the gross profit ratio will typically be higher for companies that: multiple choice sell a greater number of units. sell products that are more highly specialized. collect cash more quickly from customers. purchase inventory more frequently during the year.

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Answer 1

The gross profit ratio will typically be higher for companies that purchase inventory more frequently during the year. The answer is OPTION D.

Gross profit is the amount of money a company keeps after deducting all of the expenses incurred in producing and offering its goods or services. By subtracting the cost of goods sold (COGS) from your overall sales, you can determine gross profit.

The revenue that remains after subtracting the expenses of producing a good or rendering a service is known as the gross profit. By deducting the cost of goods supplied (COGS) from the revenue, you can calculate the gross profit. For instance, the gross profit would be $6,000 if a business had $10,000 in sales and $4,000 in COGS. The sales revenue less the direct expenses of bringing the item to market is the gross profit. 

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one way that customer centricity fits into an organization is through the knowledge management system. the knowledge management system can best be described as understanding:

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The knowledge management system can best be described as an approach or process for creating, sharing, using and managing an organization's knowledge and information assets to support and enhance its business objectives and strategies.

A knowledge management system is a systematic strategy that assists organisations in creating, collecting, and sharing knowledge and information. It entails capturing, storing, and disseminating information using technology, processes, and people to support organisational learning, decision-making, and problem-solving.

In the context of customer centricity, a knowledge management system can be used to collect and analyse customer data, such as comments, opinions, and behaviour, to better understand customer requirements and enhance the total customer experience. This data can then be used to improve product development, marketing strategies, and customer care practices, resulting in increased customer trust and company success.

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suppose you just finished your third plateful of thanksgiving dinner and it yielded zero units of additional satisfaction. should you go back for more?

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No, you should not go back for more Thanksgiving dinner if you have already reached the point where each additional plateful yields zero units of additional satisfaction.

Continuing to eat beyond this point would not add to your enjoyment of the meal and could even lead to discomfort or negative consequences such as overeating or indigestion. It is important to listen to your body's signals and stop eating when you are comfortably full.

What do you mean by yield?

The term "yield" describes the profits produced and realized on an investment over a specific time frame. It is shown as a percentage depending on the amount invested, the security's current market value, or its face value. The interest or dividends a shareholder receives from owning a certain security are included in yield.

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when consumers shift away from relatively higher price goods and services in favor of those that are less expensive, this is known as the

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The Substitution principle states that the upper limit of value is determined by the cost of acquiring an original relief, handed no dereliction is assumed.

When consumers switch from fairly more precious goods and services to cheaper goods and services, this is known as the substitution principle. The request- grounded valuation approach is grounded on the negotiation principle. The Principle of Substitution states that the maximum value of an asset is generally determined by the accession cost of an original cover asset with the same use, the same design and the same return.

A prudent investor would pay no further for a profitable property than it would bring to make or buy a analogous property

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a firm has ebit of $400,000 and depreciation expense of $20,000. fixed charges total $50,000. interest expense totals $7,000. what is the firm's cash coverage ratio?

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The firm's cash coverage ratio is 8.8.

The cash coverage ratio is a measure of a company's ability to pay its fixed charges, such as interest and lease payments, from its operating cash flow. To calculate the cash coverage ratio, you need to divide the sum of the company's EBIT (earnings before interest and taxes) and depreciation expense by its fixed charges and interest expense.

In this case, the sum of the company's EBIT and depreciation expense is $420,000 ($400,000 + $20,000). The fixed charges are $50,000, and the interest expense is $7,000.

Therefore, the cash coverage ratio is calculated as follows:

Cash Coverage Ratio = (EBIT + Depreciation) / (Fixed Charges + Interest Expense)

= $420,000 / ($50,000 + $7,000)

= 8.8

This means that the company's operating cash flow is sufficient to cover its fixed charges and interest expenses 8.8 times over, which is generally considered a good indicator of financial health.

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the agreement which prohibits any union-represented bargaining unit from reaching a final contract settlement until all unions who bargain contracts with the same employer are willing to settle is called:

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The agreement which prohibits any union-represented bargaining unit from reaching a final contract settlement until all unions who bargain contracts with the same employer are willing to settle is called a "Me too" clause.

