The answer is indeterminate, and we would enter 99 as the WACC value.
To find Sunshine Corp's weighted average cost of capital (WACC) with leverage, we need to incorporate the effect of leverage on the cost of equity and the cost of debt. We can use the following steps:
Calculate the levered beta:
Levered Beta = Unlevered Beta * (1 + (1 - Tax Rate) * Debt-to-Equity Ratio)
Since the question doesn't provide the debt-to-equity ratio or the tax rate, we cannot calculate the exact levered beta. Therefore, we will use the unlevered beta for now.
Calculate the cost of equity:
Cost of Equity = Risk-Free Rate + Levered Beta * Market Return Premium
Given that the risk-free rate is 5% and the market return is 12%, we can calculate the cost of equity.
Calculate the cost of debt:
The question doesn't provide the interest rate or any details about the debt. Without this information, we cannot calculate the cost of debt.
Determine the weights of equity and debt in the capital structure:
Since the question doesn't provide the debt-to-equity ratio, we cannot determine the exact weights. However, we can assume different scenarios and calculate the corresponding WACC values.
Using the information given, we can calculate Sunshine Corp's WACC with leverage. However, without the specific data on debt, debt-to-equity ratio, and tax rate, we cannot provide an exact answer. Therefore, the answer is indeterminate, and we would enter 99 as the WACC value.
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If Ryan purchases a sandwich, he is using money as:
A. a medium of exchange
B. A unit of measure
C. A store of value
Answer:
a. a medium of exchange
Explanation:
i took the test
If Ryan purchases a sandwich, he is using money as a medium of exchange. Thus, the correct answer is option A.
What is money?Money is any item or verifiable record that is widely accepted in a particular country or socioeconomic context as payment for goods and services and repayment of debts, such as taxes. It is the medium in which prices and values are expressed.
The primary functions of money are- as a medium of exchange, a unit of account, a store of value and sometimes, a standard of deferred payment.
Ryan is purchasing the sandwich with the help of money. Money is exchanged for the sandwich, acting as a medium of exchange.
Therefore, Ryan is using money as a medium of exchange.
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What will be the end result for the taxpayer who filed his federal income tax
return using the 1040EZ form shown below?
Answer:
I got " He Will Owe $180
Explanation:
A P E X
Answer: he will owe 250
Explanation:
On January 1, Song Corp. receives a $100,000, two-year, note receivable from a customer in exchange for payment of goods. The note has a 12% effective interest rate. On January 1, when Song receives the note from the customer, Song will record (Select all that apply.) Note: you must use present value computations to answer this questions.
Textbook Answer
Note Receivable (debit) 100,000
Discount on Note Receivable (credit) 20,281
Sales Revenue (credit) 79,719
I know that Sales Revenue is the difference between the Note Receivable and the Discount on Note Receivable.
HOW DO YOU FIND THE DISCOUNT ON NOTE RECEIVABLE FOR THIS QUESTION USING THE TVM BUTTONS ON A FINANCIAL CALCULATOR? Please provide the exact input and then the reason why.
N = _______
I/Y = _________
PV = _________
PMT = _________
FV = _________
Answer:
Song Corp
1. Correct Journal Entries for the transaction:
Debit Note Receivable $100,000
Credit Interest on Note Receivable $20,281
Credit Sales Revenue $79,719
To record the sale of goods with a 12% note receivable.
2. Explanation of how the discount (Interest) on the Note Receivable was found:
The first button to select on the Calculator is the "Starting Principal," because this is the variable of interest.
The inputs on the TVM buttons were the $100,000 on the FV, $0 on the PMT, 2 on the N, and 12 on the I/Y buttons. These inputs then calculated the value of PV as $79,719 and Interest as $20,281 approximately when I pressed the "Calculate" button.
N = Number of Periods = 2 years
I/Y = Interest Rate = Effective Interest Rate of 12%
PV = Calculated Value (Present Value of the sales transaction = $79,719)
PMT = Periodic Monthly Payments made to settle the debt = $0.
