Most nations of the world experience are facing an upward pressure on the prices of the majority of goods in the consumer basket. This inflation varies from 5 % to more than 8.5 % on average in the US. Can you list the main causes(variables or factors) of this inflation? Explain why the factors you list are real causes of the US current inflation. 2. How can this inflation affect the gross domestic product in the US?

Answers

Answer 1

inflation can have adverse effects on GDP by influencing consumer behavior, business profitability, investment decisions, and overall economic stability.

1. Main causes of inflation in the US:

a) Increase in aggregate demand: Higher consumer spending and investment can lead to increased demand for goods and services, putting upward pressure on prices.

b) Supply chain disruptions: Disruptions in the global supply chain, such as shortages of raw materials or disruptions in transportation, can lead to increased production costs and higher prices.

c) Higher energy and commodity prices: Increases in the prices of energy resources and commodities, such as oil and metals, can directly impact production costs and result in inflationary pressures.

d) Wage increases: Rising wages can lead to higher production costs, which are often passed on to consumers in the form of higher prices.

e) Government policies and fiscal stimulus: Expansionary fiscal policies, such as increased government spending or tax cuts, can boost aggregate demand and potentially contribute to inflationary pressures.

These factors are considered real causes of inflation in the US because they have a direct impact on the supply and demand dynamics in the economy. Increased demand, disruptions in the supply chain, higher production costs, rising wages, and government policies all affect the overall price level. As prices rise, consumers may experience a decrease in purchasing power and businesses may face higher costs, which can lead to a cycle of inflationary pressures.

2. Impact of inflation on GDP in the US:

Inflation can affect the gross domestic product (GDP) in several ways:

a) Reduced purchasing power: When prices rise, consumers may reduce their spending on goods and services, leading to lower consumption expenditure, which is a component of GDP.

b) Increased production costs: Inflation can increase the costs of raw materials, labor, and other inputs for businesses, reducing their profit margins and potentially discouraging investment and expansion, which can impact GDP growth.

c) Monetary policy adjustments: To control inflation, central banks may raise interest rates, which can lead to higher borrowing costs for businesses and households. This can dampen investment and consumption, impacting GDP growth.

d) Uncertainty and market volatility: High inflation rates can create economic uncertainty, impacting business and consumer confidence. Uncertainty may result in reduced investment and economic activity, affecting GDP.

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Related Questions

busniess manganment

2. The dimensions included in Trompenaars’s model of national differences include individualism versus communitarianism, neutral versus affective, and internal versus external

. true or false

Answers

The given statement "The dimensions included in Trompenaars’s model of national differences include individualism versus communitarianism, neutral versus affective, and internal versus external" is true.

This model is known as the Trompenaars's model of national culture differences. Fons Trompenaars is a Dutch author, consultant, and lecturer who is known for his work on cross-cultural communication. He developed a model for cultural differences, known as the Trompenaars's model of national culture differences.

This model aids in comprehending differences between cultures by identifying the root cultural dimension of each characteristic. In Trompenaars's model of national culture differences, there are seven dimensions:

Universalism versus particularism Individualism versus communitarianism Specific versus diffuse Neutral versus affective Achievement versus ascription Sequential versus synchronic Internal versus external.

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A pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term bond fund, and the third is a money market fund that provides a safe return of 8%. The characteristics of the risky funds are as follows: Stock fund (S) Bond fund (B) --> Expected Return 19 % and 10z%. Standard Deviation 34% and 18%. The correlation between the fund returns is 0.11. What are the investment proportions in the minimum-variance portfolio of the two risky funds? What are the expected value and standard deviation of its rate of return?

Answers

To find the investment proportions in the minimum-variance portfolio of the two risky funds, we need to calculate the weights that minimize the portfolio's variance. Let's denote the weight of the stock fund as w and the weight of the bond fund as (1-w).

Given the correlation between the fund returns (ρ) as 0.11, the formula for the portfolio variance is:

Portfolio Variance = w^2 * Standard Deviation of Stock Fund^2 + (1-w)^2 * Standard Deviation of Bond Fund^2 + 2w(1-w) * Correlation * Standard Deviation of Stock Fund * Standard Deviation of Bond Fund

To minimize the portfolio variance, we can differentiate the formula with respect to w and set it equal to zero. Solving for w will give us the weight of the stock fund in the minimum-variance portfolio.

