A. The four key important dates that existing and prospective shareholders have to pay attention to when dividends are declared are as follows:
What is shareholder?A shareholder, also referred to as a stockholder, is a person, company, or institution that owns at least one share of a company’s stock, which is known as equity. Equity represents ownership interest in a business and provides shareholders with a share of the company’s profits or losses.
1) Declaration Date: This is the date on which the company declares the dividend and informs shareholders of the amount and payment date.
2) Ex-Dividend Date: This is the date on which the share price adjusts to the amount of the dividend that is to be paid.
3) Record Date: This is the date on which the company records shareholders who are eligible to receive the dividend.
4) Payment Date: This is the date on which the dividend is paid out to shareholders.
B. Some of the criticisms that may be forwarded against the view that the size of dividends does not matter are as follows:
1) Dividends can act as a signal of a company’s financial health. A company that pays out a large dividend is seen as being financially stable and confident in its future prospects. Smaller or no dividends can indicate financial distress.
2) Dividends can be used to attract and retain investors who prefer to receive regular income. Companies that pay out dividends are more likely to be able to raise capital when needed.
3) Dividends are an important source of income for many investors, especially retirees who depend on the income to cover their living expenses.
4) Dividends can be used to reward shareholders for their loyalty and to incentivize them to invest in the company for the long-term.
C. The factors that are influencing the dividend policy at any company of my choice are as follows:
1) Profitability: The level of profitability of the company will influence the size of the dividend paid out. If the company is highly profitable, it is more likely to pay out a larger dividend.
2) Cash flow: The amount of cash flow a company has available to pay out dividends will influence the size of the dividend. If a company has limited cash flow, it may not be able to pay out a large dividend.
3) Share price: The share price of the company will influence the dividend policy. If the share price is high, the company may opt to pay out a smaller dividend in order to boost the share price.
4) Investment requirements: If a company needs to reinvest profits in order to grow and increase its competitiveness, this may lead to a lower dividend.
5) Taxation: The tax laws in the country may also influence the dividend policy. If dividend income is taxed at a higher rate, companies may opt to pay out a smaller dividend in order to reduce their tax burden.
To learn more about shareholder
https://brainly.com/question/28452798
#SPJ1
When writing a check...
Spell out the dollars and cents in the short box next to the $ symbol
Spell out the dollars and cents on the long line that ends in "Dollars"
Never sign the check
Sign on the line that says "Pay to the order of"
Always print your signature
In 2020, Yonder Multipurpose Cooperative provided for rehabilitation of two Farmer Training Centres in the Western Province of Zambia estimated at K3, 000,000.00 per centre. The advert for the works was placed in the print media and read in part as follows;
"Bidders will be evaluated based on the ‘Preferential Procurement Margin Clause’ for bidders registered with the Citizens Economic Empowerment Commission (CEEC) as follows:
Citizen influenced Company, 4% (four percent);
Citizen empowered Company, 8% (eight percent); and
Citizen owned Company, 12% (twelve percent)".
REQUIRED:
Discuss how you would apply the Preferential Procurement during the evaluation of the above tender and explain the requirements for companies to be registered under each category.
[40 Marks]
The Preferential Procurement Margin Clause is a policy that aims to promote economic empowerment and participation of historically disadvantaged groups in public procurement processes.
In the case of Yonder Multipurpose Cooperative's rehabilitation project in the Western Province of Zambia, the clause indicates that bidders will be evaluated based on their registration with the Citizens Economic Empowerment Commission (CEEC) and the corresponding percentage margin for each registration category.
To apply the Preferential Procurement Margin Clause during the evaluation of the tender, the following steps would be taken:
Identify the bidders that have registered with the CEEC and their respective registration categories (Citizen influenced, Citizen empowered, or Citizen owned).Calculate the Preferential Procurement Margin for each bidder based on their registration category. For example, aCitizen influenced Company would receive a margin of 4%, a Citizen empowered Company would receive 8%, and a Citizen owned Company would receive 12%.Evaluate the bids based on the Preferential Procurement Margin, giving preference to the bidder with the highest margin.To be registered under each category, companies must meet the following requirements:
Citizen influenced Company: This category is open to companies that are at least 25% owned by citizens of Zambia or Southern African Development Community (SADC) member states and have at least one citizen of Zambia or SADC member state in a senior management position. These companies must also demonstrate a commitment to training and developing Zambian or SADC citizens.Citizen empowered Company: This category is open to companies that are at least 51% owned by citizens of Zambia or SADC member states and have at least one citizen of Zambia or SADC member state in a senior management position. These companies must also demonstrate a commitment to training and developing Zambian.Learn more about economic empowerment at: https://brainly.com/question/29448275
#SPJ11
Research about a project, preferably newer ones to find much
information and give detailed information related to our
chapters.
Based on the search results, it seems that one approach to researching a project and finding relevant information would be to identify print and electronic resources, such as:
articlesdatabasesfederal performance and integrity systemsAnd to carefully review and analyze the information to extract detailed insights and relevant information.
This may involve assessing an offeror's capability and past performance, analyzing educational credentials, and reviewing key guidelines for relevant populations, such as preschool-aged children or recent immigrant groups.
Additionally, it may be helpful to focus on newer projects and sources of information, as these may provide more up-to-date data and insights on relevant topics. It may also be useful to identify experts or thought leaders in the relevant field or area of research, such as through networking or online research, in order to gain further insights and perspectives on the topic.
Learn more about projects
https://brainly.com/question/27734667
#SPJ11
Please help!
Questions below!
1. Players in Game B would likely rate their game as more fair than Game A, since the starting wealth and salaries are more evenly distributed.
