The TIE ratio for Ajax Corp is approximately 13.62. Therefore, the correct answer is option (c) 13.62.
The times-interest-earned (TIE) ratio measures a company's ability to cover its interest charges with its operating income. It is calculated by dividing the operating income by the interest charges.
TIE Ratio = Operating Income / Interest Charges
To calculate the TIE ratio for Ajax Corp, we need to subtract the cost of goods sold and operating costs from the sales to obtain the operating income.
Operating Income = Sales - Cost of Goods Sold - Operating Costs
Operating Income = RM560,000 - RM230,000 - RM132,500
Operating Income = RM197,500
Now we can calculate the TIE ratio:
TIE Ratio = Operating Income / Interest Charges
TIE Ratio = RM197,500 / RM14,500
TIE Ratio ≈ 13.62
Therefore, the TIE ratio for Ajax Corp is approximately 13.62. Therefore, the correct answer is option (c) 13.62.
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It costs a publishing company $0. 55 to print one copy of a certain novel. This company paid $725,000 for the rights to the novel. If they can sell a copy of the novel for $6. 75, how many copies of the novel must they sell to break even, to the nearest hundred?.
116,900 copies of the novel must they sell to break even, to the nearest hundred.
What is cost?In manufacturing, research, retail, and accounting, an expense is the value of money that was used to produce a product or provide a service and is therefore no longer available. In business, the cost may be the purchase price, in which case the cost is the amount of money used for the purchase.
The two main types of costs in businesses are
fixed costvariable costFixed costs do not change depending on output, while variable costs. Fixed costs are sometimes called overheads.
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How many people work for the US federal government?.
In the United States and abroad, our federal government employs more than 4 million Americans, including more than 2.1 million civilian workers.
How many employees work for federal government?Finding Work in Your Area / Federal Job Locations .Work abroad is done by more than 89,000 government employees.Military bases and U.S. embassies tend to have the majority of jobs abroad.Vermont has the fewest federal employees (3,831), whereas California has 149,146.In the United States, state and municipal governments employed about 18.28 million people in 2021.This is a significant increase above the 2.85 million federal employees that year, who made up the majority of the workforce.US Postal Service.The mail carrier is arguably the most well-known and common federal government employee.The Social Security Administration comes in a distant second with over 580,000 employees, trailing only the U.S. Postal Service in terms of employment.To learn more about US government employees refer
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Grace's hourly salary is $16. If grace works more than 40 hours a week, then Grace gets overtime pay at 1 and 1/2 times the regular hourly rate for each hour worked over 40 hours. Last week, Grace worked 42 hours. What was the total pay last week? *
Answer:
The correct answer is $688
Explanation:
According to the given scenario, the calculation of total pay last week is as follows:
Total hours worked is 42 hours out of which normal hours is 40 and 2 hours is overtime
So,
= 40 hours × $16 + 2 hours × ($16 + $16 ÷ 2)
= $640 + 2 hours × $24
= $640 + 48
= $688
hence, the total pay last week is $688
Why can communicating with someone with a different background than yours present challenges?
A company experienced an event that caused total assets and net income to increase, but had no effect on cash flow. This could have been caused by ______.
A company experienced an event that caused total assets and net income to increase, but had no effect on cash flow. This event could have been caused by an increase in non-cash assets.
Non-cash assets are items such as property, plant and equipment, investments, or goodwill that do not directly result from cash transactions.
Since these items do not involve an outflow of cash, an increase in non-cash assets will not have any effect on cash flow. However, it can still have a positive impact on both total assets and net income.
An increase in non-cash assets can bring both long-term value and the potential to generate future income, which can result in a significant boost to total assets and net income.
These increases in total assets and net income will not be immediately reflected in cash flow, as cash flow is only concerned with the short-term exchange of money.
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Which of the following best describes why banks aren't allowed to loan out all of their deposits at once?
A. If banks loaned out all of their deposits, the money supply would grow much too slowly
B. If banks loaned out all of their deposits, it would be impossible to meet customers' demands for withdrawals
C. If banks loaned out all of their deposits, there wouldn't be enough money left to provide new customers with loans
D. If banks loaned out all of their deposits, the government would be unable to calculate the bank's tax burden
Answer:
Answer is B
Explanation:
If banks loaned out all of their deposits, it would be impossible to meet customers' demands for withdrawals. Hence, the correct answer is option B.
What are banks?Banks are financial institutions that accept deposits from customers and use those funds to make loans or invest in other financial assets. Banks provide a range of financial services, including checking and savings accounts, loans, credit cards, and investment services. Banks play a critical role in the economy by facilitating the flow of funds between savers and borrowers and providing liquidity to the financial system.
