In our aggregate expenditure model we assume that:
O individual firms’ prices are flexible but the price level is fixed.
O both individual firms’ prices and the price level are flexible.
O both individual firms’ prices and the price level are fixed.
O individual firms’ prices are fixed but the price level is flexible

Answers

Answer 1

Answer:

The correct answer is regarding the model, is that an individual firms prices are flexible but the level of the price is fixed.

Explanation:

The aggregate expenditure model is the model in which the sum or total of all the expenditures are undertaken in the economy with the factors during the particular time period.

The equation is:

AE = C (Consumption) + I (Investment) + G (Government) + NX (Net Exports)

In this model, it is assumed that the prices of the individual firm are flexible whereas the price level is fixed.

Answer 2

In our aggregate expenditure model, we assume that individual firms' prices are flexible but the price level is fixed. The correct option is O individual firms’ prices are flexible but the price level is fixed.

Focus on Total Spending: The aggregate expenditure model analyzes fluctuations in economic activity by focusing on the total amount of spending in the economy.

Fixed Price Level: It assumes that the overall price level in the economy is relatively stable or fixed in the short run.

Changes in Real Output: With a fixed price level, changes in nominal spending primarily lead to changes in real output rather than changes in the price level.

Flexibility of Individual Firm Prices: Despite the fixed price level assumption, individual firms can adjust their prices in response to changes in demand for their specific goods or services.

Relative Price Adjustments: This flexibility allows for relative price adjustments, aiding in market clearing for individual goods.

Limited Impact on Aggregate Price Level: Although individual firms can adjust prices, the aggregate price level is not significantly affected in the short run due to nominal rigidities and the assumption of a fixed price level.  Therefore, the correct option is O individual firms’ prices are flexible but the price level is fixed.


Related Questions

On June 8, Alton Co. issued an $88,500, 7%, 120-day note payable to Seller Co. Assume that the fiscal year of Seller Co. ends June 30. Using a 360-day year in your calculations, what is the amount of interest revenue recognized by Seller in the following year? When required, round your answer to the nearest dollar.

Answers

Answer:

Amount of interest revenue recognized [tex]=\frac{2065\times 98}{120}=$1686.41[/tex]

Explanation:

Principal amount P = $88500

Rate of interest r = 7 %

Total number of days = 120

So interest [tex]=\frac{principal\ amount\times rate\times time}{100}=\frac{88500\times 7\times 120}{360\times 100}=$2065[/tex]

Number of days from 8 june to 30 june = 30-8 = 22 days

So left days = 120-22 = 98 days

So amount of interest revenue recognized [tex]=\frac{2065\times 98}{120}=$1686.41[/tex]

Activity Cost Pool Total Cost Total Activity Activity Rate Machine setups $ 20,000 200 setups $ 100 per setup Special processing $ 150,000 10,000 MHs $ 15 per machine-hour General factory $ 200,000 20,000 direct labour-hours $ 10 per direct labour-hour Total overhead costs $ 370,000 What is the total overhead cost assigned to Product A, if Product A used 100 setups, no special processing and 10,000 direct labor-hours? $10,000 $1,000 $110,000 $100,000

Answers

Answer:

total overhead cost = $110,000

so correct option is c.  $110,000

Explanation:

given data

used = 100 setups

direct labor-hours = 1000

to find out

What is the total overhead cost assigned to Product A

solution

we get total overhead cost that is express as

total overhead cost = [ $100 per machine setup × 100 setups ] + [ $15 per machine-hours × 0 special processing ] + [ 10 per direct labor-hour × 10,000 direct labor-hours ]    

so

total overhead cost = $10,000 + $0 + $100,000

total overhead cost = $110,000

so correct option is c.  $110,000

Final answer:

The total overhead cost assigned to Product A is $110,000, calculated by adding the cost of machine setups ($10,000) and the cost of direct labor hours ($100,000). There was no special processing cost for Product A.

Explanation:

To calculate the total overhead cost assigned to Product A, we apply the activity rates to the actual levels of activity that Product A used. For machine setups, we have an activity rate of $100 per setup and Product A used 100 setups, resulting in a cost of $10,000 for machine setups (100 setups  imes $100/setup = $10,000). There was no special processing, so this cost is $0. For direct labor-hours, the rate is $10 per direct labor-hour and Product A used 10,000 direct labor-hours, giving us a cost of $100,000 for direct labor-hours (10,000 direct labor-hours  imes $10/direct labor-hour = $100,000). Adding these costs together, the total overhead cost assigned to Product A is $110,000 ($10,000 from setups + $100,000 from labor).

