The statement is false because adjusting your time schedule to include as many overtime hours as possible does not necessarily ensure future success.
While working overtime may help you to achieve short-term goals or meet deadlines, it can also have negative effects on your physical and mental health, your relationships with others, and your overall quality of life. Overworking can lead to burnout, stress, and fatigue, which can ultimately reduce productivity and hinder long-term success.
Additionally, success is not solely dependent on the amount of time spent working, but also on the quality of work produced, the ability to manage time effectively, and the ability to balance work and other aspects of life. Therefore, it is important to prioritize self-care and maintain a healthy work-life balance in order to achieve long-term success.
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b) In ten years, John Hsu hopes to establish a business. He aims to acquire RM200,000 to invest in the firm by that time. To achieve his aim, he wants to put a particular sum today in an investment fund that will pay him 8.0 percent per annum, compounded semi-annually. Calculate how much John will have to invest today to reach his goal. (5 marks)
John will have to invest approximately RM90,615.80 today to reach his goal of acquiring RM200,000 10 years from now.
To calculate the amount John will have to invest today, we will have to find the present value (PV) of the future value (FV) of the investment that he wants to make. Therefore, we will have to use the present value formula.
The present value of a future value can be calculated using the following formula:
PV = FV / (1 + r/m)^mt
Where,
PV is the present value of the investment
FV is the future value of the investment
r is the rate of interest per annum
m is the number of compounding periods in a year (compounding frequency)
t is the number of years for which the investment is made.
We are given that John wants to acquire RM200,000 to invest in a business 10 years from now. He aims to invest in an investment fund that pays him 8.0% per annum compounded semi-annually.
Therefore, FV = RM200,000r = 8.0%m = 2t = 10
Using the present value formula,
PV = FV / (1 + r/m)^mt
= RM200,000 / (1 + 8.0%/2)^(2 × 10)
≈ RM90,615.80
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For several years Orbon Inc. has followed a policy of paying a cash dividend of $0.45 per share and having a 10% stock dividend. In the 2020 annual report, Orbon reported restated earnings per share for 2018 of $2.70. Required: a. Calculate the originally reported earnings per share for 2018. b. Calculate the restated cash dividend per share for 2018 reported in the 2020 annual report for comparative purposes. (For all requirements, do not round intermediate calculations. Round your answer to 2 decimal places.) a. Earnings per share b. Dividend per share
The originally reported earnings per share for 2018 is $2.70 / 110 = $0.0245.
How to find?To calculate the originally reported earnings per share for 2018, we need to consider the cash dividend and stock dividend.
The cash dividend per share is given as $0.45.
The stock dividend is 10% of the number of shares owned.
Let's assume initially there were 100 shares.
The number of stock dividends is calculated as 10% of 100 shares, which is 10 shares.
So, the total number of shares after the stock dividend is 100 + 10 = 110 shares.
To find the originally reported earnings per share, we divide the total earnings by the number of shares.
The total earnings per share is given as $2.70.
So, the originally reported earnings per share for 2018 is $2.70 / 110 = $0.0245 (rounded to 2 decimal places).
b. To calculate the restated cash dividend per share for 2018 reported in the 2020 annual report, we need to consider the originally reported earnings per share and the cash dividend policy.
The originally reported earnings per share for 2018 is $0.0245 (rounded to 2 decimal places).
The cash dividend per share is $0.45.
To find the restated cash dividend per share, we multiply the originally reported earnings per share by the cash dividend per share.
Restated cash dividend per share = $0.0245 * $0.45
= $0.011 (rounded to 2 decimal places).
Therefore, the restated cash dividend per share for 2018 reported in the 2020 annual report is $0.011.
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horizontal channel conflict occurs most often when manufacturers practice:
Horizontal channel conflict occurs most often when manufacturers practice selective distribution or exclusive distribution.
This is because selective and exclusive distribution often limit the number of resellers or retailers that are allowed to sell a product, leading to competition and conflict among those who are authorized to sell the product.
Horizontal channel conflict occurs when there is competition or conflict among firms at the same level of the channel of distribution. It occurs among firms that sell similar products and target the same market. For example, two authorized dealers of the same car brand in the same geographic area are engaged in horizontal channel conflict when they compete against each other, instead of working together to increase sales.
