Cainas Cookies had the following information reported for 2015:
Revenues $100,000
Expenses $40,000
Preferred Dividends $10,000
Common Dividends $20,000
Preferred shares outstanding - 10,000 shares, $100 par value
Common shares outstanding - 50,000 shares, $1 par value EPS is:
A. $1.20 per share
B. $1.00 per share
C. $.60 per share
D. $.50 per share

Answers

Answer 1

Answer: B. $1.00 per share

Explanation:

Revenue- expenses = profit

$100000 - $40000 =$60000

Profit - pref.shareholder

$60000 - $10000 = $50000

EPS = residual / ordinary shareholding

EPS = $50000/50000shares

EPS = $1


Related Questions

As a contract, the bill of lading specifies that the carrier
a. is obligated to provide a transportation service in return for a certain charge.
b. receives payment from a third-party such as a bank or trading house.
c. has obtained the merchandise described on the face of the document.
d. provides a written promise of payment before releasing the merchandise.

Answers

Answer:

As a contract, the bill of lading specifies that the carrier A) is obligated to provide a transportation service in return for a certain charge.

Explanation:

The Bill of Landing refers to the document that consists of detail of all the goods in a shipment to be delivered by the transporting company or individual. In other words, it is a receipt carrying the information of each good that is to be shipped. It also acts as a contract for the carrier of the shipment, and according to this contract, the carrier is obligated to provide a transportation facility in return for a certain charge.

Therefore, alternative A is correct about the Bill of Landing.

Roche Biotech provides company cars for its salespeople that cost an average of $25,000. Using the class recovery system of five years, what is the depreciation expense in year 2 of the MACRS?

Answers

Answer:

$8,000

Explanation:

Data provided in the question:

Average cost of car = $25,000

Now,

Using the class recovery system of five years,

The rate of depreciation expense in year 2 of the MACRS is 32%

Therefore,

The depreciation expense in the year 2 will be

= Average cost of car × Rate of depreciation

= $25,000 × 32%

or

The depreciation expense in the year 2 = $8,000

Final answer:

The depreciation expense in year 2 of the MACRS for a company car with a five-year class life and an average cost of $25,000 would typically be $8,000, calculated using the MACRS percentage rate for year 2, which is usually 32%.

Explanation:

The Modified Accelerated Cost Recovery System (MACRS) is employed to calculate depreciation expense for tax purposes in the United States. For a company car with a five-year class life, the MACRS depreciation schedule provides a different percentage of the asset's cost to be depreciated each year. To calculate the depreciation expense in year 2, you would use the provided percentage for the second year from the IRS MACRS depreciation tables.

Since the exact percentage for the second year is not provided in the question, we need to refer to the current IRS MACRS tables. Typically, for a 5-year property under MACRS, the second year depreciation rate is 32%. Thus, if Roche Biotech's car has an average cost of $25,000, the depreciation expense for year 2 would be $25,000 x 32% = $8,000.

It's important to note that the actual percentage could be different and should be verified with the most current IRS tables or tax regulations.

In order to offset the competitive disadvantage of FOB plant pricing, Texas Granite Company in Dallas could use _____ pricing to ship its products to building contractors and furniture restorers in any part of the United States.Uniform delivered Freight-absorption Zone-delivered Market-skimming Market-penetration.

Answers

Answer:

Freight-absorption

Explanation:

Based on the information provided within the question it can be said that the Texas Granite Company in Dallas should use Freight-absorption pricing in this situation. This is a pricing strategy in which the seller takes responsibility for all the freight charges that the company incurs in order to attract the amount of business that they hope to achieve. Since company's that are looking to buy see 0 freight charges it becomes a deal since they are saving money as opposed to buying from another company that charges the freight charges to the buyer.

Which of the following is part of the M2 definition of the money supply, but not part of M1?
a. Currency in circulation.
b. Money market mutual fund shares.
c. Currency held in banks.
d. Checkable deposits.

Answers

Answer:

The answer is b

Explanation:

Demand for money is the situation in which money are held in cash form without spending it. The demand for money is a derived demand in the sense that people do not spend all their salaries when they receive it at the end of the month. The portion of their salaries which they do not spent immediately they are received is what we referred to as the demand for money. There are three reasons for holding money which are

Transaction motive :This is the desire to keep money in order to meet the day to day transaction of business such as buying of foodstuff and to meet other family need .