8. PLC pays an annual dividend of $6.00. The company is expected to continue paying this dividend with no future growth in dividends. Investors require 11% rate of return on this investment. What is the current stock value of PLC?

Answers

Answer:

The current stock value of PLC: $54.55.

Explanation:

Please find the below for detailed explanations and calculations:

PLC's stock value should equal to the present value of its future dividends discounted at required rate of return which is given in the question at 11%.

The constant stream of PLC's annual dividend as described in the question forms a perpetuity of $6.00 dollar per year perpetually.

As explained above, by applying the formula for calculating the present value of the perpetuity, we have:

PLC's current stock value = 6/11% = $54.54.

Final answer:

The current stock value of PLC is calculated using the formula for the present value of a perpetuity, which yields a value of $54.55.

Explanation:

The question is asking for the current stock value of PLC based on its perpetual annual dividend of $6.00, with no future growth in dividends, and an investor's required 11% rate of return. This is a question generally covered in corporate finance and involves concepts such as dividend discount model or Gordon Growth Model. However, since the growth rate in this case is zero, we will be using the formula for the value of a perpetuity.

The formula for the present value of a perpetuity is PV (stock value) = D / r, where D is the constant annual dividend and r is the required rate of return. Here, D = $6.00 and r = 11% or 0.11.

Substituting the given values into the formula, we get:

Stock Value = $6.00 / 0.11 = $54.55

Therefore, the current stock value of PLC is $54.55.

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Services differ from manufacturing for all of the following reasons EXCEPT: a. Heterogeneity b. Time-perishable capacity c. Simultaneous consumption and production d. Ability to limit discretionary action of personnel e. Customer provides significant inputs into the process

Answers

Option d 'Ability to limit discretionary action of personnel' does not differentiate services from manufacturing as both sectors can implement processes to limit staff discretion.

Services are characterized by several distinct features: a. Heterogeneity services are diverse and vary from one service provider to another; b. Time-perishable capacity services cannot be stored for sale at a later time; c. Simultaneous consumption and production services are typically produced and consumed at the same time;

Customer provides significant inputs into the process often in services, customers play an active role in the process. The option that does not differentiate services from manufacturing is d. Ability to limit discretionary action of personnel. Both service and manufacturing sectors can put in place processes and policies to limit discretionary actions of their staff.

Saira, Inc. has the following income statement (in millions): SAIRA, INC. Income Statement For the Year Ended December 31, 2017 Net Sales $300 Cost of Goods Sold 180 Gross Profit 120 Operating Expenses 45 Net Income $75 Using vertical analysis, what percentage is assigned to Cost of Goods Sold?

Answers

Answer:

60%

Explanation:

Percentage assigned to cost of goods sold

= Cost of goods sold / Sales

= $180 / $300

= 0.60 or 60%

Answer:

The percentage is assigned to Cost of Goods Sold is 60%

Explanation:

The percentage assigned to cost of good sold is the cost-to-sales ratio of a company which show how much direct cost to produce a product that $1 of sales is required.

For Saira, Inc.; the percentage assigned to cost of goods sold for the year ended 2017 is calculated as:

Percentage assigned to cost of goods sold in 2017 = Cost of good sold in 2017/Net Sales in 2017 = 180/300 = 0.6 = 60%.

So, the answer is 60%.

You estimate Bayleaf Inc. has free cash flows of $70 million arriving in 1 year, $74 million in 2 years, and $80 million in 3 years. After year 3, the long term growth rate of FCF will be 3% (thus year 4 FCF is $82.4 million). Bayleaf has $241 million in net debt and a weighted average cost of capital of 14%. What is your estimate of the Enterprise Value of Bayleaf (in millions)?

Answers

Answer:

If no information of how many years expected for the FCF in Bayleaf, then I assume you expect FCF in 4 years only.

Then the Enterprise Value of Bayleaf is nil, since its valuation is negative of roughly $19,871.

However if we expect to have FCF in 20 years, in which the growth rate of FCF in year 4th is 3% year on year, then the valuation of Bay Leaf Inc. is roughly $347 million.

