as of december 31, 2020, kent company has total assets of $3,500 and total stockholders' equity of $2,000. what is the total for liabilities for kent co. as of december 31, 2020?

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Answer 1

Assets Owner's equity Liabilities, or $3,500 $2,000 $ 1,500, is a variant of the fundamental accounting equation. As a result, options (b) $1,000, (c) $2,500, and (d) $2,000 are unsatisfactory. Hence (a) is correct option.

Look up the entire assets and equity on your balance sheet to find the total amount of obligations. Calculating total liabilities can be rather easy. Any liabilities, both long- and short-term, must simply be added together. Additionally, any off-balance sheet obligations a company may have should also be included in this computation. Add together your obligations and equity to get your total assets. Since liabilities have a negative value, the most straightforward way to get total assets using this technique is to deduct liabilities' value from equity's or assets' value.

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As of December 31, 2020, Kent Company has assets of $3,500 and owner's equity of $2,000. What are the liabilities for Kent Company as of December 31, 2020?

a. $1,500.

b. $1,000.

c. $2,500.

d. $2,000.

Answer 2

The total liabilities for Kent Company as of December 31, 2020, are $1,500.To find the total liabilities for Kent Company as of December 31, 2020, we need to use the accounting equation: Assets = Liabilities + Stockholders' Equity.

We know that Kent Company's total assets are $3,500 and its total stockholders' equity is $2,000. Therefore, we can rearrange the equation to solve for liabilities:
Liabilities = Assets - Stockholders' Equity
Liabilities = $3,500 - $2,000
Liabilities = $1,500
So the total liabilities for Kent Company as of December 31, 2020 is $1,500.To find the total liabilities for Kent Company as of December 31, 2020, you can use the accounting equation:
Assets = Liabilities + Stockholders' Equity
We know that the total assets for Kent Company are $3,500 and the total stockholders' equity is $2,000. Plugging these values into the equation, we get:
$3,500 = Liabilities + $2,000
To find the total liabilities, subtract the stockholders' equity from the assets:
Liabilities = $3,500 - $2,000
Liabilities = $1,500

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Related Questions

Suppose the risk free rate is 5.4% and the expected rate of return on the market is 10.5%. If the stock xyz's beta is 0.9, what is the expected rate of return to the stock? Answer to the nearest hundredth of a percent as in xx.xx% and enter without the percent sign.

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The risk free rate is 5.4% and the expected rate of return on the market is 10.5%. If the stock xyz's beta is 0.9, the expected rate of return to the stock XYZ is 9.99%.

To calculate the expected rate of return for stock XYZ, we'll use the Capital Asset Pricing Model (CAPM) formula:
Expected Rate of Return = Risk-free Rate + (Beta × Market Risk Premium)
Market Risk Premium = Expected Rate of Return on Market - Risk-free Rate

Calculate the Market Risk Premium: Market Risk Premium = 10.5% - 5.4% = 5.1%
Apply the CAPM formula: Expected Rate of Return = 5.4% + (0.9 × 5.1%)
Solve for the Expected Rate of Return: Expected Rate of Return = 5.4% + (0.9 × 5.1%) = 5.4% + 4.59% = 9.99%
The expected rate of return for stock XYZ is 9.99%.

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4. Now we have a perpetuity that possess following cashflows. It pays you $100 at the end of the first year. It pays you $50 at the end of the second year. And it pays you $25 at the end of the third year. From the end of fourth year, it keeps paying you $25 until forever. And the annual interest rate here is 5%. What is the current price of this perpetuity? (Hint: it can be decomposed into a two-year bond and a regular perpetuity.)

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The current price of this perpetuity is $2,125.

To find the current price of this perpetuity, we can decompose it into a two-year bond and a regular perpetuity. First, calculate the present value of the two-year bond:

1. $100 discounted at 5% for 1 year: $100 / (1 + 0.05) = $95.24
2. $50 discounted at 5% for 2 years: $50 / (1 + 0.05)² = $45.35

Add these two present values: $95.24 + $45.35 = $140.59

Next, calculate the present value of the regular perpetuity starting from the end of the third year:

3. Perpetuity formula: (Cash flow / Interest rate) = ($25 / 0.05) = $500

Now, discount this present value to the beginning (current time) by 3 years: $500 / (1 + 0.05)³ = $431.97

Finally, add the present values of the two-year bond and the regular perpetuity: $140.59 + $431.97 = $2,125.

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1. Compute the stock price of a firm that pays a dividend of €1.5 per share; its expected earnings are €1.5 mill. for year 1, and €2.5 mill. for year 2. Then, the firm expects to increase its earnings at 4% annual rate. The payout-ratio is 60%, and it is constant for the entire life of the firm. The number of stocks is 1 mill., the return of the firm is 8%, and the risk-free rate is 2%. Hint: use the Gordon model.
a. Between €35.2 and €36.0.
b. Between €40.5 and €43.
c. Between €66.53 and €69.53. d. None of the above.

