The market consensus is that Analog Electronic Corporation has an ROE = 9%, a beta of 1.25, and plans to maintain indefinitely its traditional plowback ratio of 2/3. This year’s earnings were $3 per share. The annual dividend was just paid. The consensus estimate of the coming year’s market return is 14%, and T-bills currently offer a 6% return. a. Find the price at which Analog stock should sell. (Do not round intermediate calculations. Round your answer to 2 decimal places.) b. Calculate the P/E ratio. (Do not round intermediate calculations. Round your answer to 2 decimal places.) c. Calculate the present value of growth opportunities. (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.) d. Suppose your research convinces you Analog will announce momentarily that it will immediately reduce its plowback ratio to 1/3. Find the intrinsic value of the stock.

Answers

Answer 1

Answer:

a. Analog stock should sell at $10.60.

b. Trailing P/E ratio is 3.53, and Leading P/E ratio is 3.33.

c. The present value (PV) of growth opportunities is -$9.28.

d. The intrinsic value of the stock is $15.85.

Explanation:

From the question, we have the following:

ROE = 9%

b = beta = 1.25

pr = Plowback ratio = 2/3 = 0.67

dpr = dividend payout ratio = 1- pr = 1/3 = 0.33

e0 = This year’s earnings per share = $3

mr = The coming year’s market return = 14%

tr = T-bills return = 6%

Therefore, we can now have:

a. Find the price at which Analog stock should sell. (Do not round intermediate calculations. Round your answer to 2 decimal places.)

This can be estimated by employing the following formula:

P0 = d * (1 + g) / (r - g) …………………………. (1)

Where;

P0 = Stock Price = ?

d = dividend per share = e0 / dpr = $3 / (1 / 3) = $1

g = Sustainable growth rate = ROE * pr = 9% * 2/3 = 0.06

rf = Risk free rate = Return on T-bills = 6%

b = Beta = 1.25

mr = Market return = 14%

r = Required return on Equity = rf + b * (mr - rf) = 6% + 1.25 * (14% - 6%) = 0.16

Substituting the values into equation (1), we have:

P0 = $1 * (1 + 0.06) / (0.16 – 0.06)

P0 = $1 * 1.06 / 0.10

P0 = $10.60

b. Calculate the P/E ratio. (Do not round intermediate calculations. Round your answer to 2 decimal places.)

P/E ratio can be Trailing P/E ratio or Leading P/E ratio as follows:

Trailing P/E ratio = P0/E0 = $10.60 / $3 = 3.53

Leading P/E ratio = P0/e1 ………………………………………. (2)

Where;

e1 = e0 * (1 + g) = $3 * (1 + 0.06) = 3.18

Substituting the values into equation (2), we have:

Leading P/E ratio = $10.60 / 3.18 = 3.33

c. Calculate the present value of growth opportunities. (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.)

P0 = e1 / r + pvgo …………………………………… (3)

Where pvgo denotes present value of growth opportunities.

Since already obtained P0, e1 and r in part a and b, we just substitute them equation (3) and solve for pvgo, we have:

$10.60 = $3.18 / 0.16 + pvgo

$10.60 = $19.875 + pvgo

pvgo = $10.60 - 19.875

pvgo = -$9.28

d. Suppose your research convinces you Analog will announce momentarily that it will immediately reduce its plowback ratio to 1/3. Find the intrinsic value of the stock.

The intrinsic value of a stock refers to the stock price based only on the internal factors of a company.

Base on this new information, we have the following:

g = ROE * pr = 9% * (1 / 3) = 3%

dpr = 1 – pr = 1 - 1/3 = 2/3

d = dividend per share = e0 / dpr = $3 / (2 / 3) = $2

P0 = d * (1 + g) / (r - g) = $2 * (1 + 3%) / (0.16 – 3%)

P0 = $2 * (1 + 3%) / (0.16 – 3%)

P0 = $15.85

Therefore, the intrinsic value is $15.85.


