mary corporation has 10,000 shares of $10 par, cumulative, 6% preferred stock and 10,000 shares of common stock outstanding since being organized at the beginning of 2019. it declared its first dividend of $40,000 at the end of 2021. this means that

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Answer 1

M-ary Corporation has 10,000 shares of $10 par, cumulative, 6% preferred stock and 10,000 shares of common stock outstanding since being organized at the beginning of 2019. It declared its first dividend of $40,000 at the end of 2021. This means that the dividend per share for each preferred share is $6. Mary Corporation has cumulative preferred stock, so any missed dividends will accumulate and must be paid in the future.What is Cumulative Preferred Stock?Cumulative preferred stock refers to preferred stock whose dividends accumulate if the company cannot pay them in the current year. If a company is unable to pay dividends in a given year, it can add them to future dividends. In other words, cumulative preferred shares provide shareholders with the right to unpaid dividends in the event that the company misses a dividend payment. These dividends must be paid before dividends are paid to holders of common shares.What is Par Value?Par value refers to the nominal value of a security that appears on the face of the security. Par value is a set value assigned by a company when shares are issued, indicating the minimum value per share. The stated or face value of a security is the same as the par value of a security in general.What is a Common Stock?Common stock refers to a class of securities that represents ownership in a corporation. Common stockholders have the right to vote on issues such as the election of board members and other critical decisions concerning the company. The right to dividend income is typically the last to be exercised by common stockholders. Common stockholders are entitled to a share of the company's profits, but they are not guaranteed any dividend income, unlike preferred stockholders.


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Driver is operating her vehicle on a Michigan highway. The speed limit is 70 mph. The legal duty imposed on driver is: - operate her vehicle in a manner consistent with how a reasonable, responsible driver would under the same or similar conditions - drive 70 mph
- drive somewhere between 65 mph and 75 mph
- not to get into an accident

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The legal duty imposed on a driver operating her vehicle on a Michigan highway with a speed limit of 70 mph is to operate her vehicle in a manner consistent with how a reasonable, responsible driver would under the same or similar conditions. The correct option is B.

Legal duty refers to the responsibility that one person or party has to another under the law. Legal duties are typically created through laws, contracts, or other legal relationships. This means the driver must obey the speed limit, pay attention to their surroundings, and take reasonable steps to avoid accidents.When someone fails to fulfill their legal duty, they may be held liable for any resulting harm or damages.A reasonable, responsible driver is someone who exercises reasonable care while driving. This means they obey traffic laws, pay attention to their surroundings, and take reasonable steps to avoid accidents. If a driver fails to exercise reasonable care and causes an accident, they may be held liable for any resulting damages.This includes adhering to the speed limit and maintaining a safe driving behavior to avoid accidents.

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alan is sitting in a restaurant drinking soda that cost $4 each. according to the economic decision rule, alan will stop drinking when the marginal:

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The final answer are when the marginal utility of the soda is equal to $4, Alan will stop drinking soda.

According to the economic decision rule, Alan will stop drinking soda when the marginal utility of the soda equals the price of the soda. Therefore, when the marginal utility of the soda is equal to $4, Alan will stop drinking soda.

What is the economic decision rule?

The economic decision rule states that a rational decision-maker will take an action if and only if the marginal benefit of the action exceeds the marginal cost of the action. The rule states that for any decision, one should only pursue it if the benefits outweigh the costs.

Marginal utility is the additional satisfaction or benefit derived by consuming one more unit of a good or service. It is calculated as the change in total utility divided by the change in the quantity of goods consumed. Marginal utility diminishes as more and more units of a good or service are consumed.

This means that the satisfaction that one derives from consuming additional units of a good or service decreases over time. When Alan is sitting in a restaurant drinking soda that costs $4 each, according to the economic decision rule, Alan will stop drinking soda when the marginal utility of the soda is equal to the price of the soda.

Therefore, when the marginal utility of the soda is equal to $4, Alan will stop drinking soda.