Precautionary motive : This is the desire to keep money in order to meet the unforseen circumstances which are not planned for but which immediately occur, such as sickness, unexpected visitors, breakdown of one's car,

Speculative motive :This is the desire to keep money with the hope of using the money in making quick money. It is a money held with the hope of giving it out in form of loan if the interest is high and at a short period of time.for instance purchasing shares at a lower prices and re-selling it at higher prices .it also includes buying goods at a lower prices and re-selling at a higher prices for example cars.

Final answer:

The M2 money supply includes all components of M1 and additional financial assets. Among the options provided, money market mutual fund shares (option B) is part of M2 but not M1 because they are highly liquid assets.

The correct option is b.

Explanation:

The M1 money supply includes currency in circulation, currency held in banks, and checkable deposits. However, the M2 definition of money supply includes all components of M1 as well as other financial assets, such as savings accounts and money market mutual fund shares.

So, in answering your question, the item that is part of M2 but not part of M1 among the options you have listed is (b) Money market mutual fund shares.

These are included in the M2 definition because they are highly liquid assets (meaning they can be quickly converted to cash) while still earning interest for the account holder.

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One inherent risk to using lean philosophy is that companies are at higher risk of inventory shortage during volatile times such as strikes, weather, etc. than when using the traditional philosophy.True / False.

Answers

Answer:

True

Explanation:

As in the lean philosophy the production is based on specific customer demands, there are chances that when the order is received then the inventory required is not present and that the inventory is not held in hand.

Whereas in the traditional philosophy the production is based on the principle of budgets and sales forecast, accordingly the sales keeps on moving and the inventory is also held in hand prior to confirmation of order from customers.

Since there is no planning before the order is received from customers under lean, in emergency cases, or scarcity of resources, the inventory will fall short, and acquisition of inventory would not be easy.

Consumers value Secret antiperspirant deodorants more than they value store brand antiperspirant deodorants and are willing to pay $2.99 for Secret but only $1.99 for a functionally similar store brand. In other words, Secret deodorants have more _________ than comparable store brand deodorants.
A. brand trademark
B. brand equity
C. brand personality
D. brand licensing
E. brand modification

Answers

Answer:

B. brand equity

Explanation:

Brand equity is the value of a brand as a result of having recognition. If a company has a positive brand equity, consumers are willing to pay more its product than what they are willing to pay to the competition. According to this, Secret deodorants have more brand equity than comparable store brand deodorants as consumers are willing to pay $2.99 for Secret and $1.99 for a functionally similar store brand.

Thirst, a beverage manufacturer, markets its products using the same strategy worldwide. However, changes are made when implementing the strategy to reflect an essence of the local culture, such as the ethnicity of the people in their ads and the music used in jingles. This is an example of __________.

Answers

Answer: Glocalization

Explanation:

Glocalization is referred to as the concurrent occurrence of generalizing and thus also the stipulating tendencies in the modern political, social, and economic structure. The idea of the glocalization tends to represent a confrontations to the simplistic interpretation of the globalization method as the linear development of the territorial level.

Gruber Corp. pays a constant $7.55 dividend on its stock. The company will maintain this dividend for the next 15 years and will then cease paying dividends forever. The required return on this stock is 11 percent. What is the current share price? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer:

The current share price is $54.29

Explanation:

Hi, to find the price of this share, we need to bring to present value all the future cash flow that this share will provide. Since the dividend is a constant dividend, we can find the price using the following equation.

[tex]Price=\frac{Div((1+r)^{n}-1) }{r(1+r)^{n} }[/tex]

where:

r= required rate of return of the stock

Div = constant dividend (in our case, $7.55

n = years in which the share will provide dividends

Everything should look like this

[tex]Price=\frac{7.55((1+0.11)^{15}-1) }{0.11(1+0.11)^{15} }=54.29[/tex]

So, the price of the stock today would be $54.29

Best of luck.

Final answer:

The current share price of Gruber Corp. is calculated using the present value of an annuity formula, with the dividend being $7.55, the required return at 11%, over 15 years. The calculated share price is $55.95.

