers you a deal whereby you can prepay two years worth of service for $230, payable today.Given these assumptions and relative to the interest you will earn by keeping the money in interest bearing bank account,You are better off to continue to pay monthly given the current rate of interest paid by your bank.You are better off to prepay XM for the next two years.You can not answer the question with the facts provided.You should never prepay for monthly services regardless of the assumptions given above.

Answers

In the following question, among the conditions given on Sirius XM Radio, The statement that is true is: You are better off to prepay XM for the next two years.

What is Sirius XM Radio? Sirius XM Radio Holdings Inc. is an American broadcasting company that offers three satellite radio and online radio services operating in the United States: Sirius Satellite Radio, XM Satellite Radio, and Sirius XM Radio.

It provides audio content from a range of genres, such as commercial-free music, news, entertainment, sports, and talk channels. Sirius XM Radio is a satellite radio service, so it offers higher audio quality, more channel choices, and the ability to listen almost anywhere. The question asks us whether or not prepaying for XM Radio for two years is worth it, relative to the interest earned in an interest-bearing bank account, given the assumption that the subscriber will keep the service for the next five years.

Annual payment of Sirius XM Radio$12 * 12 months = $144In the next five years, the total amount spent on Sirius XM Radio is$144 * 5 = $720 If the subscriber pre-pays for two years at $230, they would save$144 * 24 - $230 = $2.716. Furthermore, the subscriber can earn an extra 4% on this amount by keeping it in their bank account for the next two years.

After two years, the subscriber has to make annual payments of $144. Therefore, the total amount spent over the next five years is:$2,716 * (1.04)2 + $144 * 3 = $3,623.29The net amount earned after five years is:$720 - $3,623.29 = -$2,903.29

Since the final balance is negative, we can conclude that the subscriber is better off prepaying XM for the next two years. Therefore, the statement that is true is: You are better off prepaying XM for the next two years.

For more such questions on Sirius XM Radio

https://brainly.com/question/3728675

#SPJ11

New companies often experience rapid sales growth and increases in working capital. Working capital increases are caused by increases in sales-related asset accounts, such as ______ and _______ accounts.

Answers

New companies often experience rapid sales growth and increases in working capital. Working capital increases are caused by increases in sales-related asset accounts, such as Accounts Receivable and Inventory accounts.

What is working capital?

Working capital (WC) is the amount of money available to a company to manage its short-term obligations, including accounts payable, wages, inventory, and accounts receivable. The terms "Working Capital" and "Working Capital Management" are sometimes used interchangeably. The purpose of working capital management is to ensure that a firm has sufficient cash on hand to pay its short-term debts and expenses.

An inventory account is an account that keeps track of a company's raw materials, work-in-progress products, and finished goods. Inventory accounts include data on the cost of goods sold (COGS), which is the amount of money a firm spent on producing the goods that it sells. Companies record inventory as an asset in their financial statements.

Learn more about Working capital here: https://brainly.com/question/28504087

#SPJ11

Businesses typically have many systems, some internally developed, some purchased, and others acquired. Businesses want these systems to communicate with one another and provide users with easier access to data. There are three systems configurations that consolidate and coordinate data across multiple locations. These three include centralized systems, decentralized systems, and distributed systems. Each configuration has advantages and disadvantages.
Which of the following is a disadvantage of decentralized systems?
-It is the most expensive option as it involves higher maintenance costs.
-Since each location has its own system, there is an increase in security risk as more systems must be protected and monitored.
- The risk of business disruption is greater because any disruption impacts the entire system.
-It is more difficult to implement as it is the most complex of the three.

Answers

The disadvantage of decentralized systems is: Since each location has its own system, there is an increase in security risk as more systems must be protected and monitored.

A decentralized system is a computer network that enables the sharing of information across a network of computers. In such a network, every node or computer is responsible for its own processing and data storage.

It enables the sharing of data between various parties in a manner that does not require a central authority. A decentralized system provides several benefits such as increased efficiency, reduced costs, and increased innovation.

However, there are also some disadvantages to using a decentralized system. One disadvantage is that there is an increased risk of security breaches since more systems must be protected and monitored.

Learn more about disadvantge decentralized system https://brainly.com/question/13717247

#SPJ11

Assume that you contribute $330 per month to a retirement plan for 15 years Then you are able to increase the contribution to $530 per month for the next 25 years. Given an 8% interest rate, what is the value of your retirement plan after the 40 years? (Do not round intermediate calculations and round your final answer to 2 decimal places)
Initial monthly contributions $330
Number of years 15
Subsequent monthly contribution $530
Number of years 25
Interest rate earned 8.00%
Complete the following analysis.
Value at end of first set of contributions.
Value at end of second set of contributions.

Answers

Assuming you contribute $330 per month for 15 years and then increase your contribution to $530 per month for the next 25 years, with an 8% interest rate, the value of your retirement plan after 40 years is $1,594,082.76.