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a. in 2003, congress passed and president george w. bush signed the medicare modernization act, which provides seniors and individuals with disabilities with a prescription drug benefit. some of the benefits under this law took effect immediately, but other benefits will not begin until sometime in the future. the result is that both the current public debt and the implicit liabilities . b. the age at which retired persons can receive full social security benefits is raised to age 70 for future retirees. the current public debt will due to this and implicit liabilities will . c. social security benefits for future retirees are limited to those with low incomes. the current public debt will due to this and implicit liabilities will . d. because the cost of health care is increasing faster than the overall inflation rate, annual increases in social security benefits are increased by the annual increase in health care costs rather than the overall inflation rate. both implicit liabilities and current public debt will due to this change. e. the affordable care act (aca), which went into effect in 2014, created incentives for hospitals to find ways to save the government money. both implicit liabilities and current public debt due to the aca.

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a. In 2003, Congress passed and President George W. Bush signed the Medicare Modernization Act, which provides seniors and individuals with disabilities with a prescription drug benefit.

Some of the benefits under this law took effect immediately, but other benefits will not begin until sometime in the future. The result is that both the current public debt and the implicit liabilities will increase due to this.



b. The age at which retired persons can receive full Social Security benefits is raised to age 70 for future retirees. The current public debt and implicit liabilities will increase due to this change.



c. Social Security benefits for future retirees are limited to those with low incomes. The current public debt and implicit liabilities will increase due to this change.



d. Because the cost of health care is increasing faster than the overall inflation rate, annual increases in Social Security benefits are increased by the annual increase in health care costs rather than the overall inflation rate. Both implicit liabilities and current public debt will increase due to this change.



e. The Affordable Care Act (ACA), which went into effect in 2014, created incentives for hospitals to find ways to save the government money. Both implicit liabilities and current public debt will increase due to the ACA.

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alpha engineers, inc. needs a specific drill to continue its operations and orders one from mining supply company at a cost of $1,500. alpha tells the supplier that it must receive the drill by tuesday or it will lose $5,000 (the profit from a job they have scheduled on tuesday). mining supply agrees to sell the drill and to have the drill delivered to alpha by monday. mining supply ships the drill late and alpha does not receive the drill until thursday. as a result, it cannot perform the job scheduled for monday. alpha sues mining supply for breach of contract. alpha can recover:

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The amount of damages that Alpha can recover would depend on the specific details of the case and the evidence presented in court.

Define and solve the question in proper manner?

In this case, Alpha can sue Mining Supply for breach of contract and may be able to recover damages. The damages that Alpha can recover would depend on the terms of the contract and the specific circumstances of the case.

If the contract included a liquidated damages clause, which specifies the amount of damages that will be paid in case of a breach, then Alpha may be able to recover the full $5,000. However, if there was no such clause, then Alpha would need to prove that it suffered losses as a result of the breach.

In this case, Alpha can argue that it suffered a loss of $5,000 due to Mining Supply's breach of contract, as it was unable to perform the scheduled job on Monday. Additionally, Alpha may also be able to recover the cost of any additional expenses incurred as a result of the breach, such as the cost of renting another drill to complete the job.

Ultimately, the amount of damages that Alpha can recover would depend on the specific details of the case and the evidence presented in court.

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suppose you pay $508 for a zero-coupon bond that has 10 years left to maturity. assuming annual compounding, what is the ytm on this bond? answer in the percent format. round to the nearest hundredth percent. do not include the percent sign in your answer. (for example, if your answer is 5.67%, type 5.67 without % sign)

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The YTM (Yield to Maturity) on this bond is 3.96%.

In the question, we are given that we pay $508 for a zero-coupon bond that has 10 years left to maturity. Assuming annual compounding, we need to find the YTM on this bond. The YTM is the total return anticipated on a bond if the bond is held until it matures.

To find the YTM on this bond, we will use the formula for the present value of a zero-coupon bond:

P = F / (1 + r)ⁿ

Where,

P = Purchase price of the bond

F = Face value of the bond

r = YTM

n = Time to maturity of the bond in years

Substituting the given values in the above formula,

we get: $508 = F / (1 + r)¹⁰

Rearranging the terms,

we get:

F = $508 × (1 + r)¹⁰.

