Marigold Corporation had net income of $170000 and paid dividends to common stockholders of $51000 in 2019. The weighted average number of shares outstanding in 2019 was 34000 shares. Marigold Corporation's common stock is selling for $32 per share on the New York Stock Exchange. Marigold Corporation's price-earnings ratio is :__________

a. 4.92 times.
b. 9.14 times.
c. 6.40 times.
d. 5.00 times.

Answers

Answer 1

Answer:

P/E ratio = 6.40 times

Option c is the correct answer.

Explanation:

The P/E ratio or price earnings ratio measures the price that the investors are willing to pay for each $1 of earnings of the company. It is calculated as follows,

P/E ratio = Price per share / Earnings per share

We can calculate the earnings per share by dividing the net income by the number of shares outstanding.

P/E ratio = 32 / (170000 / 34000)

P/E ratio = 6.40 times


Related Questions

Using a computerized Inventory Management System, a Paint Supply Store franchise continuously monitors the inventory of all the paint located at each of their 15 stores and their distribution warehouse. The Paint Supply Store franchise sells an average of 74 gallons of Purple Paint every week (for 52 weeks per year, Standard Deviation of the Demand = 8 gallons). They purchase Purple Paint from their supplier at a price of $4.00 per gallon.It takes 2.50 weeks to receive an order from the supplier.Administrative costs for Ordering paint have been estimated to be $35 per order.Holding Costs = 40% of the purchase price per gallon per year.How much Safety Stock should the company hold to have a Service Level of 99.0%?

Answers

Answer: 29.4 gallons

Explanation:

The Safety Stock that should be held by the company to have a Service Level of 99.0% will be:

= Z × σ × ✓LT

Z = 2.326

σ = Standard deviation = 8

LT = Lead time = 2.50

Safety stock = = Z × σ × ✓LT

= 2.326 × 8 × ✓2.50

= 2.326 × 8 × 1.58

= 29.4 gallons

The safety stock is 29.4 gallons.

The amount of  Safety Stock that the company should hold to have a Service Level of 99.0% is 29 gallons of paint.

Using this formula

Safety stock = z×(√L/T)×σ

Where:

d=Average Demand rate per time period=74  gallons per week

σ = Standard Deviation =8  gallons

L = Performance cycle or total lead time =2.5 week

z = 99% target service level =2.326

T = Time increment= 1  week

Let plug in the formula

Safety stock = (2.329)×(√2.5/1)×8

Safety stock=(2.329)×(1.581)×8

Safety stock=29.4

Safety stock = 29 gallons of paint (Approximately)

Inconclusion the amount of  Safety Stock that the company should hold to have a Service Level of 99.0% is 29 gallons of paint.

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Swifty Inc., which produces a single product, has prepared the following standard cost sheet for one unit of the product.

Direct materials (6 pounds at $1.60 per pound) $9.60
Direct labor (3 hours at $11.00 per hour) $33.00

During the month of April, the company manufactures 180 units and incurs the following actual costs.

Direct materials purchased and used (2,400 pounds) $4,320
Direct labor (560 hours) $6,048

Required:
Compute the total, price, and quantity variances for materials and labor.

Answers

Answer:

Results are below.

Explanation:

First, we will determine the direct material price, quantity, and total variance. We need to use the following formulas:

Direct material price variance= (standard price - actual price)*actual quantity

Direct material price variance= (1.6 - 1.8)*2,400

Direct material price variance= $460 unfavorable

Actual price= 4,320/2,400= $1.8

Direct material quantity variance= (standard quantity - actual quantity)*standard price

Direct material quantity variance= (6*180 - 2,400)*1.6

Direct material quantity variance= $2,112 unfavorable

Total variance= 460 + 2,112= $2,572 unfavorable

To calculate the direct labor rate, efficiency, and total variance. We need to use the following formulas:

Direct labor time (efficiency) variance= (Standard Quantity - Actual Quantity)*standard rate