Answers

The stock price of the firm is between B)€40.5 and €43.

The Gordon model can be used to calculate the stock price of a firm that pays a constant dividend and has a constant growth rate. The formula is as follows:

P0 = D1/(r-g)

Where:

P0 = the current stock price

D1 = the dividend paid in year 1

r = the required return or cost of equity

g = the expected growth rate of dividends

First, we need to calculate the dividend for year 1:

Dividend payout ratio = 60% = 0.6

Dividend per share = Dividend payout ratio x Earnings per share

Dividend per share = 0.6 x (€1.5 mill./1 mill. shares) = €0.9 per share

Total dividend = €0.9 per share x 1 mill. shares = €0.9 mill.

Using the given constant growth rate of 4%, we can calculate the expected dividends for year 2 and beyond:

D2 = D1 x (1+g) = €0.9 x (1+0.04) = €0.936

D3 = D2 x (1+g) = €0.936 x (1+0.04) = €0.974

The expected dividends per share for the following years can be calculated in the same way, but for this exercise, we need to calculate the stock price based on the dividends for the first three years only.

The total dividend for the first three years is:

Total dividend = D1 + D2 + D3 = €0.9 + €0.936 + €0.974 = €2.81

Now, we need to calculate the required return or cost of equity (r). We are given that the return of the firm is 8%, and the risk-free rate is 2%. We can use the Capital Asset Pricing Model (CAPM) to calculate the cost of equity:

r = rf + β x (rm - rf)

Where:

rf = risk-free rate = 2%

β = beta = 1 (given)

rm = expected return on the market = 8%

r = 2% + 1 x (8% - 2%) = 6%

Substituting the values into the Gordon model formula, we get:

P0 = €2.81/(0.06 - 0.04) = €140.5

However, we need to divide the stock price by the number of shares to get the stock price per share:

Stock price per share = €140.5/1 mill. shares = €140.5 per share

Therefore, the stock price of the firm is between B) €40.5 and €43 (since the dividend payout ratio is less than 100%, the stock price cannot be less than the dividend per share).

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On your own paper, in the working papers, or using a spreadsheet, prepare the following:
a. Prepare a multiple-step income statement for the year ended December 31, 20Y5, concluding with earnings per share. In computing earnings per share, assume that the average number of common shares outstanding was 100,000 and preferred dividends were $100,000. (Round earnings per share to the nearest cent.) Save your calculations and enter the requested amounts below.

Answers

The EPS calculation would be: [tex]= ($xxx - $100,000) / 100,000= $x.xx per share[/tex]

To prepare a multiple-step income statement for the year ended December 31, 20Y5, follow these steps:

1. Determine the company's total sales revenue for the year. This should be listed at the top of the income statement.

2. Subtract the cost of goods sold (COGS) from the total sales revenue to arrive at the gross profit. This is the second line of the income statement.

3. List all operating expenses, such as salaries, rent, utilities, and depreciation, below the gross profit. Subtract the total operating expenses from the gross profit to arrive at the operating income.

4. Next, list any non-operating income, such as interest earned on investments or gains from the sale of assets. Add this income to the operating income to arrive at the total income before taxes.

5. Subtract the income tax expense from the total income before taxes to arrive at the net income. This should be listed at the bottom of the income statement.

6. To calculate earnings per share (EPS), divide the net income by the average number of common shares outstanding. In this case, the average number of common shares outstanding is 100,000 and the preferred dividends were $100,000.

Therefore, the EPS calculation would be:

Net income - preferred dividends / average number of common shares outstanding
[tex]= ($xxx - $100,000) / 100,000= $x.xx per share[/tex]

Remember to round EPS to the nearest cent.

Once you have completed these steps, you should have a complete multiple-step income statement for the year ended December 31, 20Y5, including earnings per share.

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for ADIB and DIB year 2018-2019-2020-2021. ( please explain your answer clearly )3. Are the assets all treated identically in the accounts by the two banks? If not demonstrate the differences (Ijard. Mudaraba, etc). 4. Defined the major sources of finance for Islamic banks.5. Identify the key liabilities into their major

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(3) The assets cannot be treated identically in the accounts, as Islamic banks use different types of contracts such as Ijara, Mudaraba, and Musharaka, while conventional banks use interest-based contracts.

(4) Islamic banks have different sources of financing than conventional banks, such as Musharaka, Mudaraba, Sukuk, and Takaful, which comply with Shariah law and avoid interest-based financing.

(5) The key liabilities for Islamic banks are divided into two major categories: demand deposits  and investment deposits (are subject to profit sharing and are similar to conventional banks' savings accounts).

Islamic banks operate differently from conventional banks, as they have unique ways of financing and handling liabilities. In terms of assets, Islamic banks use contracts such as Ijara, Mudaraba, and Musharaka, which are based on profit-sharing and comply with Shariah law. In contrast, conventional banks use interest-based contracts.

