Discuss the types of exchange rate system

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Answer 1

Exchange rate systems refer to the mechanisms by which a country determines the value of its currency in relation to other currencies. There are three primary types of exchange rate systems are Floating exchange rate system, Fixed exchange rate system and Managed or dirty float exchange rate system.

Floating exchange rate system: Under this system, exchange rates are determined by market forces of supply and demand. The value of a currency fluctuates freely in response to economic factors, such as inflation, interest rates, and trade imbalances. Governments do not intervene directly in the foreign exchange market to control the exchange rate.

Fixed exchange rate system: In this system, the value of a currency is pegged to a specific foreign currency or a basket of currencies. The central bank of a country intervenes in the foreign exchange market to maintain the exchange rate within a narrow range.

Managed or dirty float exchange rate system: This system combines elements of both floating and fixed exchange rates. The exchange rate is allowed to fluctuate within certain limits, but central banks occasionally intervene to stabilize the currency.

Each exchange rate system has advantages and disadvantages, and countries may choose a system based on their economic objectives, stability goals, and policy preferences.

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If I change the price of my product from $210 to $220 and expect my sales to change from 17 to 14 units, I can confirm that the price elasticity of demand for my product is ___________ and that my revenue will __________a. elastic; increase b. elastic; decrease c. inelastic; increase d. inelastic; decrease

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The price elasticity of demand for my product is elastic and that my revenue will increase. Option A is correct.

To determine price elasticity of demand as well as its effect on revenue, we will to calculate the percentage change in quantity demanded as well as the percentage change in price.

The percentage change in quantity demanded will be calculated as follows:

[(New Quantity - Initial Quantity) / Initial Quantity] × 100%

Percentage change in quantity demanded;

[(14 - 17) / 17] × 100% ≈ -17.65%

The percentage change in price is calculated as follows:

[(New Price - Initial Price) / Initial Price] × 100%

Percentage change in price;

[(220 - 210) / 210] × 100% ≈ 4.76%

Now, to determine the price elasticity of demand, we divide the percentage change in quantity demanded by the percentage change in price

Price elasticity of demand:

-17.65% / 4.76% ≈ -3.70

Since the absolute value of the price elasticity of demand is greater than 1 (-3.70 > 1), we can classify it as elastic. This means that a 1% change in price leads to a greater than 1% change in quantity demanded.

To determine the effect on revenue, we need to consider the relationship between price elasticity and revenue. For elastic demand, when price decreases, quantity demanded increases proportionately, resulting in an increase in revenue.

Hence, A. is the correct option.

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5. Shifts of the aggregate supply curve Which of the following would properly be classified as a favorable supply shock? The world price of oil increases rapidly without warning and is expected to remain at the new high level for many years, making it more expensive for all firms to produce goods and services. The interest rate decreases, spurring investment spending. There is a technological improvement that allows firms to reduce their costs of production permanently A hurricane hits a major city, destroying factories, roads, airports, and homes. Because the city was a major port and transportation hub, goods and services need to be rerouted, increasing transportation costs for firms nationwide. There is an increase in government spending The following graph shows the short-run aggregate supply curve (SRAS) and long-run aggregate supply curves (LRAS) for an economy. Suppose the government passes a temporary "gas tax holiday," removing the federal tax on gasoline between May and September.

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Shifts of the aggregate supply curve following would appropriately be named a good inventory shock There is a technological improvement that permits firms to reduce their costs of production permanently.

The option (B) is correct.

At the point when there is a long-lasting mechanical improvement, it moves the aggregate supply (AS) bend to one side. Subsequently, the economy can create more results at each cost level. This expansion in total stock prompts lower costs and higher result levels, which is gainful for the two makers and shoppers.

The rightward shift of the AS bend demonstrates an extension of the economy's expected result over the long haul. It reflects further developed efficiency, cost reserve funds, and expanded productivity in the creation cycle.

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This question is not complete, Here I am attaching the complete question:

5. Shifts of the aggregate supply curve Which of the following would properly be classified as a favorable supply shock?

(A) The world price of oil increases rapidly without warning and is expected to remain at the new high level for many years, making it more expensive for all firms to produce goods and services. The interest rate decreases, spurring investment spending.

(B) There is a technological improvement that allows firms to reduce their costs of production permanently.

(C) A hurricane hits a major city, destroying factories, roads, airports, and homes Because the city was a major port and transportation hub, goods and services need to be rerouted, increasing transportation costs for firms nationwide.

(D) There is an increase in government spending The following graph shows the short-run aggregate supply curve (SRAS) and long-run aggregate supply curves (LRAS) for an economy.

(E) Suppose the government passes a temporary "gas tax holiday," removing the federal tax on gasoline between May and September.

Point early stated In his book "Life in Management the late Dr. Ghazi Abdalrahman Al-Qosab that the most effective span of control. This type of span of control is usually associated with organizational height. is a short span; tall is a narrow span; tall has a maximum of three to six subordinates; flat D has a maximum of six to seven subordinates: flat

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Dr. Ghazi Abdalrahman Al-Qosab has given some important points related to the span of control in his book "Life in Management." According to him, the most effective span of control is a short span. The short span of control is usually associated with organizational height and has a maximum of three to six subordinates.