Direct labor time (efficiency) variance= (3*180 - 560)*11

Direct labor time (efficiency) variance= $220 unfavorable

Direct labor rate variance= (Standard Rate - Actual Rate)*Actual Quantity

Direct labor rate variance= (11 - 10.8)*560

Direct labor rate variance= $112 favorable

Actual rate= 6,048/560= $10.8

Total variance= -220 + 112= $108 unfavorable

On April 1, 2020, Republic Company sold equipment to its wholly owned subsidiary, Barre Corporation, for $40,000. At the time of the transfer, the asset had an original cost (to Republic) of $60,000 and accumulated depreciation of $25,000. The equipment has a five year estimated remaining life. Barre reported net income of $250,000, $270,000 and $310,000 in 2020, 2021, and 2022, respectively. Republic received dividends from Barre of $90,000, $105,000 and $120,000 for 2020, 2021, and 2022, respectively. What was the amount of the gain or loss on the sale of equipment reported by Republic on its pre-consolidation income statement in 2020

Answers

Answer:

Republic Company and Barre Corporation

The amount of the gain or loss on the sale of equipment reported by Republic on its pre-consolidation income statement in 2020 is:

= $5,000.

Explanation:

a) Data and Calculations:

Original cost of Equipment sold to subsidiary = $60,000

Accumulated depreciation of the equipment =    25,000

Book value of equipment =                                 $35,000

Sales proceeds for the sale of the equipment    40,000

Gain on the sale of the equipment =                   $5,000

Reported net income of Barre Corporation:

2020  $250,000

2021   $270,000

2022  $310,000

Dividends received by Republic from Barre:

2020  $90,000

2021   $105,000

2022  $120,000

Journal entries relating to capital
CW1 The following transactions are provided to you:
a) Mahesh commenced a business with cash of Rs.1,50,000.
b) Denju started a small business with cash of Rs.10,000 and furniture worth Rs.40,000.
c) Suresh started a business with cash of Rs. 25,000 and bank balance of Rs.75,000.
Required: Journal entries
Journal entries relating to drawing​

Answers

the answer to this problem would be c :))

The Ralston Company manufactures a special line of graphic tubing items. The company estimates it will sell 87,000 units of this item in 2020. The beginning finished goods inventory contains 32,000 units. The target for each year's ending inventory is 22,000 units. Each unit requires five feet of plastic tubing. The tubing inventory currently includes 88,000 feet of the required tubing. Materials on hand are targeted to equal 3 months' production. Any shortage in materials will be made up by the immediate purchase of materials. Sales take place evenly throughout the year. What is the production budget (in units) for 2020

Answers

Answer:Production budget for 2020 =77,000 units

Explanation:

Production budget also referred to as manufacturing budget tells a business  the expected units needed to  be produced which depends on the sales budget in the inventories ( both closing and opening) so as to meet customers demand.  

Units produced =  Projected sales +  desired ending inventory –  beginning inventory

Units Produced/ Production budget for 2020 =87,000  +  22,000 - 32,000  

= 77,000 units

0

The probability that inventory will remain in stock based upon a specified level of Safety Stock is called: A. The Order-Up-To Level B. The Odds of Fulfillment C. The Odds of Stockout D. The Service Level E. The Inventory Position

Answers

Answer:

The answer is "Option D".

Explanation:

The system's performance is gauged only by the level of service. The quality of service specifies the percentage of such goals which should be met. That likelihood of stock remaining in inventory based on a set level of Security Stock is referred to as the service level. Ex: In a contact center, the number of calls that are addressed. That percentage of consumers who have waited less than a fixed amount of time.

The probability that inventory will remain in stock is based upon a specified level of safety stock, which is called the service level stock.

Safety stock safeguards and maintains the effective production process of the organization during the busy season or unexpected rise in demand.

Service level stock states the probability about the stock of inventory that is with the business at the time of lead would be sufficient to fulfill the demand and production requirements. Thus, the situation of stock out would not be seen during the lead period.  

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13. Oriole Corp. incurred $750,000 of research and development costs to develop a product for which a patent was granted on January 2, 2015. Legal fees and other costs associated with registration of the patent totaled $151,000. On March 31, 2018, Oriole paid $305,000 for legal fees in a successful defense of the patent. The total amount capitalized for the patent through March 31, 2018 should be

Answers

Answer:

The total amount capitalized for the patent through March 31, 2018 should be $456,000

Explanation:

All the costs incurred to make the asset usable will be capitalized.