What is Game?Game is a form of activity that involves competing for entertainment, often with a set of rules and goals. It is usually thought of as an activity involving physical or mental skill. Games are often used as a form of entertainment, as well as a way to learn or practice skills, often in a competitive environment. Examples of popular games include board games, card games, dice games, outdoor sports, computer and video games, and many more.
2. The middle class players would likely rate the game as most fair since they have the highest salary and the most balanced starting wealth in both games.
3. The upper class players are likely to cheat the most since they have the most wealth and the highest salaries in both games.
4. Game B gives players the most opportunity for success since the starting wealth and salaries are more evenly distributed, giving everyone a better chance at success.
To learn more about Game
https://brainly.com/question/30261125
#SPJ1
You know that people are often more generous when donating to a cause after seeing a moving photograph than hearing impersonal statistics. In this case, research on the ____________ confirms that a picture is worth a thousand words
You know that people are often more generous when donating to a cause after seeing a moving photograph than hearing impersonal statistics. In this case, research on the identifiable victim effect confirms that a picture is worth a thousand words.
This effect suggests that people are more likely to donate or feel compassion towards a specific, identifiable individual rather than a large, impersonal group. This is why seeing a moving photograph of a single person in need can often elicit a stronger emotional response and motivate people to donate more than hearing impersonal statistics about a larger group.
For more such questions on Impersonal statistics.
https://brainly.com/question/340737#
#SPJ11
A company has the following demand for the next four months: 120, 110, 50, and 70 pounds. Beginning inventory is 20 pounds. If the company uses a level-production, level-employment SOP plan with a target ending inventory at the end of these four months being 30 pounds. What is the back order at the end of the second month?
a)
0
b)
10 pounds
c)
20 pounds
d)
30 pounds
e)
40 pounds
If the company uses a production level and employment level SOP, the back order at the end of the second month will be 30 pounds. The correct answer D.
The first step is to calculate the total production needed over the four months, which is:
Total production = Total demand + Target ending inventory - Beginning inventory
Total production = 120 + 110 + 50 + 70 + 30 - 20
Total production = 360 pounds
Since we are using a level-production, level-employment SOP plan, we need to divide the total production by the number of months to determine the monthly production level:
Monthly production = Total production / Number of months
Monthly production = 360 / 4
Monthly production = 90 pounds
Now we can calculate the ending inventory for each month:
Ending inventory Month 1 = Beginning inventory + Monthly production - Demand Month 1
Ending inventory Month 1 = 20 + 90 - 120
Ending inventory Month 1 = -10 (This means a backorder of 10 pounds at the end of Month 1)
Ending inventory Month 2 = Beginning inventory + Monthly production - Demand Month 2
Ending inventory Month 2 = -10 + 90 - 110
Ending inventory Month 2 = -30 (This means a backorder of 30 pounds at the end of Month 2)
Therefore, the answer is option (d) 30 pounds.
Learn more about SOP plan:
https://brainly.com/question/30270177
#SPJ11
PLS HURRY!! 50 Points!
Describe the global supply chain as it relates to optimum procurement practices. Your answer must be at least 150 words
Note that the description of the global supply chain as it relates to optimum procurement practices is given below.
What is the global supply chain?The global supply chain is like a big, complicated game of telephone that stretches across the whole world. When a company wants to make a product, it needs to get all the different parts and materials that go into it.
These things might come from many different countries and go through many different hands before they reach the company. For example, the cotton for a shirt might come from one country, get turned into fabric in another country, and then get sewn into a shirt in a third country.
Optimum procurement practices means finding the best way to get all those materials and parts so that the company can make the product quickly and efficiently. It's like putting together a puzzle - you need to find all the right pieces and make sure they fit together.
Companies use different strategies to manage their supply chains, like having backup suppliers in case one falls through, or using technology to track where everything is at every step of the way.
When everything works smoothly, the company can make products faster and cheaper, which helps them compete with other companies around the world.
Learn more about supply chain at:
https://brainly.com/question/29899239
#SPJ1
In terms of a rewarding career, the _______ hypothesis requires the existence of pre-existing passion while the _______ hypothesis posits that passion evolves over time with mastery.Craftsman, PassionPassion, CraftsmanActualization, CraftsmanPassion, Actualization
In terms of a rewarding career, the Craftsman hypothesis requires the existence of pre-existing passion while the Passion hypothesis posits that passion evolves over time with mastery.
A rewarding career is one that an individual enjoys doing, earns well and finds fulfilling. According to research conducted by Harvard Business Review, the secret to career success is finding work that one is passionate about. However, there are two schools of thought when it comes to passion: the Craftsman hypothesis and the Passion hypothesis.
The Craftsman hypothesis is a belief that passion is not found but rather built through the mastery of skills. The hypothesis is that people develop passion for their work as they gain competence in their roles. Passion does not just come from liking what one does; it comes from becoming good at it. In essence, people derive passion from being good at what they do.
The Passion hypothesis, on the other hand, suggests that passion is innate. It posits that people have a pre-existing passion for work, and they have to find it. When people are working in areas of their passion, they tend to be more satisfied and engaged in their work. As a result, they are more likely to put in the effort required to master the craft.
To be successful in a career, people need to find something that they enjoy doing and are good at. While the craftsman hypothesis is more practical, passion-driven individuals might find it easier to stick to their chosen career. Nonetheless, it is possible to apply the craftsman approach to the passion hypothesis by focusing on mastering skills and developing expertise.
For more such questions on Hypothesis.
https://brainly.com/question/28436808#
#SPJ11
As discount rate increases, NPV of a simple project:
Select one:
a. Decreases at an increasing rate
b. Decreases at a steady rate
c. Decreases at a decreasing rate
d. Increases at a decreasing rate
What are at least two things you should check for accuracy on your credit report?