FV = Future value of the note = $100,000
Total Interest = $20,281
Explanation:
The present value of the sales transaction, which Song Corp. contracted with a customer is $79,719. This is the amount that would have the future value of $100,000.00 for the note receivable from the customer, with an effective interest rate of 12% per annum after 2 years.
The difference between the future value of $100,000 and the present value of $79,719 represents the interest cost, which the customer bears for the note receivable.
However, it is important to stress that this difference is not described as a "Discount on Note Receivable" as depicted in this question, but as an "Interest on Note Receivable." A discount on note receivable would have had a debit balance.
What does making a good decision mean?? How can I make a good decision?
Answer:
A good decision is one that is made deliberately and thoughtfully, considers and includes all relevant factors, is consistent with the individual’s philosophy and values, and can be explained clearly to significant others.
Ways to make good decision:
Set Aside Time to Reflect on Your MistakesStop Thinking About the ProblemFrame Your Problems In a Different WayIdentify the Risks You TakeTake Note of Your OverconfidenceTalk to Yourself Like a Trusted FriendLabel Your EmotionsAcknowledge Your ShortcutsConsider the Oppositein addition to empowering and rewarding service providers, as well as offering instrumental support, service managers are advised to
In addition to empowering and rewarding service providers, as well as offering instrumental support, service managers are advised to be consistent and predictable in their support .
1. Communicate clear expectations: Clearly define the roles and responsibilities of service providers, so they understand what is expected of them.
2. Provide training and development: Offer opportunities for skill development and knowledge enhancement to help service providers excel in their roles.
3. Encourage teamwork and collaboration: Foster a culture of cooperation and open communication among service providers to improve overall performance and customer satisfaction.
4. Monitor and evaluate performance: Regularly assess the performance of service providers and provide constructive feedback for improvement.
5. Recognize and celebrate success: Acknowledge and reward the achievements and hard work of service providers to boost morale and motivation.
By following these steps, service managers can ensure that they are effectively managing their service providers, leading to improved service quality and customer satisfaction.
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A Choir has
30 total members.
14 are boys.
How many are girls?
Choose the answer that shows the ratio of boys to girls in simplest form.
Moot
O
о
Gl Glos
o
7
15
To determine the number of girls in the choir, we subtract the number of boys from the total number of members:
Total members - Boys = Girls
30 - 14 = 16
So, there are 16 girls in the choir.
To find the ratio of boys to girls in simplest form, we divide the number of boys by the number of girls:
Boys / Girls = Ratio
14 / 16 = 7/8
Therefore, the ratio of boys to girls in simplest form is 7:8.
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All employers in the U.S. Pay "payroll taxes" on behalf of employees. The Medicare portion of this is 1.45% of pay. If an employee makes $480 in a week, how much does the employer contribute for Medicare?
Answer: $6.96
Explanation:
Weekly earning = $480
Medicare tax rate = 1.45%
1.45% = (1.45/100) = 0.0145
Medicare contribution = Medicare tax rate × weekly earning
Medicare contribution = 0.0145 × $480 Medicare contribution = $6.96
The employees weekly contribution that is apportioned for Medicare is $6.96
Answer:
$7.10 USD
Explanation:
If the Employer is paying 1.48% of the employees paycheck to Medicare on their behalf then in order to calculate the actual amount we must first change the percentage into a decimal by dividing it by 100.
1.48 / 100 = 0.0148
Now that we have the percentage as a decimal we multiply it by the amount that the employee made that week, which in this case is $480
480 * 0.0148 = 7.104
Therefore we can see that $7.10 USD goes to medicate this week.
A party can be discharged from a contract. Name eight ways thata party can be discharged.
A party can be discharged from a contract by impossibility of performance, breach of contract, rescission, frustration of purpose, operation of law and illegality.
1. Performance: The parties fulfill all the terms and conditions of the contract, and the contract comes to an end. A party is discharged from a contract when they have fully performed their contractual obligations.