To calculate the value of your retirement plan, we will first calculate the value at the end of the first set of contributions. The formula for calculating the future value of an annuity is:
FV = PV (1+r)n

Where FV is the future value of the annuity, PV is the present value of the annuity, r is the interest rate per period, and n is the number of periods.
For the first set of contributions, the PV is $330 and n is 15. Thus, the value at the end of the first set of contributions is:
FV = $330 (1+ 0.08)15 = $45,616.54

For the second set of contributions, we need to take the value of the first set of contributions and add to it the future value of the second set of contributions. The formula for calculating the future value of an annuity with an increasing payment is:
FV = PMT [(1+r)n - 1]/r

Where PMT is the amount of the payment, r is the interest rate per period, and n is the number of periods.
For the second set of contributions, the PMT is $530 and n is 25. Thus, the value at the end of the second set of contributions is:
FV = $530 [(1+ 0.08)25 - 1]/ 0.08 = $1,548,466.22

Finally, we add the value at the end of the first set of contributions and the value at the end of the second set of contributions to get the total value of the retirement plan after 40 years:
$45,616.54 + $1,548,466.22 = $1,594,082.76

Thus, the value of your retirement plan after 40 years is $1,594,082.76.

For more questions on retirement plan

https://brainly.com/question/28008155

#SPJ11

Case Inc. Is a construction company specializing in custom patios. The patios are constructed of concrete, brick, fiberglass, and lumber, depending upon customer preference. On June 1, 2020, the general ledger for Case Inc. Contains the following data.

Raw Materials Inventory $4,400 Manufacturing Overhead Applied $33,100

Work in Process Inventory $5,750 Manufacturing Overhead Incurred $32,200

Subsidiary data for Work in Process Inventory on June 1 are as follows.

Job Cost Sheets

Customer Job

Cost Element Rodgers Stevens Linton

Direct materials $700 $900 $1,000

Direct labor 300 500 600

Manufacturing overhead 375 625 750

$1,375 $2,025 $2,350

During June, raw materials purchased on account were $4,900, and all wages were paid. Additional overhead costs consisted of depreciation on equipment $800 and miscellaneous costs of $500 incurred on account.

A summary of materials requisition slips and time tickets for June shows the following.

Customer Job Materials Requisition Slips Time Tickets

Rodgers $800 $800

Koss 1,900 800

Stevens 600 300

Linton 1,200 1,000

Rodgers 400 300

4,900 3,200

General use 1,600 1,300

$6,500 $4,500

Overhead was charged to jobs at the same rate of $1. 25 per dollar of direct labor cost. The patios for customers Rodgers, Stevens, and Linton were completed during June and sold for a total of $ 20,600. Each customer paid in full

Answers

The journal entry,  Work in Process Inventory Account, Schedule of Cost of goods manufactured are as follows:

General Journal:

Debit Raw Materials $4,900

Credit Accounts Payable $4,900

To record the purchase of raw materials on account.

Debit Manufacturing Overhead Incurred $1,300

Credit Accounts Payable $500

Credit Accumulated Depreciation $800

To record depreciation and miscellaneous costs incurred on account.

Debit WIP  $11,000

Credit Raw materials $6,500

Credit Direct labor $4,500

To record costs incurred.

Debit WIP $6,000

Credit Manufacturing overhead $6,000

To record costs incurred.

Debit Finished Goods $ (22,750)

Credit WIP $ (22,750)

To record the transfer of WIP.

2. Work in Process Inventory Account

Beginning balance                     $5,750

Debit raw materials                     6,500

Debit Direct labor                        4,500

Debit manufacturing overhead  6,000

Credit: Finished goods             (22,750)

Ending Balance                        $5,450

4. Schedule of Cost of goods manufactured:

Beginning WIP balance             $5,750

Raw materials                              6,500

Direct labor                                  4,500

Manufacturing overhead            6,000

Ending Balance                          (5,450)

Finished goods                          (22,750)

a) Raw Materials Inventory

Beginning balance            $4,400

Debit: Accounts Payable    4,900

Credit: WIP                        (6,500)

Ending balance                $3,200

b) Manufacturing Overhead Applied

Beginning balance              $33,100

Credit WIP                             (6,000)

Ending balance                 $27,100

c) Manufacturing Overhead Incurred

Beginning balance              $32,200

Debit: Accounts Payable           500

Debit: Depreciation                   800

Ending balance                  $33,500

d) Journal entries were used/utilized to post the transactions for June to/into the ledger accounts, where the transactions were summarized, and then ending balances extracted.

To learn more about journal entry, here:

https://brainly.com/question/20421012

#SPJ4

Complete question:

nstructions1. Journalize the June transactions: (1) for purchase of raw materials, factory labor costs incurred, and manufacturing overhead cost incurred; (2) assignment of direct materials, labor, and overhead to production; and (3) completion of jobs and sale of goods.2. Post the entries to Work in Process Inventory.3. Reconcile the balance in Work in Process Inventory with the costs of unfinished jobs.4. Prepare a cost of goods manufactured schedule for June.