It is important to check your credit report for accuracy on a regular basis. When checking your credit report, there are two main things you should look for: personal information and account information.
Your name, Social Security number, address, contact details, and date of birth are all considered to be personal information.
Creditor names, account numbers, balances, payment history, and any other public data are all included in account information.
As inaccuracies might result in inaccurate credit scores and other issues, it is crucial to make sure that all of this information is exact and current.
A smart technique to make sure your credit information is correct and current is to check your credit report for accuracy.
To know more about credit report,
https://brainly.com/question/1618296
#SPJ4
31. the delaware river joint toll bridge commission increased the toll on the bridges on route 22 and interstate 78 from new jersey to pennsylvania from $.75 to $1.25. use the information in the table to answer the questions. (assume that nothing other than the toll change occurred during the months that would affect consumer demand.) number of vehicles crossing the bridges month toll route 22 bridge november $.75 519,347 728,032 interstate 78 bridge december $1.25 433,699 656,267 a) calculate the price elasticity of demand for each bridge. b) the total revenue collected by the commission from these bridges in november was . the total revenue collected by the commission from these bridges in december was . how do your findings relate to your answers in part a?
The price elasticity of demand for the Route 22 Bridge is -1.055 for a), and the price elasticity of demand for the Interstate 78 Bridge is -0.862 for b)
Calculating the price elasticity of demand for each bridge.Using the formula for calculating price elasticity of demand,ε = (% change in quantity demanded) / (% change in price).The percentage change in the quantity demanded of the Route 22 Bridge would be:
[tex]\Delta Q/ Q1 = (728,032 - 519,347) / 519,347= 0.4[/tex], or 40%.
The percentage change in the price of the Route 22 Bridge would be:
[tex]\Delta P/ P1 = (1.25 - 0.75) / 0.75= 0.667[/tex], or 66.7%.
Therefore, the price elasticity of demand for the Route 22 Bridge would be:
[tex]\epsilon = (0.4 / 0.667) = -1.055[/tex].
The percentage change in the quantity demanded of the Interstate 78 Bridge would be:
[tex]\Delta Q/ Q1 = (656,267 - 433,699) / 433,699= 0.512[/tex], or 51.2%.
The percentage change in the price of the Interstate 78 Bridge would be:
[tex]\Delta P/ P1 = (1.25 - 0.75) / 0.75= 0.667[/tex], or 66.7%.
Therefore, the price elasticity of demand for the Interstate 78 Bridge would be:
[tex]\epsilon = (0.512 / 0.667) = -0.862[/tex].
Part b)Calculating the total revenue collected by the commission from these bridges in November and December.The total revenue collected by the commission from the bridges on Route 22 and Interstate 78 in November was:
[tex]TR = P * Q= 0.75 * (519,347 + 728,032)= $820,789.25[/tex]
The total revenue collected by the commission from the bridges on Route 22 and Interstate 78 in December was:
[tex]TR = P * Q= 1.25 * (433,699 + 656,267)= $1,249,832.50[/tex]
Findings in part a) The price elasticity of demand for the Route 22 Bridge and the Interstate 78 Bridge is negative. As a result, the bridges' total revenue should increase as a result of a price increase. Because the elasticity of demand for the Route 22 Bridge is more inelastic than that of the Interstate 78 Bridge, the Route 22 Bridge's total revenue increase was smaller than the Interstate 78 Bridge's total revenue increase.
See more about price elasticity at: https://brainly.com/question/29615048
#SPJ11
what have you learn so far with Rev Bahamas, as it relates to guidelines for case analysis? identify the firm’s existing vision, mission, objectives, and strategies, identify the organization’s external opportunities and threats, constructing a competitive Profile Matrix (cPM), identify the organization’s internal strengths and weaknesses, recommend specific strategies and long-term objectives and recommending specific annual objectives and policies.
One example of a non-union organization where employees may seek union representation is a retail store where employees work long hours, receive low wages, and have little say in their working conditions. In such an organization, employees may seek union representation to negotiate better wages, benefits, and working conditions, as well as to have a collective voice in the workplace.
Other reasons why employees may seek union representation could include a lack of job security, poor communication with management, unsafe working conditions, or discrimination.
Some employees may not support unionization because they believe that they can negotiate better wages and benefits on their own or that the company will improve conditions without the need for a union. Others may fear retaliation from management or believe that a union will not represent their interests fairly.
In my own experience, some co-workers were hesitant to support unionization because they feared that it would harm their relationship with management or that it would result in job losses. Additionally, some employees may feel that unions are not relevant to their industry or that they do not align with their personal beliefs or values.
Another potential reason why employees may oppose unionization is a lack of trust in union leadership or concerns about the costs associated with union membership. Some may also believe that a union could interfere with their ability to negotiate directly with management.
Overall, there are many factors that can influence an employee's decision to support or oppose unionization, and these can vary depending on the individual, the organization, and the broader social and economic context.
Learn more about job security
https://brainly.com/question/6451497
#SPJ11
Select the correct answer from each drop-down menu. At a trade meeting, country A and country B, which are trade partners, agree to remove trade barriers to stimulate economic growth. They sign__ agreement stating that tariffs on all goods will be removed. Some groups in country B protest the agreement because they think it will lead to excessive____ in some industries, which will threaten___ companies and jobs1. A. An antidumpingB. An arms controlC. A free trade2. A. CompetitionB. DemandC. Employment3. A. DomesticB. ForeignC. Global
They sign A free trade agreement stating that tariffs on all goods will be removed. Some groups in country B protest the agreement because they think it will lead to excessive Competition in some industries, which will threaten Domestic companies and jobs1.
A trade agreement is a formal agreement between two or more countries to reduce or eliminate trade barriers such as tariffs, quotas, and subsidies on goods and services traded between them. The purpose of a trade agreement is to stimulate economic growth by increasing trade, promoting investment, and creating jobs. These agreements can take different forms, such as free trade agreements (FTAs), customs unions, and common markets.