Islamic banks have various sources of financing, such as Musharaka, Mudaraba, Sukuk, and Takaful, which do not involve interest-based financing.

On the other hand, the key liabilities for Islamic banks are divided into demand deposits and investment deposits, which are subject to profit sharing and are similar to conventional banks' savings and current accounts, respectively.

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which of the following components of pension expense is most likely to result in a decrease in pension expense? select answer from the options below interest on the liability. service cost. actual return on plan assets. amortization of unrecognized prior service cost.

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The actual return on plan assets is most likely to result in a decrease in pension expense.

Pension expense is the cost of providing retirement benefits to employees, and it includes several components, such as service cost, interest cost, expected return on plan assets, amortization of unrecognized prior service cost, and amortization of unrecognized actuarial gains and losses.

The actual return on plan assets refers to the actual investment returns earned on the plan assets during the year. If the actual return is higher than the expected return, it will result in a decrease in pension expense. This is because the higher-than-expected return reduces the amount of contributions the company needs to make to the plan to meet its future obligations.

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a subsidy: a. raises the cost of doing business. b. is a payment taken by the government to discourage consumption or production of a good or service. c. is designed to decrease the available supply of a good or service. d. shifts the demand curve of a product. e. is a payment made by the government to encourage consumption or production of a good or service.

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A subsidy is a payment made by the government to encourage consumption or production of a good or service (option e).

This financial assistance helps reduce the cost of production, making it more affordable for producers and, in turn, consumers.

By offering subsidies, the government can stimulate demand and increase the supply of specific goods or services, resulting in a shift of the demand curve (option d).

Subsidies do not raise the cost of doing business (option a), nor are they designed to decrease the available supply of a good or service (option c).

Additionally, they are not payments taken by the government to discourage consumption or production (option b).

Instead, subsidies serve as incentives to support targeted industries and promote certain policy goals.

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the amount of money a consumer has left after paying for food, clothing, and shelter is referred to as: select one: a. gross income. b. discretionary income. c. defined income. d. disposable income.

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The right response is: b. disposable income. The amount of money a consumer has left over after paying for necessities like food, clothing, and housing, which can be utilised for discretionary or optional spending.

What exactly does discretionary income mean?

GLOSSARY. The difference between your annual income and 150 percent of the federal poverty level for your family size and state of residency, as applicable to the Income-Based Repayment Plan, the Pay As You Earn Repayment Plan, and loan rehabilitation, is your discretionary income.

What are optional items?

Any charges that a consumer or business wants rather than needs are considered discretionary expenses, as was previously indicated. Vacations and travel costs are a few of typical discretionary expenses. Automobiles. cigarettes and alcohol.

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Demo Inc. is expected to generate a free cash flow (FCF) of $13,245.00 million this year (FCF1 = $13,245.00 million), and the FCF is expected to grow at a rate of 26.20% over the following two years (FCF and FCF3). After the third year, however, the FCF is expected to grow at a constant rate of 4.26% per year, which will last forever (FCF4). Assume the firm has no nonoperating assets. If Demo Inc.'s weighted average cost of capital (WACC) is 12.78%, what is the current total firm value of Demo Inc.? (Note: Round all intermediate calculations to two decimal places.) $219,541.28 million $297,727.14 million $263,449.54 million $39,590.99 million

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the current total firm value of Demo Inc. is $249,227.14 million. The closest option to this value is option (b) $297,727.14 million.

To calculate the total firm value of Demo Inc., we need to determine the present value of its future free cash flows (FCFs) discounted by the weighted average cost of capital (WACC).

1: Calculate the FCFs for years 2 and 3

FCF2 = FCF1 x (1 + g) = $13,245.00 million x (1 + 26.20%) = $16,722.69 million

FCF3 = FCF2 x (1 + g) = $16,722.69 million x (1 + 26.20%) = $21,100.90 million

2: Calculate the FCF for year 4 and beyond using the perpetuity formula

FCF4 = FCF3 x (1 + g) / (WACC - g) = $21,100.90 million x (1 + 4.26%) / (12.78% - 4.26%) = $303,321.11 million

3: Calculate the present value of the FCFs for years 1 to 4

[tex]PV(FCF1-4) = FCF1 + FCF2 / (1 + WACC)^2 + FCF3 / (1 + WACC)^3 + FCF4 / (1 + WACC)^3[/tex]

[tex]PV(FCF1-4) = $13,245.00 million + $16,722.69 million / (1 + 12.78%)^2 + $21,100.90 million / (1 + 12.78%)^3 + $303,321.11 million / (1 + 12.78%)^3[/tex]

PV(FCF1-4) = $13,245.00 million + $13,710.70 million + $15,474.14 million + $206,797.30 million

PV(FCF1-4) = $249,227.14 million

4: Calculate the total firm value

Total firm value = PV(FCF1-4)

Total firm value = $249,227.14 million.

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In the Dividend Discount Model, if the risk free rate goesdownA). Stock Price will go upB). It means that the market is inefficientC). Stock Price will go downD). Stock Price will remain the same

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If the risk-free rate goes down in the Dividend Discount Model, the stock price will go up. Option A is correct.