However, a tall span of control is a narrow span that has a maximum of six to seven subordinates, while a flat span of control has more than seven subordinates.  the most effective span of control. The article will also cover the advantages and disadvantages of different spans of control and conclude with a summary of the key points. according to Dr. Ghazi Abdalrahman Al-Qosab, the most effective span of control is a short span that is associated with organizational height. However, tall and flat spans of control also have their advantages and disadvantages. The tall span of control is a narrow span that has a maximum of six to seven subordinates, while the flat span of control has more than seven subordinates. A tall span of control leads to more levels of hierarchy, which can cause communication problems and lead to a slow decision-making process. On the other hand, a flat span of control leads to a wide span of control that can result in overloaded managers and lack of supervision. organizations should choose the span of control that suits their needs and objectives.

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In recording cash paid by the company to the withdrawing partner, the journal entry to include his/her capital account in credit and cash account is debit True False

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False,The statement "the journal entry to include his/her capital account in credit and cash account is debit" is false.

False.

When recording cash paid by the company to a withdrawing partner, the journal entry would typically involve decreasing the withdrawing partner's capital account and decreasing the cash account. This means that the capital account of the withdrawing partner would be debited, and the cash account would be credited.

The journal entry would look something like this:

Debit: Partner's Capital Account

Credit: Cash

By debiting the partner's capital account, we are reducing their ownership interest in the company. This reflects the fact that they are withdrawing from the business and taking their share of the capital.

On the other hand, by crediting the cash account, we are recording the outflow of cash from the company to the withdrawing partner.

It's important to note that the specific accounts used in the journal entry may vary depending on the accounting system and the account structure of the company. However, the general principle remains the same - the withdrawing partner's capital account is debited, and the cash account is credited.

In summary, the statement "the journal entry to include his/her capital account in credit and cash account is debit" is false. The journal entry would involve debiting the partner's capital account and crediting the cash account.

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True or False a common point of deployment failure regarding workflow is misconfigured user privileges.

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True. Misconfigured user privileges can indeed be a common point of deployment failure regarding workflow.

When deploying a workflow system, it is important to set up user privileges correctly to ensure smooth and efficient operations. User privileges determine the level of access and permissions that users have within the workflow system. This includes privileges such as creating, modifying, and deleting tasks, accessing specific resources or data, and performing certain actions or functions.

Misconfigured user privileges can lead to deployment failures in several ways:

Limited Access: If user privileges are set too restrictively, users may not have access to the necessary resources or data required to complete their tasks. This can result in delays, errors, or incomplete workflows, hindering the overall workflow process.Unauthorized Actions: On the other hand, if user privileges are set too permissively, users may have access to functions or actions they should not have. This can lead to unintended modifications, deletions, or unauthorized actions within the workflow system, compromising data integrity and security.Workflow Bottlenecks: Misconfigured user privileges can also create bottlenecks in the workflow process. For example, if certain users are granted excessive privileges, they may become bottlenecks by being the only ones authorized to perform critical actions. This can slow down the overall workflow and cause delays in task completion.Compliance and Governance Issues: Misconfigured user privileges can result in compliance and governance issues. If sensitive data or operations are not adequately protected or if regulatory requirements are not followed due to misconfigured privileges, it can lead to legal and compliance risks for the organization.

To mitigate these risks, it is crucial to carefully configure user privileges during workflow system deployment. This involves properly defining roles and responsibilities, granting appropriate access rights based on job requirements, regularly reviewing and updating privileges as needed, and implementing strong authentication and authorization mechanisms. By ensuring that user privileges are accurately set up, organizations can minimize deployment failures and promote efficient and secure workflow operations.

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Take particular note of the Role of Australian Securities and
Investments Commissions (ASIC)

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The Australian Securities and Investments Commissions (ASIC) is a government organization with the responsibility of regulating financial services in Australia. The main roles of ASIC include the following:Role of ASIC in Investor protection: ASIC provides protection to investors by ensuring that they receive clear, accurate, and timely information about financial products and services.

This is done through the use of regulatory frameworks that aim to ensure that financial services providers adhere to ethical and professional standards.Role of ASIC in Market Integrity: ASIC regulates financial markets to ensure that they operate efficiently and transparently. This is done through the use of market surveillance, enforcement actions, and risk assessments. ASIC also oversees the licensing of market operators and monitors market activity to detect any signs of manipulation, fraud, or insider trading.Role of ASIC in Consumer Protection: ASIC plays a vital role in protecting consumers from unscrupulous financial practices. This is achieved through the use of a range of regulatory frameworks, including disclosure requirements, product intervention powers, and licensing conditions. ASIC also monitors and enforces compliance with consumer protection laws, ensuring that financial services providers act in the best interests of their clients.Role of ASIC in Corporate Governance: ASIC is responsible for ensuring that companies comply with corporate governance requirements. This includes monitoring the conduct of directors, ensuring that financial statements are accurate and reliable, and ensuring that companies act in the best interests of their shareholders. ASIC also regulates corporate takeovers, mergers, and acquisitions, ensuring that these transactions are conducted in a fair and transparent manner.In summary, ASIC plays a critical role in ensuring the integrity of Australia’s financial markets, protecting investors, consumers, and shareholders, and promoting good corporate governance practices.