A "Me too" clause is a contractual provision that makes it a condition of the settlement of a union's collective bargaining agreement that the employer will also extend the terms of that agreement to other unions. These other unions may represent different groups of employees or workers in different geographical locations but all work for the same employer.

Essentially, the clause seeks to ensure that all unions who bargain with the same employer are on the same page, and that no union is left behind or shortchanged in the bargaining process.

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which of the following five categories of service offerings refers to a service like psychotherapy? pure tangible goods tangible good with accompanying services hybrid major service with accompanying minor goods and services pure service

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The category of service offerings that refers to a service like psychotherapy is "pure service" (option E).

Service offerings are a group of resources and features that a business offers to its customers. Services offerings are classified into five categories based on their characteristics. Here are the five categories of service offerings:

Pure tangible goodsTangible good with accompanying servicesHybrid Major service with accompanying minor goods and servicesPure service

Psychotherapy is a service that is included in the category of pure service. In this type of service, there are no tangible goods involved. The service is provided by an expert in a particular area of expertise. Psychotherapy is an example of a service that is intangible and not capable of being touched, tasted, or seen.

The customers buy these services for satisfaction or pleasure and expect the provider to do the task with complete proficiency. Apart from psychotherapy, other examples of pure services include accounting, cleaning services, courier services, education, financial services, and so on.

Correct answer is option E.

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which of the following displays ads to potential customers for free, and payment occurs only when the customer clicks the ad? answer unselected conversion rate unselected mashup unselected use increases value unselected pay-per-click revenue model unselected

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d) Pay-per-click revenue model displays ads to potential customers for free, and payment occurs only when the customer clicks the ad(d).

This advertising model allows businesses to display their ads to potential customers for free, and the payment occurs only when the customer clicks on the ad. This model is also known as cost-per-click (CPC) advertising, where advertisers only pay for the actual clicks on their ads, rather than paying for the ad space itself.

This model is beneficial for businesses as it allows them to control their advertising costs while still being able to reach potential customers. Additionally, it provides a way for businesses to track the effectiveness of their advertising campaigns by monitoring the number of clicks on their ads.

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according to keynes, the emergence of a spending shortfall would lead to multiple choice question. rapid self-adjustment. an improving economy. a worsening situation.

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According to Keynes, the emergence of a spending shortfall would lead to a worsening situation. Option (3)

According to John Maynard Keynes, a spending shortfall would lead to a worsening situation. Keynes believed that in times of economic downturns, market forces alone are insufficient to restore full employment and economic growth. He argued that government intervention, particularly through increased public spending, was necessary to stimulate aggregate demand and address the shortfall.

By doing so, businesses would have the incentive to increase production and employment, leading to a virtuous cycle of economic growth. This theory is known as Keynesian economics and has had a significant impact on economic policy worldwide, particularly during times of recession.

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Full Question: According to keynes, the emergence of a spending shortfall would lead to multiple choice question.

rapid self-adjustment. an improving economy. a worsening situation.

the best way to buy automobile insurance is through a(n): group of answer choices bank. insurance agent. auto dealer. state insurance commission. finance company.

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The best-way to buy an "automobile-insurance" is to purchase it through an (a) insurance agent.

The "Insurance-Agents" are licensed professional who acts as an intermediary between insurance companies and customers.

The Insurance-Agent is a popular and convenient way to buy automobile insurance.

Insurance agents can help-customers understand their insurance needs, compare policies and pricing from different insurance providers, and provide ongoing support.

Therefore, the correct option is (a).

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The given question is incomplete, the complete question is

The best way to buy automobile insurance is through an :

(a) insurance agent.

(b) auto dealer.

(c) state insurance commission.

(d) finance company.

if the government's total revenues are greater than its total expenditures, then it has a budget: a equality. b balance. c surplus. d deficit. e quota.

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If the government's total revenues are greater than its total expenditures, then it has a budgetary surplus.