Explanation:

The valuation of enterprise is Net present value (NPV) of Free Cash Flow (FCF) minus its Net Debt

In the NPV, the discount rate is weighted average cost of capital (WACC); thus we can calculate NPV of FCF in Bayleaf by this function in excel = NPV(14%,70000,74000,80000) = $221,129,242

Then the valuation of company if considering FCF in 4 years is ($19,871)= NPV of FCF – Net Debt = $221,129,242 - $241,000,000

Please see excel attached for your details.

Pentex and Marbro, small companies in the stationery business, each had a dollar gross margin of $20,000 during September 2014. Pentex's September sales were twice that of Marbro's. If Pentex's gross margin as a percentage of sales for September was 10%, what was Marbro's gross margin as a percentage of sales for the same period?

Answers

Answer:

20%

Explanation:

Since the gross margin is $20,000 and the gross margin percentage of Pentex is 10%, so from this information we can find out the sales value which  is shown below:

Gross profit percentage = Gross profit ÷ sales

10% = $20,000 ÷ sales

So, the sales would be $200,000

Since the Pentex sales is twice of Marbro

So, the Marbro sales would be half of Pentex sales

So, the Marbro sales would be $100,000

Now the Marbro gross profit percentage would be

= $20,000 ÷ $100,000

= $20%

3. Calculate the equity each of these people has in his or her home: Fred just bought a house for $200,000 by putting 10% as a down payment and borrowing the rest from the bank. Freda bought a house for $150,000 in cash, but if she were to sell it now, it would sell for $250,000.

Answers

Answer:

1. $20,000

2. $250,000

Explanation:

In the balance sheet, the assets, liabilities, and stockholder equity is recorded. In this the accounting equation is used which is shown below:  

Total assets = Total liabilities + stockholder equity  

The debit and credit side of the balance sheet should always be equal and balanced.  

Moreover, it always is prepared on the specified date.

In the given case, the equity value would be

1. Assets = $200,000

Down payment = $200,000 × 10% = $20,000

Borrowed amount or Liabilities = $200,000 - $20,000 = $180,000

So, the equity would be $20,000

2. Purchase price = $150,000

Market value to sell = $250,000

The market value would be considered as an equity because there is no liability i.e $250,000

A reduction in U.S net exports would shift U.S. aggregate demand
a. rightward. In an attempt to stabilize the economy, the government could increase expenditures.
b. rightward. In an attempt to stabilize the economy, the government could decrease expenditures.
c. leftward. In an attempt to stabilize the economy, the government could increase expenditures.
d. leftward. In an attempt to stabilize the economy, the government could decrease expenditures.

Answers

Answer:

c. leftward. In an attempt to stabilize the economy, the government could increase expenditures.

Explanation:

When the economy of a country faces a recession, that country chooses not to make high imports. For example, if Canada faces a recession in its economy, the Canadian government will not import more to stabilize the economy. According to the Keynesian framework, as the income of people decreases, the net export will be reduced, and the aggregate demand curve will shift leftward.

Which of the alternatives to the modern theory of the firm holds that managers attempt to meet some goal that is defined in terms of a specified level of sales, profits, growth, or market share?
A. Management utility maximization model
B. Profit maximization model
C. Satisficing model
D. Sales maximization model

Answers

Answer:

C. Satisficing model

Explanation:

Satisficing model aims at reaching and receiving the results which makes the desired person satisfied with the results.

It basically provides the company and its management to not only find an optimal solution but a solution which is satisfying for the management.

Thus, in the given instance management sets a prescribed percentage as results they desire for sales, and related profit which further results in desired level of growth.

Thus, this is about satisfactory results that is Satisficing model.

The Satisficing model is the options to the current theory of the firm maintains that managers try to complete any goal that is defined in terms of a specified level of sales, profits, etc.

What is  Satisficing model?

Satisficing is a decision-making process that seeks a sufficient result, rather than the best solution. Rather than setting the highest effort toward achieving the ideal result.

It focuses on sensible steps when faced with charges.

It essentially furnishes the company and its direction to not just encounter an optimum resolution, but an explanation which is fulfilling for the control.

Thus, in the given example, management develops a visited percentage of outcomes they want for sales and connected profit, which additionally results in the desired level of growth.

Therefore, option C is correct.