Explanation:

To find the current share price of Gruber Corp., we use the formula for the present value of an annuity since the dividends are constant over a certain period (15 years). The required return is 11 percent, and the annual dividend is $7.55.



The formula for the present value of an annuity is:

PV = D * [(1 - (1 + r)^-n) / r]



Where:

D = Dividend per share = $7.55

r = required return = 0.11

n = number of years = 15



Substituting the values into the formula:

PV = 7.55 * [(1 - (1 + 0.11)^-15) / 0.11]

PV = $55.95



Therefore, the current share price of Gruber Corp., considering it will pay a constant dividend for the next 15 years and then cease paying dividends, is $55.95.

If D is the market value of a firm's debt, E the market value of that same firm's equity, V the total value of the firm (E+D), RD the yield on the firm's debt, TC is the corporate tax rate, and RE the cost of equity, the weighted average cost of capital is:

Answers

Answer:

The Weighted average cost of capital is

(D*RD*(1-TC))/(V) + (RE*E)= weighted average cost of capital

Explanation:

A manufacturing company that produces trivets has established the following standards for the current year: Standard price per pound $3.00 Standard material usage per trivet 2.00 During April, the company purchased 10,000 pounds of material for $33,000 and used 9,400 pounds to produce 4,500 trivets. Four thousand trivets were sold during April. What amount should be reported as the materials' quantity (usage) variance?

Answers

Answer:

The answer is $1,200 should be recorded as the materials' quantity (usage) unfavorable variance.

Explanation:

Please find the below for detailed explanations and calculations:

The variance is equal to: Actual produced amount x Standard usage of material x standard cost - Actual produce amount x Actual usage of material x standard cost = 4,500 x 2 x 3 - 4,500 x 9400/4500 x 3 = $(1,200)

Due to the actual usage of material is higher than the budget material usage, the variance of $1,200 is unfavorable.

Red Eye Shipping Inc. has purchased a business intelligence system. The main advantage of such a system is that it eliminates the need for maintaining large data warehouses and eliminates the need for data mining.
True / False.

Answers

Answer:

FALSE

Explanation:

A Business Intelligence system generate predictive outcome from the business operations from historical and current data. This data have been gathered from a data warehouse thus, the company still needs to maintain a data warehouse to feed the business intelligence system. As there is a need for a data warehouse, the statement is false.

A company has set a low price on a new product it introduced. It wants to maximize its market share and attract a large number of buyers quickly. Which new product pricing strategy should the company​ use?

Answers

Answer:

Market penetration pricing

Explanation:

When a product is offered new in the market, along with low price, so that more customers are willing to try this, it aims at effectively attracting customers and then acquiring a significant market share in a small interval of time.

In the case provided, the company wants to get a significant share in the market for its new product and accordingly the company plans to set a low price.

This technique provides for all the features the company desires.

________ occurs if fungible goods (goods that are exactly alike) are commingled. If this is the case, the owners share title to the commingled goods in proportion to the amount of goods contributed.

Answers

Answer: confusion

Explanation: this when products or goods of different owners get commingled and cannot be separated and returned to the real owner but the goods retain their original characteristics.

Suppose that marginal propensity to consume is equal to 0.9, and the government increases its spending by $200 billion. This new increase in spending is financed by a fresh increase in taxes equal to $200 billion. As a result of this, GDP will:

a. not change at all.
b. decrease by $200 billion.
c. increase by $2,000 billion.
d. increase by $200 billion.
e. increase by $1,800 billion.

Answers

Final answer:

With a marginal propensity to consume of 0.9, the spending multiplier is 10. However, since the increase in government spending is offset by an equal increase in taxes, the net effect on GDP is zero, so GDP would not change at all.

Explanation:

Given that the marginal propensity to consume (MPC) is equal to 0.9, we can calculate the spending multiplier using the formula 1/(1-MPC). The spending multiplier in this case would be 1/(1-0.9) = 10. When the government increases its spending by $200 billion and finances it by increasing taxes by the same amount, the immediate impact is neutral on the income of consumers; they have more government spending but less after-tax income by an equal amount, therefore, there is no initial increase in consumption. However, the multiplier effect states that any change in spending will have a multiplied effect on GDP. Nevertheless, since the tax increase withdraws the same amount from the economy as the spending adds to it, assuming no other changes, the net effect on GDP would be zero. Therefore, the answer is a. not change at all.