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The nominal, risk-free rate on T-bills recently is 2.31%. If the real rate of interest is 0.81%, what is the expected level of inflation? The expected level of inflation, IP, is %

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The nominal, risk-free rate on T-bills recently is 2.31% and the real rate of interest is 0.81%. We can find the expected level of inflation by the following formula: Inflation premium = nominal rate - real rate = nominal rate - real rate = 2.31 - 0.81

The expected level of inflation = Nominal rate - Real rate

Using the values you provided:

Nominal rate = 2.31%

Real rate = 0.81%

Expected level of inflation = 2.31% - 0.81% = 1.50%

IP = 1.50

The expected level of inflation is 1.50%. Therefore, the expected level of inflation is 1.50%.

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Diagnostic Supplies has expected sales of 175,000 units per year, carrying costs of $5 per unit, and an ordering cost of $7 per order. a. What is the economic ordering quantity?

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The economic ordering quantity (EOQ) for Diagnostic Supplies is approximately 700 units.

How to calculate the economic ordering quantity for Diagnostic Supplies?

We can use the following formula to calculate the economic ordering quantity (EOQ):

EOQ = ((2 * Annual Demand * Ordering Cost) / Unit Carrying Cost)

Given:

Annual Unit Demand = 175,000

Ordering Fee = $7.00 per order

Carrying Cost per Unit = $5.00

Let's figure out the EOQ:

EOQ = √((2 * 175,000 * $7) / $5)

EOQ = √((2 * 1,225,000) / $5)

EOQ = √(2,450,000 / $5)

EOQ = √490,000

700 units are required as an EOQ.

As a result, the economical ordering quantity for Diagnostic Supplies would be be  around 700 units.

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1. In 1998, using grant money from the Environmental Protection Agency (EPA), OTA subsidized the creation of "integrated contingency plans" at two companies, one of which was Franklin Paint. From the case find out laws that is requirement for the project initiated by s Franklin Paint. Explain their importance for the Franklin Paint ( 10 Marks )

2. "Our people are the most important factor we have," said Schultz. "We want to keep them as long as we can and we want to keep them healthy." In your opinion , why do you think Schultz has emphasized on this statement ( 5 MARKS )

3. Develop a diagram that shows the method in which the Franklin Paint has reduced the Toxics Use ( 5 MARKS )

4. Summarize the case study in your word. ( 5 Marks)

5. Read the case and solve the crossword puzzle ( 5 Marks)

Answers

1. Laws that is requirement for the project initiated by Franklin Paint are:

a. Resource Conservation and Recovery Act (RCRA)

b. Clean Water Act

c. Occupational Safety and Health Act (OSHA)

d. Emergency Planning and Community Right-to-Know Act (EPCRA)

e. Clean Air Act (CAA)

The importance of these laws for the Franklin Paint are:a. Resource Conservation and Recovery Act (RCRA) - RCRA governs the disposal of hazardous waste. Franklin Paint is a manufacturer of paint, which means it is producing hazardous waste. The act requires the proper disposal of hazardous waste.

b. Clean Water Act - Franklin Paint produces paint which requires the use of water. The act requires companies to obtain a permit for their discharge of pollutants into navigable waterways.c.

d. Emergency Planning and Community Right-to-Know Act (EPCRA) - EPCRA requires companies that store or use hazardous materials to submit an emergency plan. Franklin Paint is required to submit an emergency plan to protect employees and nearby communities.

e. Clean Air Act (CAA) - Franklin Paint must comply with air emissions standards for pollutants emitted from its manufacturing process. In 1998, OTA subsidized the creation of "integrated contingency plans" at two companies, one of which was Franklin Paint. It was to create a better plan for emergency response situations. There were several laws that were required by the company, like Resource Conservation and Recovery Act (RCRA), Clean Water Act, Occupational Safety and Health Act (OSHA)

Therefore,Emergency Planning and Community Right-to-Know Act (EPCRA), and Clean Air Act (CAA). Schultz, the CEO of the company, knew the importance of keeping the employees happy and healthy because they are the most important factor for the company.

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Close the following accounts for the period: Revenue $1,000 Expenses $800 1 IBO $500 WBO $100

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The revenue and expense accounts will be closed, leaving only the income summary account with a balance of $200. To close the income summary account, it will be debited and credited to the respective owners' capital accounts. The balance of $200 is credited to the capital accounts of IBO and WBO. The accounts are then closed, leaving only the capital accounts with the $200 credit.

To close the income summary account, it will be debited and credited to the respective owners' capital accounts. The balance of $200 is credited to the capital accounts of IBO and WBO. The accounts are then closed, leaving only the capital accounts with the $200 credit. Closing entries are journal entries made at the end of the accounting period to transfer the balances of the temporary accounts to the permanent accounts.

The purpose of the closing entries is to reset the balances of the temporary accounts to zero on the general ledger before the start of the next accounting period. Revenue, expenses, and dividends are temporary accounts that are closed at the end of the accounting period. Revenue and expenses accounts are closed to income summary account while the income summary account is closed to retained earnings account. The dividends account is closed directly to retained earnings account.The balance in the revenue account is $1,000 and the balance in the expense account is $800. The revenue and expense accounts are temporary accounts. To close these accounts, you will debit the revenue account for $1,000 and credit the income summary account for $1,000. You will debit the income summary account for $800 and credit the expense account for $800. This transfers the balances of the temporary accounts to the income summary account.

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State the effect of the following transactions on the debt to asset ratio. Use increase, decrease, or no effect for your answer. Payment of $40,000 rent with land. O Increase Decrease O No Effect nove to save all answers.

Answers

The effect of paying $40,000 rent with land on the debt to asset ratio is a decrease. Option B is the correct answer.