The research cost is the sunk cost because it is already been incurred and it does not affect the decision of making the patent.

Hence the capitalized cost can be calculated as follow

Capitalized cost = Legal Fee for registration + Legal fee of successful defense of the patent

Capitalized cost = $151,000 + $305,000

Capitalized cost = $456,000

An entity had the following account balances at year end. Sales $452,000 Cash 23,400 Accounts payable 14,300 Rent expense 3,700 Accounts receivable 9,400 Cost of goods sold 214,000 Land 104,000 Unearned revenue 6,800 Gain on sale 17,500 Equipment 28,800 Inventories 2,200 Notes payable 67,000 What is the amount of total current assets reported on the balance sheet

Answers

Answer:

Total Current Assets =  35000

Explanation:

The current assets are the assets of a business which are expected to be used or sold within a year. These assets normally include cash, cash at bank, accounts receivables, inventory etc. The total current assets for the given question will be,

Current Assets

Inventory                                   2200

Accounts Receivable               9400

Cash                                          23400

Total                                          35000

An internet company gives their old computer system to the computer science
department at a local high school. How would GDP be impacted?

A. GDP would decrease.

B. GDP would increase

C.GDP would stay the same.

Answers

Answer:

Explanation:

The formula for GDP is

GDP = C + I + G + NX

C = consumption

I  = Investment by business and household purchases by individuals

G = Government  Expenditures

NX = foreign trade.

The first thing you can do is knock out foreign trade.

I think you can dispense with Government expenditures as well all though a school is an arm of government.

I think investment is what you have to look at carefully because it does include charitable organizations.  We'll come back to this.

Consumption is what it sounds like it sounds.

You can't answer this in any other way than to know how the company writes it off. It is an asset that goes from some value to 0. It no longer exists on their books. So it decreases their assets. It is balanced on their books by calling it an expense I think and that further has impact on their books.

So they are decreasing their value (albeit by a small amount -- they've already bought new computers).

I'm not sure about this, but I think what has happened is that the GDP is going to go down. Their investment has decreased by being written off.

Which of the following statements about effective global leadership are NOT true?

A. In collectivist cultures, employees typically value their autonomy, and are unlikely to be motivated by fringe benefits and training provided by the employer.

B. High power distance implies that people would be more motivated by teamwork and relations with peers.

C. High masculinity suggests that most people would be more comfortable with the traditional division of work and roles; in a more feminine culture, the boundaries could be looser, motivating people through more flexible roles and work networks.

D. The higher the level of "masculinity" (such as in Japan and Mexico), the more motivated employees were by being given opportunities for high pay, personal accomplishment, and job advancement.

E. Traditional Chinese management style focuses on human-centredness, family-centredness, and centralisation of power.

Answers

High power distance suggests that individuals would be more motivated by group dynamics and peer relationships. As a result, choice (B) is appropriate.

What is global leadership?

Global leadership is the interdisciplinary study of the critical skills that future leaders in all spheres of the personal experience should master in order to effectively become familiar with the psychological, physiological, geographical, geopolitical, anthropological, and sociological effects of globalization.

When a person or people use a global mentality to lead collaborative efforts between various stakeholders through an environmental complexity toward a vision, this is known as global leadership. To enable today's complicated processes of information sharing around the world, global leaders must be able to connect people from different nations and engage them in global team collaboration.

Hence option (B) is accurate.

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The operations manager of a body and paint shop has five cars to schedule for repair. He would like to minimize the makespan to complete all work on these cars. Each car requires body work prior to painting. The estimates of the times required to do the body and paint work on each are as follows:

Body work Paint
Car (hrs) (hrs)
A 10 2
B 5 4
C 7 5
D 3 6
E 1 7

Where in the optimum sequence should car A be scheduled?
a. first
b. second
c. third
d. fourth
e. fifth

Answers

Answer:

e. fifth

Explanation:

Car A should be scheduled as fifth in the sequence to repair and repaint. The Car A will take 10 hours for repair work which is highest of all other cars. The paint work is however lower than all other cars but since the repair work is to be done prior to repainting the car A should be schedule in the last.