If the government's total revenues are greater than its total expenditures, then it has a budget surplus. A budget surplus is a situation that occurs when a government's total revenues exceed its total expenditures. It is the opposite of a budget deficit, which happens when a government spends more than it earns. A government can use a budget surplus to pay off debt, invest in infrastructure or social programs, or save for future emergencies. The government's budget can be defined as a document that outlines the revenue and expenditure targets of a government in a given fiscal year. The government's budget consists of two components: revenues and expenditures. The revenues are the money earned by the government through taxes, fees, and other sources, while the expenditures are the money spent by the government on various goods and services. The budget surplus occurs when the revenues exceed the expenditures, while the budget deficit occurs when the expenditures exceed the revenues.

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30. if boyd corporation has sales of $2 million per year (all credit) and days sales outstanding of 35 days, what is its average amount of accounts receivable outstanding (assume a 360 day year)?

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Boyd Corporation's average amount of accounts receivable outstanding is $194,444.44.

First, let's define accounts receivable. Accounts receivable are the amounts that a company is owed by its customers for goods or services that have been sold but not yet paid for.

Now, to calculate the average amount of accounts receivable outstanding, we need to use the formula:

Average Accounts Receivable = (DSO / 360) x Annual Credit Sales

Using Boyd Corporation's data, we can plug in the values into the formula:

Average Accounts Receivable = (35 / 360) x $2,000,000

Calculating this equation, we get:

Average Accounts Receivable = $194,444.44

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in the indirect method, an increase in accounts payable is reported on the statement of cash flows as

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In the indirect method, an increase in accounts payable is reported on the statement of cash flows as an adjustment to net income.

Indirect method. The indirect method, also known as the reconciliation method, is a technique used to prepare a cash flow statement (also known as a statement of cash flows) by adjusting net income with noncash items such as depreciation, deferred taxes, or amortization. The increase in accounts payable is reported on the statement of cash flows as an adjustment to net income, and it is subtracted from net income in the operating section of the cash flow statement.

When accounts payable increases, it implies that the company has purchased goods or services on credit and hasn't paid for them yet. As a result, this increase represents a cash inflow since it represents funds that haven't been paid out yet.

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the allocation of an expenditure to expense is particularly judgmental for which accounts? building prepaid rent prepaid insurance equipment

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The allocation of expenditure to expense is particularly judgmental for prepaid rent and prepaid insurance accounts because they involve the recognition of costs in advance, based on an estimate of the period to which they relate. Option B and C are correct

In the case of prepaid rent, the payment made in advance for rent is typically recorded as a prepaid expense, and the expense is recognized over the period for which the rent applies. The allocation of the rent payment to the correct period is a judgment call based on the estimated usage of the rented space.

Similarly, prepaid insurance involves the payment of insurance premiums in advance, which are recorded as prepaid expenses. The recognition of the insurance expense over the policy period is also a judgment call, based on an estimate of the amount of insurance coverage used during the period.

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suppose the economy is on the intermediate range of the aggregate supply curve. which of the following would reduce both real gdp and the price level? group of answer choices a decrease in aggregate supply an increase in aggregate supply a decrease in aggregate demand an increase in aggregate demand

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If the economy is in the intermediate range of the aggregate supply curve, a decrease in aggregate demand would reduce both real GDP and the price level.

In this option C is correct

Aggregate demand refers to the total demand for goods and services in an economy at a given price level, while the intermediate range of the aggregate supply curve represents a range where the economy can increase production without causing an increase in the price level.

If aggregate demand were to decrease, there would be less demand for goods and services, causing a decrease in real GDP as businesses reduce their production to match the lower level of demand. As a result, the price level would also decrease due to the decrease in demand. This is because there would be less demand for goods and services, which would cause businesses to lower their prices to attract customers.

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which of the following is true of strong organizational cultures? group of answer choices the provide control with the oppressive effects of a bureaucracy they can easily be changed they are characterized by goal alignment they do not affect an employee's performance

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They are characterized by goal alignment is true of strong organizational cultures. So the option C is correct.

Strong organizational cultures are characterized by goal alignment, which means that all members of the organization are working towards the same goals and objectives. This creates a sense of unity and cohesiveness among the members of the organization, which in turn leads to increased productivity and efficiency.

Organizational cultures that are strong also tend to have a sense of trust between members, which helps to foster collaboration and innovation. Additionally, strong organizational cultures have clear rules and expectations that are communicated to all members, and there are systems in place to hold members accountable for their actions.

Finally, strong organizational cultures often have a shared set of values and beliefs that are integral to the organization's identity and operations. So the option C is correct.