To solve for the YTM, we need to use trial and error or a financial calculator.

Using a financial calculator, we can use the present value function (PV) to calculate the present value of the bond, setting the present value to the purchase price, the future value to the face value, the time to maturity to 10 years, and the number of periods per year to 1 (since the bond pays no periodic interest).

The interest rate that we get from the calculator is the YTM. Using either method,

we get:

r = 3.96% (rounded to two decimal places)

Therefore, the YTM on this bond is 3.96%.

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Which is the largest health care program in the United States?

(1 point)
Responses

- DOD TRICARE

- The ACA

- Medicaid

- Medicare

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Answer: medicare

Explanation:

step by step

Answer: D

Explanation: step by step

. The purpose of sensitivity analysis is to show: A. the optimal level of the capital budget. B. how price changes affect break-even volume. C. seasonal variation in product demand. D. how variables in a project affect profitability.

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The purpose of sensitivity analysis is to show how variables in a project affect profitability. The correct option is D.

What is sensitivity analysis?

Sensitivity analysis is a method used to assess the performance of an economic model when one or more of its input parameters change. The technique analyses how the model outputs are affected when one or more inputs shift slightly. Sensitivity analysis is done to test how robust the model is when small variations occur in the inputs. It is a tool that aids in identifying the most critical input variables for a model. Sensitivity analysis helps in understanding how much and in which direction the outputs of a model will alter if input variables shift.In general, the output value of a model may vary as a result of input parameter fluctuations. Sensitivity analysis is performed to see how much each parameter affects the outcome of a model. To discover how the model output changes in response to variations in specific input values, one can execute several sensitivity analyses by modifying one input value while keeping others constant.

The higher the profitability of a company, the more profits it earns from its sales. Therefore, profitability is a key measure of a company's financial health.

Thus, The correct option is D.

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Which of the following statements most accurately identifies the typical contents of the project charter?
A. requirements, specifications, test protocols and test results
B. statement of work, terms and conditions, clauses and delivery instructions
C. business case, milestone schedule, resource estimates and team operating principles
D. purpose, literature review, methodology, results and conclusions

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The statement that most accurately identifies the typical contents of the project charter is "business case, milestone schedule, resource estimates, and team operating principle." The correct answer is option C.

A project charter is a document that explains the purpose, scope, objectives, and deliverables of a project. It is typically used to authorize a project and provide direction and guidance to the project team. It establishes the boundaries of the project and defines the roles and responsibilities of the project team.

A project charter typically includes the following information: Project description, purpose, and objectives.

Key stakeholders and their roles and responsibilities Business case Milestone schedule Scope and deliverables Resource estimates Constraints Assumptions Team operating principles.

The typical contents of the project charter include business case, milestone schedule, resource estimates, and team operating principles.

Therefore option C is correct.

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choose the correct statement of the rule; then complete the table for missing values. a merchant adds $3.00 to his cost to determine his selling price. the rule is:

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The statement that correctly represents the rule is, Selling price = cost + 3. Therefore, the correct option is B. The selling price for the costs $1, $2, $3, $4, and $5 are $4, $5, $6, $7, and $8, respectively.

The rule for the merchant is to add $3.00 to his cost to determine his selling price. Therefore,

Selling price = Cost + $3.00

Let's calculate the selling price for cost $1.00:

$Selling price = Cost + $3.00= $1.00 + $3.00= $4.00

Similarly, let's calculate the selling price for cost $2.00, $3.00, $4.00, and $5.00 as follows:

For cost $2.00:

Selling price = Cost + $3.00= $2.00 + $3.00= $5.00

For cost $3.00:

Selling price = Cost + $3.00= $3.00 + $3.00= $6.00

For cost $4.00:

Selling price = Cost + $3.00= $4.00 + $3.00= $7.00

For cost $5.00:

Selling price = Cost + $3.00= $5.00 + $3.00= $8.00

Therefore, the selling prices for cost $1, $2, $3, $4, and $5 are $4.00, $5.00, $6.00, $7.00, and $8.00, respectively.