2. What are bribery and/or corruption? And what do you think is their impact in a company, community, and country?​

Answers

Bribery is the act of offering, giving, receiving, or soliciting something of value for the purpose of influencing the action of an official or other person in charge of a public or legal duty. Corruption is the abuse of entrusted power for private gain.The impact of bribery and corruption on a company can be significant. It can damage the company's reputation and lead to lost business and decreased investor confidence. Bribery and corruption can also increase the company's cost of doing business, as it may have to pay more to bribe officials or deal with the consequences of being caught engaging in corrupt practices.The impact of bribery and corruption on a community can be equally significant. It can lead to the misallocation of resources, as officials may prioritize their own interests or those of the people bribing them over the needs of the community. Corruption can also undermine trust in government and other institutions, leading to social unrest and lower levels of civic engagement.The impact of bribery and corruption on a country can be far-reaching. It can discourage foreign investment and undermine economic development, as investors may be wary of investing in a country with a reputation for corruption. Corruption can also lead to the misallocation of resources and the mismanagement of public funds, which can have negative consequences for the country's infrastructure and the delivery of public services. In addition, corruption can erode trust in government and contribute to social unrest and political instability.

McCormick Corp. reported the following on its comparative income​ statement:
Mariner Corp.
Income Statement - (Partial)
Years Ended December 31, 2019 and 2018
Increase (Decrease)
2019 2018
(Amounts in
millions) 2019 2018 2017 Amount Percentage Amount Percentage
Revenues 9,575 $9,300 $8,975
Cost of
Goods Sold 7,240 6,800 6,100
Gross Profit $2,335 $2,500 $2,875
Prepare a horizontal analysis of revenues and gross profit—both in dollar amounts and in percentages—for 2025. Begin by calculating the gross profit for each​ year, then prepare a horizontal analysis of revenues and gross profit—both in dollar amounts and in percentages—for 2025.

Answers

Answer:

McCormick Corp.

Horizontal Analysis of Revenues and Gross Profit:

Income Statement - (Partial)

Years Ended December 31, 2019 and 2018

                                                                      Increase (Decrease)

                                                                     2019                  2018

(Amounts in  millions)

                         2019  2018      2017       Amount   %         Amount   %

Revenues       9,575 $9,300 $8,975     $275     2.96%   $325   3.62%

Cost of

Goods Sold    7,240    6,800    6,100    $440     6.47%    $700   11.5%

Gross Profit $2,335 $2,500 $2,875    -$165    -6.6%     -$375   -13%

Explanation:

a) Data and Calculations:

Income Statement - (Partial)

Years Ended December 31, 2019 and 2018

                                                                      Increase (Decrease)

                                                                     2019                  2018

(Amounts in  millions)

                         2019  2018      2017       Amount   %         Amount   %

Revenues       9,575 $9,300 $8,975  

Cost of

Goods Sold    7,240    6,800    6,100  

Gross Profit $2,335 $2,500 $2,875

Workings:

Revenue:

2019 = $275/$9,300 * 100 = 2.96%

2018 = $324/$8,975 * 100 = 3.62%

Cost of goods sold:

2019 = $440/$6,800 * 100 = 6.47%

2018 = $700/$6,100 * 100 = 11.5%

Gross profit:

2019 = $(165)/$2,500 * 100 = -.6.6%

2018 = $(375)/$2,875 * 100 = -13%

If you have money in a savings account, you will do better if the bank pays you ___________., a. simple interest, b. compound interest, c. it doesn't matter whether the interest in simple or compound, it's only the interest rate that matters, d. the question cannot be answered because banks rarely pay compound interest on savings accounts
the answer c. it doesn't matter whether the interest in simple or compound, it's only the interest rate that matters. is the wrong answer

Answers

Answer:

compound interest

Explanation:

This is when you earn interest on both money you've saved and the interest you earn.