The Dividend Discount Model is used to estimate the intrinsic value of a stock based on the present value of future cash flows, including dividends, discounted by a rate that reflects the stock's risk. When the risk-free rate decreases, the discount rate used in the model also decreases, making the present value of future cash flows higher.

This results in an increase in the estimated intrinsic value of the stock, which in turn leads to an increase in the stock price. Therefore, if the risk-free rate goes down, the stock price will go up, and vice versa. This relationship holds assuming that all other factors, such as the expected growth rate of dividends, remain constant.

It is important to note that the Dividend Discount Model is a simplified approach that relies on several assumptions and may not reflect the complexities of the market. Additionally, changes in the risk-free rate may not be the only factor affecting the stock price. Other factors, such as macroeconomic conditions, company performance, and investor sentiment, may also influence the stock price.

Option A holds true.

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most hiring organizations are aware of the precise value of information security certifications because these programs have been in existence for a long time. question 22 options: true false

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The statement "most hiring organizations are aware of the precise value of information security certifications because these programs have been in existence for a long time" is false.

While it is true that information security certifications have been around for a long time, the value of these certifications can be difficult to quantify and varies depending on the specific certification and the organization that is hiring.

Additionally, with the rapidly evolving nature of information technology and the increasing importance of cybersecurity, the value of different information security certifications can change over time.

Furthermore, not all organizations place the same value on information security certifications, and some may prioritize other qualifications or experience when making hiring decisions.

Therefore, while information security certifications can certainly be a valuable asset in the job market, it is not necessarily true that most hiring organizations are fully aware of their precise value.

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The statement "most hiring organizations are aware of the precise value of information security certifications because these programs have been in existence for a long time" is false.

While it is true that information security certifications have been around for a long time, the value of these certifications can be difficult to quantify and varies depending on the specific certification and the organization that is hiring. Additionally, with the rapidly evolving nature of information technology and the increasing importance of cybersecurity, the value of different information security certifications can change over time. Furthermore, not all organizations place the same value on information security certifications, and some may prioritize other qualifications or experience when making hiring decisions.

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a person with a very short-term time horizon may buy and sell stocks based purely on price trends with the expectation of reversing the position within hours or days. this practice is known as:

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The practice is known as day trading. Day trading is a trading strategy where a person buys and sells securities, such as stocks, options, or futures.

It is within the same trading day with the goal of making a profit from short-term price movements. Day traders typically close out all of their positions by the end of the trading day and do not hold any positions overnight. This trading style requires a high level of skill, discipline, and knowledge of the markets, and is often associated with high risk and high reward.A person with a very short-term time horizon who buys and sells stocks based purely on price trends, expecting to reverse their position within hours or days, is engaging in a practice known as "day trading."

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consumers learning the same information in separate contexts and consumers storing the same information in different memory modes are both examples of

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Consumers learning the same information in separate contexts and consumers storing the same information in different memory modes are both examples of how the human brain processes and retains information.

When consumers learn the same information in separate contexts, their brains create multiple associations with that information, making it easier to recall later on.

For example, if a consumer learns how to bake a cake in a cooking class and then watches a video about baking a cake, they will have two different contexts in which they learned the same information. This can help them remember the recipe more easily.

On the other hand, when consumers store the same information in different memory modes, they are using different parts of their brain to process and retain the information. For example, if a consumer reads a book and then listens to an audiobook of the same book, they are using both their visual and auditory memory modes to retain the information.

This can help them remember the details of the story more easily.

In both cases, the brain is using different methods to process and retain information, which can be beneficial for consumers. By creating multiple associations and using different memory modes, consumers can improve their ability to remember information and apply it in different contexts.

This can be particularly helpful in educational settings or when learning new skills.

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assume that the dollar has been consistently depreciating over a long period. the fed decides to counteract this movement by intervening in the foreign exchange market using sterilized intervention. the fed would

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The Federal Reserve (Fed) would take to counteract the consistent depreciation of the dollar using sterilized intervention. Fed would decides to intervene in the foreign exchange market using sterilized intervention to counteract the depreciation of the dollar, it would buy dollars and sell foreign currencies.  

What  would Fed do?

If the dollar has been consistently depreciating over a long period, the Fed may decide to intervene in the foreign exchange market using sterilized intervention. Sterilized intervention involves the Fed buying or selling foreign currency in the market to influence exchange rates, while simultaneously offsetting the impact of these transactions on the domestic money supply by buying or selling Treasury securities.

In this scenario, if the Fed decides to intervene in the foreign exchange market using sterilized intervention to counteract the depreciation of the dollar, it would buy dollars and sell foreign currencies. This would increase the demand for dollars and decrease the supply of foreign currencies, which would cause the value of the dollar to increase relative to other currencies. The Fed would then use sterilization to prevent the intervention from affecting the domestic money supply.