Manufacturers may practice selective distribution or exclusive distribution as part of their channel strategy, but these practices can sometimes lead to horizontal channel conflict. Selective distribution limits the number of retailers or resellers that are allowed to sell a product, while exclusive distribution allows only one retailer or reseller to sell the product in a given geographic area. When there is competition among the authorized retailers or resellers, horizontal channel conflict can arise.
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Which of the following is NOT a component of the marketing mix?
O Product
O Promotion
O Perception
O Price
Answer:
Perception
Explanation:
Perception is not a component of the marketing mix. Option C is correct.
What are the components of a marketing mix?There are four main components of marketing mix, that help in marketing of any product in the market, and it is most important in the field of marketing, the four main components are:
ProductPrice PlacePromotionTherefore, option C correct.
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QUESTION 7 of 20: Your savings account pays 2.5% interest per year. How much interest does the account pay per month.
a) .02%
b) 04%
c) 21%
d) 43%
Answer:
a) .02%
Explanation:
One year has 12 months.
The interest rate per year = 2.5%
Interest earned per month will be
=2.5% / 12
=0.02%
Answer:
c 21%
Explanation:
i got it right
MY FINAL QUESTION 80 POINTS! TAKE your time :) Look at image below
Task3
Your Blog
Evaluate your blog using the data analytics provided in the blog-hosting service. Then, create a report that summarizes your blog activities.
Investigate and analyze your blog activities. You will understand how blogs can be effective and what are the challenges involved in creating effective blogs and social media platforms. Use graphics, charts, and other forms of visual data to analyze your blog activities.
Explanation:
Understand your audience. ..Create your blog domain. ...Customize your blog's theme. ...Identify your first blog post's topic. ...Come up with a working title. ...Write an intro (and make it captivating). ...Organize your content in an outline. ...Write your blog post!this is the guidence how to make blog
I hope u find this helpful
How does the Better Business Bureau effect the economy?
Answer:
Varies
Explanation:
It helps people find businesses that are trustworthy.
the cause of the gulf war was the ______.
A.conflict between isreal and the palestinian arabs
B.iraqi citizens' desire for a democracy
c.september 11, 2001 terroit attacks
d.iraqi invation of kuawit
Answer:
D..................
Answer:
D
Explanation:
taxes represent multiple choice accounts receivable liability. cash inflow. cash outflow. equity liability.
The taxes represent cash outflow and a liability. Taxes are the amount of money required by the government from people, businesses, and organizations as a percentage of their income, purchases, sales, or any other financial transactions.
The tax payment is considered as cash outflow because the payment reduces the amount of cash available for the company or individual. Taxes are a liability because they represent an obligation to the government and are due at a specified time period.Taxes are usually paid by people, businesses, and organizations. In terms of business, taxes are recorded as an expense on the income statement, which reduces the net income of the company. This means that the company has to pay taxes on its income. Taxes can be deducted from the income of the company, which means that the company will pay fewer taxes. Taxes also represent a liability because they are an obligation of the company to the government, which is due at a specific time. Taxes can be calculated based on the company's income, assets, liabilities, and expenses. It is important for businesses to understand how to calculate their taxes so that they can avoid penalties or fines.Taxes do not represent accounts receivable because accounts receivable is the amount of money that customers owe to the company for the goods or services provided. Taxes also do not represent equity liability because equity liability represents the money that investors have invested in the company. In conclusion, taxes represent cash outflow and a liability for the company, which is due at a specific time period.For more such questions on Taxes
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MPLS routers base their decisions on a packet's ________. destination IP address label number both destination IP address and label number neither destination IP address nor label number
MPLS routers base their decisions on a packet's destination IP address and label number. MPLS (Multiprotocol Label Switching) routers use labels to make forwarding decisions, which are assigned to each packet by the ingress router.
These labels are used to direct the packet to its destination, making it more efficient than traditional IP routing. The MPLS router looks at the label number to determine the next hop for the packet, and then forwards it accordingly.
However, the destination IP address is still an important factor in the decision-making process, as it is used to determine the ultimate destination of the packet. In summary, MPLS routers make their decisions based on both the destination IP address and label number of a packet.
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1. Why is career education so important for teens?
can be in form of a written summary of the findings of a required investigation or a particular problem
A) presentation
B) itinenaries
C) reports
D) notices
If a family does not financially qualify to buy a home in a specific neighborhood, must the real estate agent still show them that home?
Any single-family home that a private individual owner sells or rents, provided that they never possess or more three single-family homes at once.