Benny’s Arcade has six video game machines. The aver-
age time between machine failures is 50 hours. Jimmy, the

maintenance engineer, can repair a machine in 15 hours
on average. The machines have an exponential failure
distribution, and Jimmy has an exponential service-time
distribution.
a. What is Jimmy’s utilization?
b. What is the average number of machines out of service,
that is, waiting to be repaired or being repaired?
c. What is the average time a machine is out of service?

Answers

Jimmy's utilization is 30%, The average number of machines out of service that is, waiting to be repaired or being repaired is 43%, and The average time a machine is out of service is 21.43 hours.

What do you mean by Service rate?

Service rate is used to calculate the rate or supply of service in any business.

Data given ;

Arrival rate (λ) = 1/50

Service rate (µ ) = 1/15

a) Utilization (P) = λ/µ

= 1 / 50 / 1 / 15

= 15 / 50

= 0.30

= 30%

b) Average number of out-of-service machines waiting to be repaired or being repaired (L) = q / λ

= (p²/1-p) / λ

= (0.30²/1-0.30) × 1/50

= 0.129 × 1/50

= 6.43

Average time spent by out-of-service machines waiting to be repaired, or being repaired

W = Wq + 1 / µ

= 6.43 + 15

= 21.43

The average number of machines out of service that is, waiting to be repaired or being repaired

L = λW = 21.43/50 = 0.43

3:00

c) Average time spent by out-of-service machines waiting to be repaired, or being repaired.

W = Wq + 1 / µ

= 6.43 + 15

= 21.43

Therefore, Jimmy's utilization is 30%, The average number of machines out of service that is, waiting to be repaired or being repaired is 43%, and The average time a machine is out of service is 21.43 hours.

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Who is best steel supplier company in Dubai?

Answers

Answer:

The best steel supplier company in Dubai is Al Ameen Steel Fabrication Engineering LLC.

Explanation:

Samwell Subaru, a Dallas based car dealership, delivers every month two different 6-month sales forecasts to manufacturing headquarters (MHQ). MHQ has to bear a very high transshipment cost if the mismatch between the forecasted and actual order is very high, so the company wants to accentuate large deviations. Which forecast accuracy measure should be used to evaluate different forecasting methods

Answers

Answer:

"MSE (Mean Squared Error)" is the appropriate answer.

Explanation:

It appears to emphasize major mistakes because that is the squares of such mistakes, which seems to be a significant indication including feedback upon that fitness of the regression equation. The use of MSE means that rather than a big one, an individual would like to have many minor differences.

The candy company is considering a new manufacturing process that costs $0.30 per unit for the first 400,000 units. For additional units, up to 725,000, the cost is $0.20 per unit. For all additional units over 725,000, the cost is $0.10 per unit. Which of the following ranges of total units contains the point where the cost of the new process is equal to the cost of the original process (where the cost is $0.21 for the first 500,000 units and $0.13 for all additional units)?

a. From 2,335,000 to 2,345,000
b. From 2,325,000 to 2,335,000
c. From 2,345,000 to 2,355,000
d. From 2,365,000 to 2,375,000

Answers

A I believe it is a I’m not sure

It would compel the government to cut spending to offset lost tax revenues, which decline during recessions. prevent the government from employing an expansionary fiscal policy, since increased government spending would have to be offset by increased taxes. require the government to increase spending to match increased tax revenues, pushing up interest rates and crowding out private spending. force the Fed to pursue an expansionary monetary policy, which would cause inflation, undermining economic growth.

Answers

Answer:

It would compel the government to cut spending to offset lost tax revenues, which decline during recessions. Prevent the government from employing an expansionary fiscal policy, since increased government spending would have to be offset by increased taxes.

Explanation:

The Federal government balancing its budget every year means that it would need to match its revenue (taxes) to its spending.

Should they be forced to do this, they would have to cut spending so that they would be able to match taxes when they are low during recessions. This would not be helpful because government spending is needed to get out of a recession.

The government would also be unable to pursue an expansionary fiscal policy because any increase in spending would have to match an increase in taxes to fund it. The effect of the spending will not be as felt because the government would be simultaneously pumping money into the economy and taking it out at the same time.

Which of the following is correct?