Banks must maintain a certain amount of reserves, which is a fraction of the deposits they receive, to ensure that they can meet customer withdrawal demands. If banks loaned out all of their deposits, they would not have enough reserves to meet these demands, which would lead to bank runs and financial instability.
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Explain the word taxation.
Banks use your deposits to make loans to other individuals. true or false
Answer:
true
Explanation:
.................... mark my answer brainliest if it is right
The appropriate amount of time between when a skill is performed and when the knowledge of results is provided depends on the?
The appropriate amount of time between when a skill is performed and when the knowledge of results is provided depends on the individual and the nature of the skill being performed. However, there are some general guidelines that can be followed.
1. Immediate feedback: For beginners or when learning a new skill, immediate feedback is beneficial. This allows learners to make corrections and adjustments right away, reinforcing the correct technique or approach.
2. Delayed feedback: For more advanced learners or complex skills, delayed feedback may be more appropriate. This allows learners to reflect on their performance and analyze the results themselves, fostering a deeper understanding and self-correction.
3. Skill complexity: Skills that are more complex or require a longer time to execute may benefit from delayed feedback. This allows learners to fully complete the task before receiving feedback.
4. Skill retention: If the goal is to promote long-term retention of a skill, spacing out the knowledge of results over multiple practice sessions can be effective. This helps reinforce the learning and ensures that the skill is not solely reliant on immediate feedback.
In summary, the appropriate timing for providing knowledge of results depends on factors such as skill level, complexity, and desired learning outcomes. It is important to consider these factors when determining when to provide feedback to optimize the learning process.
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What is one way a company can work to build relationships with it's customers?
A. A company can call all of its customers once a week to check in and see how their lives are going.
B. A company can plant to have a large sale once a year as a "thank you" to its customers.
C. A company can send a generic form letter to its customers to offer them a coupon
D. A company can send a personalized email to its customer when letting them know about a sale.
Answer:
D. A company can send a personalized email to its customer when letting them know about a sale.
Explanation:
Hope this helps!!
A company can work to build relationships with it's customers is that a company can send a personalized email to its customer when letting them know about a sale. Its comes under the relationship marketing. The correct option is (D).
What is relationship marketing?Relationship marketing is a component of customer relationship management (CRM) that prioritizes long-term involvement and client loyalty over short-term objectives like customer acquisition and individual sales.
The more conventional transactional marketing plan, which is centered on boosting the volume of individual sales, contrasts with relationship marketing.
The capacity of relationship marketing to maintain close contact with clients is crucial.
Therefore, a company can work to build relationships with it's customers is that a company can send a personalized email to its customer when letting them know about a sale.
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20. One way the federal government can control inflation is to increase
A) the money supply.
B) public spending.
C) the tax rate.
D) bank regulation
One way the federal government can control inflation is to increase public spending.
Therefore, Option B is the correct option.
What is Inflation?In the field of economics, inflation is the broad term for a rise in the cost of goods and services across an economy. Each unit of currency may purchase fewer products and services as the general price level rises, hence inflation is associated with a decline in the purchasing power of money.
In conclusion, inflation is the term used to describe a long-term, widespread increase in the cost of goods and services throughout the economy, which reduces both consumer and company purchasing power. In other words, a dollar (or whatever currency you choose to pay with) will not buy as much today as it did yesterday.
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You have decided to form a study group for your Study Skills class. How should you decide who will be in the group?
Answer:
figure out who has the skilles needed to join
Explanation:
when you are in a study group you have to have a set of skilles that benefit others and some other ways, the way to do this is print out aplications and have them fill out what they can contribute and when they get turned in read them.
Answer:
when you are in a study group you have to have a set of skilles that benefit others and some other ways, the way to do this is print out aplications and have them fill out what they can contribute and when they get turned in read them.
9 48. The stages of human development are: 1.Clear and distinct 2.Varied from person to person 3.Easily navigated 4.Only physical traits
Answer:
2. VARIED FROM PERSON TO PERSON
Explanation:
What type of loan uses real estate for security?
A point of sale
A line of credit
. A disclaimer (it’s not disclaimer)
A second mortgage
Answer:
A second mortgage loan uses real estate for security
identifying an example of the factor of production labour used in producing the Nano
Answer:
The Four Factors of Production
Land Labor Capital
The physical space and the natural resources in it (examples: water, timber, oil) The people able to transform resources into goods or services available for purchase A company's physical equipment and the money it uses to buy
the economic factors that most affect the demand for consumer goods are employment, wages, prices/inflation, interest rates, and consumer confidence.