McLaughlin and Ferris is an accounting firm that has a stiff,bureaucratic structure. The company has a promotion scheme where people who have finished a certain number of years in service get a pay hike and a promotion. For the human resources manager at McLaughlin and Ferris, this decision highlights which of the following types of decisions? O satisficing O nonsatisficing O programmed O nonprogrammed O bounded rationality

Answers

The decision of the human resources manager at McLaughlin and Ferris to highlight their promotion scheme for employees who have finished a certain number of years of service reflects the programmed type of decision.

What's Programmed decisions

Programmed decisions are made in response to a common problem, and the procedure for addressing it is known. These are routine activities in the context of a company, and the person making the decision has a structured approach to finding a solution. These types of choices are well-defined, simple, and predictable.

Organizations create a standard protocol for the resolution of programmed issues, which they follow every time.Programmed decisions are associated with operational administration because they are frequently taken by operational employees such as the Human Resource Manager.

Programmed decisions are also taken by the lower management team. As the HR manager at McLaughlin and Ferris has made a decision to provide a pay hike and promotion to employees who have completed a specific number of years in service, the decision reflects the programmed type of decision.

Learn more about programmed decision at

https://brainly.com/question/13631418

#SPJ11

High prices signal buyers to buy less and producers to:
a. produce more
b. produce less
c. buy less
d. buy more

Answers

Answer: b. produce less. The law of demand states that the quantity demanded decreases as the price increases

Explanation: High prices signal buyers to buy less and producers to produce less. The market demand curve shows the total quantity of a good or service that all customers in a market will purchase at a certain price level. As the price of a good or service rises, the demand for that good or service decreases, indicating that fewer units will be purchased. The law of demand states that the quantity demanded decreases as the price increases. This implies that when prices are high, customers are willing to purchase less, and when prices are low, customers are willing to purchase more. When producers produce more products, the market becomes flooded with them, causing the price to decrease as a result of oversupply.

As a result, producers reduce their production of goods or services when the price is high, anticipating a decrease in demand, and increase production when the price is low to take advantage of higher demand.

To learn more about “demand” refer to the https://brainly.com/question/1222851

#SPJ11

Because of the pervasive effects of laws and regulations on the financial statements of governmental units, an auditor should obtain written management representations acknowledging that management has: 1. Employed internal auditors who can report their findings, opinions, and conclusions objectively without fear of political repercussion. 2. Implemented internal controls designed to detect all illegal acts. 3. Responsibility for understanding and complying with compliance requirements. 4. Expressed both positive and negative assurance to the auditor that the entity complied with all laws and regulations.

Answers

An auditor should obtain written management representations acknowledging that management has responsibility for understanding and complying with compliance requirements. (option 3)

This means that management is responsible for understanding and following the laws and regulations that apply to the entity and for ensuring that the financial statements are in compliance with those requirements.

While internal auditors may be employed by governmental units, their objectivity may be influenced by political pressure, so it is not necessary for management to provide written representations about the objectivity of internal auditors.

Similarly, it is not possible for internal controls to detect all illegal acts, so it would not be appropriate for management to provide written representations that all illegal acts will be detected.

Learn more about auditor here:

https://brainly.com/question/26048609

#SPJ11

jarrod king, a private investor, purchases a treasury bill with a $10,000 par value for $9,645. one hundred days later, jarrod sells the t-bill for $9,719. what is jarrod's expected annualized yield from this transaction? a. 2.80 percent b. 10.55 percent c. 13.43 percent d. 2.25 percent e. none of these choices are correct.

Answers

Jarrod King's purchase of a Treasury bill for $9,645 and sale of it for $9,719 after 100 days resulted in an expected annualized yield of 2.80%. Thus, Option D is correct.

To calculate the expected annualized yield, we need to use the formula for yield to maturity, which takes into account the purchase price, sale price, par value, and time to maturity:

Yield to maturity = [tex]\frac{(par value-purchaseprice)}{purchase price} x\frac{365}{daystomaturity}[/tex]

Using the given values, we have:

Yield to maturity = [tex]\frac{(10,000-9,645)}{9,645} x\frac{365}{100}[/tex]Yield to maturity = 0.0362 x 3.65Yield to maturity = 0.13193 or 13.193%

However, this yield is based on the assumption that the T-bill is held until maturity, which is 100 days. Since Jarrod sold the Treasury bill after only 100 days, the actual yield earned would be less than the yield to maturity. To annualize this actual yield, we can use the following formula:

Annualized yield = [tex]\frac{(salesprice-purchaseprice)}{purchase price} x\frac{365}{daysheld}[/tex]

Using the given values, we have:

Annualized yield = [tex]\frac{(9,719-9,645)}{9,645} x\frac{365}{100}[/tex]Annualized yield = 0.0077 x 3.65Annualized yield = 0.028 or 2.8%

Therefore, the expected annualized yield for Jarrod's transaction is 2.8%, which is option (d).

Learn more about Treasury bill https://brainly.com/question/13095860

#SPJ11

suppose the world price of a television is $300. before paraguay allowed trade in televisions, the price of a television there was $350. once paraguay began allowing trade in televisions with other countries, paraguay began

Answers

As trade with other nations was permitted, the price of televisions in Paraguay dropped to $300, showing that the country had been producing televisions at a greater cost than the market rate.