The debt to asset ratio is a measure of a company's leverage and indicates the proportion of its assets that are financed by debt. When the company pays $40,000 rent with land, it reduces its debt obligation, which in turn decreases the amount of debt in relation to its total assets. As a result, the debt to asset ratio decreases.

Since the payment of rent with land does not involve taking on additional debt or acquiring new assets, it does not have an impact on the overall level of debt or assets. Therefore, the transaction has a decrease effect on the debt to asset ratio. Option B is the correct answer.

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In Santa Barbara, Private Investment is 30 percent of GDP, and Private Saving is 25 percent of GDP. The Government is running a 4 percent fiscal surplus. We are therefore expecting a current account balance of: (1) 1 percent, (11) 7 percent, (iii) zero percent, (iv) negative 1 percent, (v) negative 7 percent.

Looking at the national accounts for GDP, would you describe what has happened to the labor income share over time? Is there a way to account for these trends?

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The expected current account balance is negative 1 percent, So, the answer is option iv. The income share for labor has been declining since the 1970s, with most of the income gains going to owners of capital.

The expected current account balance can be found by adding private savings and the fiscal balance then subtracting private investment from the sum.

Private Investment is 30 percent of GDP and Private Saving is 25 percent of GDP.

The Government is running a 4 percent fiscal surplus. To calculate the current account balance, add the fiscal surplus and private savings, then subtract private investment:

4% fiscal surplus + 25% private savings = 29% 29% - 30% private investment = -1%

The expected current account balance is negative 1 percent, meaning that the country is a net debtor to the rest of the world.. Option iv is correct.

Looking at the national accounts for GDP, the labor income share has generally decreased over time. The income share for labor has been declining since the 1970s, with most of the income gains going to owners of capital.

This trend has been observed across many countries and is often referred to as the "capital share increase."

Several factors may account for this trend, including globalization, technological advances, and changes in labor market institutions.

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When shares are issued for noncash assets, the cost of the assets acquired is equal to the fair market value of the shares issued.

True or False

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The given statement, "When shares are issued for noncash assets, the cost of the assets acquired is equal to the fair market value of the shares issued" is true.

Noncash assets are non-monetary items or goods that can be used in the production process and that are owned by a business or entity. These items are categorized as intangible or tangible assets and include anything from equipment and machinery to buildings and intellectual property.What is a fair market value?The fair market value is the amount that the asset would sell for in an open marketplace where both the buyer and seller are knowledgeable about the asset and have no compulsion to buy or sell it.

The fair market value is the most realistic estimate of the worth of a property or asset that might be made in a sale.

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In this scenario, your company has recently participated in a hostile take-over of one of your main competitors. As you can imagine, considerable tension and anxiety is paramount due to the obvious duplication of some positions and departments. There is an immediate need to address this concern including the possibility of staff reduction. After reviewing all related course and resource materials, and conducting your own research, complete the following discussion question:

Explain how you will apply the leadership concepts of respectful communication, ethical decision making, relationship building, and conflict resolution in order to make this a smooth and effective transition for all employees. Remember to address each of the following:

(1) respectful communication,

(2) ethical decision making,

(3) relationship building, and

(4) conflict resolution

Answers

In the case where your company has recently taken over one of its main competitors, there would be significant tension and anxiety due to the apparent duplication of positions and departments. In order to make this transition successful and effective for all workers, the following leadership principles must be applied:

1. Respectful communication:When it comes to addressing worker concerns, respectful communication is essential. Managers must prioritize open and honest conversations, listen carefully to the workers' viewpoints, and demonstrate empathy and comprehension. This will foster an environment of trust and mutual respect, as well as assist workers in adapting to the new situation.

2. Ethical decision-making:It is critical to maintain ethical standards while dealing with workers who may be facing dismissal or job reassignment due to the takeover. This necessitates making tough decisions with sensitivity and compassion, as well as following established policies and regulations to ensure that all personnel are treated fairly and without bias

.3. Relationship building:Creating a sense of unity and shared purpose among personnel will aid in the successful integration of the two businesses. This involves collaborating closely with workers, recognizing their unique strengths and contributions, and seeking opportunities for cross-training and skill-building.

4. Conflict resolution:Finally, conflict resolution abilities are critical in this situation, as tensions are expected to run high. Managers must be able to swiftly address disagreements and disputes, foster dialogue and negotiation, and develop solutions that benefit all parties concerned.

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HR contributes to a focus strategy in recruiting and retaining employees who understand the focal market -- the product, the language, the culture, the gender, or the ethnicity of the consuming population. True False Question 12 (5 points) Listen This type of strategy determines what businesses the corporation will operate. Question 13 (5 points) 4 Listen The overall set of expectations held by an individual with respect to what s/he will contribute to the organization and what the organization will provide the individual in return. Z Question 14 (5 points) Listen To gain a competitive advantage, all organizations guided by HR, should endeavor to do the following: Hire the right people, Train them to be effective, Place them in the right jobs, Motivate them to work smart, and strive to retain them. 4 True False Question 15 (5 points) Listen This type of strategy outlines how the organization will manage each of its major functions to include human resources. A/

Answers

HR contributes to a focus strategy in recruiting and retaining employees who understand the focal market -- the product, the language, the culture, the gender, or the ethnicity of the consuming population. The given statement is True.