FTAs, for example, are agreements that eliminate tariffs and non-tariff barriers to trade on goods and services between the participating countries. They also typically include provisions on investment, intellectual property rights, and other areas of economic cooperation. The benefits of trade agreements can include increased market access, greater competition, and lower prices for consumers.
learn more about trade agreement here
https://brainly.com/question/20164502
#SPJ4
An investor invests 64% of his wealth in a risky asset with an expected rate of return of 0.12 and a variance of 0.04, and the rest in a T-bill that pays a return of 0.02. His portfolio has a standard deviation of _________.
An investor invests 64% of his wealth in a risky asset with an expected rate of return of 0.12 and a variance of 0.04, and the rest in a T-bill that pays a return of 0.02. His portfolio has a standard deviation of 0.0365.
.Portfolio Standard Deviation: The investor invests 64% of his wealth in a risky asset with an expected rate of return of 0.12 and a variance of 0.04. Therefore, the expected return on the risky asset is 0.12 and the variance is 0.04.The remainder of his wealth is invested in a T-bill that pays a return of 0.02. The return on T-bill is risk-free, and its standard deviation is zero.
Read more about finance here:https://brainly.ph/question/146515
#SPJ4
Hospital issued $20 million in zero-coupon, five-year bonds. How
much would the hospital receive in proceeds from the bond
issue?
$6,210,000
$15,670,523
$18,630,000
$12,420,000
The hospital would receive $12,420,000 in proceeds from the bond issue.
What are zero-coupon bonds?Zero-coupon bonds are debt securities that do not pay any interest or coupons during the term of the bond. These bonds are offered at a significant discount from their face value, and investors receive their full face value when the bond matures.
A zero-coupon bond's yield to maturity is the total yield a bondholder can receive if the bond is held until maturity. It is a calculation that includes the bond's price, face value, time to maturity, and the interest earned on the bond.
Hospital issued $20 million in zero-coupon, five-year bonds. We can calculate the proceeds from the bond issue using the following formula:
Proceeds = Face value / (1 + YTM)ⁿ
Where:
Face value = $20 millionn = 5YTM = Yield to maturityLet us assume that the yield to maturity for this bond is 3 percent.
Proceeds = 20,000,000 / (1 + 0.03)⁵
Proceeds = 20,000,000 / 1.159274 = $17,250,000
Therefore, the hospital would receive $17,250,000 in proceeds from the bond issue if the yield to maturity for this bond was 3 percent.
See more about bond at https://brainly.com/question/25596583.
#SPJ11
The hospital would receive $15,670,523 in proceeds from the bond issue.
A zero-coupon bond is a type of bond that pays no interest but is sold at a discount from the face value of the bond. The investor buys the bond at a discount, and when the bond matures, the investor receives the face value of the bond. The difference between the purchase price of the bond and its face value is the investor's profit. A zero-coupon bond is a bond that pays no interest but is sold at a discount from the face value of the bond.
The investor buys the bond at a discount, and when the bond matures, the investor receives the face value of the bond. The difference between the purchase price of the bond and its face value is the investor's profit. The formula for the bond’s yield is:
Yield = (Face value – Purchase price) / Face value * Number of years.
In this instance, the bond is sold at a discount, so we can find out the price by rearranging the equation.
Purchase price = Face value / (1 + Yield)Number of years
Purchase price = 20,000,000 / (1 + 0)5
Purchase price = 20,000,000 / 1
Purchase price = 20,000,000
The hospital received $20,000,000 from the sale of the bond.
Learn more about zero-coupon bond https://brainly.com/question/28043768
#SPJ11
What are some viewpoints on content of the Cleveland Clinic's
executive summary to Board of Directors?
The executive summary to the Board of Directors of the Cleveland Clinic outlines the clinic's strategic priorities. These priorities are critical areas of focus that the clinic has identified as necessary for long-term success.
The summary also includes information about the clinic's financial performance, such as revenue, expenses, and profit margins.
Additionally, the executive summary highlights the clinic's operational performance in areas such as patient satisfaction, quality of care, and physician engagement.
Overall, the executive summary is a comprehensive document that provides a clear overview of the clinic's performance.
It serves as an essential tool for decision-making and strategic planning, as it provides information about the clinic's strategic priorities, financial performance, and operational highlights.
In summary, the executive summary to the Board of Directors of the Cleveland Clinic is a crucial document that summarizes the clinic's performance and aids in decision-making and strategic planning. It covers the strategic priorities, financial performance, and operational highlights of the clinic.
Learn more about Board of Directors.
https://brainly.com/question/29359566
#SPJ11
The importance of Administration functions
The core of any company or organization is its administration. They are a group of actions that support the systematic and efficient management and coordination of an organization's many operations.
The importance of administration is -
1. The planning - The main function of administration is planning the goal, and objective and guiding the people of the team for the fulfillment of the objective. Through the planning method, the administrator can plan the number of resources going to be used in fulfillment of the objective.
2. Organizing - This involve the delegation of work to people and clearly defining their roles for the work which has to do.
3. Staffing - It involves the function of hiring, training, and retaining the employees of the organization.
In summary, the functions of administration play a crucial role in the success of any organization.