When are there externalities in a market?

When a market has a positive externality, less food is consumed than what is considered to be the socially ideal amount. Positive externalities are not present in the market when private profits are equal to societal benefits.

How much do peaches cost domestically before trade?

Peaches cost $40 per bushel on the US domestic market prior to trade. Peaches sell for $52 per bushel on the global market. In the peach market, the US is a price taker.

To know more about market rate visit:-

https://brainly.com/question/29352803

#SPJ1

during the pandemic many distilleries started producing hand sanitizer as the demand increased while the supply decreased. producing hand sanitizer instead of liquor is an example of? group of answer choices trade surplus opportunity cost comparative advantage absolute advantage trade deficit

Answers

The distilleries starting to produce hand sanitizer instead of liquor is an example of opportunity cost. Hence option B. is correct.

What is opportunity cost?

Opportunity cost is a term used to describe the cost of a missed opportunity. It is the price of the foregone alternative, and is determined by the next best alternative use of the resources.

A pandemic is an outbreak of a disease that occurs over a wide geographic region and affects a large population.

Due to the outbreak of pandemic, there was an increase in demand for hand sanitizers which led to a decrease in the supply of the same.

Hence, many distilleries started producing hand sanitizers instead of liquor. This led to an increase in the supply of hand sanitizers which helped to meet the demand of people.

Hence option B. opportunity cost is correct.

Learn more about opportunity cost here:

brainly.com/question/3611557

#SPJ11

when a bond is sold at a premium the: group of answer choices effective interest rate is less than the stated rate. effective interest rate is greater than the stated rate. effective interest rate relative to the stated rate is not known. interest expense during the life of the bond exceeds the amount of cash interest payments during the life of the bond.

Answers

When a bond is sold at a premium the effective interest rate is less than the stated rate. This statement is true regarding a bond sold at a premium. When a bond is sold at a premium, it is selling for more than its face value.

Bond premiums arise when the stated interest rate (coupon rate) of the bond is greater than the market interest rate on the date the bond face value issued.

Bond premiums are established by market forces, and they reflect a bond's creditworthiness and the current state of the economy. Bond premiums are one of the most well-known bond concept.

Bond premiums arise when the market is weak and the demand for securities is limited, while the supply is excessive. In comparison to the face value of the bond, the premium is expressed as a percentage.

Know more about  face value here:

https://brainly.com/question/30626137

#SPJ11

wooden goods, inc. (wgi) makes custom wooden furniture for outdoor seating. last year, wgi turned their inventory 4.8 times and had a cost of goods sold of $2.7 million. assume 52 business weeks per year. express last year's average inventory in weeks of supply. (enter your response rounded to one decimal place)

Answers

The average inventory in weeks of supply is 10.8 weeks.

Calculation of average inventory in weeks of supply:

Inventory turnover ratio = 4.8

Cost of goods sold (COGS) = $2.7 million

Business weeks per year = 52 weeks

Average inventory can be calculated using the formula:

Average inventory = COGS / Inventory turnover ratio

We have COGS and inventory turnover ratio.

Let's put the given values in the formula,

[tex]Average inventory = $2,700,000 / 4.8= $562,500[/tex]

The problem statement asks us to find the average inventory in weeks of supply, which is calculated as:

[tex]Average inventory in weeks of supply = (Average inventory / COGS) * Weeks per year\\Average inventory in weeks of supply = ($562,500 / $2,700,000) * 52\\Average inventory in weeks of supply = 0.20833 * 52= 10.83 weeks\\[/tex]

Rounding off the answer to one decimal place, we get the average inventory in weeks of supply is 10.8 weeks.

Learn more about average inventory here:

https://brainly.com/question/28316183

#SPJ11

31. The contribution income statement differs from the traditional income statement in which of the following ways?A. The traditional income statement reports higher income.B. The traditional income statement subtracts all variable costs from sales to obtain the contribution margin.C. Cost-volume-profit relationships can be analyzed from the contribution income statement.D. The effect of changes in sales volume on income is readily apparent on the traditional income statement.E. The contribution income statement separates costs into product and period categories.

Answers

The contribution income statement differs from the traditional income statement in this way:

Cost-volume-profit relationships can be analyzed from the contribution income statement. The correct option is C.

What is the contribution income statement?

The contribution income statement is a specialized type of income statement that calculates and presents the contribution margin. The contribution margin is the difference between revenue and variable expenses in this context.Variable expenses are the costs incurred directly as a result of making and selling a product or service, such as raw materials or labor.

As a result, the contribution margin is a more accurate indicator of the amount of income produced by the company's primary activities than the net income generated by the traditional income statement.In conclusion, the contribution income statement separates costs into product and period categories.

This is one of the ways in which it differs from the traditional income statement. The contribution margin is calculated in the contribution income statement. It is the difference between revenue and variable costs.

Learn more about income statement at

https://brainly.com/question/28936505

#SPJ11

which aspect of preparing an accounting worksheet typically requires the greatest involvement by the accountant?