Negotiate it right, sell it right and deliver it right
Negotiate it right, price it right and deliver it right
Plan it right, sell it right and deliver it right
Plan it right, price it right and deliver it right

Answers

I think the correct answer would be Negotiate it right, sell it right and deliver it right.

No matter how much you plan it out, there might be issues that you face at the top of the supply chain. In such a case, you need to negotiate the price or other aspects of the product or service you are selling.

Emphasis also needs to be put on the way the product is sold or marketed. The marketing and advertising departments come into play here. They need to clearly define your client base target audience and the way in which you want to market your brand.

At the end, and most importantly lies the proper delivery of the service or product. It defines the future prospects for your brand.

The answer is negotiate it right, sell it right and deliver it right

You live in the U.S. and want to invest in a Japanese company because you believe its stock is uniquely positioned to be unusually profitable over the next 2 years. However, you do not have access to the Japanese financial markets. You could still invest in this stock if the company: a. issues Samurai bonds. b. will agree to a swap. c. issues Eurobonds. d. trades as an ADR. e. issues gilts.

Answers

Answer: d. trades as an ADR

Explanation:

American Depository Receipts (ADR) allow for Americans to trade on foreign stock as if they were trading in American stocks. It works by a bank buying a lot of shares in the Japanese company for instance.

They will then reissue these stock as ADRs in the American stock exchanges and also value the ADR based on their valuation models to find out the ratio of ADR to share quantity. If the Japanese company is trading as an ADR. you will be able to invest in them from the United States.

The opportunity cost of capital, used to calculate the base-case for adjusted present value analyses, can be thought of as Multiple Choice the promised yield rather than the expected yield of an investment. the WACC of an all-equity financed version of the firm. the return on the opportunities exploited by a firm's competitors. the rate corresponding to an average debt level among firms in the industry.

Answers

Answer:

the WACC of an all-equity financed version of the firm.

Explanation:

WACC = weight of equity x cost of equity + weight of debt x cost of debt x (1 - tax rate)

for a project to be accepted, the internal rate of return should be higher than the WACC

The Simon Company (SIMON) currently has $300,000 market value (and book value) of perpetual debt outstanding carrying a coupon rate of 6%. Its earnings before interest and taxes (EBIT) are $150,000, and it is a zero growth company. SIMON's current cost of equity is 8.8%, and its tax rate is 40%. The firm has 10,000 shares of common stock outstanding selling at a price per share of $90.00.Now assume that SIMON is considering changing from its original capital structure to a new capital structure that results in a stock price of $96 per share. The resulting capital structure would have a $504,000 total market value of equity and a $756,000 market value of debt. How many shares would SIMON repurchase in the recapitalization

Answers

Answer:

The answer is "4,750"

Explanation:

They have indeed been given the information that we require.

The current market cap for Simon Company (SIMON) is $300,000.

rate= 6%

EBIT=$150,000

The business has no plans to expand.

The current cost of capital is 8.8%,

The tax rate is 40%.

The company has 10,000 shares of common stock mostly on market.

The stock is being offered at a $90.00 per share price.

Assume SIMON is considering switching in its current financial performance to one that results in a share price of $96 per share.

The resultant capital structure would have a combined valuation of $504,000 in capital and $756,000 in equity.

Remaining Shares= equity market value /  per share price

[tex]n =\frac{S}{P} \\\\= \frac{\$504,000}{ \$96}\\\\= \$5,250[/tex]

The initial number of shares minus the resultant number of shares equals the number of repurchased shares:

AJC will buy back a certain number of shares.