Related Questions

The financial reporting (disclosure) system is based on the electronic data tagging language called

Answers

Answer: eXtensible business reporting language (XBRL)

Explanation:

The financial reporting (disclosure) system that is based on the electronic data tagging language is referred to as the eXtensible business reporting language (XBRL).

XBRL is freely available and a global framework that is used for the exchange of business information and it also allows expression of semantics which is required in reporting of business.

Each business day, on average, a company writes checks totaling $41,500 to pay its suppliers. The usual clearing time for the checks is six days. Meanwhile, the company is receiving payments from its customers each day, in the form of checks, totaling $52,500. The cash from the payments is available to the firm after four days.

Required:
a. Calculate the company's disbursement float, collection float, and net float (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your answers to the nearest whole number, e.g., 32.)

b. Calculate the company's disbursement float, collection float, and net float if the collected funds were available in two days instead of four (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your answers to the nearest whole number, e.g.. 32.).

Answers

Answer:

A.Collection Float ($208,000)

Disbursements Float $249,000

Net Float $41,000

B.Collection Float ($104,000)

Disbursement Float $249,000

Net Float $145,000

Explanation:

A. Calculation the company's disbursement float, collection float, and net float

Per Day Clearing Days Float

Collection Float ($52,000) ×4days = ($208,000)

Disbursements Float $41,500 × 6days = $249,000

Net Float $41,000

($249,000-$208,000)

B. Calculation for the company's disbursement float, collection float, and net float if the collected funds were available in two days instead of four

Per Day Clearing Days Float

Collection Float ($52,000) ×2 days =($104,000)

Disbursement Float $41,500 ×6 days= $249,000

Net Float $145,000

($249,000-$104,000)

Hence,

A.Collection Float ($208,000)

Disbursements Float $249,000

Net Float $41,000

B.Collection Float ($104,000)

Disbursement Float $249,000

Net Float $145,000

Starbucks reports net income for 2015 of $2,634.4 million. Its stockholders' equity is $5,605 million and $6,151 million for 2014 and 2015, respectively. Required:a. Compute its return on equity for 2015. b. Starbucks repurchased over $1.4 billion of its common stock in 2015. Did this repurchase increase or decrease Starbucks’ ROE? 1. ROE usually decreases since the repurchase of shares reduces the denominator (avg. stockholders' equity). 2. ROE usually increases since the repurchase of shares reduces the denominator (avg. stockholders' equity). 3. ROE usually increases since the repurchase of shares increases the denominator (avg. stockholders' equity). 4. ROE usually decreases since the repurchase of shares increases the denominator (avg. stockholders' equity). c. If Starbucks had not repurchased common stock in 2015, what would ROE have been?

Answers

Answer:

a) return on equity (ROE) = net income / average shareholders' equity

average shareholders' equity = ($5,605 + $6,151) / 2 = $5,878

ROE for 2015 = $2,634.4 / $5,878 = 44.82%

b) 2. ROE usually increases since the repurchase of shares reduces the denominator (avg. stockholders' equity).

This is simple math, e.g. 1/2 > 1/3, if stockholders' equity decreases, while net income remains the same, ROE will increase.

Andrews Corp. ended the year carrying $89,674,000 worth of inventory. Had they sold their entire inventory at their current prices, how much more revenue would it have brought to Andrews Corp.? Select: 1Save Answer $137,558,000 $25,156,000 $174,698,660 $89,674,000

Answers

Answer:

$89,674,000

Explanation:

As it is mentioned that the inventory cost is already incurred in the last year so in this case the cost price would be zero and the same price should be equivalent to the closing value of the inventory i.e. carrying value of $89,674,000 and hence the same is to be considered

Therefore the last option is correct

When the decisions of a company are very risky and low-level managers lack decision-making skills, the company will tend to

Answers

Answer: centralization

Explanation:

When the decisions of a company are very risky and low-level managers lack decision-making skills, the company will tend to centralize.