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The term "current financial resources" refers to
A. The government’s current assets and current liabilities.
B. Financial resources used to provide electricity to local citizens.
C. Assets that are available to be used for current expenditures.
D. Those assets that can quickly be converted into cash.
E. The current value of all net assets owned by the governmental unit.

Answers

Answer:C. Assets that are available to be used for current expenditures

Explanation:

The running of a firm will be affected no matter how much asset it has if there are no current financial resources to meet his immediate obligations, the availability of assets convertible to immediate cash to meet current or immediate obligations is called current financial resources.

Joe​ Henry's machine shop uses 2 comma 500 brackets during the course of a year. These brackets are purchased from a supplier 90 miles away. The following information is known about the​ brackets:
Annual demand: 2,500
Holding cost per bracket per year: $ 1.50
Order cost per order: $ 18.75
Lead time: 2 days
Working days per year: 250 ​
a) What is the​ EOQ? ​(round your response to two decimal​ places). ​
b) What is the average inventory if the EOQ is​ used? ​(round your response to two decimal​ places). What would be the annual inventory holding​ cost? ​​(round your response to two decimal​ places). ​
c) Given the​ EOQ, how many orders will be made​ annually? ​(round your response to two decimal​ places). What would be the annual order​ cost? ​​(round your response to two decimal​ places).
​d) Given the​ EOQ, what is the total annual cost of managing​ (ordering and​ holding) the​ inventory? ​​(round your response to two decimal​ places). ​
e) What is the time between​ orders? ​(round your response to two decimal​ places).
​f) What is the reorder point​ (ROP)? ​(round your response to two decimal​ places).

Answers

Answer:

a) 250 brackets;

b) Average inventory: 125 brackets; Annual inventory holding cost: $187.50

c) 10 orders;

d) $375

e) 25 days

f) 20 brackets

Explanation:

a) EOQ = square root of [(2* Order Cost per one order * annual demand] / Holding Cost per bracket per year ] = square root of [ 2* 18.75 * 2,500 / 1.5] = 250 brackets.

b) Average inventory =  EOQ/2 = 125 brackets; Annual inventory holding cost = 125 x 1.5 = $187.5

c) Orders made annually give EOQ = Annual demand / EOQ = 2,500/250 = 10 orders;

d) Total annual cost of managing​ (ordering and​ holding) the​ inventory = 10 x 18.75 + 187.5 = $375

e) Time between​ orders = Total annual working days/ orders made per year = 250/10 = 25 days.

f) The reorder point​ (ROP) = Demand of bracket per working day * lead time = Annual demand * Lead time / total annual working days = 2,500*2/250 = 20 brackets.

Final answer:

The Economic Order Quantity (EOQ) is 250 brackets. The average inventory if EOQ is used is 125 brackets, with an annual inventory holding cost of $187.50. The time between orders is 25 working days, and the reorder point (ROP) is 20 brackets.

Explanation:

To find the Economic Order Quantity (EOQ), we can use the formula: EOQ = √((2 * Annual demand * Order cost per order) / Holding cost per bracket per year). Plugging in the values, we get EOQ = √((2 * 2500 * 18.75) / 1.5) = √((93750) / 1.5) = √62500 = 250.

The average inventory if the EOQ is used can be calculated as EOQ/2, which is 250/2 = 125 brackets. The annual inventory holding cost is the average inventory multiplied by the holding cost per bracket per year, which is 125 * 1.50 = $187.50.

The number of orders made annually can be calculated as Annual demand divided by the EOQ, which is 2500/250 = 10. The annual order cost is the number of orders multiplied by the order cost per order, which is 10 * 18.75 = $187.50.

The total annual cost of managing the inventory can be calculated by adding the annual inventory holding cost and the annual order cost, which is $187.50 + $187.50 = $375.

The time between orders can be calculated as EOQ divided by the annual demand, which is 250/2500 = 0.1 years, or 0.1 * 250 = 25 working days.

The reorder point (ROP) can be calculated as Lead time multiplied by the daily demand, which is 2 * (2500/250) = 20 brackets.

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A flight route is served by American Airlines (AA) and Southwest Airlines (SW). Suppose American is the industry leader American will decide whether to raise airfares, and then Southwest will decide whether to match the price increase. What is the Nash equilibrium of the game?
a. The game does not have a Nash equilibrium.
b. American will leave fares unchanged and Southwest will leave fares unchanged
c. American will leave fares unchanged and Southwest will raise fares
d. American will raise fares and then Southwest will leave fares unchanged
e. American will raise fares and then Southwest will raise fares.