The effectiveness of this strategy depends on various factors, such as the level of the Fed's intervention, market conditions, and the reactions of other market participants. It is also important to note that foreign exchange interventions are not always successful in achieving their intended goals, and can have unintended consequences on the economy.    

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in the process, a product is divided into many smaller features or functionalities, and these are rapidly created into minimum viable products and presented to the customer for feedback, enabling rapid incremental adaptation. group of answer choices agile development crowdsourcing stage-gate additive manufacturing

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In the process, a product is divided into many smaller features or functionalities, and these are rapidly created into minimum viable products and presented to the customer for feedback, enabling rapid incremental adaptation A. Agile Development.

Agile Development is an iterative and flexible approach to product creation and project management. It focuses on collaborating with the customer, adapting to changing requirements, and delivering working solutions in shorter timeframes. By breaking down a product into smaller components, teams can work on these features independently, making development more efficient and manageable. MVPs are created to demonstrate the functionality and gather feedback, helping teams to identify areas for improvement and make any necessary changes quickly.

Traditional development methods often follow a linear or sequential pattern, which can lead to inefficiencies and delays. Agile Development, on the other hand, promotes collaboration, adaptability, and continuous improvement. This enables organizations to respond to customer needs faster and more effectively, resulting in higher customer satisfaction and better overall project outcomes.

In summary, Agile Development is a dynamic approach to product creation and project management, which emphasizes customer collaboration, quick adaptation, and the delivery of MVPs to gather feedback and enhance the final product. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

in the process, a product is divided into many smaller features or functionalities, and these are rapidly created into minimum viable products and presented to the customer for feedback, enabling rapid incremental adaptation. group of answer choices

A. agile development

B. crowdsourcing

C. stage-gate

D. additive manufacturing

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Another method to deal with the unequal life problem of projects is the equivalent annual annuity (EAA) method. In this method the annual cash flows under the alternative investments are converted into a constant cash flow stream whose NPV is equivalent to the NPV of the comparative project's initial stream. Consider the case of Blue Moose Home Builders: Blue Moose Home Builders is considering a four-year project that has a weighted average cost of capital of 11% and a net present value (NPV) of $75,682. Blue Moose Home Builders can replicate this project indefinitely. The equivalent annual annuity (EAA) for this project is___ The EAA approach to evaluating projects with unequal lives ___ do a good job of taking inflation into account.

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The equivalent annual annuity (EAA) for this project is $22,899 and EAA approach to evaluating projects with unequal lives does NOT do a good job of taking inflation into account.

How to calculate the equivalent annual annuity (EAA) and does it take inflation into account?

To calculate the equivalent annual annuity (EAA), we need to determine the constant annual cash flow that has the same present value as the initial cash flows of the project. We can use the NPV formula to find the annual cash flow:

[tex]NPV = CF1/(1+r)^1 + CF2/(1+r)^2 + CF3/(1+r)^3 + CF4/(1+r)^4[/tex]

Where CF1 to CF4 are the cash flows in years 1 to 4 of the project, r is the discount rate (weighted average cost of capital), and NPV is the net present value of the project.

Rearranging the formula to solve for the equivalent annual annuity (EAA):

[tex]EAA = NPV / [(1-1/(1+r)^t)/r][/tex]

where t is the project life.

Substituting the given values:

[tex]EAA = $75,682 / [(1-1/(1+0.11)^4)/0.11][/tex]

EAA = $23,574.96

Therefore, the equivalent annual annuity (EAA) for the project is $23,574.96.

Regarding the second part of the statement, the EAA approach does take inflation into account, as it considers the time value of money and discounts future cash flows to their present values. However, it does not explicitly account for changes in inflation rates over the life of the project, which may affect the accuracy of the calculation.

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Suppose you are considering investing in a $1,000 par value, 6 year, 7% annual coupon rate bond, but pays monthly installment. If the current market price of the bond is $949, what is the current yield of the bond? (Round your answer to two decimal point)

Answers

The current yield of the bond is 7.03%.

The first step is to calculate the annual coupon payment by multiplying the coupon rate by the par value:

Annual coupon payment = 0.07 x $1,000 = $70

Since the bond pays monthly, the monthly coupon payment can be calculated by dividing the annual coupon payment by 12:

Monthly coupon payment = $70 / 12 = $5.83

Next, we need to calculate the annual interest earned by dividing the annual coupon payment by the current market price of the bond and multiplying by 100:

Annual interest earned = ($70 / $949) x 100 = 7.37%

Finally, we can calculate the current yield of the bond by dividing the annual interest earned by the annual coupon payment and multiplying by 100:

Current yield = (7.37% / 6) x 100 = 7.03%

Thus current yield of the bond is 7.03%.

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which statement below regarding sustainable economic growth is false? in a recession, public policy could help an economy return to full employment. when equilibrium is to the right of the lras, that is a sustainable level of production. a recession is a sustainable level of production. producing or consuming more does not always equate to long-term economic growth.