What does the term real estate mean?Property investment is property that takes the shape of buildings and land. Foreign real estate acquisitions for non-business objectives, such as buying rental properties, would continue to be restricted. More land is intended to be put to productive use for housing as a result of the law. Housing market is property that takes the shape of buildings and land.
What are the four real estate investment strategies?Real estate investors may earn profits using four major methods: Purchase a property and wait for its value to rise; lease a property to tenants or companies in order to
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You have recently won $20,000 in a lotto draw. You would like to invest some of this money for a holiday in America when you have completed your bachelor’s degree in three years’ time. The holiday will cost $12,000 and you don’t have to pay for it until you take the holiday in three years’ time. There are two banks with suitable term deposits to invest your money.
Bank A: offering to pay a 6% per annum return on a 3-year term deposit.
Bank B: offering to pay an 8% per annum return on a 3-year term deposit.
Required:
(i) If you decide to go with Bank A, how much cash do you need to put in the bank’s deposit account today to cover the holiday cost?
(ii) If you decide to go with Bank B, how much cash do you need to put in the bank’s deposit account today to cover the holiday cost?
(iii) Based on your answer in (i) and (ii), explain with which Bank you will invest your money. [Maximum words limit: 80 words]
(i) To cover the holiday cost of $12,000 with Bank A, we need to calculate the present value of that amount considering a 6% per annum return on a 3-year term deposit. Using the present value formula for a single amount:
PV = FV / (1 + r)^n
PV = 12,000 / (1 + 0.06)^3
PV ≈ $10,662.77
Therefore, you would need to put approximately $10,662.77 in Bank A's deposit account today to cover the holiday cost.
(ii) With Bank B offering an 8% per annum return on a 3-year term deposit, we calculate the present value using the same formula:
PV = 12,000 / (1 + 0.08)^3
PV ≈ $10,648.15
To cover the holiday cost with Bank B, you would need to put approximately $10,648.15 in their deposit account today.
(iii) Based on the calculations, Bank A requires a deposit of $10,662.77, while Bank B requires a deposit of $10,648.15 to cover the holiday cost. Since Bank B requires a slightly lower initial investment, it would be the preferred choice to invest your money. With Bank B, you can achieve the same goal of covering the holiday cost while investing slightly less capital upfront.
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When a person brings an item to a pawnshop to obtain cash, the transaction is considered:
Answer:
Collatral loan
Explanation:
The item acts as a collatral to obtain the cash loan.
Why is money management important? How would you rate your own money management?
Answer:
because it has money
Explanation:
Answer:
Money management is important because you should have a balance of bills to pay, and money you keep for fun. If you don't have this then you might have to pay to much money for bills, and you not having enough to pay them off.
Explanation:
Why does a price ceiling set below
the equilibrium price result in a shortage?
Answer:
Price ceilings are enacted in an attempt to keep prices low for those who demand the product—be it housing, prescription drugs, or auto insurance. But when the market price is not allowed to rise to the equilibrium level, quantity demanded exceeds quantity supplied, and thus a shortage occurs.
Is profit the same as cash flow?
Answer:
No
Explanation:
Cash flow refers to the money that flows in and out of your business. It's income and expenses.
Profit, however, is the money you have after deducting your business expenses from overall revenue. Both are important, but cash flow is essential to keep your business running in the here and now.
business that makes athletic shoes is a domestic business. b. goods-producing business. c. global business. d. service business
Answer:
Goods-producing
Explanation:
Answer:
Goods Producing Business
Explanation:
Describe one way advertising has played a role in something you've purchased.
Answer:Advertising has made me really want to buy many different things. It mostly effected me when I was younger, because I would watch tv a lot. I would constantly beg my parents to buy me some stupid toy I had saw on a commercial.
Explanation:
Advertising has strongly influenced the desire to purchase a variety of goods. A person was most affected by it when people were younger and would watch a lot of television. My siblings would frequently ask my parents to get me some ridiculous gadget they had seen on TV.
What is Advertising?In order to advertise a good, service, or cause, advertising entails purchasing real estate. Advertisements, or just ads for short, are the real commercial messaging. Reaching the audience that is most likely to be interested in purchasing the goods or services of a company is the aim of advertising.
Ads on television, radio, and in newspapers are examples of above-the-line marketing. Conversion-focused campaigns that are targeted towards a certain demographic make up below-the-line advertising. Billboards, sponsorships, in-store advertisements, and other types of advertising are examples of below-the-line marketing.