To know more about Administration functions -
brainly.com/question/29318336
Nestlé of Switzerland Revisited. Nestlé of Switzerland is revisiting its cost of equity analysis. As a result of extraordinary actions by the Swiss Central Bank, the Swiss bond index yield (10-year maturity) has dropped to a record low of 0.56%. The Swiss equity markets have been averaging 7.90% returns, while the Financial Times global equity market returns, indexed back to Swiss francs, stands at 8.39%. Nestlé's corporate treasury staff has estimated the company's domestic beta at 0.913, but its global beta (against the larger global equity market portfolio) at 0.527. a. What is Nestlé's cost of equity based on the domestic portfolio for a Swiss investor? b. What is Nestlé's cost of equity based on a global portfolio for a Swiss investor?
a) In the problem, given the following details: Nestle's domestic beta = 0.913, Swiss bond index yield (10-year maturity) = 0.56%. Swiss equity market return = 7.90%
Now, we can calculate the cost of equity for Nestle based on domestic portfolio using CAPM model where: Rf = Swiss bond index yield = 0.56%, Return on market = Swiss equity market return = 7.90% and Beta (β) = Nestle's domestic beta = 0.913.
So, Cost of Equity (Ke) = Rf + β (Return on market - Rf)
Ke = 0.56 + 0.913 (7.90 - 0.56)
Ke = 7.4%. Hence, the cost of equity for Nestle based on the domestic portfolio for a Swiss investor is 7.4%.
b) In the problem, given the following details: Nestle's global beta = 0.527, Swiss bond index yield (10-year maturity) = 0.56%, Global equity market return = 8.39%
Now, we can calculate the cost of equity for Nestle based on global portfolio using CAPM model where: Rf = Swiss bond index yield = 0.56%, Return on market = Global equity market return = 8.39% and Beta (β) = Nestle's global beta = 0.527
So, Cost of Equity (Ke) = Rf + β (Return on market - Rf)
Ke = 0.56 + 0.527 (8.39 - 0.56)
Ke = 4.9%. Hence, the cost of equity for Nestle based on a global portfolio for a Swiss investor is 4.9%.
Therefore, the cost of equity for Nestle based on the domestic portfolio for a Swiss investor is 7.4% and the cost of equity for Nestle based on a global portfolio for a Swiss investor is 4.9%.
To know more about bond index, refer here
https://brainly.com/question/3307461#
#SPJ11
The human resource manager of ABC Company wanted to check the job satisfaction of employees. He randomly selected 15 employees in the company and recorded their attached department, monthly salary, years of experience and their job satisfaction. The job satisfaction is measured as a binomial question. Below table indicates the collected responses of each employee. Respondent Years of experience Department Monthly salary Job Satisfaction 1 5 Finance 60000 Satisfied 2 7 HR 20000 Not satisfied 3 6 Finance 80000 Satisfied 4 10 HR 22000 Not satisfied 5 11 HR 25000 Not satisfied 6 9 HR 20000 Not satisfied 7 9 HR 20000 Satisfied 8 7 Marketing 86000 Satisfied 9 7 Marketing 65000 Satisfied 10 6 Marketing 61000 Satisfied 11 5 Finance 62000 Satisfied 12 5 Finance 75000 Satisfied 13 6 Marketing 21000 Not satisfied 14 8 HR 20000 Not satisfied 15 7 HR 25000 Satisfied
1. Enter the data set by using correct scale of measurements (8 marks)
2. Draw a suitable graph to show the distribution of job satisfaction among department (2 marks)
3. Draw a suitable graph to show the relationship between salary and departments (2 marks)
4. Find out mean years of experience and standard deviation of experience among three departments (2 marks).
5. Based on above results and considering the relationship between ‘years of experience’ and ‘monthly salary’ variables, we can get some idea about job satisfaction problem in this organization. Therefore, what is the conclusion that you can provide regarding the employee job satisfaction problem in this organization using above mentioned two variables (16 marks)
The data set includes nominal and ratio level data. Department and job satisfaction are nominal, while monthly salary and years of experience are ratio level data.
A bar chart would be suitable to show the distribution of job satisfaction among departments.
A box plot would be suitable to show the relationship between salary and departments.
The mean years of experience and standard deviation of experience can be calculated separately for each department, Finance, HR, and Marketing.
Based on the given data and the relationship between years of experience and monthly salary, it appears that employees in the Finance and Marketing departments have higher job satisfaction levels than those in the HR department.
Additionally, employees with higher monthly salaries appear to have higher levels of job satisfaction. However, further analysis is needed to draw any definitive conclusions.
For more questions like Marketing click the link below:
https://brainly.com/question/13414268
#SPJ11
1. It it right with IFRS to net off fx loss against fx gains and recognize only the net balance in the financial statements or I would have to recognize both the loss and the gain ?
2. How would a bank revaluation be recognised in a financial statements?
1. According to International Financial Reporting Standards (IFRS), foreign exchange gains and losses can be netted off and only the net balance is recognized in the financial statements.
2. A bank revaluation is typically recognized as a revaluation reserve in the financial statements.
The netting off of foreign exchange losses against foreign exchange gains and reporting only the net balance is not permitted under IFRS (International Financial Reporting Standards). IFRS requires companies to record and report all realized and unrealized gains and losses separately.
A bank's revaluation would be reported as an unrealized gain or loss on the balance sheet of financial statements. Unrealized profits and losses are those that have yet to be realized and are dependent on the market. This valuation gain or loss, if material, would be disclosed in the bank's notes to the financial statements.
An unrealized gain or loss on a revaluation of a bank's assets or liabilities, which is calculated at the end of each reporting period, may arise due to market factors such as changes in interest rates, exchange rates, or credit risk, among others. These unrealized gains or losses must be reflected in the bank's balance sheet, and any material unrealized gains or losses must be disclosed in the notes to the financial statements.