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The complete question is:

Which of the following is true of strong organizational cultures?

Group of answer choices

A. they provide control with the oppressive effects of bureaucracy

B. they can easily be changed

C. they are characterized by goal alignment

D. they do not affect an employee's performance

in what way might deal sites affect the zone of acceptance for a product or category? what are the implications for marketers?

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deal sites can affect the zone of acceptance for a product or category by increasing consumers' exposure to discounted prices. This can result in consumers expecting lower prices and being more resistant to purchasing products at full price.

Deal sites can affect the zone of acceptance for a product or category in several ways. These implications can pose a challenge for marketers. Deal sites can affect the zone of acceptance for a product or category in several ways. Implications for marketers can pose a significant challenge. Deal sites may create a perception that products are not worth the full price, reducing the zone of acceptance for a given category or product. Customers who have previously purchased a product at a discount may be less willing to pay full price in the future. Additionally, frequent discounts may lead customers to believe that a product or category is of low quality or value. This perception can be hard to reverse, which can lead to long-term negative effects on sales and market share. Marketers can mitigate these challenges by carefully monitoring deal sites and designing promotions that are strategic and target specific groups of customers. For example, offering discounts to new customers or creating time-limited promotions that coincide with other marketing campaigns can help to prevent long-term negative effects on sales and market share. Additionally, marketers can focus on building a strong brand image and creating customer loyalty to help to prevent the perception of low quality or value associated with frequent discounts.

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last week we covered the income statement and this week we covered the cash flow statement. both financial statements are very important to understanding a company. there are some similarities between the two statements, yet there are also many differences. for this week's post, explain those similarities and differences. also, if you had to rely solely on one statement to understand a company, which would you choose and why?

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The income statement and cash flow statement are important financial statements that report a company's financial performance. Both statements show revenue and expenses, but the cash flow statement is more reliable for understanding a company's liquidity.

While there are some similarities between the two statements, there are also key differences.

Similarities:

Both statements provide information about a company's financial performance over a specific period of time.Both statements provide a snapshot of the company's revenue and expenses.Both statements are used by investors and analysts to evaluate a company's financial health and performance.

Differences:

The income statement reports a company's revenue and expenses for a specific period, while the cash flow statement reports the actual inflows and outflows of cash during that same period.The income statement reflects the company's profitability, while the cash flow statement reflects the company's liquidity.The income statement includes non-cash items like depreciation, while the cash flow statement only includes actual cash inflows and outflows.The income statement is prepared on an accrual basis, while the cash flow statement is prepared on a cash basis.

If I had to rely solely on one statement to understand a company, I would choose the cash flow statement. This is because the cash flow statement provides a more accurate picture of a company's financial health by showing the actual cash inflows and outflows, which is crucial for understanding a company's liquidity and ability to meet its financial obligations.

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engineering projects usually cost the company money, with minimal returns and weaken the firms over all financial position? true or false

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The given statement "engineering projects usually cost company money, with minimal returns and weaken the firms over all financial position" is False. These projects involve design that can increase efficiency, reduce costs and can give great returns.


One of the primary goals of engineering projects is to develop innovative solutions that address existing problems or meet unfulfilled market needs. By successfully addressing these issues, companies can gain a competitive edge, enhance their market share, and increase profitability.



Additionally, engineering projects often involve research and development (R&D) activities, which can lead to the discovery of new technologies or intellectual property. This can provide a long-term competitive advantage and contribute to the growth and sustainability of the company.



Moreover, the successful execution of engineering projects can also lead to cost savings, as new processes or technologies can streamline operations and reduce overall expenses.

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red sun rising just paid a dividend of $2.31 per share. the company said that it will increase the dividend by 15 percent and 10 percent over the next two years, respectively. after that, the company is expected to increase its annual dividend at 4.1 percent. if the required return is 11.1 percent, what is the stock price today?

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The right answer is stock price= $46.51. P2 = [$2.64(1.300)]/1.122 + [$2.64(1.300)(1.250)]/1.1222 + {[$2.64(1.300)(1.250)(1.034)]/(.122 − .034)}/1.1222,  P0 = $46.51.