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discuss how institutions and resources affect marketing and
supply chain management.
Institutions and resources affect marketing and supply chain management.
Regulatory and cultural resources for marketingInfrastructure and finance for supply chain managementHow the institutions affect marketingThere are many factors that could affect marketing and supply chain management. One of these is the regulatory and cultural resources that affect the way in which products are marketed.
Also, to have an effective supply chain the finance must be ready and the infrastructure to move it must also be present.
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Is it suitable to improve cash flow by renting out part of premises or is there any other way? Justify your answer
Will mark brainliest
Serenity has a $500 deductible on her auto insurance. Her insurance company accepted her claim for a $4,800 repair. How much did Serenity pay for the repair?
The amount that Serenity would pay for the repair would be $ 500.
How to find the amount paid ?Serenity's auto insurance policy includes a $500 deductible, necessitating her to pay the first $500 of repair costs. Consequently, in for a repair worth $4,800, Serenity will be responsible for paying $500 out of pocket. Her insurer will cover the remaining charges that sum up to $4,300.
Hence, an expense of $500 comes from Serenity’s funds towards the $4,800 worth repairing endeavour while $4,300 is covered under her insurance company's accountability.
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To create range names for multiple cells at once, use the ______ tool. A. Namer B. Range creator. C. Defined names. D. Create from selection.
To create range names for multiple cells at once in Microsoft Excel, you can use the Create from Selection tool. Option D is correct.
This tool allows you to create range names for a group of cells based on their labels or contents. To use this tool, select the cells you want to name and then click the "Create from Selection" button in the "Defined Names" group on the "Formulas" tab.
From there, you can choose whether to name the cells based on their top row, left column, or entire selection, and Excel will automatically create range names for you. This can be a useful tool for managing large and complex spreadsheets, as it allows you to easily refer to specific groups of cells using intuitive and meaningful names.
Therefore, option D is correct.
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On January 1, 2020, West-Tex Oil issued $50 million of 8% bonds maturing in 10 years. The market interest rate on the issue date was 9%, which resulted in the bonds being issued at a discount. In December 2021, Tex Winters, the company CFO, notes that in the two years since the bonds were issued, interest rates have fallen almost 3%. Tex suggests that West-Tex might consider repurchasing the 8% bonds and reissuing new bonds at the lower current interest rates.
Another executive, Will Bright, asks, "Won’t the repurchase result in a large loss to our financial statements?" Tex agrees, indicating that West-Tex is likely to just meet earnings targets for 2021. The company would probably not meet its targets with a multimillion-dollar loss on a bond repurchase. However, 2022 looks to be a record-breaking year. They decide that maybe they should wait until 2022 to repurchase the bonds.
How could the repurchase of debt cause a loss to be reported in net income? Explain how the repurchase of debt might be timed to manage reported earnings. Is it ethical to time the repurchase of bonds to help meet earnings targets?
The repurchase of debt can cause a loss to be reported in net income in two possible ways. First, if the repurchase of the bonds is executed at a premium above the carrying amount of the bonds at the date of repurchase.
Second, if the repurchase of the bonds is executed at a discount below the carrying amount of the bonds at the date of repurchase.In terms of timing the repurchase of debt to manage reported earnings, firms usually repurchase debt to help them achieve specific earnings targets. This is because the repurchase of debt can result in a gain or loss in net income.
Thus, the timing of the repurchase of debt can help firms to manage their reported earnings.The most common timing strategies that companies use to manage reported earnings through debt repurchase include the use of non-linear repurchase schedules, the use of open-market repurchases, the use of accelerated repurchase agreements, and the use of derivatives.
Finally, regarding the ethical considerations of timing the repurchase of bonds to help meet earnings targets, it is generally considered unethical to do so. This is because it constitutes a form of earnings management, which can create a false impression of the financial health of the company. Instead, firms should focus on delivering long-term value to shareholders by investing in value-adding projects that generate sustainable earnings growth.
When a company like West-Tex Oil repurchases bonds, it may report a loss in net income if the repurchase is executed at a premium above the carrying amount of the bonds or at a discount below the carrying amount of the bonds. In order to avoid such a scenario, companies often time their bond repurchases to manage their reported earnings. By doing so, they can increase or decrease their net income and thus achieve specific earnings targets.There are several strategies that companies can use to time the repurchase of bonds, such as non-linear repurchase schedules, open-market repurchases, accelerated repurchase agreements, and derivatives.