Answers

Answer:

The correct answer is letter "B": American will leave fares unchanged and Southwest will leave fares unchanged.

Explanation:

Named after American mathematician John Nash (1928-2015), the Nash equilibrium explains how groups of people or individuals make choices that will affect other parties' choices. Nash equilibrium refers to a condition in which every participant has optimized its outcome based on the other player's expected decision. Eventually, an individual cannot receive benefits from changing actions, assuming that the other parties do not make any changes as well.

Equipment was acquired for $256,000 and has accumulated depreciation of $187,000. The business exchanges this equipment for new equipment. The new equipment has a market value of $208,000 and the business pays $159,000 cash. Assume the exchange has commercial substance. The exchange results in ________.

Answers

Answer:

exchange results = - $20000 loss

Explanation:

given data

acquired = $256,000

accumulated depreciation = $187,000

market value = $208,000

business pays cash =  $159,000

to find out

The exchange results

solution

we get  exchange results as gain or loss that is calculate as

exchange results = market value - book value of assets exchange - cash paid  ..................1

here book value of assets exchange = acquired - accumulated depreciation

book value of assets exchange =  $256,000 - $187,000 = $69000

so from equation 1

exchange results = market value - book value of assets exchange - cash

exchange results = $208,000 - $69000 - $159,000

exchange results = - $20000 loss

Final answer:

When exchanging equipment, the loss is determined by comparing the book value of the old equipment to the total cost of the new equipment. In this case, the old equipment's book value is $69,000, and the new equipment's total cost is $367,000, which means the business has incurred a loss.

Explanation:

The exchange of equipment in the scenario described results in a gain or loss that can be calculated by comparing the book value of the old equipment to the value of the new equipment plus any additional cash paid.

The book value of the old equipment is calculated by subtracting the accumulated depreciation from the original cost: $256,000 - $187,000 = $69,000.

The company receives new equipment worth $208,000 and pays $159,000 in cash, making the total cost of the new equipment $208,000 + $159,000 = $367,000. Comparing this to the book value of the old equipment shows that the company has incurred a loss.

2) A 10-year, 10% semiannual coupon bond selling for $1,135.90 can be called in 4 years for $1,050 (hint: par value is $1,000). Draw the Time line? Show your work What is its yield to maturity (YTM)? Show your work What s its current yield (CY)? Show your work What is its yield to call (YTC)? Show your work.

Answers

Answer

The answer and procedures of the exercise are attached in the following 2 images.  

Explanation  

FILE HOME INSERT DATA REVIEWVIEW Tell me what you wa fc 1 time to maturity years) 2 time to maturity(semi-annual) 3 coupon rate 4 par value 5 annual coupon 6 semiannual coupon 7 price 8 semiannual YTM 9 Annual YTM 10 call price 11 time untill call 12 time untill call(semi-annual) 13 semi-annual YTC 14 annual YTC 15 current yield 16 10 formulas 20 B1*2 1000 100 B3 B4 0 B5/2 1135.9 4% RATE(B2,B6,-B7,B4) 8.00% B8*2 1050 4 8 B11*2 3.57% RATE(B12,B6,-B7,B10) 7.14% B13"2 8.80% B5/B7

2) YTM = ANNUAL YTM

3) YTC = Annual YTC

Omar's current annual salary is $75,000. How much will he need to earn 20 years from now to retain his present purchasing power if the rate of inflation over that period is 3%/year? Assume that inflation is continuously compounded. (Round your answer to the nearest cent.)

Answers

Answer:

amount = $136658.91

Explanation:

given data

current annual salary =  $75,000

time = 20 years

rate = 3%  = 0.03

to find out

amount

solution

we will apply here amount formula for continuously compounded that is express as

amount = Principal × [tex]e^{rt}[/tex]   .......................1

put here value we get

amount = $75,000 × [tex]e^{0.03*20}[/tex]

amount = $75,000 × 1.822

amount = $136658.91

Final answer:

Omar will need to earn approximately $135,979.03 in 20 years to maintain the purchasing power of his current $75,000 salary, considering a 3% annually compounded inflation rate.