Note: The question is incomplete. The complete question probably is: Choose the correct statement of the rule; then compute selling price for cost = 1, 2, 3, 4, and 5. A merchant adds $3.00 to his cost to determine his selling price. the rule is: A) Selling price = cost B) Selling price = cost + 3 C) Selling price = cost – 3.

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the purchase ofo inventory- typical with internet based businesses- onlu after a sale is made is called a

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The purchase of inventory that is typical with internet-based businesses, which is only made after a sale is made, is referred to as a drop shipping model. The Drop shipping model refers to an internet-based retail business that does not hold its inventory physically. Instead, when a customer places an order for a product, the retailer forwards the request to the product supplier, who then ships the product directly to the customer.

In this case, the retailer does not manage any inventory; instead, they only act as intermediaries between the customer and the supplier. The process begins when a customer places an order through the retailer's website. The retailer forwards the request to the supplier, who prepares and sends the item directly to the customer, bypassing the retailer altogether.

The retailer, on the other hand, obtains payment from the customer, takes their cut, and forwards the balance to the supplier, who is responsible for shipping the item. The drop shipping model has a few advantages. For starters, retailers do not need to invest in the purchase of inventory to sell their items. The supplier manages the stock, allowing retailers to concentrate on sales and marketing activities.

The retailer is also not required to spend money on renting or buying warehouse space to store inventory. It allows companies to start their e-commerce business with minimal upfront expenses. It is a perfect model for small enterprises that are just starting or businesses looking to expand their product offerings without significant investment. However, drop shipping has some drawbacks.

For example, retailers may have little control over the shipping process and product quality, which could result in customer dissatisfaction. They also run the risk of being unable to satisfy an order, as a supplier may be out of stock or unwilling to fulfil an order. As a result, before using the drop shipping model, it is critical to investigate the supplier and conduct due diligence to ensure that the products and services they provide meet the company's standards.

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ryan sells 200 plastic ball point pens at $0.50 each. his total costs are $25. his profits are group of answer choices $25. $75. $100. $175.

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Ryan's profit on selling 200 plastic ball point pens at $0.50 each is $75.

Ryan sells 200 plastic ball point pens at $0.50 each. His total costs are $25. His profits are $75.

According to the problem, the cost price (CP) of each ball pen = Total cost / Number of ball pens= $25 / 200= $0.125

Therefore, Ryan sells each ball pen at $0.50. This means his selling price (SP) of each ball pen = $0.50

Ryan's profit (P) on selling a ball pen= Selling Price - Cost Price= $0.50 - $0.125= $0.375Ryan sells 200 ball pens.

Hence, his total profit (P) = Profit on selling 1 ball pen × Number of ball pens= $0.375 × 200= $75Therefore, Ryan's profit on selling 200 plastic ball point pens at $0.50 each is $75.

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A reduction in the real interest rate will increase investment spending, other things equal, because firms will make an investment purchase if the expected return is O equal to or less than the real interest rate at which it can borrow O equal to the real interest rate at which it can lend Ogrowing at the same rate as inflation. O greater than or equal to the real interest rate at which it can borrow

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A reduction in the real interest rate will increase investment spending, other things equal, because firms will make an investment purchase if the expected return is greater than or equal to the real interest rate at which it can borrow. Therefore the correct answer is option d.

When the real interest rate falls, it becomes cheaper for firms to borrow money to finance investments. As a result, the expected return on investment needs to be greater than or equal to the real interest rate at which it can borrow, so that firms can make a profit on their investment. Therefore, option d is the correct answer.

Option a is incorrect because if the expected return is less than the real interest rate at which it can borrow, it would not be profitable for the firm to make the investment purchase.

Option b is also incorrect because the real interest rate at which a firm can lend is typically lower than the rate at which it can borrow, and so it would not make sense for the expected return on investment to be equal to this rate.

Option c is irrelevant because the question is about the relationship between the real interest rate and investment spending, and inflation is not directly related to either of these variables.