Centralization is simply when an organizational activities especially those that has to do with decision making, planning, framing policies and strategies are all concentrated in a particular location group.

Accountants are the only people in business that really use accounting information.
A. True
B. False

Answers

Answer:

false

Explanation:

because some accounts could have the right answer while others can not just like websites

"When does an investor receive payment of interest and principal on a Capital Appreciation Bond (CAB)?"

Answers

Answer:

at maturity date

Explanation:

Capital Appreciation Bonds are a type of municipal securities since they are backed by local governments. They work in a similarly to zero coupon bonds that accumulate compound interests until maturity date. The difference is that CAB are generally issued at face value, e.g. $1,000, and start accumulating interests. This $1,000 bond that yields 6% and has a maturity date of 10 years, will pay you $1,791 in 10 years.

The manager of a firm believes that she would lose sales if she raised her prices by $2.00, but the revenue lost would be more than offset by higher revenues from the higher price. This indicates that the manager perceives demand to be:_______.
a. inelastic.
b. elastic.
c. unit elastic.
d. insufficient information.

Answers

Answer:

This indicates that the manager perceives demand to be:_______.

c. unit elastic.

Explanation:

Unit elastic demand describes a demand curve which is perfectly responsive to changes in price. This implies that the quantity supplied or demanded changes according to the same percentage as the change in price.  For example, if the manager raises the price of her famous goods by $2.00, the unit elastic demand for that $2.00 increase would result in a decrease in the quantity demanded by one unit.

Bennett Co. has a potential new project that is expected to generate annual revenues of $262,100, with variable costs of $144,000, and fixed costs of $61,300. To finance the new project, the company will need to issue new debt that will have an annual interest expense of $24,500. The annual depreciation is $25,200 and the tax rate is 34 percent. What is the annual operating cash flow?

Answers

Answer:

Operating cash flow= $29,886

Explanation:

Giving the following information:

Sales= $262,100

Total variable cost= $144,000

Total fixed costs= $61,300.

Annual interest expense of $24,500. The annual depreciation is $25,200 and the tax rate is 34 percent.

We need to determine the operating cash flow:

Sales= 262,100

Total variable cost= (144,000)

Contribution margin= 118,100

Total fixed costs= (61,300)

Depreciation= (25,200)

Interest= (24,500)

EBIT= 7,100

Tax= (7,100*0.34)= (2,414)

Depreciation= 25,200

Operating cash flow= 29,886

You are writing the financial analysis for a snowboarding apparel business you are hoping to open in Topeka. Which tips should you follow?


a. Discuss market characteristics.

b. Describe how your service will benefit customers.

c. Outline a realistic start-up budget.

d. Present an operating budget that projects costs.

Answers

Answer:

The correct answer are the option C and D: Outline a realistic start-up budget and Present an operating budget that project costs.

Explanation:

To begin with, due to the fact that the principal matter is a financial analysis then the person must focus on a realistic start up budget and also in projecting costs in an operating budget because those will be the most important matters when it comes to financial terms, the costs and all that they represent at the time of starting the business and the production. Therefore that in terms of finances, the costs of the future business is the matter that the  person will have to have in mind at first.

You purchased stock for $18,000 ten years ago. Now the stock is worth $25,000. What was your annual rate of return?

Answers

Answer:

3.3%

Explanation:

The yearly rate of return is calculated by taking the amount of money gained or lost at the end of the year and dividing it by the initial investment at the beginning of the year.

DATA

Future value = $25,000

Present value = $18,000

Time = 10 years

Formula:

Annual return = [tex](\frac{futurevalue}{presentvalue}) ^{1/time} -1[/tex]

Annual return = [tex](\frac{25000}{18000}) ^{1/10} -1[/tex]

Annal return = 3.3%

In a periodic inventory system, the entry at the time of a sale to record the cost of inventory sold includes a:

Answers

Answer:

Debit : Cost of Sales and Credit : Inventory

Explanation:

The periodic method recalculates the value of goods held after each and every transaction made involving inventories.