2. Mutual agreement: Both parties agree to end the contract by mutual consent. Both parties may mutually agree to terminate the contract, thereby discharging their obligations.
3. Impossibility of performance: The performance of the contract becomes impossible due to unforeseeable events, such as war, natural disasters, or death of the parties involved.
4. Breach of contract: A party breaches the contract, and the non-breaching party can choose to terminate the contract. If one party breaches the contract, the other party can be discharged from their obligations.
5. Rescission: One party can request the court to rescind or cancel the contract due to misrepresentation, fraud, or mistake.
6. Frustration of purpose: The objective of the contract becomes meaningless due to unforeseeable events, such as a change in law or regulation.
7. Operation of law: The contract becomes illegal due to a change in the law, or the contract is declared void by the court. A party can be discharged by operation of law, such as bankruptcy, which makes it impossible for the party to fulfill their contractual obligations.
8. Illegality: If the subject matter of the contract becomes illegal or the contract itself is found to be against public policy, a party can be discharged from the contract.
By understanding these eight ways, you can better navigate the circumstances that may lead to a party being discharged from their contractual obligations.
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Joe Jones, the proprietor of Joe Jones Financial Planning Inc., which is registered as an investment adviser in New York State, has decided that he can expand his business by setting up an Internet website. He includes a questionnaire that solicits individuals to transmit information about their investment objective, financial situation, financial needs, risk tolerance level and investment time horizon, which he will use to create a financial model and plan for a fee. Which statement is TRUE
Available Options are:
A. Joe Jones financial planning Inc. must register with the S EC as an investment advisor but is not required to register as an investment advisor in each state where customers complete the questionnaire
B. Joe Jones financial planning Inc. is not required to register with the SEC as an investment advisor, but the firm is required to register as an investment advisor in each state where customers complete the questionnaire
C. Joe Jones financial planning Inc. is required to register with the SEC as an investment advisor, and the firm is required to register as an investment advisor in each state where customers complete the questionnaire
Answer:
Option B is correct.
Explanation:
Because the reason is that Joe Jones financial planning Inc., is not a large size firm hence they are not required to register with the SEC whereas they are required to register as an investment advisor in each state where they are operational as an investment advisor and are processing cases of customers who complete the questionnaire.
How education and hospitals are said to be service enterprises? explain.
Answer:
Education helps patients make informed decisions.
Explanation:
Ensuring informed decision-making relies heavily on patient education. When patients are more knowledgeable about their care and potential treatment options, they are better able to identify how they do or do not want to receive their healthcare.
Ruth wants to be a restaurant manager in five years. This is her career ____, which refers to the highest career level she is alming for. To achleve this, she needs to make______ which will include taking steps to achleve her objective.
Management
Goal
Preparation
A career plan
A career target
A career vision
Answer:
goal
A career plan.
This is the answer.
During a preliminary check for consistency, you found a respondent had reported an annual income of less than $20,000, yet indicated frequent shopping at prestigious department stores such as Saks Fifth Avenue and Neiman Marcus. You are at the ________ step of the data-preparation process.
You are at the editing step of the data-preparation process.
The first stage of data processing is data editing. Examining the acquired raw data to find errors and omissions and correcting them when necessary is the process of editing data. When contradictory data are corrected, data editing helps develop standards that will decrease potential bias and assure consistent estimates, resulting in a clear analysis of the data set.
The goal is to regulate the data collection's quality. Editing data can be done manually, with a computer's help, or by combining both methods. A variety of techniques and approaches are referred to as editing methods and are used to find and correct data problems. These changes can significantly raise the standard of analytics produced with the intention of identifying and fixing mistakes.
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in financial markets the difference between the price and the ask price is known as the spread. T/F
True. The spread in financial markets refers to the difference between the bid price (the price at which buyers are willing to purchase a security) and the ask price (the price at which sellers are willing to sell a security).