Answers

The false statement regarding sustainable economic growth is: "A recession is a sustainable level of production."

A recession is generally not considered a sustainable level of production because it involves a decline in economic activity and a decrease in output, leading to unemployment and other negative economic consequences. Sustainable economic growth refers to an increase in economic activity over time that is environmentally, socially, and financially sustainable.

Option A is correct answer.

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8 A Treasury issue is quoted at 103.76205 bld and 103.815 ask. Assume a face value of $1,000. What is the least you could pay to acquire a bond? (Do not round Intermediate calculations. Round your ans

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The least amount you could pay to acquire the bond is $1,037.62.

The bid and ask prices for the Treasury issue are 103.76205 and 103.815, respectively. These prices are quoted as a percentage of the bond's face value, which is $1,000.

The bid price represents the highest price a buyer is willing to pay for the bond, while the ask price represents the lowest price a seller is willing to accept for the bond.

In this case, the bid price of 103.76205 means that a buyer is willing to pay $1,037.62 for a bond with a face value of $1,000. Since we want to find the least amount we could pay to acquire the bond, we use the bid price. Therefore, the least amount we could pay to acquire the bond is $1,037.62.

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Buffalo almost became​ extinct, but cattle never have been threatened with extinction becauseA.buffalo were wild and cattle were tame.B.cattle provide economically valuable products and buffalo did not.C.buffalo were common property and cattle were private property.D.buffalo are bigger than cattle and thus provide more meat and hide.

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The correct answer is B. Cattle provide economically valuable products and buffalo did not.Buffalo were hunted extensively for their meat,and bones, which were used by indigenous people for a variety of purposes.

In the late 19th century, commercial hunting of buffalo became widespread, driven by the demand for buffalo hides and the desire to remove buffalo from the Great Plains to make way for cattle ranching. This led to a significant decline in the buffalo population, to the point where they were on the brink of extinction.Cattle, on the other hand, were domesticated by humans and have been raised for their meat, milk, and hides for thousands of years. Cattle have been selectively bred to produce high-quality meat and dairy products, and they are now an economically valuable commodity worldwide. Unlike buffalo, cattle are raised on ranches and farms, where they are protected and managed by humans.In summary, cattle have not been threatened with extinction because they are domesticated animals that provide valuable economic products. Buffalo, on the other hand, were hunted to near extinction due to their valuable hides and the desire to remove them from the Great Plains for cattle ranching.

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how do executive branch attorneys influence the court’s agenda?

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Executive branch attorneys, such as Solicitor General and other government lawyers, influence the court's agenda by representing the interests of the executive branch in legal matters.

Executive branch attorneys can influence the court's agenda by recommending cases that align with the administration's policy priorities. They can also file amicus briefs in cases that are already before the court, offering the administration's perspective and potentially swaying the court's decision. Additionally, executive branch attorneys can decline to defend laws or regulations in court, which can effectively remove those issues from the court's docket. Overall, the executive branch attorneys play an important role in shaping the court's agenda by advocating for the administration's priorities and influencing which cases are brought before the court.
They present cases, arguments, and legal positions on behalf of the government, often involving issues of national importance. By doing so, they help shape the court's docket and its decisions, ultimately impacting the interpretation and implementation of laws and policies.

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a call option on masscomputer corp. is trading with a strike price of $100 and an expiration date on november 18th at 4 pm in the afternoon. the premium paid on the call is $7.55. what is the net profit or loss from buying the call just prior to 4 pm on november 18 if at this time the stock price per share of masscomputer is: a.$112.25 answer:the net profit is $ 4.70 b.$98.63 answer:the net profit is $ -7.55 place your answers in dollars and cents. negative answers should use the minus sign. for example, the answer of minus two dollars and twenty cents would be placed as -2.20.

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The net profit from buying the call would be $4.70. b. The net loss from buying the call would be $7.55.

To calculate the net profit or loss from buying the call option, we need to consider the premium paid and the difference between the stock price and the strike price. Let's analyze both scenarios:

a) Stock price: $112.25
1. Calculate the difference between the stock price and the strike price: $112.25 - $100 = $12.25
2. Subtract the premium paid from the difference: $12.25 - $7.55 = $4.70
Therefore, the net profit from buying the call just prior to 4 pm on November 18th with a stock price of $112.25 per share would be $4.70.

b) Stock price: $98.63
1. Since the stock price is below the strike price, the call option is worthless, and the buyer would not exercise it.
2. The entire premium paid becomes the loss: $7.55

Therefore, the net loss from buying the call just prior to 4 pm on November 18th with a stock price of $98.63 per share would be $7.55.

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how do unstructured organizations utilize digital technologies in a way that is different from structured organizations?

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Option b: The unstructured organizations utilize digital technologies in a way that is different from structured organizations is to  limit complexity and increase control.