Answers

Adjustments is an aspect of preparing an accounting worksheet typically requires the greatest involvement by the accountant. It is one of the most crucial task of an accountant.

Adjustments are accounting entries made at the end of the accounting period to adjust accounts for the effects of internal and external events that have not been recorded. They are necessary to ensure that the financial statements are accurate and complete.

Adjustments are classified into two types, namely accruals and deferrals. Accruals are revenues or expenses that have been earned or incurred but not yet recorded, while deferrals are revenues or expenses that have been recorded but not yet earned or incurred.

However, it is important to take the time to ensure that the financial statements are accurate, as errors or omissions can lead to serious consequences for the organization, such as legal problems or financial problems.

Know more about financial statements here:

https://brainly.com/question/14951563

#SPJ11

when lower income groups are more affected by a tax than higher income groups, the tax structure in place is

Answers

When lower income groups are more affected by a tax than higher income groups, the tax structure in place is regressive.

What is a regressive tax system?

A regressive tax is a tax that has a disproportionate effect on individuals with lower incomes. This means that the tax levied decreases as income increases. As a result, it is a tax on the consumption of goods and services, and it falls more heavily on low-income individuals.

A regressive tax places a larger burden on those who can least afford it. Lower income groups are more affected by a regressive tax structure than higher income groups. The income of a low-income family is not sufficient to meet their daily needs.

As a result, any additional taxes paid by low-income earners have a more significant impact on their well-being than on those with higher incomes. There are a few different types of regressive taxes, such as sales taxes, property taxes, and excise taxes.

What is a progressive tax system?

A progressive tax structure is one in which the tax rate rises as the taxable amount rises. The amount of tax payable increases as the taxable amount increases. The government usually implements progressive taxes to reduce wealth inequality by raising taxes on the wealthy while lowering taxes on the poor.

A progressive tax system is designed to be equitable by taxing individuals based on their capacity to pay. High-income earners are taxed more, while low-income earners are taxed less in a progressive tax structure. As a result, it redistributes wealth from the wealthy to the less fortunate.

Learn more about  regressive tax here:

brainly.com/question/21404149

#SPJ11

The EcoWorld Foundation has recently started a large-scale project on handling climate changes. Team members of the project are currently working on finding numerous possible solutions to tackle the issue. They are debating solutions such as shifting to renewable energy, limiting the use of coal, and promoting the improvement of electric automobiles. The members of the project are most likely in the __________ stage of the life of the team.

Answers

The EcoWorld Foundation team members are most likely in the Forming stage of the life of the team. In this stage, team members are likely discussing possible solutions to tackle the issue of climate change, such as shifting to renewable energy, limiting the use of coal etc.

What is the Forming stage of the team's life?

The team formation process has four stages: forming, storming, norming, and performing. Forming is the first stage, in which the team members get to know one another, establish some goals, and begin to work out who is in charge of what. Team members are generally cautious during this stage because they don't know each other very well.

Team members often explore the boundaries of good behavior at this point, frequently testing the patience and boundaries of the group's leader. This is a difficult stage for the team, as it can be difficult to establish an identity and purpose when everyone is still getting to know one another. Many teams never leave this stage, devolving into infighting and ultimately dissolving because they are unable to establish their identity and purpose.

learn more about Forming stage of the team's life here:

https://brainly.com/question/29024062

#SPJ11

what three tips on how to incorporate an influencer strategy at your next event by allen yesilevich?

Answers

Here are three tips on how to incorporate an influencer strategy at your next event:

Set clear goals: Before you begin identifying potential influencers, it's important to have a clear understanding of your event goals and what you hope to achieve through influencer marketing. Are you looking to increase event attendance, generate buzz on social media, or drive engagement with your target audience? Once you've defined your goals, you can better identify influencers who can help you achieve them.

Build authentic relationships: Influencer marketing is most effective when you build authentic relationships with influencers. Take the time to research potential influencers and their content, engage with them on social media, and provide value to them before you pitch a partnership. This can help establish a foundation of trust and ensure that the influencer's endorsement of your event is genuine.

Provide value to your influencers: To incentivize influencers to promote your event, consider offering them value in exchange for their participation. This could include free event tickets, exclusive access to speakers or VIP areas, or compensation for their time and effort. By providing value to your influencers, you can build stronger relationships and ensure that they are motivated to promote your event to their audience.

Incorporating an influencer strategy at your next event can help you reach a wider audience and generate excitement around your event. By setting clear goals, building authentic relationships, and providing value to your influencers, you can create a successful influencer marketing campaign that drives results.

Learn more about marketing here brainly.com/question/15483550

#SPJ4

Team member characteristics should ________ the responsibilities of the team if the team is to be effective.a. reward
b. fit
c. strategize
d. describe
e. impede

Answers

Team member characteristics should fit  the responsibilities of the team if the team is to be effective. (option b)

In order for a team to be effective, it is important for the team member characteristics to fit the responsibilities of the team. This means that team members should have the necessary skills, knowledge, and experience to perform the tasks assigned to them.