Learn more about IFRS at https://brainly.com/question/29641794
#SPJ11
[The following information has been extracted from the financial statements of Itada Projects Limited:
Extract of Statement of Comprehensive Income for the year ended 31 December 2019 2018 R R Revenue 2 000 000 1 600 000 Purchases 940 000 800 000 Operating profit 600 000 520 000 Profit before tax 520 000 450 000 Profit after tax 364 000 315 000
Extract of Statement of Financial Position as at 31 December Assets 2019 2018 R R Non-current assets 2 000 000 1 400 000 Inventories 600 000 800 000 Accounts receivable 400 000 400 000 Cash and cash equivalents 2 000 2 000 3 002 000 2 602 000 R R Equity and liabilities Shareholders’ equity 2 000 000 1 500 000 Long-term loan 700 000 800 000 Accounts payable 182 000 142 000 Bank overdraft 120 000 160 000 3 002 000 2 602 000
Note: 1. All purchases and revenue are on credit.
2. Dividends paid during the year amounted to R218 400.
3. The issued share capital consisted of 500 000 ordinary shares.
Required: 2.1 Calculate the following ratios for the year ended December 2019.
Where applicable, round off answers to two decimal places. 2.1.1 Operating margin (3) 2.1.2 Debtors collection period (3) 2.1.3 Acid test ratio (3) 2.1.4 Return on equity (3) 2.1.5 Debt to equity (3) 2.1.6 Earnings retention ratio (2) 2.1.7 Earnings per share (2)
2.2 Determine two (2) ways in which Itada Limited can improve on its collections from debtors.
2.3 Comment on the current ratio which dropped from 3.98:1 in 2018 to 3.32:1 in 2019. (2) 2.4 Assess two (2) ways in which Itada Limited can improve its profitability.
Calculate the following ratios for the year ended December 2019:
Operating margin: Operating profit/Revenue x 100 = 600,000/2,000,000 x 100 = 30.00%
Debtors collection period: Accounts receivable/Average revenue x 365 days = 400,000/1,800,000 x 365 days = 61.11 days
Acid test ratio: (Current Assets - Inventories)/Current Liabilities = (2,000 + 400,000 - 600,000)/(182,000 + 120,000) = 0.87
Return on equity: (Profit after Tax/Shareholders’ Equity) x 100 = 364,000/2,000,000 x 100 = 18.20%
Debt to equity: Long-term loan/Shareholders’ equity = 700,000/2,000,000 = 0.35
Earnings retention ratio: (Profit after tax - Dividends)/Profit after tax x 100 = (364,000 - 218,400)/364,000 x 100 = 40.11%
Earnings per share: Profit after tax/No. of issued shares = 364,000/500,000 = 0.73
Ways in which Itada Limited can improve on its collections from debtors:
1. Implement a more efficient system for tracking debtors, such as an automated invoicing system, to ensure that invoices are sent out in a timely manner and payment terms are clear.
2. Implement a more effective system for follow-up, such as setting up reminder emails or calls, to prompt debtors to pay on time.
The current ratio dropped from 3.98:1 in 2018 to 3.32:1 in 2019, indicating that the company is not making the most efficient use of its assets to pay its liabilities.
Ways in which Itada Limited can improve its profitability:
1. Increase the sales price of products or services.
2. Reduce overhead costs, such as administrative costs and labor costs, through improved efficiency and streamlining of processes.
To know more about ratios refer here:
https://brainly.com/question/13419413#
#SPJ11
Roger is analyzing regional differences in seeking a location for a new firm and is looking at states with favorable tax systems for small businesses. Based on this information, he should look at which of the following states?
A. Ohio
B. Massachusetts
C. South Dakota
D. New York
Roger is analyzing regional differences in seeking a location for a new firm and is looking at states with favorable tax systems for small businesses. Based on this information, he should look at South Dakota.
Based on this information, he should look at which of the following states?This is so because South Dakota is renowned for its hospitable business climate and advantageous tax structure for small firms. As previously indicated, South Dakota has a low sales tax rate, no income tax on personal income, and no corporate income tax, making it a desirable place for start-ups and small businesses. South Dakota provides a low cost of living, a trained workforce, and tax advantages. States like Ohio, Pennsylvania, and New York, on the other hand, can have greater taxes and regulatory requirements that could make it harder for small firms to prosper. As a result, South Dakota is a top choice for a new company looking for a small business-friendly tax structure.
To Know more about tax systems Visit:
brainly.com/question/12416177
#SPJ1
Assuming Juan opted to be taxed at 8% for his income from business, the total income tax due would be: a. P435,000 b. P447,500 c. P445,000 d. P477,500 Mr.
The correct option is c. P445,000 Assuming Juan opted to be taxed at 8% for his income from business, the total income tax due would be P445,000.What is the total income tax? Income tax is a tax imposed on individuals or entities by the government on income or profit earned by them. It is calculated as a percentage of their taxable income.
The total income tax is the amount of tax that an individual or entity is required to pay based on their income or profit. Juan opted to be taxed at 8% for his income from business, the total income tax due would be P445,000.How to calculate total income tax?
The formula for calculating total income tax is as follows: Total income tax = (Taxable income x Tax rate) - Deductions Where, Taxable income is the income that is subject to tax.
Tax rate is the percentage of taxable income that is payable as tax. Deductions are the expenses that can be claimed against taxable income to reduce the tax liability. Assuming that the taxable income of Juan is P5,562,500.8% of P5,562,500 = P445,000.Hence, the correct option is c. P445,000.
To know more about Income tax refer here:
https://brainly.com/question/17075354#
#SPJ11
Tracy become an AMT taxpayer last year. She gave you the following information for the year:
• $25,000 in property taxes paid on her principal residence that was paid in advance.
• $90,000 difference between the fair market value of stock and the strike price in the NQSO used to purchase the stock.
• $8,000 in interest on public activity municipal bonds.
• $20,000 in additional medical expenses (in excess of hurdle rate of 10% - 7.5% for 2017 and 2018).