The spread in financial markets refers to the difference between the bid price (the price at which a buyer is willing to purchase an asset) and the ask price (the price at which a seller is willing to sell an asset). This difference represents the cost or margin for market makers or brokers facilitating transactions in the market. The spread serves as a measure of liquidity and transaction costs in the market, as it reflects the market maker's profit or the broker's commission.
A narrower spread indicates a more liquid market with lower transaction costs, while a wider spread suggests lower liquidity and higher transaction costs. Traders and investors consider the spread when executing trades, as it directly affects their buying and selling prices and can impact overall profitability. Therefore, understanding and monitoring the spread is essential for participants in financial markets.
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If productivity increases significantly and demand is not very elastic, what is likely to happen?
A
B. Fewer workers will be needed.
C. Division of labor will decrease.
D. Demand will increase.
The number of consumers will increase.
Please select the best answer from the choices provided
A
OB
D
Answer:
B. Fewer workers will be needed.
Explanation:
Elastic demand refers to a flexible demand. It is a demand that can increases or decreases due to several factors. If demand is not elastic, it implies it is constant. An increase or decrease in output or price will not affect the quantity demanded.
An increase in productivity means an increase in output per worker. It is the increase in the number of units produced, per hour, per worker. An increase in productivity results in more output in a given period than previously.
If the demand is constant and there is an increase in productivity, only a few workers will be required. The output from the few workers will be high to meet the constant demand.
Answer:
B
Explanation:
Wes Ottey would like to buy an apartment in Sydney in six years. He is looking to invest $75,000 today in a share that is expected to earn a return of 18.3 percent annually. How much will he have at the end of six years? (Round to the nearest dollar.)
Answer: 82350
Explanation: I say this cause mathematically speaking 18.3% of 75000 = 13725, then multiplied by 6 (6 years) should be 82350. It does say the end of 6 years though but the end of 6 years isn't 7 years so I'd still say 82350 or something like that.
the types of assets that are the primary focus of accounting data but are not the most important to understand competitive advantage are
The types of assets that are the primary focus of accounting data but are not the most important to understand competitive advantage are tangible assets such as property, plant, and equipment.
Tangible assets are physical assets that can be seen and touched, such as land, buildings, and machinery. Accounting data typically focuses on tracking these assets and their associated costs, such as depreciation and maintenance expenses. While these assets are important for financial reporting purposes, they may not be the most critical for understanding a company's competitive advantage. Intangible assets, such as intellectual property, brand reputation, and customer relationships, are often more important for creating sustainable competitive advantage. These assets are typically more difficult to quantify and account for in financial statements, but they can have a significant impact on a company's long-term success.These tangible assets are important for financial reporting purposes and are typically tracked in accounting data through cost-based measures like depreciation and maintenance expenses.
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claire corporation is planning to issue bonds with a face value of $140,000 and a coupon rate of 8 percent. the bonds mature in two years and pay interest quarterly every march 31, june 30, september 30, and december 31. all of the bonds were sold on january 1 of this year. claire uses the effective-interest amortization method and does not use a discount account. assume an annual market rate of interest of 12 percent. (fv of $1, pv of $1, fva of $1, and pva of $1)
The contract, also known as a financial instrument, that an organization issues in the market to raise funds for its debt is referred to as a bond.The terms and conditions pertaining to bonds are outlined in this contract.
1st Year: March 31, 2000, 0.970873 1,941.75 June 30, 2000, 0.942595 1,885.19 September 30, 2000, 0.915141 1,830.2
Whats is a bond?
Bonds are issued by governments and corporations when they want to raise money. By buying a bond, you're giving the issuer a loan, and they agree to pay you back the face value of the loan on a specific date, and to pay you periodic interest payments along the way, usually twice a year.
How do bonds function?
When you buy I bonds, they start earning interest on the first day of each month.The bond's principal value is increased twice a year by adding all six months' worth of interest.This gives the bond a new value—the old value plus the interest that was earned.
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reid incorporated received a $90,000 cash payment, of which only $50,000 was taxable income. if reid's marginal tax rate is 40%, compute reid's after-tax cash flow. multiple choice $54,000 $50,000 $30,000 none of these choices are correct.