When team members fit the responsibilities of the team, they are better equipped to contribute to the team's goals and objectives. On the other hand, if team members do not fit the responsibilities of the team, they may struggle to perform their tasks, which can impede the team's progress and effectiveness.

Therefore, it is important for team leaders and managers to carefully consider the skills and characteristics of team members when assigning roles and responsibilities.

Learn more about team member here:

https://brainly.com/question/30239402

#SPJ11

in creating lead schedules for an audit engagement, a cpa often uses automated work paper software. what client information is needed to begin this process? interim financial information such as third quarter sales, net income, and inventory and receivables balances,

Answers

The client information needed to begin creating lead schedules for an audit engagement using automated work paper software is interim financial information such as third quarter sales, net income, and inventory and receivables balances.

This information is necessary in order to accurately assess the financial standing of the company and develop an audit strategy.

The financial statements provide a snapshot of the company’s financial health and performance, which will allow the auditor to review the internal control environment, identify potential risks and liabilities, and plan out the audit engagement.

This information is needed to form the basis for the audit and for the CPA to develop a timeline for the audit, review the financial transactions, and perform testing.

Additionally, the information can be used to compare and evaluate the company's performance from prior years and identify any changes or trends.

To know more about financial transactions click on below link:

https://brainly.com/question/30780893#

#SPJ11

Ideally, GDP and other measures of national income converted to U.S. dollars, should be calculated on the basis of purchasing power parities or through direct comparisons of actual prices for a given product. true oe false?

Answers

The given statement "Ideally, GDP and other measures of national income converted to U.S. dollars, should be calculated on the basis of purchasing power parities or through direct comparisons of actual prices for a given product" is true.

What is purchasing power parity? Purchasing power parity (PPP) is a relative measure of a country's economic well-being that compares the value of goods and services between different countries based on exchange rates. It shows the relative strength of a currency in terms of the quantity of goods and services it can purchase. GDP and other measures of national income converted to U.S. dollars should be calculated on the basis of purchasing power parities or through direct comparisons of actual prices for a given product, according to the statement, which is true. Therefore, this statement is true.

Read more about income here:https://brainly.com/question/30157678

#SPJ11

In 1990 the United States began to levy a tax on sales of luxury cars. For simplicity, assume that the tax was an excise tax of $6000 per car. The accompanying figure shows hypothetical demand and supply curves for luxury cars. a. Under the tax, what is the price paid by consumers? What is the price received by producers? What is the government tax revenue from the excise tax? Over time, the tax on luxury automobiles was slowly phased out (and completely eliminated in 2002). Suppose that the excise tax falls from $6000 per car to $4500 per car.b. After the reduction in the excise tax from $6000 per car to $4500 per car, what is the price paid by consumers? What is the price received by producers? What is tax revenue now?c. Compare the tax revenue created by the taxes in parts a and b. What accounts for the change in tax revenue from the reduction in the excise tax?

Answers

The excise tax of $6,000 per car will result in a charge for consumers of $35,000 and a price for produce of $29,000. Excise tax divided by the number of vehicles sold yields a figure of ($6000)*(10,000), or $60,000,000.

What occurs when a tax is imposed on a product's sellers?

The demand curve won't alter if a tax is imposed on the product's supplier; instead, the tax will increase the equilibrium price and decrease the equilibrium quantity.

Under the excise tax of $6000 per car

the original supply curve shifted upward by $6000.

The equilibrium price would be $30,000

Consumers would pay a price of $30,000 plus the $6000 tax, for a total price of $36,000 per car.

After the reduction in the excise tax from $6000 per car to $4500 per car

The original supply curve shifted upward by $4500.

To know more about consumers visit:-

https://brainly.com/question/30132393

#SPJ1

A company has build a KNN classifier that gets 100% accuracy on training data. When they deployed this model on client side it has been found that the model is not at all accurate. Which of the following thing might gone wrong? (Note : Model has successfully deployed and no technical issues are found at client side except the model performance.) * It is probably a overfitted model It is probably a underfitted model None of these It is a good fit model

Answers

The most likely reason for the KNN classifier to perform poorly on the client side despite achieving 100% accuracy on the training data is that "the model is overfitted". Thus, Option A is correct.

Meaning it has learned to memorize the training data instead of generalizing to new, unseen data, leading to poor performance on the client's data, which may differ in distribution or characteristics from the training data.

This highlights the importance of validating the model's performance on a separate dataset, such as a validation or test set, to ensure that it can generalize well to new data and avoid overfitting. Therefore, further evaluation and improvements, such as regularization or increasing the size of the training set, may be necessary to improve the model's performance on the client's data.

Learn more about training data https://brainly.com/question/29382846

#SPJ11

If the natural rate of unemployment exceeds the actual rate of unemployment, which of the following will occur in the long run in the absence of govemment intervention?
a There will be cyclical unemployment.
b Input prices will derease.
с Nominal wages will increase
d The aggregate demand curve will shift to the left.
e The short-run aggregate supply curve will shift to the right.

Answers

If the natural rate of unemployment exceeds the actual rate of unemployment, nominal wages will increase in the long run in the absence of government intervention.