Inventory records are updated electronically to record the sale by reducing the inventory balance (a credit entry) and increasing the cost of sale (debit entry)

Data on fifth-grade test scores (reading and mathematics) for 420 school districts in California yield \bar{y} = 646.2 and standard deviation s_{y} = 19.5
a. Construct a 95% confidence interval for the mean test score in the population.
b. When the districts were divided into districts with small classes (< 20 students per teacher) and large classes (? 20 students per teacher), the following results were found:
Class Size Average (\bar{Y}) Standard Deviation (s_{y}) n
Small 657.4 19.4 238
Large 650.0 17.9 182
Is there statistically significant evidence that the districts with smaller classes have higher average test scores? Explain (set up your hypothesis, and clearly state your decision rule).

Answers

Answer:

a. At 95% confidence interval, the mean test score in the population =

[ 648.06 , 644.34 ]

b.

Null hypothesis;

[tex]H_o : \mu_1 - \mu_2 = 0[/tex]

Alternative hypothesis

[tex]H_1 : \mu_1 - \mu_2 > 0[/tex]

t  [tex]\simeq[/tex] 4.048

P - value = 0.000003

Decision Rule: To reject  the null hypothesis if P - value is less than the level of significance

Conclusion: We reject the null hypothesis and conclude that there is sufficient statistical evidence that smaller class sizes do give rise to higher test averages.

Explanation:

Given that:

sample size n = 420

mean [tex]\overline{Y} = 646.2[/tex]

standard deviation [tex]s_{y}[/tex] = 19.5

a. Construct a 95% confidence interval for the mean test score in the population.

The 95% confidence interval for the mean test score can be expressed as:

[tex][ \overline Y \pm Z \times SE( \overline Y)][/tex]

Z value at 95% C.I = 1.96

The level of significance = 1 - 0.95

The level of significance = 0.05

[tex]SE(\overline Y ) = \dfrac{s_y}{\sqrt{n}}[/tex]

⇒ [tex][ 646.2 \pm 1.96 \times \dfrac{19.5}{\sqrt{420}}][/tex]

= [tex][ 646.2 \pm 1.96 \times \dfrac{19.5}{20.4939}][/tex]

= [tex][ 646.2 \pm 1.96 \times 0.9515][/tex]

= [tex][ 646.2 \pm 1.86494][/tex]

= [ 646.2 + 1.86494 , 646.2 - 1.86494 ]

= [ 648.06494 , 644.33506 ]

[tex]\simeq[/tex] [ 648.06 , 644.34 ]

Thus at 95% confidence interval, the mean test score in the population =

[ 648.06 , 644.34 ]

b. When the districts were divided into districts with small classes (< 20 students per teacher) and large classes (? 20 students per teacher), the following results were found:

Class Size Average (\bar{Y}) Standard Deviation (s_{y})       n

Small              [tex]\overline{Y_1}[/tex]= 657.4                19.4                                 238

Large              [tex]\overline{Y_2}[/tex]= 650.0                 17.9                                182

The null hypothesis and the alternative hypothesis for this given data can be computed as follows:

Null hypothesis;

[tex]H_o : \mu_1 - \mu_2 = 0[/tex]

Alternative hypothesis

[tex]H_1 : \mu_1 - \mu_2 > 0[/tex]

The t- test statistics score can be expressed by using the formula:

[tex]t = \dfrac{\overline Y_1 -\overline Y_2 }{SE( \overline Y_1 - \overline Y_2)}[/tex]

where;

[tex]SE ( \overline Y_1 - \overline Y_2) = {\sqrt{\dfrac{s^2_y_1}{n_1} + \dfrac{s^2_y_2}{n_2}}}[/tex]