Information that does not have a defined data model or is not organized in a defined way is called unstructured data (or unstructured information). Unstructured data also includes facts such as dates, numbers, and figures, but is often text-heavy. In contrast to data recorded in databases in the form of fields, or data annotated (semantically marked) in text, this allows for irregularities and ambiguities that are difficult to record with ordinary programs. occurs.

Even if the data exhibits some degree of organization, it can be considered unstructured if such structure does not lend itself to the current processing task. Unstructured information may be highly structured or partially structured, but in unexpected or unexpected ways.

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Complete question:

How do unstructured organizations utilize digital technologies in a way that is different from structured organizations?

◦ To tie work patterns to classic structures

◦ To limit complexity and increase control

◦ To provide family-like social structures

◦ To rapidly form and re-form work patterns

◦ To identify management succession plans

Unstructured organizations typically utilize digital technologies in a more flexible and dynamic way compared to structured organizations. This is because unstructured organizations are typically less hierarchical and have fewer layers of management, allowing for quicker decision-making and implementation of digital strategies.

They also tend to rely heavily on social media and other digital platforms to connect with their audience and promote their brand. Additionally, unstructured organizations may experiment more with emerging technologies and innovations, taking risks and exploring new ways to engage with customers and stay ahead of the competition.
Hi! Unstructured organizations utilize digital technologies differently from structured organizations in several ways. Here's a step-by-step explanation:
1. Flexibility: Unstructured organizations often have more flexibility in using digital technologies, as they do not have rigid hierarchies and processes. They can quickly adapt and experiment with new tools and platforms.
2. Decision-making: In unstructured organizations, decision-making is decentralized, allowing employees at different levels to utilize digital technologies according to their needs and expertise. This contrasts with structured organizations, where technology use is often determined by top management.
3. Collaboration: Unstructured organizations encourage collaboration and cross-functional teamwork. They utilize digital technologies like communication and project management tools to enable seamless interaction among employees, fostering innovation and problem-solving.
4. Integration: Unstructured organizations often integrate digital technologies more seamlessly into their core processes. They are better at adopting and adapting to new tools, as they do not have rigid structures that might hinder the implementation of new technologies.
5. Innovation: Due to their flexible nature, unstructured organizations are generally more open to innovation and can quickly incorporate new digital technologies into their operations. This allows them to stay ahead in competitive markets, as they can adopt emerging technologies faster than structured organizations.

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If the slope of the aggregate expenditures schedule were 0.8, and aggregate expenditures declined by $4 billion, real GDP would

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real GDP would decline by $5 billion if aggregate expenditures declined by $4 billion and the slope of the aggregate expenditures schedule were 0.8.

To answer this question, we need to use the formula for the aggregate expenditures (AE) schedule:

AE = C + I + G + NX

where C is consumption spending, I is investment spending, G is government spending, and NX is net exports.

If the slope of the AE schedule is 0.8, it means that a $1 change in real GDP leads to a change in AE of $0.8. Therefore, if AE declines by $4 billion, real GDP will decline by:

Change in real GDP = (Change in AE) / (Slope of AE schedule)

Change in real GDP = (-$4 billion) / (0.8)

Change in real GDP = -$5 billion

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which of the following is not a sustainable source of growth? factors that shift the sras curve but not the lras curve invention of new forms of technology factors that shift the lras curve to the right increase in population, leading to more people being available in the work force

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The factor that is not a sustainable source of growth among the options given is the "factors that shift the SRAS curve but not the LRAS curve."

This is because the Short-Run Aggregate Supply (SRAS) curve represents the relationship between the price level and the quantity of goods and services that firms are willing and able to supply in the short run, whereas the Long-Run Aggregate Supply (LRAS) curve represents the potential output of an economy in the long run.

Shocks to the SRAS curve are temporary and do not affect the long-term potential output of an economy.

In contrast, the invention of new forms of technology, an increase in population leading to more people in the workforce, and factors that shift the LRAS curve to the right are sustainable sources of growth as they increase an economy's productive capacity and potential output in the long run.

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On October 28, 2021, Beth entered into a contract with Emery to purchase 20 doggie surf boards for her pet store at $24 each from Surf Boards R Us. These surf boards are to be delivered to her store on November 1, 2022. This contract:
A. does not need to be evidenced by a writing under the Statute of Frauds.
B. needs to be evidenced by a writing because it involves goods and performance over one year.
C. must be in writing because the contract involves goods.
D. must be in writing due to the one year rule

Answers

B. needs to be evidenced by a writing because it involves goods and performance over one year.

The Statute of Frauds requires certain contracts to be evidenced by a writing in order to be enforceable. This includes contracts for the sale of goods and contracts that involve performance over one year.

Since Beth's contract involves the sale of goods and performance over one year, it must be evidenced by a writing in order to be enforceable. If Beth and Emery fail to put their agreement into writing, the contract would be unenforceable and Beth would not be able to compel Emery to deliver the surf boards on November 1, 2022.

Therefore, it is important that Beth and Emery put their agreement into a written contract in order to ensure that their rights are protected.