The price at which one share of a business would be purchased is known as the share price or stock price. A share's price is not constant; rather, it changes over time in response to market factors. It is likely to rise if the business is thought to be doing well or decline if it isn't living up to expectations. A share price is the cost of one equity share among many sellable shares of a business. The stock price, put simply, is the highest price someone is prepared to pay for the stock or the lowest price at which it can be purchased.

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the aggregate demand curve shows how real gdp purchased varies with changes in: group of answer choices unemployment. the price of a particular good. the overall price level. the interest rate.

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The aggregate demand curve (AD) shows how output purchased varies with changes in B. the price level.

When the price level rises, the quantity of real GDP demanded falls. The opposite is true when the price level falls, as the quantity of real GDP demanded increases. However, this demand for real GDP is also influenced by other factors such as interest rates, expectations, government policy, and international trade. Prices, in general, affect the demand for goods and services as the cost of production increases with price hikes.

Thus, higher prices result in lower demand, and lower prices translate into higher demand. When the prices are high, businesses increase their production to make the most of the increased profitability. However, as prices continue to rise,  consumers cut back on their purchasing, which results in excess inventories, decreased sales, and reduced production. Conversely, when the prices are low, the businesses decrease their production because it becomes unprofitable.

However,  consumers increase their purchasing as the cost of living falls, resulting in increased demand. In conclusion, the aggregate demand curve (AD) shows how output purchased varies with changes in the price level. However, various other factors also influence the demand for real GDP. Therefore the correct option is B

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The aggregate demand curve (AD) shows how output purchased varies with changes in

a. unemployment

b. the price level

c. the interest rate

d. real GDP

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consider the table. mother nature tlaloc bob value of sales ($) 2750 7750 20000 dirt ($) 0 2750 0 bricks ($) 0 0 7750 wages ($) 1000 3700 10000 interest payments ($) 1000 600 900 rent ($) 500 300 700 profits ($) 250 400 650 total expenditure ($) 2750 7750 20000 mother nature produces dirt, tlaloc turns the dirt into brick, and bob creates brick houses. the economy is characterized by the table. note all figures are measured in dollars. what is the value added for mother nature?

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In this case, Mother Nature produces dirt and does not use any intermediate inputs, so the value added for Mother Nature is simply the value of her output, which is $2,750.

The total cost of inputs used by Mother Nature can be calculated as the sum of wages, interest payments, and rent, which is:

$1000 + $1000 + $500 = $2500

The total value of sales is given as $2750.

The value added for Mother Nature can be calculated by subtracting the total cost of inputs used by Mother Nature from the total value of sales.

Value added is the increase in the value of goods or services as a result of a particular economic activity or production process. It is calculated by subtracting the value of intermediate inputs from the value of outputs.

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sales revenue $350,000 accounts receivable $280,000 ending inventory $230,000 cost of goods sold $180,000 sales returns $50,000 sales discount $20,000 given the information in the above table, what is the company's gross profit?

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Sales returns and reductions are subtracted from sales income to determine net sales revenue. The company's total sales income in this scenario would be $280,000. As a result, the business will make a $100,000 total profit.

Gross profit is calculated by subtracting the cost of goods sold from the net sales revenue. Net sales revenue is calculated by subtracting sales returns and sales discounts from the sales revenue. In this case, the company’s net sales revenue would be $350,000 - $50,000 - $20,000 = $280,000. Therefore, the company’s gross profit would be $280,000 - $180,000 = $100,000.

Gross profit is an important measure of a company’s profitability. It represents the amount of money the company has left over after paying for the cost of the goods it sold. This money can be used to pay for operating expenses, taxes, and other costs.

A higher gross profit indicates that the company is generating more revenue relative to its cost of goods sold, while a lower gross profit indicates that the company is generating less revenue relative to its cost of goods sold.

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a cultural audit may be used to assess which of the following? question 11 options: how cultured a firm's employees are unethical employees group dimensions an organization's values organizational structure

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A cultural audit may be used to assess which of the following? A cultural audit may be used to assess an organization's values. The cultural audit refers to a process that involves examining and assessing the culture of an organization.

It aims to uncover the strengths and weaknesses of the organization's culture, as well as any areas that require improvement. This method can be used to evaluate the effectiveness of the organization's culture, and it can also be used to compare the organization's culture to other companies' cultures. The cultural audit provides a comprehensive assessment of the culture of an organization.