Nominal wages are the amount of money paid to employees as remuneration for their labor, regardless of their actual purchasing power, and they often follow an upward trend.

The natural rate of unemployment is the percentage of people who are unemployed because of changes in the economy, such as recessions, business cycles, or economic growth.

The nominal wage rate, in particular, refers to the wage rate in current prices, and it is unlikely to be influenced by the state of the economy, such as inflation, growth, or recession.

The long-run trend of nominal wages is upward, which implies that as the economy grows, nominal wages will rise.

As a result, if the natural rate of unemployment exceeds the actual rate of unemployment, nominal wages will increase over time in the absence of government intervention.

Learn more about nominal wages here:

https://brainly.com/question/31090808

#SPJ11

why is it so important for your credit report to be completely accurate?

Answers

It is important for your credit report to be completely accurate because it affects your ability to obtain credit, loans, or even a job in the future. Inaccuracies on your credit report can result in higher interest rates, being denied credit, and even legal issues.

A credit report is a detailed report that shows an individual's credit history. It contains information about how much credit they have been given, how much they have used, and how much they have paid back.

Credit reports are utilized by lenders, credit card companies, and other financial institutions to determine the risk associated with lending an individual money or credit. These reports help companies determine if an individual is a reliable borrower, and it also helps them determine the terms and conditions of lending money or credit.

If there are errors on a credit report, a lender may think the individual is a riskier borrower than they actually are, which could result in higher interest rates, being denied credit, and even legal issues. Therefore, it is essential that credit reports be accurate.

For more such questions on credit report

brainly.com/question/30239492

#SPJ11

Assume that Schmitt Inc. provides car parking services in a perfectly competitive output market and hires labor in a perfectly competitive input market. The market price per car parked is $10, the daily market wage per worker is $100, and fixed costs are $50 per day. The table above shows the number of workers required to park different quantities of cars per day. (a) Calculate the marginal revenue product of the second worker. Show your work.
(b) How many workers will Schmitt Inc. hire to maximize profit? Relative to this number of hired workers, explain why Schmitt Inc. will not hire one additional worker. Your answer must use marginal analysis and numbers from the table.

Answers

(a) The marginal revenue product of the second worker is the additional revenue generated by one extra worker, which is calculated by multiplying the additional cars parked (1 car) by the price per car parked ($10). Therefore, the marginal revenue product of the second worker is $10.

(b) Schmitt Inc. will hire 4 workers to maximize profit. The marginal revenue product of the fourth worker is the additional revenue generated by one extra worker, which is calculated by multiplying the additional cars parked (2 cars) by the price per car parked ($10). Therefore, the marginal revenue product of the fourth worker is $20. This is greater than the daily market wage per worker ($100) and the fixed costs ($50 per day). Therefore, it is profitable to hire one more worker and Schmitt Inc. will hire 4 workers to maximize profit. Relative to this number of hired workers, Schmitt Inc. will not hire one additional worker because the marginal revenue product of the fifth worker is the additional revenue generated by one extra worker, which is calculated by multiplying the additional cars parked (1 car) by the price per car parked ($10).

Therefore, the marginal revenue product of the fifth worker is $10. This is less than the daily market wage per worker ($100) and the fixed costs ($50 per day). Therefore, it is not profitable to hire one more worker and Schmitt Inc. will not hire one additional worker.

Know more about Marginal revenue product here:-

https://brainly.com/question/14039562#

#SPJ11

exercise 20.7 (static) using cost-volume-profit formulas (lo20-4, lo20-5, lo20-6) murder to go! writes and manufactures murder mystery parlor games that it sells to retail stores. the following is per-unit information relating to the manufacture and sale of this product. unit sales price $ 30 variable cost per unit 6 fixed costs per year 360,000 a. determine the contribution margin ratio. b. determine the sales volume (in dollars) required to break even. c. determine the sales volume (in dollars) required to earn an annual operating income of $440,000. d. determine the margin of safety (in dollars) if annual sales total 60,000 units. e. determine the operating income if annual sales total 60,000 units.

Answers


A. Contribution margin ratio:  Contribution margin = Unit sales price - Variable cost per unit = $30 - $6 = $24

Contribution margin ratio = Contribution margin / Unit sales price = $24/$30 = 0.8



B. To break even, total sales volume (in dollars) must equal total fixed costs:

Break even sales volume (in dollars) = Total fixed costs = $360,000



To earn an operating income of $440,000, the total sales volume (in dollars) must be:

Required sales volume (in dollars) = Total fixed costs + Operating income = $360,000 + $440,000 = $800,000



D. The margin of safety (in dollars) is calculated by subtracting the break-even sales volume (in dollars) from the actual sales volume (in dollars):

Margin of safety (in dollars) = Actual sales volume (in dollars) - Break-even sales volume (in dollars) = $30 x 60,000 units. - $360,000 = $1,800,000 - $360,000 = $1,440,000



E. Operating income is calculated by multiplying the contribution margin ratio with the actual sales volume (in dollars):