A city government imposes a proportional income tax on all people who earn income within its city limits. In 2004, the city's income tax rate was 0.04 (4 percent), and it collected $20.00 million in income taxes. In 2005, it raised the income tax rate to 0.05 (5 percent), and its income tax collections declined to $19.20 million. What happened to the city's income tax base between 2004 and 2005?A. it fell by $0.80 million.B. it fell by $116 millionC. it ross by $116 millionD. it cannot be determined since the tax rate changed

Answers

Answer:

B) it fell by $116 million

Explanation:

If during 2004 the city was able to raise $20 million with a 4% income tax, then the city's income base was:

($20 million / 4%) x 100 = $500 million

If during 2005 the city was only able to raise $19.20 million with a 5% income tax, then the city's income base lowered to:

($19.20 million / 5%) x 100 = $384 million

This means that the city's income base was reduced by $116 million (= $500 million - $384 million)

Five years ago, you purchased a $1,000 par value corporate bond with a coupon interest rate of 6 percent. Today comparable bonds are paying 6.5 percent. What is the approximate dollar price for which you could sell your bond?

Answers

Answer:

$923.077

Explanation:

Data provided in the question:

Face value of the bond = $1,000

Interest rate = 6% = 0.06

Comparable interest rate = 6.5% = 0.065

Now,

The amount of annual interest  on the bond

= Face value × Interest rate

= $1,000 × 0.06

= $60

Therefore,

the approximate dollar price for selling the bond

= ( Dollar amount of annual interest ) ÷ ( Comparable interest rate )

= $60 ÷ 0.065

= $923.077

Final answer:

Explanation of the inverse relationship between bond prices and interest rates when market rates increase, resulting in the bond selling for less than face value. Therefore, the approximate dollar price at which you could sell this bond can be calculated to be around $964.

Explanation:

When comparing bond prices and interest rates, there is an inverse relationship. If market interest rates increase, the value of existing bonds decreases. In this case, with a rise in rates, the bond you hold at a 6% coupon rate would sell for less than its $1,000 face value. The approximate dollar price at which you could sell this bond can be calculated to be around $964.

When Teresa Carleo, the owner of Plant Fantasies, started her business, staying with the business for the first few years was difficult for her. Though it was inconvenient, she decided to work from home to avoid paying the rent for office space. Teresa's decisions to stay with the business and work from home exemplify _____.
a. workplace deviance
b. production blocking
c. options-based planning
d. long-term strategic plans

Answers

Answer: (D) Long term strategic plan

Explanation:

 The long-term strategic plans is the process of planning the various types of organization targets and also achieve the specific strategic goals by coordinating the organization department.

The long term organization outline the specific trajectory development. The long term plans are mainly help in the organization by improving the productivity, investment, technology and the relation of the company employees.

Therefore, Option (D) is correct.

The invention of the telegraph led to the loss of jobs for those who had delivered mail by horse but created jobs for telegraph operators and delivery persons. This is an example of:

Answers

Answer:

job insecurity

Explanation:

it leads to.loss of jobs for many and hence meaning that their jobs are not well protected

Assuming no direct factory overhead costs (i.e., inventory carry costs) and $3 million dollars in combined promotion and sales budget, the Dune product manager wishes to achieve a product contribution margin of 35%.
Given their product currently is priced at $35.00, what would they need to limit the material and labor costs to?
a. $21.00
b. $23.00
c. $22.75
d. $24.50

Answers

Answer:

they need to limit the material and labor costs to $22.75

so correct option is c. $22.75

Explanation:

given data

promotion and sales  =  $3 million

contribution margin = 35%

Selling price =  $35.00

to find out

what would they need to limit the material and labor costs to

solution

we get first here Contribution margin per unit that is

Contribution margin = contribution margin × Selling price    ..............1

Contribution margin = $35  × 35%

Contribution margin = $12.25 per unit

and

Variable cost will be

Variable cost = Selling price - Contribution margin ..............2

Variable cost = $35 - $12.25

Variable cost = $22.75 per unit

and

Variable cost = Direct materials costs + Direct labor costs + Direct factory overheads     ...............3

here direct factory overheads is given = 0

so

$22.75 = Direct materials costs + Direct labor costs

so

they need to limit the material and labor costs to $22.75

so correct option is c. $22.75

Growers Mart buys one hundred cases of berries from Hilltop Farms. The parties agree that the berries will be transported "F.O.B. Hilltop Farms" via Refrigerated Trucking Company. Refrigerated's truck and the berries are lost in a fire following an accident. The loss of the berries is suffered by______.a. all of the parties as tenants in common in equalmeasure.b. Growers Mart.c. Hilltop Farms.d. Refrigerated Trucking.