Explanation:

The question asks how much Omar needs to earn after 20 years to maintain the current purchasing power of his $75,000 salary with a continuously compounded inflation rate of 3% per year. To calculate this, we can use the formula for continuous compounding: A = Pe^{rt}, where A is the amount needed in the future, P is the current principal amount ($75,000), r is the annual interest rate (inflation rate of 0.03), t is the time in years (20 years), and e is the base of the natural logarithm (approximately 2.71828).

Plugging in the values, we get A = 75000e^{0.03*20}. After performing the calculation, we find that Omar will need to earn approximately $135,979.03 to retain the same purchasing power in 20 years, rounding to the nearest cent.

Activity-Based Management for a Hotel Consider the following actions of a hotel chain trying to manage the costs of its check-in process. Required Match each of the process improvements listed with how it delivers cost reductions. Process Improvement Delivers Cost Reduction
1. Guests may now check in online rather than in person.
2. Guest information is added to forms based on computerized reservation rather than waiting until guest checks in.
3. The hotel closes for two months in the "low" season.
a. By reducing the frequency of activity.
b. Improving the efficiency of the activity.
c. By both (a) and (b).

Answers

Answer:

1. Guests may now check in online rather than in person.

c. By both (a) and (b).

2. Guest information is added to forms based on computerized reservation rather than waiting until guest checks in.

b. Improving the efficiency of the activity.

3. The hotel closes for two months in the "low" season.

a. By reducing the frequency of activity.

Explanation:

You can measure efficiency in business activity by getting the quotient of an actual output rate of a worker by a determinate standard output rate. This comparison will improve or get closer to 1 if guests' information is added to forms based on computerized reservation rather than waiting until guest checks in. Thus, a person in a hotel lobby counter will do her/his work more efficiently if s/he has access to the guest's computerized reservation instead of waiting for the guest to submit her/his information in the check-in process.

This business activity has a particular frequency as a service business related to seasons. A low-season closing follows to a zero frequency, therefore, there are no expenses related to a service which the business is not offering.

Finally, as guests may now check-in online rather than in person, this combines frequency and efficiency in business, thus, the business would not have to pay for a worker on the counter to ask and fill in forms at the hotel check-in process.

The Southside City has $47 million of debt recorded in its Schedule of Changes in Long-term Obligations, made up of $30 million of general obligation debt, $1 million of compensated absences payable, $4 million claims and judgments, and $12 million of obligations under capital leases. The State limits the amount of general obligation debt that can be issued by a City to 20% of the assessed value of its taxable property. The assessed value of property in Southside City is $250 million. The legal debt margin for Southside City is

Answers

Answer

The answer and procedures of the exercise are attached in the following images.

Explanation  

Please consider the data provided by the exercise. If you have any question please write me back. All the exercises are solved in 2 sheets with the formulas indications.  

Clay met with his supervisor, Suri, to discuss that he was being given the same bonus as everyone else on his team at the end of each year, even though he had a Master’s degree, took on extra and more difficult projects, and finished well ahead of given deadlines. Because Suri is not able to change the bonus, she can expect Clay to respond in all of the following ways EXCEPT(A) ignoring his feeling of resentment.(B) transferring.(C) quitting(D) reducing his production(E) reducing his hours

Answers

Answer:

A) ignoring his feeling of resentment

Explanation:

Having in mind Vroom's expectancy theory and the motivation output of its formula, it is impossible for Clay to continue working with the same zeal and interest. Even though the expectancy and valence factors of the formula are high (he is self-confident in his work and bonuses are his preferred form of rewards), the instrumentality factor is critically low, since Clay does not receive the desired reward amount.

Therefore, it is highly likely for Clay to quit his job, transfer to another position or company on the one hand, or reduce his productivity and work hours on the other hand. Since he already stated his feeling of resentment regarding the bonus, it is impossible for him to become satisfied with it afterwards.

Candela Company has retained earnings of $500,000, common stock of $400,000, and total common stockholders’ equity of $1,200,000. It has 200,000 shares of $2 par value common stock outstanding which is currently selling for $5 per share. If Candela Company declares a 2-for-1 stock split on its common stock, what will the effect on total common stockholder's equity?

Answers

Answer:

Total common stockholder's equity will not be effected after the stock split. In other words, it remains at the total of $1,200,000.

Explanation:

Since this is the stock-split transaction, the total common equity does not change.

What has been changed after the stock split is the increase of outstanding share of the company and the decrease par value of their common share. The change is proportionate in the way that total value of the company common stock's related account remain the same.