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what are two characteristics that accurately describe a positioning statement? (check all that apply)

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A brief summary of the primary target market, a potent representation of how a firm wants its market to perceive its goods.

What exactly does positioning statement mean?

A positioning statement describes your product, your target market, and how it meets a need in the market. This statement serves as a messaging framework for the marketing and sales teams, who use it to ensure that all communications are uniform. Being the best entails offering exceptional quality, service, cleanliness, and value to ensure that each and every consumer is satisfied with their offerings. A brand positioning is a succinct explanation of a service or good and how it meets a specific demand of the target market.

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if a gain of $9,500 results from selling (for cash) office equipment having a book value of $59,000, the total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is a.$59,000. b.$49,500. c.$9,500. d.$68,500.

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The  total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is  $49,500. (B)


The total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is b. $49,500.If a gain of $9,500 results from selling (for cash) office equipment having a book value of $59,000, the total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is $49,500. The reason being, the gain on sale of office equipment worth $9,500 is the amount realized from the sale of an asset having a book value of $59,000. Therefore, the difference is $49,500.

The statement of cash flows is a document that provides details about the cash inflows and outflows of a company over a certain period. It's divided into three sections: operating activities, investing activities, and financing activities. The investing activities section of the statement of cash flows records the inflows and outflows of cash from the sale or purchase of long-term assets such as plant, equipment, and property. The total amount reported in this section would be the difference between the purchase price and the selling price of these long-term assets.(B)

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an auditor is engaged to report on supplementary information in relation to the financial statements as a whole that is included in a client-prepared document containing audited financial statements. under these circumstances, the auditor has elected to report on the supplementary information in an other-matter paragraph in the audit report on the financial statements. the other-matter paragraph should

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When an auditor is engaged to report on supplementary information in relation to the financial statements as a whole that is included in a client-prepared document containing audited financial statements, and under these circumstances, the auditor has elected to report on the supplementary information in another-matter paragraph in the audit report on the financial statements, the other-matter paragraph should include the following things.

It should include the following information:

References to the supplementary information in the auditor's opinion and report format and location of the supplementary information, and also other information regarding the supplementary information.

In addition, the other-matter paragraph should include a clear statement that the auditor does not provide an opinion on the supplementary information as such.

The purpose of this is to help users understand the auditor's role and the nature of the auditor's work regarding the supplementary information provided by the client. This is important for clarity and transparency in the audit report.

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what is the market value of a company vehicle that cost $54,000, has a salvage value of $6,000 and an expected life of six years; after three years, when the company sells the vehicle?

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Equipment that cost $54,000, had a salvage value of $6,000, and a 6-year useful life was subject to straight-line depreciation by the corporation. In the beginning of year.

What, using an example, is salvage value?

The estimated value of an item after its useful life has ended and it can no longer be used for its intended purpose is known as salvage value or scrap value. For instance, if a company's machinery has a lifespan of five years but only has a worth of $5,000 at the conclusion of that time, the salvage value is $5,000.

What is the worth of my car as salvage?

The amount that would be received if the insurance provider sold your car to a salvage yard for its parts is its salvage value. also, frame. Your car's ACV would be calculated by the insurance company as though you weren't planning to buy it back, and a set amount would be subtracted for salvage value.

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when retailers monitor consumer shopping behavior by using scanner technology, this is an example of . group of answer choices survey research observation research experimental research cause-effect research none of the above

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Scanner technology used by retailers to monitor consumer shopping behavior is an example of observation research.

Observation research is a type of research that involves monitoring and recording consumer behavior in order to gain valuable insights. Retailers can use scanner technology to observe and track consumer shopping behavior, which can provide valuable data that can be used to inform their marketing and product decisions.

In conclusion, scanner technology used by retailers to monitor consumer shopping behavior is an invaluable tool that can provide valuable insights into consumer shopping habits.

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a forecast with a time horizon of about 3 months to 3 years is typically called a long-range forecast?

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Yes, a forecast with a time horizon of about 3 months to 3 years is typically called a long-range forecast.

What is forecasting?