This includes assessing the organization's values, norms, beliefs, behaviors, and attitudes. The cultural audit helps organizations understand their current culture and identify areas for improvement. It is also an essential tool for organizations that want to create a positive and productive work environment. Therefore, an organization's values may be assessed through cultural audit.

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ryan is a 25% partner in the rocc partnership. at the beginning of the tax year, his basis in the partnership interest was $90,000, including his share of partnership liabilities. during the current year, rocc reported net ordinary income of $100,000. in addition, rocc distributed $10,000 to each of the partners ($40,000 total). at the end of the year, ryan's share of partnership liabilities increased by $10,000. his basis in the partnership interest at the end of the year is:

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Ryan's basis in the partnership interest at the end of the year is $115,000.

Ryan is a 25% partner in the ROCC partnership, meaning he owns a quarter of the business. His basis in the partnership interest at the beginning of the tax year was $90,000, which includes his share of the partnership's liabilities. This means that his investment in the partnership was $90,000.

During the current year, ROCC reported net ordinary income of $100,000. This income is divided among the partners based on their percentage of ownership. Since Ryan owns 25% of the partnership, his share of the net ordinary income is $25,000 (25% of $100,000).

In addition, ROCC distributed $10,000 to each of the partners, which totals to $40,000. Again, since Ryan is a 25% partner, he received a distribution of $10,000.At the end of the year, Ryan's share of partnership liabilities increased by $10,000. This means that his investment in the partnership increased by $10,000.

To calculate Ryan's basis in the partnership interest at the end of the year, we need to add his share of the net ordinary income and his distribution to his beginning basis and subtract his share of the partnership liabilities. Therefore, Ryan's basis in the partnership interest at the end of the year is $115,000 ($90,000 + $25,000 + $10,000 - $10,000).

In summary, Ryan's basis in the partnership interest at the end of the year is $115,000, which reflects his initial investment in the partnership, his share of the net ordinary income, his distribution, and the increase in his share of partnership liabilities. It is important for partners to keep track of their basis in the partnership interest, as it affects their ability to deduct losses and receive distributions from the partnership.

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ashley owns stock in a company which has consistently paid a growing dividend over the last five years. the first year ashley owned the stock, she received $1.71 per share and in the fifth year, she received $2.89 per share. what is the growth rate of the dividends over the last five years?

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The growth rate of the dividends over the last five years is 9.9%.

CAGR is a measure of the average annual growth rate of an investment over a specified period of time, assuming that the investment has grown at a steady rate. To calculate CAGR for dividends, we need to know the initial dividend amount, the final dividend amount, and the number of years in between.

Using the formula for CAGR, we can calculate the growth rate of the dividends over the last five years as follows:

CAGR = (Final Dividend Amount / Initial Dividend Amount) ^ (1 / Number of Years) - 1

Substituting the values given in the problem, we get:

CAGR = ($2.89 / $1.71) ⁰°⁵⁻¹

CAGR = 0.099 or 9.9%

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a financial analyst wants to conduct simulation regarding the return of a certain portfolio in 5 years. he needs to generate a random interest rate that is believed to be normally distributed with a mean of 3.8% and a standard deviation of 0.4%. what is the correct excel formula to generate such an interest rate?

Answers

The correct Excel formula to generate a random interest rate with a mean of 3.8% and a standard deviation of 0.4% is: =NORMINV(RAND(), 0.038, 0.004).

To generate a random interest rate with a mean of 3.8% (0.038) and a standard deviation of 0.4% (0.004), you should use the NORMINV function in Excel. The NORMINV function generates a random value from a normally distributed set of data with a given mean and standard deviation.

The formula has three arguments: probability, mean, and standard deviation. The RAND() function is used for the probability argument, which generates a random number between 0 and 1.

By combining NORMINV with RAND(), you can create a random interest rate that follows a normal distribution with the specified mean and standard deviation.

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You just started your first full-time job, and one of the benefits is a retirement savings plan. Someone in the human resources department is going over your benefits and says that you have make choices about how the retirement savings plan is invested. She gives you some papers to read and asks you to stop by and let her know your choices when you come to work tomorrow. What must you consider as you read the information and make your choices? Answer in complete sentences.