[tex]= 10,000 - 5,250\\\\= 4,750\\[/tex]

In 2017, Bust Company requested and received permission from the IRS to switch its accounting method from the cash method to the accrual method. Taxable income in 2017 (computed under the accrual basis) was $110,000. At the end of 2017, Bust had accounts receivable of $32,000; accounts payable of $27,000; and merchandise inventory of $10,000. Determine Bust Company's taxable income after all (if any) adjustments. Is any relief available to Bust Company

Answers

Answer:

$105,000

Explanation:

Calculation to determine Bust Company's taxable income after all adjustment

Using this formula

Taxable income after Adjustment=Taxable income in 2017-(accounts receivable-accounts payable )

Let plug in the formula

Taxable income after Adjustment=$110,000-($32,000-$27,000)

Taxable income after Adjustment=$110,000-$5,000

Taxable income after Adjustment=$105,000

Therefore Bust Company's taxable income after all adjustment is $105,000

Question Content Area Entries for Issuing Bonds and Amortizing Discount by Straight-Line Method On the first day of its fiscal year, Chin Company issued $21,000,000 of five-year, 9% bonds to finance its operations of producing and selling home improvement products. Interest is payable semiannually. The bonds were issued at a market (effective) interest rate of 11%, resulting in Chin receiving cash of $19,417,090.

Answers

The bonds were issued at a market (effective) interest rate of 11%, resulting in Chin receiving cash of $19,417,090.The journalize entries to record the issuance of the bonds.

What is market?

In economics, a market is a composition of systems, institutions, procedures, social relations or infrastructures whereby parties engage in exchange

Markets facilitate trade and enable the distribution and allocation of resources in a society. Markets allow any tradeable item to be evaluated and priced.

Market participants consist of all the buyers and sellers of a good who influence its price, which is determined by the market forces of supply and demand.

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Clemmens Corporation has two major business segments: Consumer and Commercial. Data for the segments and for the company for August appear below: Sales revenues, Consumer $390,000 Sales revenues, Commercial $530,000 Variable expenses, Consumer $179,000 Variable expenses, Commercial $265,000 Traceable fixed expenses, Consumer $59,000 Traceable fixed expenses, Commercial $64,000 In addition, common fixed expenses totaled $265,000 and were allocated as follows: $135,000 to the Consumer business segment and $130,000 to the Commercial business segment. A properly constructed segmented income statement in a contribution format would show that the net operating income of the company as a whole is: Group of answer choices $88,000 $353,000 $476,000 -$177,000

Answers

Answer:

Net Operating income of the company is $88,000.

Explanation:

Segmented Income Statement      

  Consumer Commercial Total

Sales revenue   390000 530000 920000

Less: Variable cost   179000 265000 444000

Contribution margin   211000 265000 476000

Less: Traceable fixed cost   59000 64000 123000

Segment margin   152000 201000 353000

Less: Common Fixed cost     265000

Net Operating income     88000

Antonia is a nonresident of California who is under 50 years of age. During the year, she worked temporarily in California. Her California compensation is $1,000, which she reported on Schedule CA (540NR), column E. Her Federal compensation is $10,000. Her allowable IRA deduction on her Federal return is $5,000. Antonia’s allowable California IRA deduction that she reports on Schedule CA (540NR), Part II, line 19, column E, is what amount?

Answers

Antonia’s allowable California IRA deduction that she reports on Schedule CA (540NR), column E is B. $1,000.

What is tax deduction?

An option to lower taxable income is a tax deduction. A standard deduction is a single, predetermined deduction. Higher-income taxpayers frequently have significant deductible expenses, such as state and local taxes paid, mortgage interest, and charitable contributions, which is why itemized deductions are popular.

The amount of the California deduction for IRA is the same as the federal deduction. However, the California deduction may be limited by California compensation or by California self-employment income.

Therefore her deduction would be $1000.

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Antonia is a nonresident of California who is under 50 years of age. During the year, she worked temporarily in California. Her California compensation is $1,000, which she reported on Schedule CA (540NR), column E. Her Federal compensation is $10,000. Her allowable IRA deduction on her Federal return is $5,000. Antonia’s allowable California IRA deduction that she reports on Schedule CA (540NR), column E, is what amount? a) $0 b) $1,000 c) $2,000 d) $4,000

Answer: B

Explanation: As a NR She is able to claim the amount of her CA earned income.

Mr. and Mrs. Maxwell are equal partners in Family partnership. The Maxwell's marginal tax rate is 35%. Next year, the partnership is expected to generate $200,000 of ordinary income. The Maxwells are considering transferring 20% interests in the partnership to each of their children. Their daughter, Melissa, has a 12% marginal tax rate. Their son, Mark, has a 22% marginal tax rate. Calculate the expected annual tax savings to the family from the proposed transfer of partnership interests.