Forecasting is the process of predicting the future based on previous data and analysis. Time horizon, which is the period of time for which a forecast is made, is the most important factor in forecasting. On the basis of time horizon, forecasting is classified into three types: short-range forecasting, medium-range forecasting, and long-range forecasting.

A short-range forecast, which is often known as an operational forecast, has a time horizon of one day to a week. It's typically used for scheduling work, assigning personnel, and scheduling material deliveries. A medium-range forecast has a time horizon of one week to six months. It's used for sales and production planning, budgeting, and cash flow projections. A long-range forecast has a time horizon of about 3 months to 3 years. It's used for long-term strategic planning, such as investment planning and facility expansion.

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which legal entity is correctly paired with the party that bears the ultimate responsibility for paying the legal entity's liabilities?

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The party that will ultimately be liable for the legal entity's debts is appropriately paired with the limited partnership legal entity.

The limited partners have limited liability, which entails that they are only responsible for the partnership's debts to the degree of the investments they made in the business; they are not personally accountable to third parties. In a limited partnership, one or more partners are not responsible for day-to-day operations of the company. All limited partners, also referred to as "silent partners," will have no other role in the company other than that of an investor, and their responsibility will be restricted to the amount of money they give.

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present value of $121,000 expected to be received one year from today at an interest rate (discount rate) of 10% per year is:

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The present value of $121,000 expected to be received one year from today at an interest rate (discount rate) of 10% per year is $109,000.

This present value is calculated by applying the present value formula which states that the present value of a future sum is equal to the future sum discounted by the appropriate rate of interest.

In this case, $121,000 is discounted by 10% (the discount rate) and multiplied by 1 year to get the present value of $109,000.

The formula for present value is:

PV = FV/(1+r)ⁿ.

In this formula, PV is the present value, FV is the future value, r is the rate of interest, and n is the number of years.

Therefore, $121,000/(1+0.1)¹ = $109,000.

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the most effective strategy for a newcomer to use when entering a market is: a. to spread negative rumors about existing products. b. to overwhelm competitors with mass advertising. c. to offer benefits that allow you to charge a premium.

Answers

The most effective strategy for a newcomer to enter a market is to offer benefits that allow them to charge a premium. Alternative c. is correct.

Offer benefits to charge a premium will allow you to differentiate your product from that of your competitors, without resorting to negative tactics such as rumor mongering. They can establish their product as a high-quality option, while also ensuring that they remain competitive with their pricing.

By creating a competitive advantage with their product, they will be able to draw in more customers and establish a strong market share. Additionally, this strategy allows them to maximize profits, which will enable them to have more resources for marketing and further expansion.

In conclusion, alternative c. to offer benefits that allow you to charge a premium is correct.

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your goal is to identify which videos are most popular, so meer-kitty knows what topics to explore in the future. unfortunately, meer-kitty has just three months of data available because they only recently launched the videos on their site. without enough data to identify long-term trends about the video subjects that people prefer, what are your available options? select all that apply.

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There are several options available when there is not enough data to identify long-term trends about the video subjects that people prefer. The options available are:

Use available data to identify short-term trends and adjust content accordingly, seek out additional data sources to help identify trends, and take educated guesses about what topics may be popular based on industry trends and audience demographics.Use available data to identify short-term trends and adjust content accordinglyIt is possible to use the available data to identify short-term trends and adjust content accordingly. Analyzing the available data can help identify the types of videos that are more popular and the ones that are not. Based on this information, you can make adjustments to your content to better suit the preferences of your audience.Seeking out additional data sources to help identify trendsAnother option is to seek out additional data sources to help identify trends. This can involve researching industry trends and conducting surveys or focus groups to gather more information about the preferences of your target audience. This can help provide more insight into what topics may be popular and what type of content your audience wants to see.Take educated guesses about what topics may be popular based on industry trends and audience demographics.It is also possible to take educated guesses about what topics may be popular based on industry trends and audience demographics. By analyzing the interests and demographics of your target audience, you can make educated guesses about what types of videos they may be interested in watching. Additionally, researching industry trends can provide insight into what topics are currently popular and what topics are likely to gain popularity in the future.