Answers

I need to be aware that investment options and the market conditions can change over time, and I should regularly review and adjust my investment choices as to ensure I am on the track to meet my retirement goals.

What is retirement?

Retirement is a phase in a person's life when they choose to stop working or reduce their work hours. It is a time when people typically have reached a certain age, have accumulated enough savings or investments, and are ready to leave the workforce. Retirement can be a voluntary decision or forced due to health issues or other reasons. During retirement, individuals can pursue hobbies, travel, spend time with family and friends, and engage in leisure activities they did not have time for while working. Retirement also involves careful financial planning to ensure that one's income will be sufficient to support their lifestyle and cover expenses, such as healthcare and housing. Many people also choose to seek advice from financial planners and other professionals to help them navigate this phase of life.

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wheeling incorporated uses the aging of accounts receivable method. its estimate of uncollectible receivables resulting from the aging analysis equals $6,200. at the end of the year, the balance of accounts receivable is $112,000 and the unadjusted debit balance of the allowance for doubtful accounts is $740. credit sales during the year totaled $174,000. what is the estimated bad debt expense for the current year?

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The estimated bad debt expense for the current year is  $5,460.

To calculate the estimated bad debt expense for the current year, follow these steps:Determine the required balance in the Allowance for Doubtful Accounts: The aging analysis estimates uncollectible receivables to be $6,200. So, the required balance in the Allowance for Doubtful Accounts is $6,200.Calculate the unadjusted balance in the Allowance for Doubtful Accounts: The unadjusted debit balance is $740.Find the difference between the required and unadjusted balances: Subtract the unadjusted balance from the required balance ($6,200 - $740 = $5,460).The difference calculated in step 3 represents the estimated bad debt expense for the current year: $5,460.

So, Wheeling Incorporated's estimated bad debt expense for the current year is $5,460.

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discuss specific firm behavior that reduced the level of competition in an industry. what are the opportunity costs of greater concentration?

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A specific firm behavior that reduces the level of competition in an industry is when a large, dominant firm engages in predatory pricing. The opportunity costs of greater concentration include a reduction in innovation.

Predatory pricing occurs when a firm lowers its prices below cost to drive its smaller competitors out of business. Once the smaller competitors have exited the market, the dominant firm can then raise its prices and enjoy a near-monopoly position.

This behavior reduces the level of competition in the industry, making it more difficult for new entrants to enter the market and compete with the dominant firm.

Additionally, consumers may face higher prices and reduced quality of products and services, as the lack of competition may lead to a decrease in product differentiation and a reduction in firms' incentives to innovate and improve their products.

Finally, greater concentration may lead to increased political power, as dominant firms may be able to lobby government officials to enact policies that benefit their interests at the expense of consumers and smaller competitors.

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pear orchards is evaluating a new project that will require equipment of $243,000. the equipment will be depreciated on a 5-year macrs schedule. the annual depreciation percentages are 20.00 percent, 32.00 percent, 19.20 percent, 11.52 percent, and 11.52 percent, respectively. the company plans to shut down the project after 4 years. at that time, the equipment could be sold for $63,200. however, the company plans to keep the equipment for a different project in another state. the tax rate is 40 percent. what aftertax salvage value should the company use when evaluating the current project?

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Steps for project evaluation. No matter when you decide to conduct a project evaluation, the process always consists of the following four steps: planning, execution, completion, and report dissemination.

To make sure the project stays within its estimated scope, a project manager must regularly assess progress, monitor goals, and evaluate results. Monitoring a project can assist you and your group in finishing tasks within the planned spending limit and delivery window, eventually increasing your profit.

[tex]$243,000\\[/tex] divided by[tex]249,000 ($20, 32, 9, 20,[/tex] and [tex]11:52)[/tex] is the book worth.

[tex]$43,027[/tex] for the book

Tax refund (due) equals [tex](43,027\\[/tex] divided by [tex]67,100)(.40)[/tex]

Tax return amount (due): [tex]$9,629[/tex].

Salvage worth after taxes: [tex]67,100 9,629[/tex]

Salvage worth after taxes is [tex]$57,471[/tex]

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