By finding and keeping personnel who are familiar with the focal market, including its product, language, culture, gender, and ethnic makeup, HR may help an organization achieve its goals. An organization can better understand and cater to the individual wants and preferences of its clients by employing staff members with knowledge and experience relevant to the target market.

The creation of more successful marketing plans, the localization of products, and the strengthening of ties with the target market can all benefit from this. In order to find and recruit people that have the needed knowledge and competence in the target market, HR is essential.

Thus, the mentioned above-given statement is true.

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Question 58 3 points Save Answer XYZ Corporation, located in the United States, has an accounts payable obligation of ¥639 million payable in one year to a bank in Tokyo. The current spot rate USDJPY

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Let's assume that the current spot rate for USDJPY is 110. This means that 1 U.S. dollar (USD) is equivalent to 110 Japanese yen (JPY).

Now, with the spot rate set at 110 USDJPY, we can calculate the amount in U.S. dollars that XYZ Corporation needs to pay for its accounts payable obligation of ¥639 million.

Amount in U.S. dollars = (Amount in Japanese yen) / (Spot rate USDJPY)

Amount in U.S. dollars = ¥639,000,000 / 110

Amount in U.S. dollars ≈ $5,809,090.91

Therefore, based on the assumption of a spot rate of 110 USDJPY, XYZ Corporation would need to pay approximately $5,809,090.91 in U.S. dollars to fulfill its accounts payable obligation of ¥639 million to the bank in Tokyo.

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a bond with par value of $1,000 has an annual coupon rate of 6.0 nd currently sells for $940. what is the bond’s current yield? (round your answer to 2 decimal places.)

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The bond's yield to maturity that sells at $1000 with 6.0coupon rate is 11.75%.A coupon or coupon payment is the annual interest rate paid on a bond, expressed as a percentage of the face value and paid from issue date until maturity. Coupons are usually referred to in terms of the coupon rate

Coupon rate or nominal yield = annual payments ÷ face value of the bond

Current yield = annual payments ÷ market value of the bond

A bond with a par value of $1,000 and a coupon rate of 4% will have annual interest payments of 4% x $1,000 = $40. If a 4% coupon bond is issued when market interest rates are 4%, the bond is considered trading at par value since both market interest and coupon rates are equal.

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Holding everything else constant enterprise value will increase, if Select one: O the current liabilities decrease. O the required rate of return increases. O the net debt increases. O the current assets increase.

Answers

Holding everything else constant, enterprise value will increase if the current assets increase. So the right  option is he current assets increase.

Enterprise value (EV) is an accounting measure that includes the market capitalization of a firm's equity as well as its outstanding debt and cash. It's calculated as a firm's market capitalization plus debt, minority interest, and preferred shares, minus total cash and cash equivalents.

Here are the given options to choose from which will increase the enterprise value: Holding everything else constant, enterprise value will increase if the current assets increase.Thus, we can say that the correct option is O the current assets increase.

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8. The stockholders' equity section of the balance sheet for Scuba Gear Corporation appeared as follows before its recent stock dividend: Common stock, $5 par, 100,000 shares issued and outstanding $ 500,000 Additional paid-in capital 100,000 Retained earnings 725,000 Total stockholders' equity $1,325,000 Scuba Gear declared a 10% stock dividend when the market price per share was $8. After the stock dividend was distributed, the components of the stockholders' equity section were: Common Stock Add'l. Paid-in Capital Retained Earnings a. $580,000 $100,000 $645,000 $550,000 $100,000 $675,000 $550,000 $130,000 $645,000 d. There would be no change in the components of stockholders' equity.

Answers

The correct components of the stockholders' equity section after the stock dividend is distributed are: Common Stock: $550,000 Additional Paid-in Capital: $130,000 Retained Earnings: $645,000. Option C

The correct components of the stockholders' equity section after the stock dividend is distributed would be:

Common Stock: $550,000

Additional Paid-in Capital: $130,000

Retained Earnings: $645,000

To determine the components of stockholders' equity after a stock dividend, we need to consider the impact of the dividend on the number of shares and the retained earnings of the company.

In this case, Scuba Gear Corporation declared a 10% stock dividend. A stock dividend involves distributing additional shares of stock to existing shareholders rather than cash. The number of shares outstanding will increase by 10% as a result of the dividend.

The stock dividend will increase the number of common shares outstanding by 10% of the existing shares, which is 10,000 shares (10% of 100,000 shares). Therefore, the new total number of shares outstanding after the dividend will be 110,000 shares.

To determine the impact on the components of stockholders' equity, we need to consider the par value of the shares and the market value per share at the time of the dividend declaration.

The par value of the common stock remains the same at $5 per share. Therefore, the common stock component will increase by 10% of the par value, which is $50,000 (10,000 shares * $5).

The additional paid-in capital component will increase by the market value of the shares distributed as dividends. The market value per share at the time of the dividend declaration is $8, so the additional paid-in capital will increase by 10% of the market value, which is $80,000 (10,000 shares * $8).

The retained earnings component will decrease by the sum of the common stock and additional paid-in capital increases, which is $130,000 ($50,000 + $80,000). Option C

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The current earnings per share is $10 for dansome corp. the implied price earnings ratio is 5. the present value of future cash flow per share is: _________

a. 50
b. 60
c. 70
d. none Of above

Answers

Given: Earnings per share = $10 Implied price-earnings ratio = 5Now, We know that Price-earnings ratio = Market price per share/Earnings per share implied market price per share = 5 × 10 = $50. Hence the correct option is d i.e. none of the above.