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given equity of $200,000, liabilities of $400,000, and net profit of $90,000, what is return on assets (as a decimal, i.e. 0.123)?

Answers

Return on assets is calculated by dividing net profit by total assets.

In this case, total assets are the equity of $200,000 plus the liabilities of $400,000, for a total of $600,000. Therefore, the return on assets is 0.15 or 15%.

To calculate return on assets, you first need to determine the total assets. This is calculated by adding the equity and liabilities of a company. In this case, the equity is $200,000 and the liabilities are $400,000, resulting in a total of $600,000.

Then, you divide the net profit of the company by this total. In this example, the net profit is $90,000, so you divide it by the total assets of $600,000. The result is 0.15, which is the same as 15%.

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published financial statements may be incorrect because of (select all that apply.) multiple select question. errors. choices available under gaap. fraud. lack of external verification.

Answers

Published financial statements may be incorrect for several reasons. The following are some of the reasons why financial statements may be incorrect:

Errors: Financial statements may contain errors due to mistakes made by the company's accountants, bookkeepers, or other personnel involved in the preparation of financial statements. These errors could be the result of an oversight or miscalculation, which could lead to incorrect financial statements.Choices available under GAAP: Financial statements may also be incorrect because of the choices available under Generally Accepted Accounting Principles (GAAP). GAAP provides companies with different accounting methods, which could lead to different financial statement presentations. Companies may choose methods that could potentially understate or overstate financial statements.Fraud: Financial statements may also be incorrect due to fraudulent activities. Fraudulent activities could include misappropriation of assets, misstatement of financial statements, or other activities that could alter the financial statements.Lack of external verification: Financial statements may also be incorrect due to a lack of external verification. If the financial statements are not reviewed or audited by external auditors or other third-party experts, they may be susceptible to errors or fraud that could go undetected.

In conclusion, financial statements may be incorrect due to errors, choices available under GAAP, fraud, or a lack of external verification. It is important for companies to have strong internal controls in place to prevent errors or fraud and to obtain external verification of financial statements to increase their reliability and accuracy.

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(table: price elasticity in the market for matcha tea) use table: price elasticity in the market for matcha tea. what is the price elasticity of demand, computed using the midpoint method, between $2.25 and $2.00?

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The price elasticity of demand, computed using the midpoint method, between $2.25 and $2.00 in the market for matcha tea is -2.73.

Price elasticity of demand is an economic measure of how demand for a product changes when the price of the product changes.

It measures the percentage change in demand when there is a one percent change in price.

The midpoint method is a way of calculating the elasticity of demand between two points, and is calculated by taking the difference between the

two points, dividing it by the midpoint of the two prices, and then dividing it by the difference between the two quantities demanded at the two prices.

For example, in the market for matcha tea, the price elasticity of demand between $2.25 and $2.00 is -2.73.

This means that if the price of matcha tea is decreased from $2.25 to $2.00, then the quantity demanded will increase by 2.73%.

This can be calculated by taking the difference between the two prices ($2.25-$2.00), dividing it by the midpoint of the two prices (($2.25+$2.00)/2),

and then dividing it by the difference between the two quantities demanded at the two prices (10-5).

In conclusion, the price elasticity of demand is -2.73, meaning that a one percent decrease in price results in a 2.73 percent increase in demand.

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if the forecasted value of the time series variable for one period is 28.5 and the actual value observed for the same period is 32, what is the forecast error for that period?

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The forecast error for the given period will be 3.5 .

The forecast error of a time series can be calculated by subtracting the actual observed value from the forecasted value. The given information is as follows:

Forecasted value for one period = 28.5; Actual value observed for the same period = 32

The formula for calculating the forecast error is given below:

Forecast Error = Actual Value - Forecasted Value

Substituting the given values in the formula, we get:

Error = 32 - 28.5 = 3.5

Therefore, the forecast error for that period is 3.5.

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examine the data on the chart, and select the production level where the average variable cost first begins to increase?

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The extend in AVC after a sure point is indirectly associated to the law of diminishing marginal returns. The law states that at some point, the extra cost incurred to produce one extra unit is higher than the extra income (or returns) received. At that point, the AVC begins to increase.