Answers

Answer:

Grower Mart

Explanation:

("FOB shipping point" or "FOB origin")is a term that stands for from the point of origin.  This means that the buyer incur any risk and takes delivery of  the goods once the seller ships the goods.  The supplier records it as a sale at the point of departure from its shipping dock. meaning that the purchaser pays the shipping cost from the factory or warehouse and gains ownership of the goods as soon as it leaves its point of origin.

When the term "F.O.B. Hilltop Farms" it means it is from the point of origin

Final answer:

The loss of the berries would be borne by Growers Mart, as under the terms of F.O.B. Hilltop Farms, the risk of loss passed to Growers Mart once the shipment was picked up by the trucking company.

Explanation:

The question pertains to a situation where Growers Mart purchases a hundred cases of berries from Hilltop Farms with an agreement of F.O.B. (Free On Board) Hilltop Farms for the shipment by Refrigerated Trucking Company. Understanding the term F.O.B. is crucial here, as it designates when the risk of loss transfers from the seller to the buyer. F.O.B. Hilltop Farms indicates that the responsibility for the berries passes to Growers Mart once Refrigerated Trucking picks up the shipment from Hilltop Farms. Therefore, in the event of the loss such as the one described, it is Growers Mart that suffers the loss of the berries since the risk had already passed to them when the berries were picked up for transportation.

Norbert Company reports the following net cash in its statement of cash flows: net inflow from operating activities: $200; net outflow from investing activities: $220; net inflow from financing activities: $130. The current year beginning balance of cash was $80. The cash balance at the end of the year will be:

Answers

Answer:

$190

Explanation:

‘Cash Flow Statement’ is one of major financial statement that indicates the inflow and outflow of cash along with the reasons by categorizing each cash transaction in three activities i.e., operating, investing or financing activity. Non-cash transactions are not considered while preparing a cash flow statement.

Given,

Net inflow from operating activities (A) = $200

Net outflow from investing activities (B) = ($220)

Net inflow from financing activities (C) = $130

Cash at beginning of year = $80

Now,

Net increase/decrease in cash = (A) + (B) + (C)

Net increase/decrease in cash = $200 + ($220) + $130

Net increase/decrease in cash = $110

Cash at the end of year = Net increase/decrease in cash + Cash at beginning of year

Cash at the end of year = $110 + $80

Cash at the end of year = $190

Cash flow statement has been attached below:

Final answer:

The cash balance at the end of the year for Norbert Company is calculated by adding the net cash inflows and subtracting cash outflows from the operations, investing, and financing, resulting in a net increase of $110. This is added to the beginning balance of cash, $80, to arrive at an ending cash balance of $190.

Explanation:

The cash balance at the end of the year for Norbert Company can be determined by calculating the net increase or decrease in cash based on the provided cash flows and then adding this to the beginning balance of cash. Here's how you can compute it:

Net inflow from operating activities: $200

Net outflow from investing activities: $220 (this represents a decrease in cash)

Net inflow from financing activities: $130

Beginning cash balance: $80

To find the cash balance at the end of the year,

Calculate the net increase in cash by adding the cash inflows and subtracting the cash outflows: $200 (operating) - $220 (investing) + $130 (financing) = $110.

Add the net increase in cash to the beginning cash balance: $80 (beginning balance) + $110 (net increase) = $190.

Therefore, the cash balance at the end of the year will be $190.

Anderson embezzled $20,000 from her company's account in Bank X. At year-end, she hid the shortage by making a deposit on December 31 in Bank X, drawn on Bank Y. She has not recorded the transaction on the books. This is an example of:

Answers

Answer:

Accounts Payable Fraud

Explanation:

Since Ms Anderson embezzled $20,00 from her company account and has not recorded the transaction on the books, presumably, She's an accountant. She made a deposit, on the turning of the fiscal year (december 31) for the record. The money must have been taken, via a check tampering, or a billing scheme or any kind of fraudulent reimbursement.