It is true that employment, wages, prices/inflation, interest rates, and consumer confidence are the economic factors that have the biggest impacts on the demand for consumer products.
Inflation: What is it?
The gradual decline in purchasing power can be equated with price increases or inflation. It is possible to estimate the rate of decline in purchasing power using the average price increase of a sample of goods and services over time. The price increase, which is sometimes expressed as a percentage, effectively results in a unit of currency buying less.
In contrast to inflation, deflation is characterized by a decline in prices and an increase in purchasing power. Although it is simple to track price changes over time for specific products, human needs go beyond just one or two products.
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this morning you purchased a stock that just paid an annual dividend of $2.30 per share. you require a return of 9.6 percent and the dividend will increase at an annual growth rate of 3.2 percent. if you sell this stock in three years, what will your capital gain be?
The capital gain from selling the stock in three years is expected to be $8.37.
To calculate the capital gain from selling the stock in three years, we first need to determine the expected future dividends for each year. We can use the dividend growth rate of 3.2% to estimate these values.
Year 1 dividend = $2.30 x (1 + 3.2%) = $2.37
Year 2 dividend = $2.37 x (1 + 3.2%) = $2.44
Year 3 dividend = $2.44 x (1 + 3.2%) = $2.51
Next, we can use the dividend discount model to calculate the expected stock price in three years, which is the present value of the expected future dividends and the expected future selling price of the stock.
Expected stock price in year 3 = [($2.51 x (1 + 3.2%) / (9.6% - 3.2%)] + ($2.51 / (1 + 9.6%)^3)
Expected stock price in year 3 = [$2.59 / 0.064] + ($2.51 / 1.316)
Expected stock price in year 3 = $40.47 + $1.91
Expected stock price in year 3 = $42.38
Finally, we can calculate the capital gain by subtracting the purchase price from the expected selling price.
Capital gain = Expected selling price - Purchase price
Capital gain = $42.38 - Purchase price
We don't know the purchase price, but we can use the dividend discount model to solve for it:
Purchase price = ($2.30 / (9.6% - 3.2%)) + [$2.37 /\((1 + 9.6%)^1]\) + [$2.44 /\((1 + 9.6%)^2]\)+ [$2.51 /\((1 + 9.6%)^3]\) + ($42.38 /\((1 + 9.6%)^3)\)
Purchase price = $34.01
Now we can calculate the capital gain:
Capital gain = $42.38 - $34.01
Capital gain = $8.37.
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the plan an organization uses to provide information systems and services is called: business diamond focus cost leadership differentiation
IS strategy refers to a company's strategy for offering information systems and services.
Every level of the firm uses strategic information systems, which are computerized systems that alter operational goals, service offerings, and external ties to provide businesses with a competitive edge.
The process of selecting a portfolio of computer-based applications that will help a company carry out its business strategies and achieve its business objectives is known as strategic information systems planning.
Putting it into action is a major difficulty for many company and information system leaders. A strategic information system connects an organization's needs with the most recent information technology.
Complete question:
The plan an organization uses to provide information systems and services:
a) Cost Leadership
b) Differentiation
c) Focus
d) IS Strategy
e) Business Diamond
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In 18th century, what was the main reason of slow down of Indian Foreign Trade
Answer:
Introduction to India’s Foreign Trade:
Even being a typical poor underdeveloped country, India’s foreign trade was in a prosperous state during the period under review. In terms of volume of trade and the range of commodities entering into trading list, India was better placed compared to other contemporary underdeveloped countries. But that must not be viewed as an indicator of prosperity. Above all, her pattern of trade was definitely different from those of other underdeveloped countries.
India’s composition of trade (i.e., pattern of imports and exports) before 1813 included manufactured goods as well as primary articles in export list and metals and luxury products in the import list. But such pattern of trade was supplanted by the import of manufactured goods and exports of agricultural raw materials and food grains during much of the nineteenth and twentieth century. This must not be the sign of prosperity or cause for jubilation.
Explanation:
Rather, this situation generated much heat and controversy because, instead of being an engine of growth, foreign trade, as engineered by the British Government, exacerbated economic exploitation. It hampered the process of industrialization. It brought untold misery to the masses. Most importantly, of course partly the backwardness of Indian industry and agriculture is ‘the effect of its external trade which moulded into shape the productive mechanism of the country.’
To understand the nature of the controversy it will be fruitful to tell something about the history of India’s foreign trade during 1757 and 1947. The growth of foreign trade during the two centuries can be divided into following unequal periods: 1757 to 1813, 1814 to 1857, 1858 to 1914, and from 1915 to 1947.
The first period—the early years of the British East India Company (EIC)—is known as the ‘age of mercantilism’. During the period under consideration trade statistics is not available. However, some sort of institutional changes in trade took place during this period.