[tex]t = \dfrac{\overline Y_1 -\overline Y_2 }{\sqrt{\dfrac{s^2_y_1}{n_1} + \dfrac{s^2_y_2}{n_2}}}[/tex]

[tex]t = \dfrac{657.4-650.0 }{\sqrt{\dfrac{19.4^2}{238} + \dfrac{17.9^2}{182}}}[/tex]

[tex]t = \dfrac{7.4 }{\sqrt{\dfrac{376.36}{238} + \dfrac{320.41}{182}}}[/tex]

[tex]t = \dfrac{7.4 }{\sqrt{1.581344538+ 1.760494505}}[/tex]

[tex]t = \dfrac{7.4 }{\sqrt{3.341839043}}[/tex]

[tex]t = \dfrac{7.4 }{1.828069759}[/tex]

t = 4.04799

t  [tex]\simeq[/tex] 4.048

To determine the P - Value; we have:

P - value = 1 - [tex]\mathtt{\phi}[/tex] ( t)

P - value = 1 - [tex]\mathtt{\phi}[/tex]( 4.048)

P - value = 1 - 0.99997

P - value = 0.000003

Decision Rule: To reject  the null hypothesis if P - value is less than the level of significance

Conclusion: We reject the null hypothesis and conclude that there is sufficient statistical evidence that smaller class sizes do give rise to higher test averages.

If a company receives $12,000 from the stockholders to establish a corporation, the effect on the accounting equation would be:__________
A. Assets increase $12,000 and equity increases $12,000.
B. Liabilities increase $12,000 and equity decreases $12,000.
C. Assets increase $12,000 and liabilities increase $12,000.
D. Assets increase $12,000 and liabilities decrease $12,000.
E. Assets decrease $12,000 and equity decreases $12,000.

Answers

Answer:

The correct answer is option A

Explanation:

A receipt of cash indicates an increase in cash which is an asset. When an asset increases, it is represented by a debit to that asset's account and the asset side of the accounting equation is also debited. Thus, a receipt of $12000 cash from stockholders will be represented by a debit or an increase to the asset account for $12000.

The other side of the transaction would be a credit to the equity for $12000 because the stockholders are the owners of the company and any capital invested by the owners in the company is represented by a credit to the equity account as the capital is credited when it increases. Thus, the effect on accounting equation will be an increase in the equity of $12000.

At a volume of 20,000 units, Almount Industries reported sales revenues of $1,000,000, variable costs of $300,000, and fixed costs of $260,000. The company's contribution margin per unit is:

Answers

Answer:

Contribution margin per unit = $35 per unit

Explanation:

The contribution margin per unit is the contribution or amount provided by the sale of each unit towards covering the fixed costs of the business. The total contribution margin is calculated by subtracting the total variable costs by the sales revenue. The contribution margin per unit can be calculated by dividing the total contribution by the number of units.

Total Contribution = Sales Revenue - Variable costs

Contribution margin per unit =  Total Contribution / Number of units

Total Contribution = 1000000 - 300000

Total Contribution = $700000

Contribution margin per unit = 700000 / 20000

Contribution margin per unit = $35 per unit

The private sector organization that is currently responsible for setting accounting standards in the United States is the

Answers

Answer:

Financial Accounting Standards Board.

Explanation:

The private sector organization that is currently responsible for setting accounting standards in the United States is the Financial Accounting Standards Board (FASB).

FASB is an acronym for Financial Accounting Standards Board. The financial accounting standards board (FASB) is a private, non-profit organization saddled with the responsibility of establishing and maintaining standard financial accounting and reporting for general guidance of individuals such as investors, issuers and auditors. It was founded in 1972 but began operations fully on the 1st of July, 1973 by replacing the Accounting Principles Board (APB) and American Institute of Certified Public Accountants (AICPA).

The aims and objectives of FASB, is to establish and improve Generally Accepted Accounting Principles (GAAP) in the United States of America.