Assume that the owners of the only gambling casino in Wisconsin spend large sums of money lobbying state government officials to protect their gambling monopoly. Economists refer to these expenditures as_________.

Answers

Answer: The correct answer is "rent-seeking".

Explanation: Economists refer to these expenditures as rent-seeking.

rent seeking occurs when an organization seeks to obtain income by capturing economic income through the manipulation or exploitation of the political or economic environment, instead of obtaining benefits through economic transactions and production of added wealth.

During the year, a corporation declares a dividend and subsequently distributes to a stockholder $15,000 in cash and a bond with a basis of $25,000 and a fair market value of $26,000 on the date of distribution. The bond had a fair market value of $26,500 on the date that the corporation declared the dividend. The corporation has current earnings and profits in excess of the total amounts distributed during the year. What identifies the tax consequences of the distribution to the stockholder?

Answers

Answer:

The stockholder must report a total income of:

$15,000 (cash) + $26,000 (fair market value of the bond) = $41,000

Nonmonetary dividends have to be recognized at the fair market value of the assets that are distributed. Nonmonetary dividends are usually referred to as property dividends. Cash is recognized at its face value.

Stores such as T.J. Maxx, Burlington Coat Factory, and Marshalls buy manufacturers' seconds, overruns, returns, and off-season production runs at below wholesale prices. These firms that resell this merchandise to consumers at deep discounts are called
a.category killers.
b.off-price retailers.
c.specialty retailers.
d.hypermarkets.
e.discount retailers

Answers

Answer: Off price retailers

                                                                     

Explanation: In simple words, it refers to the retailers that sells high quality products at relatively lower prices than market. The key to their business structure is the discount they offer as the majority of product they sell are of second hand quality or are off seasoned.

     They procure material directly from the suppliers in the form of scrap etc and then sells it to retailer at heavy discounts. Hence from the above we can conclude that the correct answer is off price retailers.

The hallmarks of a high-performance corporate culture include
A. a deep commitment to pioneering new best practices, a preference for being a fast-follower as opposed to a first-mover or late-mover, and across-the-board bonuses for all personnel when the company meets or beats stretch objectives.
B. a strong emphasis on teamwork, strict enforcement of company policies and procedures, and incentive compensation for all employees aligned with a balanced scorecard approach to measuring performance.
C. a deep commitment to top-notch quality and superior customer service, dedicated use of TQM and/or Six Sigma quality control programs, and the payment of big performance bonuses and stock options.
D. a "can-do" spirit, pride in doing things right, no-excuses accountability, and a pervasive results-oriented work climate where people go the extra mile to meet or beat stretch objectives.
E. a deep commitment to employee training, unusually attractive fringe benefit packages for company personnel, and frequently revised and updated values and ethics statements.

Answers

Answer:

The correct answer is D. a "can-do" spirit, pride in doing things right, no-excuses accountability, and a pervasive results-oriented work climate where people go the extra mile to meet or beat stretch objectives.

Explanation:

A true high performance organizational culture is the basis of innovation. Culture inspires people to go beyond their tasks, to take risks, to experiment and to make good decisions even when there is no one to control them.

Next, we tell you what are the 2 main characteristics of a high performance organizational culture:

Each culture is unique. Some organizations have a strong personality; a powerful essence derived from a deep heritage. Others, such as Netflix or Google, have created their own hallmark. The combination of values, character, and beliefs generate deep empathy among employees, making their work more meaningful and rewarding.Even so, they all encourage a set of similar behaviors; Although there are different corporate “personalities”, all these promote similar behavior patterns. The people within these organizations are passionate about success; They are oriented to continue growing, focus on their customers and their competition, rather than internal policies. They think as owners and have a tendency to act in different situations. They build work teams encouraging collaboration and always open to change, essential characteristics for innovation.

Developing and maintaining this type of culture is a challenge, but it is possible; Leadership is key in this regard. A cultural change cannot be made without the leaders themselves adopting the behavior and values ​​they wish to generate in the new culture. The most effective way to transmit it, is that they constantly have direct contact with the team, especially with key people who believe in culture and have an important weight within the organization, since they will be responsible for transmitting it to others. They are not afraid of the need to make changes to support the new culture, and constantly check that performance continues to remain high, as the culture progresses and evolves.