Which of the following statements is true?
a. The NQSO will create an AMT credit.
b. The medical expenses, property taxes and interest on the public activity bond will be a preference for
AMT.
c. Options a and b will be a positive adjustment for AMT.
d. The property taxes paid will be a positive adjustment for AMT.
The medical expenses, property taxes and interest on the public activity bond will be a preference for AMT. Alternative minimum tax (AMT) is a tax calculation that has been created for taxpayers who enjoy exemptions, deductions, and other tax breaks.
The AMT was established to ensure that high-income earners who pay fewer taxes are still taxed.
AMT taxpayers' tax calculations are adjusted to remove some tax benefits and add previously excluded income. The following statements are true: Tracy will have a preference for AMT if she pays $25,000 in property taxes on her primary residence, $8,000 in interest on public activity municipal bonds, and $20,000 in additional medical expenses in excess of the hurdle rate of 10% (7.5% for 2017 and 2018).
The NQSO will not create an AMT credit. The property taxes paid will be a positive adjustment for AMT, but the medical expenses and interest on the public activity bond will be a preference for AMT. Option d) is false as the property taxes paid will be a positive adjustment for AMT, but not the NQSO.
Thus, option b) is the correct answer.
To know more about Alternative minimum tax refer here:
https://brainly.com/question/29609172#
#SPJ11
USE ANTIGONE TO EXPLAIN HOW LITERATURE CAN BE USED TO EXPLAIN
PUBLIC ADMINISTRATION AND ETHICS
a. Ethics and conscience
Antigone is a Greek tragedy that highlights the importance of public administration and ethics by demonstrating the conflict between personal beliefs and public laws.
Antigone is a famous Greek tragedy that portrays ethics, politics, and public administration. Antigone is one of the finest examples of how literature can be used to explain public administration and ethics. The tragedy is an excellent illustration of the conflict between personal beliefs and public laws, and it highlights the importance of ethics and conscience in public administration.
Antigone is a Greek tragedy that highlights the importance of public administration and ethics. The play portrays the struggle between personal beliefs and public laws, and it raises important ethical and moral questions about the role of government in society. Antigone's defiance of the king's orders, her willingness to go against the law, and her insistence on burying her brother is an excellent example of how personal beliefs can conflict with public administration and ethics.
In the play, Antigone's moral and ethical convictions come into direct conflict with the king's laws, and this leads to a crisis of conscience for the king. Antigone's actions force the king to confront the question of what is right and wrong, and this leads to a deeper understanding of the importance of ethics and conscience in public administration.
In conclusion, Antigone is an excellent example of how literature can be used to explain public administration and ethics. The play highlights the importance of personal beliefs and ethical convictions in public administration and raises important questions about the role of government in society. Antigone's portrayal of public administration and ethics is still relevant today, and the play continues to be studied and analyzed by scholars all over the world.
Learn more about Antigone:
https://brainly.com/question/9952444
#SPJ11
what strategies can be used to make sure that shared governance in sports offers an advantage in light of its potential for conflict, role ambiguity, and decision-making delays?
Shared governance in sports refers to an approach in sports management that involves athletes and other stakeholders in the decision-making process to ensure that their input is taken into account.
To make sure that shared governance in sports offers an advantage in light of its potential for conflict, role ambiguity, and decision-making delays, the following strategies can be used:
1. Establish clear lines of communication and decision-making processes: Shared governance in sports should establish clear lines of communication and decision-making processes to prevent conflicts and decision-making delays. Communication should be clear, concise, and transparent, and decision-making processes should be agreed upon beforehand to prevent confusion and delays.
2. Encourage collaboration and participation: Shared governance in sports should encourage collaboration and participation by all stakeholders to ensure that everyone's input is taken into account. This can be achieved through open communication, team building exercises, and training programs that foster a collaborative and participative culture.
3. Provide training and support: Shared governance in sports should provide training and support to athletes and other stakeholders to help them understand their roles and responsibilities. This can include training in decision-making, conflict resolution, and communication skills to ensure that everyone is equipped to deal with conflicts and decision-making delays.
4. Use a conflict resolution process: Shared governance in sports should use a conflict resolution process to resolve conflicts that may arise. The process should be agreed upon beforehand and should be fair, transparent, and impartial.
5. Monitor and evaluate: Shared governance in sports should monitor and evaluate its processes and outcomes to ensure that they are effective and efficient. Shared governance in sports offers many advantages, including increased participation, improved decision-making, and reduced conflict.
By using these strategies, shared governance in sports can overcome potential challenges and ensure that its benefits are fully realized.
Learn more about shared governance strategies
https://brainly.com/question/30703274
#SPJ11
Fred can invest in a risky portfolio with a 25% standard deviation an expected return of 12% and T-Bills which currently pay 3%.
What percentage of his investment should Fred invest in the risky portfolio if he wants to 9% return? (a)
How much should he invest in the T-bill? (b)
What is the standard deviation (%) of Fred's portfolio? (c)
What is the Sharpe ratio of Fred's portfolio? (d)
(a) Using the formula for expected return of a portfolio, we have:
Expected return = (Weight of risky portfolio * Expected return of risky portfolio) + (Weight of T-bills * Expected return of T-bills)
9% = (Weight of risky portfolio * 12%) + (Weight of T-bills * 3%)
We also know that the sum of weights must equal 1:
Weight of risky portfolio + Weight of T-bills = 1
We can solve these equations simultaneously to find the weight of the risky portfolio:
Weight of risky portfolio = (Expected return - Expected return of T-bills) / (Expected return of risky portfolio - Expected return of T-bills)
Weight of risky portfolio = (0.09 - 0.03) / (0.12 - 0.03)
Weight of risky portfolio = 0.67 or 67%
Therefore, Fred should invest 67% of his portfolio in the risky portfolio.