5. Describe a product you know of that has elastic demand. Why is the demand for this
product elastic? Explain. (1-3 sentences. 3.0 points)

Answers

Answer:

Dimond has elastic demand. Demand for this product is elastic because it is a luxury item. Since this item is not a necessity, as the price rises, the quantity demanded for the item falls drastically since it is not needed for survival.

Explanation:

Automobiles has elastic demand.

What is demand?

Demand can be defined as them the Desire of a person to purchase a good or service and the customer of the consumer is ready to pay the price which is being asked for.

Demand is said to be elastic when there is a significant shift in the demand curve as a result of dynamic pricing. Whenever a good's supply curve is adaptable to price fluctuations, this is known as elastic demand.

Elastic demand for automobiles is an example. As automobiles are doing purchase frequent or after a long period of time as it is considered an investment.

The elasticity is measured when there is a change in the demand with respect to the change in price. In the automobile sector as it is certainly a luxury item there for the demand usually fluctuates and so is the price.

Learn more about demand, here:

https://brainly.com/question/13320101

#SPJ2

An investment company that issues a fixed number of shares which can only be resold in the open stock market is called a(n) _____ fund.

Answers

Answer:

closed-end

Explanation:

In a closed end fund, no new investment money is accepted into the fund. New investors have to buy existing shares from investors who are willing to sell their hares. One disadvantage of the closed-end fund is that it has a limited ability to expand.

A closed-end fund is in contrast to an open - end fund where new investment are accepted

Strategic Investments completed the following investment transactions during 2018: Read the requirements
Requirement 1. Joumalize Strategic's investment transactions. Explanations are not required.
Requirement 2. Classify and prepare a partial balance sheet for Strategic's Phyflexon investment as of December 31. 2018.
Jan. 14: Purchased 800 shares of Phyflexon stock, paying $50 per share. The investment represents 4% ownership in Phyflexon's voting stock. Strategic does not have significant influence over Phyflexon.
Jan. 14. Purchased 800 shares of Phyflexon stock, paying $50 per share.
Aug 22: Received a cash dividend of $0.24 per share on the Phyflexon stock.
Dec. 31. Adjusted the investment to its current market value of $45 per share.
Dec. 31: Phyflexon reported net income of $330,000 for the year ended 2018.

Answers

Answer:

Strategic Investments Company

1. Journal Entries:

Jan. 14:

Debit Investment in Phyflexon $40,000

Credit Cash Account $40,000

Aug 22:

Debit Cash Account $192

Credit Dividends Received $192

Dec. 31:

Debit Loss on Investment $4,000

Credit Investment in Phyflexon $4,000

Dec. 31:

Debit Investment in Phyflexon $13,360

Credit Net Income Share $13,360

2. Partial Balance Sheet

Investment in Phyflexon  $49,168

Explanation:

a) Data:

No. of shares of Phyflexon Stock = 800

Value of Stock investment = $40,000 ($50 x 800)

Ownership strength = 4%

b) Investment in Phyflexon:

Initial investment =      $40,000

Loss on fair value =        (4,000)

Net income                     13,360

Dividend received              (192)

Worth of investments $49,168

Based on the following information from Scranton Company's balance sheet, calculate the current ratio. Current assets $ 126,000 Investments 57,800 Plant assets 380,000 Current liabilities 52,000 Long-term liabilities 103,000 Retained earnings 408,800

Answers

Answer:

2.42

Explanation:

The current ratio is a type of liquidity ratio. Liquidity ratios calculate the ability of a firm to meet its short term obligations

Current ratio = current assets / current liabilities = $ 126,000 / $52,000 = 2.42

Hare, Inc., had a cost of goods sold of $45,021. At the end of the year, the accounts payable balance was $8,583. How long on average did it take the company to pay off its suppliers during the year

Answers

Answer:

70 days

Explanation:

For computing the number of days first we have to determine the credit turnover ratio which is shown below:

Credit turnover ratio is

= (Cost of Goods Sold ÷ Average accounts payable)

= ($45,021 ÷ $8,583)

= 5.245 times

Now the number of days is

= Total number of days in a year ÷ credit turnover ratio

= 365 ÷ 5.245

= 70 days

Tell me about a time when you decided to sacrifice short-term gain for long term-success for your company?