Reid's cash flow was $70,000 after taxes ($90,000 in pre-tax cash minus $20,000 in tax on $50,000 in income).
The correct answer is none of these
Who Pays Taxes?Taxes are mandatory payments that citizens or corporations must make to their local, state, or federal government. Tax revenue is used to pay for public projects and programs like Medicare and Social Security as well as infrastructure like roads and schools.
What does it mean to be an excise tax?In the United States, the word "excise" has at least two different meanings: (A) anything tax other than a property tax and capitation (i.e., an excise is indeed an indirect tax in the sense of constitutional law); or (B) a tax that is simply referred to as an excise.
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China's growth rate has___
that of most other countries,___
A. topped, but its real GDP per person declined in 2008–2009.
B. lagged behind, and its real GDP is close to other Asian economies
C. lagged behind; but its real GDP per person is higher than other Asian economies
D. equalled, and its real GDP per person declined in 2008-2009.
E. topped, but its real GDP per person is still lower than other industrialized countries
Answer: E. topped, but its real GDP per person is still lower than other industrialized countries
Explanation:
China has seen consistent growth for much of the past 20 years which has enabled them to topped the growth rate of most other countries.
Their real GDP per person however, is still lower than other industrialized nations like the U.S. and U.K.
This is due to their large population - largest in the world - making their GDP per person appear smaller despite them having a very substantial real GDP.
If there is a change in the number of producers in the market, which of the following will also change
Elasticity
Opportunity cost
Supply
Demand
Answer:
Supply
Explanation:
Supply is the quantity of a product(s) that suppliers are willing to deliver to the market at a particular price. In practice, suppliers will be glad to deliver or sell more when prices are high. High prices attract more suppliers to the market. Should the number of suppliers increase, the quantities supplied in the market will also increase.
Elasticity describes changes in demand for a product due to changes in prices or incomes. Demand for a product is the volume that buyers are willing to purchase at the given price over a specified period. Opportunity cost refers to the forgone option in economic decisions.
The summer internship is five weeks long, approximately 30 hours per week for 150 hours total.
Answer:
true
Explanation:
How do premium, copay, coinsurance, deductible, and out-of-pocket maximum all work together in the world of health insurance?
You pay any remaining deductible plus the coinsurance payment percentage. For example, let's say your coinsurance is 20 percent, meaning you're responsible for paying 20 percent of any doctor's bill. ... Once your out-of-pocket maximum has been met the plan pays 100 percent for covered in-network services
Tom, the manager and owner of a small company, believes in the signaling theory of education, not the human capital theory. As such, we would expect Tom not to offer which of the following company benefits?
If Tom embraces the signaling theory of education, we would expect him not to offer extensive training programs, tuition reimbursement, or educational assistance since he believes that education credentials already serve as effective signals of employee ability.
If Tom, the manager and owner of a small company, believes in the signaling theory of education rather than the human capital theory, we would expect him not to offer certain company benefits that are typically associated with the human capital theory.
The signaling theory suggests that education credentials serve as signals of employee ability rather than as a means to acquire specific skills or knowledge.
One benefit that Tom may not prioritize is extensive training programs. The human capital theory emphasizes investing in employee training and development to enhance their skills, knowledge, and productivity.
However, if Tom favors the signaling theory, he may view extensive training programs as unnecessary since he believes that education credentials already serve as sufficient signals of employee ability.
Additionally, Tom may not place a strong emphasis on offering tuition reimbursement programs or educational assistance. These benefits are typically provided under the assumption that employees will gain new knowledge and skills through education, which can be applied to their work.
Since Tom believes in the signaling theory, he may not see the need to support employees' further education, as he considers their existing educational credentials as reliable signals of their ability.