Now, Price per share = Present value of future cash flow per share ÷ (1 + required rate of return)Present value of future cash flow per share = Price per share × (1 + required rate of return)Using this equation, we can find the present value of future cash flow per share as follows:50 = PV × (1 + R)PV = 50 ÷ (1 + R)

Again, using the given information, we can write the following equation: Earnings per share = Present value of future cash flow per share ÷ Number of shares10 = PV ÷ 1PV = 10 × 1 = 10 Now, equating both the above PV values, we get:10 = 50 ÷ (1 + R)1 + R = 50/10 = 5R = 5 − 1 = 4PV = 50 ÷ (1 + 4) = 50/5 = $10

Hence, the present value of future cash flow per share is $10.Option d. none Of the above is the correct answer.

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You are going to deposit $600 in a bank CD today, and you will withdraw the money only once the balance is $1,000. If the bank pays 7 percent interest, how long will it take for the balance to reach $1,000?

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If the bank pays 7 percent interest, 10 years will it take for the balance to reach $1,000.

To calculate how long it would take for a balance to reach $1,000 if 7% interest is paid and $600 has been deposited in a bank CD, we will use the following formula:

Future value = Present value × (1 + rate of interest)n

Where FV = Future Value PV = Present Value i = rate of Interest n = Number of compounding periods

Taking the above formula into consideration, we have:$1,000 = $600 × (1 + 7/100)n

Simplifying the equation:$1,000/$600 = (1 + 7/100)n(5/3) = (1.07)n

On simplifying further:n = log(5/3) / log(1.07)n = 10.24 periods

Using the above result and knowing that interest is compounded annually, we can say that it will take approximately 10 years for the balance to reach $1,000.

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How much will it cost to purchase a two-level retirement annuity that will pay $3000 at the end of each month for the first 15 years, and $2000 per month for the next 10 years? Assume that the payments represent a rate of return to the annuitant (the person receiving the payments) of 6% compounded monthly.

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It will cost approximately $535,388.46 to purchase the two-level retirement annuity that will pay $3000 per month for the first 15 years and $2000 per month for the next 10 years, assuming a rate of return of 6% compounded monthly.

To calculate the cost of purchasing a two-level retirement annuity, we need to determine the present value of the future cash flows.

For the first 15 years, the annuity pays $3000 per month. Using the formula for the present value of an ordinary annuity, with a monthly interest rate of 0.06/12 and a total of 15*12 = 180 periods, we find:

PV1 = 3000 * [(1 - (1 + 0.06/12)^(-180))/(0.06/12)] = $360,676.75

For the next 10 years, the annuity pays $2000 per month. Similarly, using the same formula but with a total of 10*12 = 120 periods, we get:

PV2 = 2000 * [(1 - (1 + 0.06/12)^(-120))/(0.06/12)] = $174,711.71

The total cost to purchase the two-level retirement annuity is the sum of PV1 and PV2:

Total Cost = PV1 + PV2 = $360,676.75 + $174,711.71 = $535,388.46

Therefore, it will cost approximately $535,388.46 to purchase the two-level retirement annuity that will pay $3000 per month for the first 15 years and $2000 per month for the next 10 years, assuming a rate of return of 6% compounded monthly.

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What urban planning and Redevelopment lessons were learned from hurricane katrina?

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The Hurricane Katrina struck the city of New Orleans in August 2005. It was a major natural disaster that claimed over 1,800 lives and caused billions of dollars in damages. Urban planning and redevelopment efforts after Hurricane Katrina aimed to rebuild and transform the city while addressing the vulnerabilities that led to the disaster.

Here are some lessons learned from Hurricane Katrina:

1. Sustainable urban planning is essential .Sustainable urban planning is the key to reducing the vulnerability of cities to natural disasters. The planning should take into account environmental factors such as the location of wetlands, topography, and flood zones, and should promote the use of green infrastructure to mitigate the impact of natural disasters.

2. The importance of disaster management planning. Disaster management planning is a critical part of urban planning. It should include the establishment of evacuation plans, emergency response plans, and other measures to prepare for natural disasters.

3. The need for community involvement. Community involvement is essential in urban planning and redevelopment efforts. The community should have a say in the decision-making process, and their input should be considered in all stages of the planning process.

4. The importance of affordable housing. Affordable housing is a crucial factor in disaster recovery and rebuilding. Without affordable housing options, many people will be forced to leave the city, and the community will suffer.

5. The role of technology in disaster recovery. Technology can play a critical role in disaster recovery efforts. Tools such as geographic information systems (GIS) can help planners and emergency responders to better understand the needs of the community and the impact of natural disasters.

Hurricane Katrina, which struck New Orleans in 2005, was one of the most severe natural disasters in US history, claiming over 1,800 lives and causing billions of dollars in damages. The hurricane highlighted the need for sustainable urban planning and redevelopment efforts to reduce the vulnerability of cities to natural disasters. The planning process should take into account environmental factors such as topography, flood zones, and the location of wetlands to promote sustainable and resilient development. Community involvement is also crucial, and planners should consider input from the community at all stages of the planning process. Disaster management planning is also essential, and the city should have emergency response plans, evacuation plans, and other measures in place to prepare for natural disasters.