However, using these strategies to manage earnings is generally considered unethical, as it can create a false impression of the company’s financial health.Firms should instead focus on delivering long-term value to shareholders by investing in value-adding projects that generate sustainable earnings growth. By doing so, they can build a reputation for honesty and transparency, which can help them attract more investors and create long-term value for all stakeholders.
West-Tex Oil should carefully consider the risks and benefits of repurchasing its bonds. If the company decides to repurchase the bonds, it should do so with the intention of creating long-term value for its shareholders. This means avoiding timing strategies that can create a false impression of the company’s financial health and instead focusing on investing in value-adding projects that generate sustainable earnings growth.
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suppose that the value of the euro fell from $1.32 on april 30, 2012, to $1.24 on july 5, 2012. this implies that:
Explanation:
the rate of currency decreased from may to july
A new invention lowers the cost of producing widgets. a. How does this change affect the supply and/or demand for widgets? b. What happens to the equilibrium price of widgets? c. What happens to the equilibrium quantity of widgets sold?
a. The new invention that lowers the cost of producing widgets would affect the supply of widgets.
b. The equilibrium price of widgets would decrease.
c. The equilibrium quantity of widgets sold would increase
With lower production costs, suppliers can now offer widgets at a lower price, which increases the quantity they are willing to supply. As a result, the supply curve for widgets shifts to the right, indicating an increase in supply.
With the increase in supply due to the lower production costs, the market will experience an excess supply of widgets at the current equilibrium price. To clear the market, suppliers will have to lower the price of widgets to attract more buyers. As a result, the equilibrium price will decrease.
As the supply of widgets increases due to the lower production costs, more widgets will be available in the market. At the new lower equilibrium price, consumers will be willing to purchase a greater quantity of widgets. Therefore, the equilibrium quantity of widgets sold will increase as a result of the decrease in price and the increase in supply.
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The ___ is the largest U.S. electronic stock trading market
Answer: The New York Stock Exchange (NYSE).
The New York Stock Exchange (NYSE) is the largest electronic stock trading market in the United States.
Established in 1792, it is the world's largest stock exchange by market capitalization. The NYSE lists more than 2,400 companies from around the world and has a total market capitalization of more than $20 trillion.
In order to be listed on the NYSE, companies must meet certain financial and operational standards that are set by the exchange. Companies must also pay listing fees to the NYSE and are subject to ongoing reporting and disclosure requirements. The NYSE also enforces rules that govern how companies can issue new shares of stock, as well as how they can repurchase shares of their own stock.
The NYSE is an electronic stock exchange, meaning that all transactions are executed electronically. It uses a continuous auction market, which means that orders are matched in real time. The NYSE has two trading floors in New York City, as well as a global network of electronic trading platforms that allow investors to trade stocks around the world.
The NYSE is regulated by the Securities and Exchange Commission (SEC). The SEC sets standards for how the exchange operates and enforces rules that protect investors from fraudulent or manipulative activities.
The NYSE is also a member of the Financial Industry Regulatory Authority (FINRA), which is responsible for ensuring that all investors receive fair and equitable treatment.
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What is paige’s net income for december?
a. $900
b. $950
c. $1,850
d. $2,750
Paige made $900 in net income in December.
How much is net income?Operating income is the entire amount of money that a person or company made over a specific time period after deducting taxes, costs, and interest. A company's net income, which can also be called to as operating revenue, net earnings, or just profit, calculates its profitability.
How is net income determined?Minus expenses, such as interests and taxes payments from the gross revenue which is the amount of money produced. Net income for individual is the amount that really receive from their paycheck each month as opposed to gross amount they are paid including payroll deductions.
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Hugh has the choice between investing in a city of heflin bond at 6 percent or investing in a surething inc. Bond at 9 percent. Assuming that both bonds have the same nontax characteristics and that hugh has a 40 percent marginal tax rate, in which bond should he invest?.
Based on the Heflin City Bond return and the corporate bond return, Hugh should invest in the Heflin City Bond.
The decision to invest in a bond in this instance, should be driven by which bond has the better after tax return.
Surething Inc After tax return.= Return x ( 1 - tax rate)
= 9% x ( 1 - 40%)
= 5.4%
Heflin bonds are not taxed as they are municipal bonds. The bond with a higher after tax return is therefore the Heflin bond at 6%.
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