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A perfectly competitive firm will produce more output and charge a lower (per-unit) price than a single-price monopoly firm. Do you agree or disagree with this statement?

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I agree with the statement that a perfectly competitive firm will produce more output and charge a lower (per-unit) price than a single-price monopoly firm.

In a perfectly competitive market, there are numerous small firms, and no single firm has the power to influence market prices. The firms in a perfectly competitive market are price takers and must accept the market price as given. Therefore, to sell more output, a firm must reduce its price, which leads to a lower per-unit price than a single-price monopoly firm.

On the other hand, a single-price monopoly firm is the only supplier in the market, and it has the power to control the market price. A single-price monopoly firm can restrict its output to increase the market price and its profits. Therefore, a single-price monopoly firm will produce less output and charge a higher per-unit price than a perfectly competitive firm.

In summary, a perfectly competitive firm will produce more output and charge a lower per-unit price due to the presence of competition in the market. In contrast, a single-price monopoly firm will produce less output and charge a higher per-unit price due to its market power.

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I agree with this statement. Perfectly competitive firms are assumed to have a large number of equally sized firms selling identical products, with no barriers to entry or exit.

Because of this, each firm is a price taker, meaning they have to accept the market price, which is dictated by the demand and supply of the industry. This means that the firm can only charge a price that will produce the quantity of output that will maximize their profits.

This quantity is lower than what a single-price monopoly would be able to produce, as the monopoly has the ability to set their own price.

This, in turn, means that the perfectly competitive firm needs to charge a lower price in order to sell the quantity of output that will maximize their profits.

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you purchased 100 shares of resorts, inc. stock at a price of $35.87 a share exactly one year ago. you have received dividends totaling $1.05 a share. today, you sold your shares at a price of $46.26 a share. what is your total dollar return on this investment?

Answers

The total dollar return on this investment is $1,144.00.

To calculate the total dollar return on this investment, we need to take into account both the capital gain (or loss) from the change in the stock price and the dividends received.

First, let's calculate the capital gain:

Capital gain = (Sale price - Purchase price) x Number of shares

Capital gain = ($46.26 - $35.87) x 100 = $1,039.00

Next, let's calculate the total dividends received:

Total dividends = Dividend per share x Number of shares

Total dividends = $1.05 x 100 = $105.00

Finally, we can calculate the total dollar return:

Total dollar return = Capital gain + Total dividends

Total dollar return = $1,039.00 + $105.00 = $1,144.00

Therefore, the total dollar return on this investment is $1,144.00.

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agg investments owns 285,000 shares of crc, a defensive stock. after examining the stock's cash flows, its executive leadership, and its likelihood of becoming a takeover target, a research analyst estimates the intrinsic value for this firm to be $35.00. the current market price on the nasdaq exchange is $59.23.the analyst is most likely to recommend: a. shorting the shares. b. selling the shares that are already owned. c. buying the shares due to its intrinsic value. d. buying the shares due to the pending economic decline.

Answers

Based on the given information, research analyst has estimated intrinsic value of CRC, a defensive stock, to be $35.00. However, the current market price on the NASDAQ exchange is $59.23. Analyst is most likely to recommend shorting the shares. The correct answer is option A.



This is because shorting a stock involves selling borrowed shares with the expectation that the share price will decrease, allowing the investor to buy back the shares at a lower price and profit from the difference. Since the stock appears to be overvalued, shorting it could potentially lead to profit as the price may eventually move towards its intrinsic value.


Option B, selling the shares that are already owned, could also be considered as it allows the investor to profit from the current high market price. However, shorting the shares implies a more active strategy to benefit from the overvaluation.


Option C and D are not recommended in this situation, as they involve buying the shares. Buying the shares due to their intrinsic value (C) or the pending economic decline (D) would not be advised, as the stock is currently trading at a higher price than its intrinsic value, making it an unattractive investment at this time. The correct answer is option A.

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what remedies are generally available to the aggrieved party for the breach of a franchise agreement if the aggrieved party is the franchisee of a distributorship-type franchise?

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As a franchisee of a distributorship-type franchise, the aggrieved party may have a few remedies available for a breach of the franchise agreement.

These remedies can include:
1. Specific performance: This is a legal remedy where the court orders the breaching party to fulfill their contractual obligations. For example, if the franchisor is not providing the necessary support or marketing materials as per the agreement, the court may order them to do so.
2. Damages: The aggrieved party may be entitled to damages as a result of the breach. This could include compensation for lost profits, expenses incurred, or other financial losses.
3. Termination: The franchisee may be able to terminate the franchise agreement if the breach is significant enough. However, this will depend on the terms of the agreement and the severity of the breach.
4. Injunction: An injunction is a court order that prohibits the breaching party from continuing to violate the terms of the franchise agreement. This can be a useful remedy if the breach is ongoing or if the franchisor is engaging in illegal activity.

It is important for the franchisee to review their franchise agreement and consult with legal counsel to determine the appropriate remedy for their specific situation.

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