In the mid-18th century, Indian foreign trade was mainly conducted by the English, Dutch, French, and Portuguese traders and merchants. But the revolution of 1757 strengthened the supremacy of the British EIC. In the process, the EIC monopolized trade and ousted the other merchants and traders.
which product exists in a monopolistically competitive market?
Numerous businesses provide competitive products or services that are similar but not exact substitutes. A monopolistic competitive market is present.
Clothing and hair salons are two examples of sectors with monopolistic competition. When businesses provide rival goods or services that are comparable but imperfect substitutes, monopolistic competition exists.
A monopolistic competitive industry has low entry requirements, and decisions made by any one firm do not directly affect those of its rivals. The pricing and marketing choices made by the rival companies serve as their points of differentiation.
Between a monopoly and perfect competition, monopolistic competition exists, combines aspects of both, and includes businesses with comparable but distinct product offerings.
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Answer:
clothing
Explanation:
I learn today that monopolistically competitive is something with varity like cloths there are plenty of options
Lola-Rose converted her personal residence to rental property in 2021. She purchased the property in 2011 for $300,000 (including acquisition expenses), of which $75,000 was allocable to the land. She made no improvements. On the date of conversion, an appraisal valued the property at $233,000; $58,250 was allocated to the land. Lola-Rose's basis for depreciation is __________.
O $174,750
O $225,000
O $233,000
O $300,000
Lola-Rose's basis for depreciation is $174,750. The correct option is a.
To calculate the basis for depreciation, we need to start with the original cost of the property, which is $300,000. From this, we need to subtract the value of the land, which is $75,000. This gives us a cost basis for the building of $225,000. However, when Lola-Rose converted the property to rental use, she had to adjust the basis to reflect the fair market value of the property at that time. The appraisal valued the property at $233,000, so this becomes the new adjusted basis for the property. To calculate the basis for depreciation, we need to use the lower of the original cost basis or the adjusted basis. In this case, the adjusted basis of $233,000 is lower than the original cost basis of $225,000, so we use the adjusted basis. From this adjusted basis, we need to subtract the value of the land, which is $58,250. This gives us a basis for depreciation of $174,750.Learn more about depreciation: https://brainly.com/question/27971176
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
Manuel operates equipment that moves natural gas through pipelines. Manuel is a Gas Compressor. Pipefitter. Power Dispatcher. Surveyor.
Answer:
Gas Compressor Operator
Explanation:
A gas compressor operator works with steam or internal combustion engines to compress and transmit gases through pipelines.
He or she directs various control nodes and adjust valves in the compressor engines, pumps, and other related equipment. They monitor pressure, temperature gauges, and other safety components to ensure the safe passage of gases in the pipelines.
Answer:
A gas person
Explanation:
macro forces in the firm's environment include: government, economic, technological, sociocultural and natural forces:
T/f
Government, economic, technical, social, and natural factors are examples of macro influences that affect a company's surroundings. True.
The macro-environment is made up of a variety of external elements, including sociocultural norms, political, legal, and economic developments. The larger commercial environment as a whole is referred to as the macro environment. Politics, technology, and other aspects may be involved, but economics is the most important one.
The main outside factors (economic, demographic, technical, natural, social and cultural, legal and political) that have an impact on a firm's performance and decision-making. The forces and causes that are external to your firm and hence uncontrollable make up the macro environment. Legal, technical, environmental, sociocultural, and demographic variables are a few examples of the macro environment.
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Type a paragraph explaining how you have shown initiative in the past. Use proper grammar, spelling, and punctuation.
Answer: Your previous place of work or employment. A specific instance where you showed initiative. How your initiative impacted yourself or the company.
Explanation:
All of the following are areas in which supervisors have responsibilities related to HR functions except ______. Multiple choice question. performance appraisals determining staffing requirements overall direction of the company job analysis and design employee training
All of the following are areas in which supervisors have responsibilities related to HR functions except overall direction of the company. Thus the option C is correct.
Who is Supervisor?At the factory level, supervision entails monitoring coworkers at work. The supervisor is a member of the executive team and a first-line manager. He is a person who is required to undertake a variety of tasks in order to be productive.
He is directly relation with manpower teams in the organisation, so he plays important role in activities related to them which includes performance appraisal of employee, fulfilling the requirements of staff at floor, analysis of job and provide training to employees for improvement.
The supervisor comes at first line managers so he will not take care of overall direction of the company as this work is done by top level management in the organisation.
Therefore, option C overall direction of the company is the appropriate answer.