(b) Since the sum of weights must equal 1, we can find the weight of T-bills by subtracting the weight of the risky portfolio from 1:
Weight of T-bills = 1 - Weight of risky portfolio
Weight of T-bills = 1 - 0.67
Weight of T-bills = 0.33 or 33%
Therefore, Fred should invest 33% of his portfolio in T-bills.
(c) The formula for the standard deviation of a portfolio is:
Portfolio standard deviation = sqrt((Weight of risky portfolio ^ 2) * (Standard deviation of risky portfolio ^ 2))
Portfolio standard deviation = sqrt((0.67 ^ 2) * (0.25 ^ 2))
Portfolio standard deviation = 0.1675 or 16.75%
Therefore, the standard deviation of Fred's portfolio is 16.75%.
(d) The Sharpe ratio is a measure of risk-adjusted return and is calculated as the excess return of a portfolio over the risk-free rate divided by the portfolio's standard deviation. The formula for Sharpe ratio is:
Sharpe ratio = (Expected return of portfolio - Expected return of T-bills) / Portfolio standard deviation
Sharpe ratio = (0.09 - 0.03) / 0.1675
Sharpe ratio = 0.3582 or 0.36 (rounded to two decimal places)
Therefore, the Sharpe ratio of Fred's portfolio is 0.36.
Learn more about standard deviation
https://brainly.com/question/475676
#SPJ11
An assistant of yours has been eriteixed over a piece of asseaned work that he produced for his study cour se for giving the definition of an asset as "a physicat asset of substantial cost, owned by the company, whioh will last longer than one yearn: Required: Provide an explanation or wair assistant of any two (2) weaknesses of hes definition of as. on whon cumpared Io the International Accounting Standinds Boards (AASIB ricw of a ainits, los matirs) Question mo Ax) Expinh how-tach of these matters should be accounted for; (10 Marks) 1. Acumpanypurchasei an aireraf for USD 89.6 Million. Under civil aviation rules, the aircraitirequires a majorinpection every three years at a cost of USP 200,000 . Thite - yeats after the purchase of the aircraft it undergoes its first major inspection the costs in relation-to the inspection amouted 10log220,000 2. On I June 2009, a company spent Tshs.6,000,000 to replace the wail lining of ons of its two heaters. The heater had been acquired six vears previouly and had a carrying value, at 1er June 2009, amounting to Tshs. 42,000,000. The expendieure is enpected to restore, the originally assessed standand of performance of the heiters. Papetolt
The International Accounting Standards Board (IASB) view of an asset is that it should be recognized as an asset when it:
1. The purchase of the aircraft should be recognized as an asset on the balance sheet at a cost of USD 89.6 million.
The cost of the inspection should be expensed as a part of the cost of the aircraft and charged against profits in the year the inspection takes place. The cost should not be capitalized as part of the cost of the aircraft.
2. The expenditure should be capitalized as part of the cost of the heater. The cost should be added to the carrying value of the heater and amortized over the expected life of the heater.
for more questions related to IASB, refer here:
https://brainly.com/question/30615540#
#SPJ11
you purchased a call option on tsla with an exercise price of $180 for a premium of $5.0 and held it until the expiration date. what is your profit (per share) if the stock sells for $189 on the expiration date?
Your profit (per share) for purchasing a call option on TSla with an exercise price of $180 for a premium of $5.0 and holding it until the expiration date is $9.00 per share.
This is calculated by subtracting the premium you paid from the difference between the exercise price and the stock price at expiration.
For example, if the stock is selling for $189 on the expiration date, you would subtract the premium of $5.00 from the difference of $9.00 ($189 - $180) to get $9.00. Thus, your profit (per share) is $9.00.
A call option gives you the right, but not the obligation, to buy a certain number of shares of stock at a predetermined price, which is known as the exercise price. The premium is the cost of purchasing the option. If the stock price at expiration is greater than the exercise price, you will have a profit.
To calculate your profit per share, you subtract the premium from the difference between the exercise price and the stock price at expiration.
For example, if you purchased a call option on TSla with an exercise price of $180 for a premium of $5.00 and the stock is selling for $189 on the expiration date, you would subtract the premium of $5.00 from the difference of $9.00 ($189 - $180) to get $9.00. Thus, your profit (per share) is $9.00.
To know more about exercise price click on below link:
https://brainly.com/question/14763313#
#SPJ11
Business law:
List the six elements necessary for a contract to be valid.
What is the main difference between an express contract and an implied contract?
What is the difference between a void contract and a voidable contract?
There is a storm in Kuwait. The roof of your business has caved in. You contact a professional roof repairs company and request them urgently to repair the roof as your stock is getting damaged. At this juncture, you discuss payment. His invoice is reasonable and you refuse to pay as you say it is way too high. Do you have an obligation to pay ? Give reasons for your answer.
Consideration: Both parties must exchange something of value, such as money, goods, or services.
What is money ?Money is a medium of exchange that is generally accepted as a means of payment for goods, services, and debts. It can take various forms, such as physical currency, coins, bank deposits, digital tokens, and more. Money is essential for facilitating economic transactions and trade, as it allows individuals and businesses to exchange goods and services without the need for direct barter. The value of money is determined by factors such as its scarcity, its perceived stability and reliability, and the strength of the economy that issues or supports it.
What is a bank ?A bank is a financial institution that provides various financial services to its customers, including deposit accounts, loans, mortgages, and investment services. Banks act as intermediaries between depositors who have excess funds and borrowers who need funds, facilitating the flow of money in the economy. Banks earn revenue by charging interest on loans, investing the deposits they receive, and providing various other financial services for which they charge fees.
To know more about money visit :
https://brainly.com/question/22984856
#SPJ1