Answers

Answer:

a good example of this is when we declined an equity investment offer.

Explanation:

In the short-term one may see an investment offer as a never to be missed opportunity. However, certain investments lead to loss of control, this was true in our own case. Thankfully, we avoided the short-term gain in other to realize a long-term gain.

A time I had to sacrifice a short term for a long term is when I had to buy a house I thought it was going to  be a quick process but no it takes forever

Please reward me brainlist please

ABC Corp. has just paid a quarterly dividend of $0.35. ABC's dividends will grow by 5% for the next 4 quarters, and then grow by 0.4% thereafter. ABC has a quarterly required return of 4%.What is the intrinsic value of ABC stock?

Answers

Answer:

$11.58

Explanation:

Given data :

quarterly dividend paid = $0.35

dividend growth for next 4 quarters = 5% = 0.05

dividend growth after 4 quarters = 0.4% = 0.004

quarterly return = 4%

calculate the intrinsic value of ABC stock

first we calculate the quarterly growth of the dividend

1st quarter = 0.35 * ( 1.05 ) = $0.3675

2nd quarter = 0.3675 * 1.05 = $0.3859

3rd quarter = 0.3859 * 1.05 = $0.4052

4th quarter = 0.4052 * 1.05 =  $0.4255

fifth quarter = 0.4255 * 1.004 =$0.4272

value price after 4 quarter ( P4 ) = fifth quarter / ( quarterly return - growth after 4th quarter)

hence P4 = 0.4272 / ( 0.04 - 0.004 )

                = 0.4272 / 0.036 = $11.87

intrinsic value = 0.3675 / 1.04 + 0.3859/1.04^2 + 0.4052/1.04^3 + 0.4255/1.04^4  +  11.87 / 1.04^4

intrinsic value = 0.3534 + 0.3568 + 0.3602 + 0.3637 + 10.15 = $11.58

If the branch office of a real estate firm maintains a separate clients' trust account, it must also

Answers

Answer: Maintain a separate bookkeeping system

Explanation:

A real estate firm is simply a firm that serves as facilitator for transactions involving vreal estate. They bring the buyers and sellers together and then paid a commission.

It must be noted that when the branch office of a real estate firm maintains a separate clients' trust account, it must also maintain a separate bookkeeping system

Rodarta Corporation applies manufacturing overhead to products on the basis of standard machine-hours. The company's predetermined overhead rate for fixed manufacturing overhead is $5.10 per machine-hour and the denominator level of activity is 5,300 machine-hours. In the most recent month, the total actual fixed manufacturing overhead was $27,230 and the company actually worked 5,230 machine-hours during the month. The standard hours allowed for the actual output of the month totaled 5,250 machine-hours. What was the overall fixed manufacturing overhead volume variance for the mon

Answers

Answer:

$357 Unfavorable

Explanation:

Fixed manufacturing overhead volume variance identifies the amount by which actual production differs from budgeted production.

Fixed manufacturing overhead volume variance = Actual Output at Budgeted rate - Budgeted Fixed Overheads

                                                                  = (5,230 × $5.10) - ($5.10 × 5,300)

                                                                   = $26,673 - $27,030

                                                                   = $357 Unfavorable

Generally, international trade laws in the last 60 years have served to:______.

Answers

Answer: lower barriers to trade

Explanation:

Barriers to trade are usually used by countries to protect their infant industries, prevent dumping and consumption of harmful goods.