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the basic concepts for the fed to implement an ""easy money"" policy would include
The basic concepts for the Federal Reserve (Fed) to implement an "easy money" policy would include, lowering interest rates, open market operations, quantitative easing, reserve requirement reduction, and forward guidance.
1. Lowering Interest Rates: One of the primary tools the Fed uses to implement an easy money policy is reducing interest rates. By lowering the target federal funds rate, which is the rate at which banks lend to each other overnight, the Fed aims to make borrowing cheaper and stimulate economic activity.
2. Open Market Operations: The Fed can also engage in open market operations, which involve buying government securities (such as Treasury bonds) from financial institutions. This injection of money into the banking system increases reserves and encourages banks to lend more, thereby stimulating economic growth.
3. Quantitative Easing: In times of severe economic downturn or financial crisis, the Fed may resort to quantitative easing. This involves large-scale purchases of government bonds and even other financial assets, such as mortgage-backed securities. The goal is to increase the money supply, lower long-term interest rates, and encourage borrowing and investment.
4. Reserve Requirement Reduction: The Fed can lower the reserve requirement, which is the percentage of customer deposits that banks are required to hold as reserves. By reducing this requirement, banks have more funds available for lending, promoting increased credit availability.
5. Forward Guidance: The Fed can use forward guidance to influence market expectations. By communicating its intention to keep interest rates low for an extended period, the Fed can influence borrowing costs and encourage investment and spending.
These are some of the key concepts and tools the Federal Reserve can utilize to implement an easy money policy, with the aim of stimulating economic growth, encouraging borrowing and investment, and combating deflationary pressures.
It's important to note that these policies are complex and their implementation requires careful consideration of various economic factors and considerations.
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how do individual biases influence business communication? (for example, xenophobia and ethnocentrism)
Individual prejudices affect business communication because a speaker could accidentally convey his or her ethnocentric or xenophobic notions and alienate listeners from various cultures.
Give a brief account on business communication.By sharing information with both employees and those outside the company, business communication aims to assist an organization in achieving a key objective. It involves the creation, exchange, listening to, and comprehension of written and vocal messages amongst various groups of individuals. How employees interact and do business within a company has a significant impact on how successful the company will be in the marketplace. Internal business communication—between coworkers—or external business communication—between businesses or consumers—takes place both ways. Using verbal or nonverbal communication techniques, this internal and outward communication can take place. Various limitations can make it difficult for the recipient to comprehend the information being sent by the sender in these internal and external forms of communication.
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A small business owner earns $30.000 in revenue annually. The explicit annual costs equal $5.000. The owner could work for someone else and earn $20,000 annually. The owner's economic profit is and owner's accounting profit is
$5.000;$5,000
$50,000;$25,000
$5.000;$25.000
$25.000;$5.000
$25.000;$50.000
The owner's economic profit is $5,000, while the owner's accounting profit is $25,000. Option C.
Economic profit is the difference between total revenue and total opportunity cost, which includes both explicit costs and implicit costs. In this case, the owner earns $30,000 in revenue annually and incurs explicit costs of $5,000.
To calculate the implicit cost, we need to consider the opportunity cost of the owner's time. If the owner were to work for someone else, they could earn $20,000 annually. Therefore, the implicit cost of the owner's time is $20,000.
Total opportunity cost is the sum of explicit and implicit costs. In this case, the total opportunity cost is $5,000 (explicit costs) + $20,000 (implicit cost) = $25,000.
To calculate economic profit, we subtract the total opportunity cost from total revenue: $30,000 - $25,000 = $5,000.
Accounting profit, on the other hand, only considers explicit costs and does not account for implicit costs. In this case, the owner's accounting profit would be $30,000 (revenue) - $5,000 (explicit costs) = $25,000.
Option C.
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Name three variables that Chen, Roll, and Ross used to measure the impact ofmacroeconomic factors on security returns. Briefly explain the reasoning behind their model
Chen, Roll, and Ross used three variables to measure the impact of macroeconomic factors on security returns: unexpected changes in inflation, unexpected changes in industrial production, and unexpected changes in risk premium.
The reasoning behind their model was to examine how macroeconomic factors can affect stock returns. Unexpected changes in inflation and industrial production are important variables as they can affect a company's revenue, costs, and profitability.
Unexpected changes in the risk premium are also important as they reflect investors' perception of the risk associated with an investment. A higher risk premium can lead to lower stock prices and lower returns. The study found that unexpected changes in inflation and industrial production had a significant impact on stock returns, whereas unexpected changes in the risk premium did not. Overall, their model provides valuable insights into the relationship between macroeconomic factors and stock returns, and can be used by investors to make informed decisions about their investment portfolios.
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