Operating income = Contribution margin ratio x Actual sales volume (in dollars) = 0.8 x ($30 x 60,000 units) = $14,400,000 x 0.8 = $11,520,000

To learn more about “Operating income” refer to the https://brainly.com/question/25895372

#SPJ11

Other Questions
Chang each expression into radical form and then give the value. no calculators should be necessary. At the end of the reaction, Marco finds that the mass of the contents of thebeaker is 247 g. He repeats the experiment and gets the same result.a Has he made a mistake?Suggest why Marco got this result. how theb 5.2-1 A compact disc (CD) records audio signals digitally by using PCM. Let the audio signal bandwidth be 15 kHz (a) If the Nyquist samples are uniformly quantized into L binary-coded, determine the number of binary digits required to encode a sample. 65,536 levels and then (b) If the audio signal has average power of O.1 W and peak voltage of I V, find the resulting ratio of signal to quantization noise (SNR) of the uniform quantizer output in part (a) (c) Determine the number of binary digits per second (bit/s) required to encode the audio signal. (d) For practical reasons discussed in the text, signals Nyquist rate. Practical CDs use 44,100 samples per second. If L 65,536, detemine the number of bits per second required to encode the signal and the minimum bandwidth required to transmit the encoded signal. sampled at a rate well above the are select the p-value(s) at which you would reject the null hypothesis for a two-sided test at the 90% confidence level. select all that apply.a. 0.9500b. 0.9000c. 0.8900d. 0.1100e. 0.0900f. 0.0500 x-rays and gamma rays are examples of ionizing radiation and cause the formation of thymine dimers. group of answer choices technology is an important consideration in effective operations management. an organization can benefit from the application of manufacturing , which is the process of designing work so it can be performed by machines. the process is called as _______ in a study where pigeons were reinforced only if the pattern of pecks delivered to two keys was different from the previous 50 patterns, researchers determined that Aqueous hydrobromic acid (HBr) reacts with solid sodium hydroxide (NaOH) to produce aqueous sodium bromide (NaBr) and liquid water (HO). If 2.69 gof water is produced from the reaction of 17.0 g of hydrobromic acid and 13.9 g of sodium hydroxide, calculate the percent yield of water.Round your answer to 3 significant figures. Dentify the solution to the following system of equationsIdentify the solution to the following system of equationsNo solution(0. 29, 2. 73)(0. 78, 0. 05) and (-4. 32, 12. 80)( -1, 4. 5) he New Kingdom began when upstart Theban rulers were able to vanquish which group of people ruling in the Nile Delta?LibyansMesopotamiansHyksosHittitesNubians What is covert racism and why is it an especially difficult problem?( in 250 words) Please some help me standard number of bones in the appendicular skeleton When writing a scientific paper, look for the most credible sources. Science doesn't show bias, but we humans tend to show bias. There are sites and articles that provide facts without proper scientific evidence. Avoid using information from such sites. You must be able to identify reliable sites so the data in your paper is credible. Use sources that end in. Gov (government sites), such as OSTI. Gov. They are reliable sources. You can also use sites ending in. Edu. They can be deemed trustworthy, but sometimes the information is written by students rather than scientists. Always find out who the author of the article is before proceeding. Some. Org and. Com sites are credible, but you need to analyze the contents to verify their authenticity. As you review a source, always try to answer these questions: Who authored the document? Is this person a scientist or an engineer? What is the purpose of the document? Does the document state facts that can be proven by evidence? Does the document contain opinions? When was the document written? Do other credible sources support the statements in this document? Find some credible websites, and note the information they contain. Write down two or three sources you'll use for your paper, and cite them using MLA (Modern Language Association) citation methods e. Write one or two sentences stating how the source will help you. All of the following are assumptions of the error terms in the simple linear regression model except a. Errors are normally distributed b. Error terms are dependent on each other c. Error terms have a mean of zero d. Error terms have a constant variance e. Error terms are independent of the Explanatory variable Sherri caught her hair on the fire the moment she blew out the candles atop her birthday cake.As Please Help me with this question, No.2 Question 8 of 10Which of the following sentences adheres to the rules of parallelism for itemsin a series?A. Jorge likes to read at the school, coffee shop, and the bus stop.B. Jorge likes to read at school, at the coffee shop, and at the busstop.C. Jorge likes to read at the school, some coffee shops, and the busstops.OD. None of the above are correct. A student wants to prove by induction that a predicatePholds for certain integers. They have proven for all (not just nonnegative) integersnthatP(n)P(n3).Suppose the student has provenP(7). Which of the following propositions can they infer? (The domain for any quantifiers appearing in the answer choices is the integers.)a. P(n) does not hold for n>7b. n7,P(3n)c. P(n) does not hold for n statistical literacy (a) if we have a distribution of x values that is more or less mound-shaped and somewhat symmetric, what is the sample size needed to claim that the distribution of sample means x from random samples of that size is approximately normal? (b) if the original distribution of x values is known to be normal, do we need to make any restriction about sample size in order to claim that the distribution of sample means x taken from random samples of a given size is normal