Answers

Answer:

The right answer is "$14,400". A further solution is provided below.

Explanation:

The given values are:

Ordinary income,

= 200,000

Maxwell's marginal rate,

= 35%

Melissa's marginal rate,

= 12%

Mark's marginal rate,

= 22%

Now,

Form transfer to Melissa, the savings will be:

= [tex]200000\times .2\times (35 - 12) \ percent[/tex]

= [tex]920 0[/tex] ($)

Form transfer to Mark, the savings will be:

= [tex]200000\times .2\times (35-22) \ percent[/tex]

= [tex]5200[/tex] ($)

hence,

The expected annual tax savings will be:

= [tex]9200+5200[/tex]

= [tex]14,400[/tex] ($)

what are forms of office correspondences?​

Answers

Answer:

Explanation:

Correspondence simply means letters sent or received. Another word for “Correspondence” is “Mail”. In our offices and Businesses, We receive letters, parcels, telegrams, internal memos, fax, e-mail, text messages or SMS (Short Message Service) and other documents which we all know as mail or correspondence.

CORRESPONDENCE RECORDS

Correspondence records are those documents used to keep track of correspondences in an organization. They show evidence of important transactions, letters, reasons for writing and those involved, dates, addresses, e-mails and other important messages.

TYPES OF CORRESPONDENCE

There are three main types of correspondence, they are:

In-coming mails

Out-going mails

Postage book.

1. In-Coming Mails: These are letters that comes into an organization. In-coming correspondence will reach the records offices in a number of different ways. Some will come through the regular post office or other courier services, like, DHL,UPS etc. Other in-coming mails could come via e-mail, or with the growth in technology, through text messaging:- Short Message Service (SMS) or Multimedia Messaging Services (MMS).

Examples of In-Coming Mails are: Letters

Parcels

Computer printouts e.g. e-mail or other data

Telegrams

Internal memos

Text messages

METHODS OF MAIL DELIVERY

Mails or letters can be delivered either by post or by hand to the recipients in two ways:

a. Delivery by Post: People pay for a private mail box or bag in the post office where their mails are deposited safely and locked till the owner comes (to the post office) with the keys to pick up mails. The post man also delivers received mails to the appropriate addresses with authority from the post office management.

b. Delivery by Hand: The mails that can be delivered by hand include letters, circulars, memos, handbills, notices of different sizes etc. The mails must be handled with care, so that the recipient will receive it without complaint and in time too. All mails are sorted out first in the mail room before being distributed to the appropriate persons or organization(S).

2. Out-Going Mails: These are mails that are going out of or from the organization. The secretary or clerk in the office handles such mails with care and treats them with the urgency required. In smaller organizations, the receptionist can also see to it that such mails are handled appropriately and accountability and reference.

Examples of out-going mails are letters, parcels, computer printouts like e-mail, SMS, memos, telegrams, and other related mails.

3. Postage Book: This is a book which records accurate and full details of mails and other documents that need postage. The book contains the exact amounts of postage stamps used on the mails, date and address.

USES OF CORRESPONDENCE RECORDS

They are used:

1. For evidence of receiving and attending to mails.

2. To shoe the correct date a mail was received.

3. To record information about the content(s) of mails.

4. To show how the issue in context was handled by the organization. Tells whether an answer has been given or not.

5. To show exactly what agreement was made and the date of the decision.

6. It confirms delivery of mails.

7. It shows the origin of the mail and who or unit it was addressed to.

CLASSIFICATION OF CORRESPONDENCE RECORDS

Inward Book or Inward Register

Outward Book or Outward Register

Dispatch Book

What is the modified internal rate of return (MIRR) of this project? Assume that the required rate is 12%
Year CF
0 $5,500
1 $450
2 $1,800
3 $3,200
4 $550
5 $2,130

Answers

$1,800 seems correct for the given question

I don’t know what the project is so I am not 100% sure this is correct but that would be my best guess.

Hope this helps have an excellent day!
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