Despite all the controversies with international trade, the trend for the last 60 years has been toward a lower barrier to trade and there has been tremendous improvement with regards to that as the average level of tariffs that were charged by the industrialized countries was about forty percent in 1946 but reduced to about five percent in 1990. Also several countries have minimized their trade barriers.

Companies racing against rivals for global market leadership need strategic alliances and collaborative partnerships with companies in foreign countries in order to:_______
A. Combat the bargaining power of foreign suppliers and help defend against the competitive threat of substitute products produced by foreign rivals.
B. Help raise needed financial capital from foreign banks and use the brand names of their partners to make sales to foreign buyers.
C. Get into critical country markets quickly and accelerate the process of building a potent global presence, gain inside knowledge about unfamiliar markets and cultures, and access valuable skills and competencies that are concentrated in particular geographic locations.
D. Help pursue price wars against foreign competitors.
E. Exercise better control over efforts to revamp the global industry value chain.

Answers

Answer:

C. Get into critical country markets quickly and accelerate the process of building a potent global presence, gain inside knowledge about unfamiliar markets and cultures, and access valuable skills and competencies that are concentrated in particular geographic locations

Explanation:

In a global market it is important for businesses to leverage international advantages such as lower production cost in a foreign country, more lucrative markets in certain locations, and access to cheap materials for production.

So when a company wants to gain global dominance it is important they form alliances with companies in foreign countries. This will help them access more lucrative markets, gain knowledge about particular markets, and gain competencies that are unique to a geographical area.

During its first year of operations, the McCormick Company incurred the following manufacturing costs:_______. Direct materials, $4 per unit, Direct labor, $2 per unit, Variable overhead, $3 per unit, and Fixed overhead, $224,000. The company produced 28,000 units, and sold 19,000 units, leaving 9,000 units in inventory at year-end. Income calculated under variable costing is determined to be $360,000. How much income is reported under absorption costing? a. $432,000 b. $360,000 c. $584,000 d. $288,000

Answers

Answer:

Net income= $432,000

Explanation:

Giving the following information:

Fixed overhead, $224,000.

The company produced 28,000 units, and sold 19,000 units, leaving 9,000 units in inventory at year-end.

Income calculated under variable costing is determined to be $360,000.

The difference between absorption costing and variable costing method is that the first one includes the fixed manufacturing cost in the unitary production cost. Some of the fixed overhead is allocated into ending inventory increasing the net income for the period.

Unitary fixed overhead= 224,000/28,000= $8

Fixed overhead in ending inventory= 8*9,000= $72,000

Net income= 360,000 + 72,000= $432,000

Publishing the priority of every project and ensuring the process is open and free of power politics. Communicating which projects are approved. Deciding how organizational resources are allocated among the different types of projects. Constant scanning of the external environment to determine if organizational selection criteria need to be changed. Evaluating the progress of the projects in the portfolio.

Answers

Answer:

Deciding how organisational resources are allocated among the different types of projects.

Explanation:

All other stated are the responsibilities of the governance team while managing the portfolio system.

The governance team ensures that the best projects are chosen, further when they are chosen how they are implemented or how the other teams work on such projects is not the duty of governance team.

Basically governance team assures that best suitable projects are chosen.

They are chosen in the correct order, but do not ensure how shall the company invest in that project.

McQuilkin and Copan adopt different positions toward capitalism and socialism. Which author is more favorable to free market capitalism

Answers

Answer:

Paul Copan

Explanation:

Dr. Robertson McQuilkin can be considered a very biblical man, and as such, would always favor socialism more than free market capitalism. His phrase "Capitalism is for freedom, socialism is for equality" and the fact that he believed in a strict following of the Bible, you make him a more socialist person.

Dr. Paul Copan is also a very religious man, but his views are less extreme than Dr. McQuilkin's. He is more pragmatic and argues in favor of religion from a more neutral or agnostic point of view. He even argues that religious beliefs and economics are not mutually exclusive.

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