In this question, since the stock slit is 2-for-1, par value decreases by one-half and outstanding common share increases double.

The records for the Clothing Department of Metlock’s Discount Store are summarized below for the month of January. Inventory, January 1: at retail $24,800; at cost $16,600 Purchases in January: at retail $136,600; at cost $78,695 Freight-in: $7,100 Purchase returns: at retail $3,000; at cost $2,200 Transfers in from suburban branch: at retail $13,000; at cost $9,300 Net markups: $8,100 Net markdowns: $3,900 Inventory losses due to normal breakage, etc.: at retail $500 Sales revenue at retail: $94,300 Sales returns: $2,500 Compute the inventory for this department as of January 31, at retail prices.

Answers

Answer:

$83,300

Explanation:

Total at retail:

= Beginning inventory + Purchases - Purchase return + Transfers in from suburban branch

= $24,800 + $136,600 - $3,000 + $13,000

= $171,400

Ending inventory at retail:

= Total at retail + Net markups - Net markdowns - (sales - sales return) - Normal shortage

= $171,400 + $8,100 - $3,900 - ($94,300 - $2,500) - $500

= $171,400 + $8,100 - $3,900 - $91,800 - $500

= $83,300

Suppose there are 2,000 people who are unemployed as a result of cyclical unemployment and 1,000 people who are unemployed as a result of structural unemployment. How many people are unemployed as a result of frictional unemployment?

Answers

Answer:

1,000

Explanation:

Suppose the town of Boone has a total population of 50,000 people. Of those, 45,000 people are employed. There are 1,000 full-time students who are not employed or actively seeking work. The rest of the people are out of work but have been actively seeking work within the past four weeks.

This information is not given in the question.

For computing the frictional unemployment, first we have to determine the unemployed which is shown below:

Number of unemployed would be

= Total population - employed - full time students

= 50,000 - 45,000 - 1,000

= 4,000

Now the frictional unemployment would be

=  Unemployed - cyclical unemployment - structural unemployment

= 4,000 - 2,000 - 1,000

= 1,000

2. A company’s financial records at the end of the year include the following amounts: Cash $ 70,000 Accounts receivable 28,000 Supplies 4,000 Accounts payable 10,000 Notes payable 5,000 Retained earnings, beginning of year 17,000 Common stock 40,000 Service revenue 62,000 Wages expense 8,000 Advertising expense 6,000 Rent expense 10,000 What is the amount of net income on the income statement for the year? a. $47,000. b. $88,000. c. $38,000. d. $30,000.

Answers

Answer:

c. $38,000

Explanation:

In the income statement, the total revenues and the total expenses are recorded.  

If the total revenues are more than the total expenditure then the company earns net income

And, If the total revenues are less than the total expenditure then the company have a net loss

This net income or net loss would reflect in the statement of the retained earning account.  

The computation of the net income is shown below:

=  Service revenue - Wages expense - Advertising expense - Rent expense

= $62,000 - $8,000 - $6,000 - $10,000

= $38,000

The Scandrick Corporation needs to raise $70 million to finance its expansion into new markets. The company will sell new shares of equity via a general cash offering to raise the needed funds. The offer price is $30 per share and the company’s underwriters charge a spread of 8 percent. If the SEC filing fee and associated administrative expenses of the offering are $575,000, how many shares need to be sold? (Do not round intermediate calculations and enter your answer in shares, not millions of shares, rounded to the nearest whole number, e.g., 1,234,567.)

Answers

Answer:

2,536,232 shares

Explanation:

For computing the shares need to be sold, first we have to determine the net proceed which is shown below:

= (Raise amount to finance its expansion into new markets) ÷ (1 -  company’s underwriters charge a spread percentage)

= ($70,000,000) ÷ ( 1 - 8%)

= $76,086,956.52

Now the required number of shares sold would be

= Net proceeds amount ÷ offer price per share

= $76,086,956.52 ÷ $30

= 2,536,232 shares

Stossel Company sells 300 units for $200 each to Liberty Inc. for cash. Stossel allows Liberty to return any unused product within 30 days and receive a full refund. The cost of each product is $120. Stossel estimates that ten units will be returned, the costs of recovering the units will be immaterial, and the returned units are expected to be resold at a profit. What amount of Sales Returns and Allowances should Stossel record in the year of the sale?(a)$2,000.(b)$0.(c)$800.(d)$1,200.