Final answer:

A high-performance corporate culture is characterized by a 'can-do' spirit, 'no-excuses accountability', and a results-oriented work ethic, which encourages employees to excel and meet or exceed objectives.

Explanation:

The hallmarks of a high-performance corporate culture can somewhat be seen in all the given options, but most emphatically expressed in option D. A sound corporate culture often demonstrates a 'can-do' spirit, takes pride in doing tasks right, embraces 'no-excuses accountability', and embodies a results-oriented work climate where staff go the extra mile to meet or beat stretch objectives. Remaining resilient and tenacious, despite setbacks, promotes a culture of growth and innovation. Accountability keeps employees invested in their tasks and conveys that everyone's role matters. A results-oriented work environment motivates and pushes everyone to strive for excellence. Therefore, these characteristics combined shape a high-performance corporate culture.

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ComTek Limited has an order to sell 50,000 central processing units (CPUs) to Brazil, but the Brazilian government stipulated that 35 percent of the component parts of those CPUs must be produced in Brazil. This stipulation is an example of a(n)
A. antidumping policy.
B. quota rent.
C. local content requirement.
D. voluntary export restraint.
E. import quot

Answers

Answer:

The correct answer is option C

C. local content requirement

Explanation:

Local content management are policy measures that protects domestic industries/manufacturers from foreign industries by allowing a certain percentage of goods to be produced locally against foreign imports.

The faster economic growth​ is, the A. farther the production possibilities curve shifts out. B. steeper the slope of the production possibilities curve. C. closer to the origin the production possibilities curve becomes. D. more bowed the production possibilities curve becomes.

Answers

Answer:

The correct answer is option A.

Explanation:

A production possibility curve shows the maximum possible combination of two goods that can be produced using all the available resources and state of technology.

An increase in economic growth causes the production possibility curve to shift to the right. The faster the economic growth the more the economy will be able to produce. So the farther the production possibilities curve will shift out.

Suppose Boyson Corporation's projected free cash flow for next year is FCF1 = $150,000, and FCF is expected to grow at a constant rate of 6.5%. If the company's weighted average cost of capital is 11.5%, what is the firm's total corporate value? a. $2,572,125 b. $2,707,500 c. $2,850,000 d. $3,000,000 e. $3,150,000

Answers

Answer:

The total corporate value of the firm is $3,000,000

Explanation:

The total corporate value of the firm is computed as:

Total corporate value = FCF1 / (average cost of capital - Growth rate)

Where

FCF1 is $150,000

Growth rate is 6.5%

average cost of capital is 11.5%

Putting the values :

= $150,000 / (11.5% - 6.5%)

= $150,000 / 5%

= $3,000,000

According to given equation, the total corporate value of the firm is $3,000,000.

What is term cost of capital about?

Cost of capital defined as the minimum rate of return that a company needs to generate in order to justify the cost of particular project.

Given Information:-

FCF1 =$150,000

Growth rate= 6.5%

Average cost of capital= 11.5%

Solution:-

The total corporate value of the firm is computed as:-

Total corporate value = FCF1 / (average cost of capital - Growth rate)

Total corporate value= $150,000 / (11.5% - 6.5%)

Total corporate value= $150,000 / 5%

Total corporate value= $3,000,000

Learn more about cost of capital, refer to the link:

https://brainly.com/question/16202400

An increase in the MPC
a. increases the multiplier, so that changes in government expenditures have a larger effect on aggregate demand.
b. increases the multiplier, so that changes in government expenditures have a smaller effect on aggregate demand.
c. decreases the multiplier, so that changes in government expenditures have a larger effect on aggregate demand.

Answers

Answer:

The correct answer is option a.

Explanation:

MPC or marginal propensity to consume measures the change in consumption due to change in the income level of the consumer. It is the ratio of the percentage change in consumption to the percentage change in income.  

The multiplier shows the extent to which the aggregate demand will change due to a change in government spending.  

The multiplier is expressed as,  

[tex]\frac{1}{1-MPC}[/tex]

An increase in the MPC thus increases the value of the multiplier. The greater the multiplier the greater will be the change in the aggregate demand due to a change in government spending.

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