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Bart, Inc., a newly organized corporation, uses the equity method of accounting for its 30% investment in Rex Co.'s common stock. During 20X5, Rex paid dividends of $300,000 and reported earnings of $900,000. In addition: The dividends received from Rex are eligible for the 80% dividends-received deduction. All the undistributed earnings of Rex will be distributed in future years. There are no other temporary differences. Bart's 20X5 income tax rate is 30%. The enacted income tax rate after 20X5 is 25%. In Bart's December 31, 20X5 balance sheet, the deferred income tax liability should be
Answer:
The right answer is "$9,000". A further explanation is given below.
Explanation:
The given values are:
Rex paid dividends,
= $300,000
Reported earnings,
= $900,000
Investment,
= 30%
Taxable rate applicable,
= 25%
Now,
Throughout the future years, the amount of dividends taxable will be:
= \((900,000 - 300,000)\times 30 \ percent\)
= \(180,000\) ($)
Dividends received deduction will be:
= \(180,000\times 80 \ percent\)
= \(144,000\) ($)
then,
Net taxable dividend will be:
= \(180,000-144,000\)
= \(36,000\)
hence,
Deferred tax liability will be:
= \(36,000\times 25 \ percent\)
= \(9,000\) ($)
when a bank decided to invest in new bulletproof plexiglas counter windows, they were recorded on the bank balance sheet as
The investment in new bulletproof plexiglass counter windows would be recorded on the bank's balance sheet as a capital expenditure.
This is because it is a long-term investment that will provide benefits over several years. The cost of the windows would be added to the asset section of the balance sheet, under the category of property, plant, and equipment. The bank's cash balance would decrease by the amount of the investment.
In addition to the initial cost of the windows, the bank would also need to account for any ongoing maintenance and repair costs associated with them. These expenses would be recorded as operating expenses on the income statement.
Overall, investing in bulletproof plexiglass counter windows can enhance the security of the bank and provide peace of mind for employees and customers. It is important for the bank to properly record and account for these investments in order to accurately reflect their financial position and ensure compliance with accounting standards.
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You plan to operate a basketball camp during the summer at Duke University. The total number of participants is 200. Camp participants will stay three nights in the university dormitories, and each room will house two camp participants. Duke charges you $40 per room each night. Liability insurance to run the camp will cost $3,000. Meals for the three day camp will cost $6,000. Duke will not charge you for the use of the basketball facility. Nike will provide sporting goods to be used by, and given to, participants. You and your partner each want to make $8,000 profit from running the camp. How much will you have to charge each participant to meet your goal?
Answer:
$245 per participant
Explanation:
total number of participants = 200
total costs for 200 participants:
$40 per night x 3 nights x 200 = $24,000 for rooms$3,000 for insurance$6,000 for mealstotal costs = $33,000
if you want to earn $16,000 in profits ($8,000 each),
price per participant = ($33,000 + $16,000) / 200 = $49,000 / 200 = $245
Name two types of domestic sewing machine
Answer:
Manual. Manual sewing machines are run by pedaling and therefore, no electricity or battery is required to run them. ...
Electronic. These machines have a single motor that runs on electricity
Explanation:
Describe the stage of product design
Answer:
Stage 1: hear from others and listen to feedback
Stage 2: Create new ideas based on that feedback
Stage 3: Create several prototypes and choose one. Then test the prototype
Stage 4: Manufacture the prototype you chose
Explanation:
Answer:
~Senpi boi here!~
I would describe the stage of product design as to create an idea to determine product's feasibility to test the product, and then launch the product for customers to buy.
(Hope this helps!)
what is quality management
Mr. Ibanez has shared a spreadsheet with his students. The first column is blank. The second column contains names in random order in cells B3:B13. Additional data is located in columns C and D. He asks the students to alphabetize the names in descending order while maintaining the correlating data. The students correctly highlight cell range B3:D13 and then:
Answer:
Sort by Column B, ZA
Explanation:
The spreadsheet is the software which enables the accountants and business managers to handle complex calculation with ease. Mr.Ibanez has asked students to organize the spreadsheet with names according to descending order. The names are listed in column B. The student should select the area and then click sort option. The dialogue box will appear which will ask to sort according to ascending or descending.