How do you locate the average variable value from a table?

Image end result for take a look at the data on the chart, and pick the production stage where the average variable price first starts offevolved to increase

Calculation of Average Variable Cost (Step by using Step)

Step 1: Calculate the complete variable cost. Step 2: Calculate the extent of output produced. Step 3: Calculate the average variable fee using the equation. AVC = VC/Q.

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statement: the pv of an annuity due (cashflows occur at the beginning of a period) for a stream of positive cashflows is always greater than the pv of an otherwise similar regular annuity (cashflows occur at the end of the period). is this statement true or false?

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The given statement "the pv of an annuity due (cashflows occur at the beginning of a period) for a stream of positive cashflows is always greater than the pv of an otherwise similar regular annuity (cashflows occur at the end of the period)" is true because the cash flows occur at the beginning of a period, which allows for an additional period of compounding interest.

An annuity due is a type of annuity in which payments are made at the beginning of each period. In contrast, regular annuities have payments made at the end of each period. Annuities can be used to determine the present value (PV) of a series of future cash flows, and the timing of those cash flows can impact the PV.

The PV of an annuity due is always greater than the PV of a similar regular annuity. This is because the payments in an annuity due occur at the beginning of each period, which means that they have more time to earn interest than the payments in a regular annuity, which occur at the end of each period. As a result, the future cash flows in an annuity due are worth more in present value terms than those in a regular annuity.

The formula for calculating the PV of an annuity due is similar to that of a regular annuity, except that a factor of (1 + r) is added to the equation. This factor takes into account the additional interest earned by the payments in an annuity due. For example, the formula for the PV of an annuity due can be expressed as:

PV = PMT x [(1 - (1 + r)^-n)/r] x (1 + r)

Where PV is the present value of the annuity, PMT is the payment per period, r is the interest rate per period, and n is the number of periods.

In summary, the statement that the PV of an annuity due for a stream of positive cash flows is always greater than the PV of an otherwise similar regular annuity is true. The timing of cash flows in an annuity can impact the present value, and payments made at the beginning of each period in an annuity due have more time to earn interest than those made at the end of each period in a regular annuity.

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rafael and rocky own a heating and cooling firm that they operate as co-owners. both take an active role in the management of the business, and each accepts unlimited liability. rafe and rocky operate as a

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Rafael and Rocky own a heating and cooling firm that they operate as co-owners. Both take an active role in the management of the business, and each accepts unlimited liability. Rafael and Rocky operate as a general partnership.

This is an arrangement in which two or more people manage a business and accept full responsibility for all business debts and obligations. Each partner has an equal say in the management of the business and each partner is jointly and severally liable for all business obligations.

A general partnership arrangement is beneficial for Rafael and Rocky because it allows them to share the profits and losses of their business equally. They are both equally responsible for any business debts and obligations, which can provide them with more financial security.

Additionally, the arrangement allows for greater flexibility in terms of decision-making, as each partner has an equal say in the management of the business. Finally, it is relatively easy to establish and operate a general partnership, which can help save time and money.

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why might some firms choose to pay workers a wage above the market equilibrium, even with a surplus of labor in the market?

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Some firms may choose to pay workers a wage above the market equilibrium due to a variety of factors.

First, it may be a strategic decision to reduce the risk of a union forming in the company. Wages above the market equilibrium make it more attractive for workers to remain employed with the firm.

Second, higher wages may act as an incentive for workers to increase their productivity, as they will be able to reap the rewards of their hard work.

Third, higher wages may be seen as a way of rewarding loyal employees or those with specialized skills, thus making it more attractive for those types of employees to stay with the firm.

Finally, some firms may simply believe that they can afford to pay their employees higher wages, allowing them to retain talented workers and provide a living wage to their employees.

In conclusion, firms may choose to pay their workers a wage above the market equilibrium for a variety of reasons, such as reducing the risk of a union forming, providing an incentive for workers to increase their productivity, rewarding loyal employees, or simply because they can afford to do so.

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