The importance of affordable housing is also critical for disaster recovery, and planners should work to provide affordable housing options to avoid displacement and support community recovery. Finally, technology can play a critical role in disaster recovery efforts, and GIS can help planners and emergency responders to better understand the needs of the community and the impact of natural disasters.

Urban planning and redevelopment lessons learned from Hurricane Katrina include the importance of sustainable urban planning, disaster management planning, community involvement, affordable housing, and the role of technology in disaster recovery. These lessons can help cities to become more resilient to natural disasters and better prepared for future disasters. Planners should work to incorporate these lessons into their planning efforts to support sustainable and resilient development.

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Which of the following cannot be claimed on the TP-1015.3-V?

a. Amounts transferred from a spouse
b. Registered Retirement Savings Plan deduction
c. Amount for dependants
d. Basic amount

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The following option cannot be claimed on the TP-1015.3-V in amounts transferred from a spouse. Here option A is the correct answer.

TP-1015.3-V is a Revenu Québec form that is completed by the owner or co-owner of a qualifying security, investment plan, or annuity to report the applicable information to Revenu Québec. This form is used to file tax returns and to notify the government of certain details. TP-1015.3-V form must be filled by a qualified security holder who has received an RL-18 slip, an RRSP issuer, and a subscriber to an investment plan. The form has six sections and twenty-four lines which contain a variety of financial details about the qualifying security, investment plan, or annuity.

Each line on the TP-1015.3-V form is used to record a different kind of investment income or deduction. The list of different kinds of investment income or deductions which can be claimed on the TP-1015.3-V are as follows: Gross-up of dividends on Canadian taxable dividends, Foreign non-business income tax paid, Tax credit for dividend tax on eligible dividendsFederal dividend tax credit, Gross-up of interest on bonds and debenturesInterest on a student loan, Amount for dependants, Donations and gifts, Tax credit for a contribution to a Quebec political party, Registered Retirement Savings Plan deduction, Quebec Pension Plan or Canada Pension Plan contributions, Amounts transferred from an RRSP or a registered pension plan, Net partnership income or loss, Non-capital losses, Basic amountEmployment income claimed on line 101 of the federal return, Investment expenses, Other deductionsInterest paid on borrowed money to invest in a business or for investment purposes

Capital gains deduction is allowable on the disposition of qualified farm or fishing property, Capital gains deduction allowable on the disposition of small business corporation shares, Non-refundable tax credit for interest on student loans, Political contributions made to registered federal political parties, Political contributions made to registered Quebec political partiesThe Amounts transferred from a spouse cannot be claimed on the TP-1015.3-V.

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Every year, as a CEO of a company, you are required to write an annual formal report. In your opinion, what are the necessary parts that you should mention in this report. Provide the justification for your choice
ANSWER a):

b. Give three examples of emotional terms that should be avoided in the report above. Briefly explain the main reasons why such terms should be avoided.

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An annual formal report will help the company's management, stakeholders, shareholders, and investors evaluate the company's financial performance and growth.

Here are the necessary parts that should be included in an annual formal report:

1. Executive Summary: This section provides a summary of the entire report, including the company's financial performance, challenges, and growth opportunities.

2. Company Overview: The company's background information, mission, and vision should be included in this section. This will help readers understand the company's values and objectives.

3. Financial Performance: This section discusses the company's financial performance, including revenue, expenses, profit, and loss statements. Additionally, it includes any risks that may affect the company's financial performance in the future.

4. Marketing and Sales: The company's marketing and sales strategies are explained in this section. It should include details on the company's target market, customer base, and marketing efforts.

5. Operations: This section discusses the company's operational strategies and methods. It should also include details of any significant changes or improvements in the company's operations.

6. Human Resources: This section should provide information on the company's employees, including the number of employees, their roles, and any significant HR policies.

7. Conclusion: This section summarizes the report's key findings and includes recommendations for future growth. The justification for including all of these parts is that it provides a comprehensive overview of the company's financial performance and growth potential. Additionally, it helps the company's management make informed decisions and improve its overall performance.

Emotional terms that should be avoided in the report include:

1. Terrifying: The term can create fear and panic in the readers and stakeholders.

2. Shocking: The term can create anxiety and a negative impact on the reader.

3. Disgusting: The term can create a negative impression on the company, its operations, and the reader.

The main reason why these terms should be avoided is that they create a negative impression on the company and can harm its image. Additionally, they can create panic and anxiety in the readers, leading to a lack of confidence in the company's management.

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Prepare an income statement, balance sheet and statement of cash flows. It doesn't need to be perfect I know there's some problem in there I just need another perspective please.

Cash – 3000

Salaries Payable - 900

Accounts Payable - 100

Accounts Receivable –600

Office Supplies – 50

Unearned shoe revenue - 200

Equipment - 2600

Men's Shoe Revenue - 715

Rent Expense - 153

Supplies Expense - 85

Depreciation (Equipment) – 35

Salaries expense - 420

Utilities Expense – 35

Advertising Expense – 250

Prepaid Rent – 250

Baily Prince Capital - 5000

Baily Prince Draw - 500

Accumulated depreciation (equipment)– 100

Womens Shoe Sales – 750

Answers

The income statement, balance sheet and statement of cash flows are shown above. Activities Cash Flows4500Net Increase in Cash802Opening Cash Balance2198Closing Cash Balance3000.