Answers

Answer:

Option A.

Explanation:

The given information about the Stossel Company is

Selling price per unit = $200

Cost of each product = $120

Estimated return = 10 units

Sales Returns and Allowances = (Estimated return) x (Selling price per unit )

Substitute the given values in the above formula.

Sales Returns and Allowances = (10) x ($200)

                                                    = $2,000

The amount of Sales Returns and Allowances should Stossel record in the year of the sale is $2,000.

Therefore, the correct option is A.

Dividends are: Multiple Choice payable at the discretion of a firm's president. treated as a tax-deductible expense of the issuing firm. paid out of aftertax profits.. paid only to preferred stockholders. only partially taxable to high-income individual shareholders.

Answers

Answer:

paid out of after tax profits

Explanation:

When the business organization earns net profit during the given period. It is compulsory to distribute the dividend to preference shareholders and the equity shareholders and if the company is suffering from the losses then no dividend would be declared

The priority is given to the preference shareholders over the equity shareholders

So, the after tax profits would be computed below:

= Total revenue - total expenses - income tax expense

Your company is environmentally conscious and is considering two heating options for a new research building. What you know about each option is​ below, and your company will use an annual interest rate​ (MARR) of 88​% for this decision. Which is the lower cost option for the​ company?

Answers

Answer

The answer and procedures of the exercise are attached in the following archives.

You didn´t post the complete information of the exercise, I searched the exercise online and tried to ask the most useful question.

Explanation  

You will find the procedures, formulas or necessary explanations in the archive attached below. If you have any question ask and I will aclare your doubts kindly.  

Marriott Rewards customers earn points whenever they stay at any Marriott property. Louis is in this program, and he travels quite a bit because he works in sales. He usually stays at a Courtyard by Marriott, and when he walks into the lobby, there is a sign by the desk welcoming him by name as well as other Marriott Rewards customers who might be staying there. This ongoing relationship between Louis and Marriott is an example of _____.

(A) Relationship marketing
(B) internal marketing
(C) personal marketing
(D) formal marketing
(E) Acquisition marketing

Answers

Answer: Option A      

                                       

Explanation: In simple words,  relationship marketing refers to the strategy under which an organisation tries several practices to foster positive relationship with the customers. These activities are designed to keep hearty relationships which will ultimately lead to strong and stable customer base.

In the given case, Marriott is rewarding their regular customers by providing them with special services and attention. Thus, we can conclude that the given case depicts relationship marketing.

Final answer:

The ongoing relationship between Louis and Marriott is an example of relationship marketing.

Explanation:

The relationship between Louis and Marriott, as described in the question, is an example of relationship marketing. Relationship marketing emphasizes building long-term customer relationships by providing personalized experiences and recognizing customer loyalty. In this case, Marriott is welcoming Louis by name and acknowledging his status as a Marriott Rewards member, which enhances his overall experience and fosters a strong relationship between Louis and Marriott.

According to the three-needs theory, the need for ________ is the need to make others behave in a way that they would not have behaved otherwise.

Answers

Answer:  Power  

                                           

Explanation: In simple words, power refers to the need in which one aims to gain authority and recognition in which their subordinate and colleagues values them and behaves with them in utmost respect.

Usually, such need brings conflicts in group as if any issue arises the one in the power always wins and the other will always loose no matter who was wrong and who was right.

People in this category usually employs high discipline and remain inn need for a tweeter personal recognition.

With a pull marketing strategy,A. orders for merchandise are generated at the store level based on sales data captured at POS terminals.B. there is a greater likelihood of being overstocked or out of stock than in a push supply system.C. merchandise is allocated to stores on the basis of demand forecasts.D. inventory management is less responsive to customer demand.E. it is more difficult to manage conditions of high uncertainty than in a push supply chain.

Answers

Answer:

A. orders for merchandise are generated at the store level based on sales data captured at POS terminals.

Explanation:

In a pull marketing strategy, the company focuses on targeting customers to want the product under consideration specifically. For this the company focuses on targeting customers directly by providing straight discounts when bought from production houses directly.

This basically ignores the role of retailers and middle persons in the supply chin. Companies target the customer in such manner so that customers directly contact the producing houses.

Accordingly, orders are booked in store level only, through estimated sales study.

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