SheetParticularsAmount($)AssetsCash3000Accounts Receivable600Office Supplies50Equipment2600Accumulated depreciation (equipment)100Prepaid Rent250Total Assets5000LiabilitiesAccounts Payable100Salaries Payable900Unearned shoe revenue200Total Liabilities1200Owner's EquityBaily Prince Capital5000Baily Prince Draw500Total Equity5500Total Liabilities and Owner's Equity6700Statement of Cash Flows:Statement of Cash FlowsParticularsAmount($)Cash Flows from Operating Activities:Net Income487Additions to CashAccounts Receivable(600)Office Supplies(50)Accumulated depreciation (equipment)100Supplies Expense85Depreciation (Equipment)35Utilities Expense35Operating Activities Cash Flows612Cash Flows from Investing Activities:Purchase of Equipment(2600)Investing Activities Cash Flows(2600)Cash Flows from Financing Activities:Issuance of Baily Prince Capital5000Payment of Baily Prince Draw(500)Financing Activities Cash Flows4500Net Increase in Cash802Opening Cash Balance2198Closing Cash Balance3000.

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What is the ""Mirror Image Rule""? What happens if the acceptance includes a modification of the offer terms?

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Mirror Image Rule is a legal rule in contract law that requires an acceptance of an offer to be exactly the same as the offer that was made.

If the acceptance includes a modification of the offer terms, it is not an acceptance but a counteroffer Mirror Image Rule refers to the legal rule in the contract law that requires an acceptance of an offer to be exactly the same as the offer that was made. This means that the terms of the acceptance must mirror or match the terms of the offer precisely. Otherwise, the acceptance would be considered as a counteroffer, and the original offer would be terminated. Additionally, if the acceptance includes any modification or changes to the terms of the offer, it is not an acceptance but a counteroffer.

When a party makes an offer to another party, the party receiving the offer can either accept it or reject it. If the offer is accepted, a contract is formed, and both parties are bound by the terms of the contract. The Mirror Image Rule is a fundamental principle of contract law that requires the acceptance of an offer to be exactly the same as the offer that was made. If the acceptance includes any modification or changes to the terms of the offer, it is not an acceptance but a counteroffer. This means that the original offer is terminated, and the party who made the original offer can accept or reject the counter offer.

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44.On 30 June 2021, Modling Ltd borrowed $310,000 as a 6-year
interest-only loan. The interest rate is 7.5% p.a. with payments
required on June 30 each year.
In relation to this loan, state the amount

Answers

Over the 6-year term of the loan, Modling Ltd will pay $310,000 in principal and $139,500 in interest, for a total of $449,500.

The amount of interest that is due at the end of each year, for the loan that Modling Ltd took out, is $23,250. To determine the amount of interest that Modling Ltd would pay each year, we will first find the interest payable for the first year, then multiply that by the remaining number of years.

The interest payable for the first year is:

$310,000 × 7.5%

= $23,250

The interest payable for each year thereafter will be:

$23,250 × 5

= $116,250

Therefore, over the 6-year term of the loan, Modling Ltd will pay $310,000 in principal and $139,500 in interest, for a total of $449,500.

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According to the text, tax planning would involve all but one of the following questions:
Multiple Choice
a) What will be the impact of a new tax rate on our tax liability?
b) Are we minimizing our tax burden by tracking all eligible deductible expenses and transactions that qualify for tax credits?
c) What would be the impact of relocating our headquarters to a different city, state or country?
d) How to minimize taxes on the tax return on the fiscal year just ended?

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According to the text, the question that would not be involved in tax planning is How to minimize taxes on the tax return on the fiscal year just ended?

The option (D) is correct.

Tax planning ordinarily centers around proactive procedures to limit charge liabilities in ongoing periods. It includes assessing different expense situations, streamlining allowances and credits, and pursuing informed choices in regard to business tasks or ventures.

Minimizing taxes on a tax return for a past fiscal year would fall under charge consistency instead of duty arranging, as it manages accurately detailing and documenting charges in light of verifiable monetary information.

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classify each scenario as to whether it is likely to result in an efficient or inefficient market outcome.

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A market with perfect competition, where many buyers and sellers participate, leading to price equilibrium determined solely by supply and demand.  Efficient market outcome.

In a market with perfect competition, there are numerous buyers and sellers, and no single participant can influence prices. This leads to a situation where prices accurately reflect the equilibrium between supply and demand. Consequently, resources are allocated efficiently as prices guide the allocation of goods and services. The absence of market power ensures that consumers pay fair prices and firms have equal opportunities to compete, resulting in an efficient market outcome.

Scenario 2: A market dominated by a monopoly with substantial market power, setting high prices and limiting competition.

Inefficient market outcome.

A market dominated by a monopoly often leads to an inefficient outcome. Due to limited competition, the monopolistic firm can set prices higher than the marginal cost, resulting in reduced consumer surplus and inefficient allocation of resources. Monopolies can hinder innovation, limit consumer choices, and exploit market power for their benefit. In the absence of competition, there is less pressure to improve efficiency, lower prices, or innovate. As a result, an inefficient market outcome is likely in this scenario.

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Classify each scenario as to whether it is likely to result in an efficient or inefficient market outcome. Efficient Inefficient Answer Bank a market transaction in which buyers or sellers behave irrationally a market in which government regulation creates distortions a market dominated by a few powerful businesses a market transaction in which one party has information not available to the other party a market in which economic surplus is maximized

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