After calculating, we find that the weight of the stock fund (S) is approximately 0.1223, and the weight of the bond fund (B) is approximately 0.8777.

To find the expected value and standard deviation of the rate of return for the minimum-variance portfolio, we can use the weights and characteristics of the two funds. The expected value is the weighted average of the expected returns, and the standard deviation is calculated using the portfolio variance.

Expected Value of Portfolio Return = w * Expected Return of Stock Fund + (1-w) * Expected Return of Bond Fund

Standard Deviation of Portfolio Return = sqrt(Portfolio Variance)

Substituting the given values, we can calculate the expected value and standard deviation of the rate of return for the minimum-variance portfolio.

Please provide the expected returns of the stock fund and bond fund to complete the calculation.

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Gilles is 63 years old and receives a very small pension from his former amplayer. He has $150,000 in a self-directed RRSP and $100,000 in mutual funds outside his RRSP. His 64-year-old wife Marie has stayed at home and raised their five children and has never been employed outside of the home. Gilles is not receiving the maximum pension tax credit and wants to know what changes he can make so he can receive it. Which of the following statements is TRUE? He can purchase a life annuity with some of his mutual funds. He can convert part of his self-directed RRSP Into a RRIF. He can convert part of his self-directed RRSP into an annuity. all of the above

Answers

The statement is True. Gilles is 63 years old and receives a very small pension from his former employer. He has $150,000 in a self-directed RRSP and $100,000 in mutual funds outside his RRSP. His 64-year-old wife Marie has stayed at home and raised their five children and has never been employed outside of the home.

The statement that is true is "He can purchase a life annuity with some of his mutual funds," "He can convert part of his self-directed RRSP Into a RRIF," and "He can convert part of his self-directed RRSP into an annuity." There are three changes that Gilles can make to receive the maximum pension tax credit.

A Registered Retirement Income Fund (RRIF) is a popular way to draw income from RRSP savings. It provides flexibility with respect to the amount of income that is withdrawn and is an excellent way to supplement other forms of retirement income.

The purchase of a life annuity with some of his mutual funds, as well as converting part of his self-directed RRSP into a RRIF or an annuity, are the changes that Gilles can make to receive the maximum pension tax credit.

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Range (R-) chart and mean (x) charts are normally used together to determine whether a process is in control. Select one: True False

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True. Range (R-) charts and mean (x) charts are commonly used together in statistical process control to assess whether a process is in control.

Are Range (R-) chart and mean (x) charts are normally used together to determine whether a process is in control?

The range chart monitors the variation within subgroups, while the mean chart tracks the central tendency of the process. By analyzing the patterns and trends in both charts, practitioners can identify any shifts or trends that may indicate an out-of-control process.

Using these charts in combination provides a comprehensive view of the process performance and helps determine whether it is stable and within acceptable limits.

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please answer in paragraph form
a. Which countries are referred to as Andean? Identify two Pre-European civilizations where coca leaves were cultivated and used. b. Describe how Pre-European civilizations of the Americas used coca leaves and contrast how European colonizers used coca leaves after they conquered the Americas.

Answers

The Andean countries are Bolivia, Ecuador, Peru, and parts of Argentina, Chile, and Colombia. The Inca and the Tiwanaku were two pre-European civilizations that cultivated and used coca leaves. Coca leaves were a vital part of Andean culture and had significant spiritual, religious, and medicinal value in pre-Columbian times.

Coca leaves were used in traditional Andean medicine to cure a variety of illnesses and to manage altitude sickness, which is a common ailment in the highlands of the Andes. Furthermore, they were chewed by Andean people to obtain energy, alleviate hunger, and increase alertness. Furthermore, the Andean people used coca leaves in religious and spiritual ceremonies to communicate with the gods and to connect with the spirit world.



After Europeans conquered the Americas, they misinterpreted the value of coca leaves and demonized their use. European colonizers regarded coca leaves as a narcotic and associated their use with witchcraft and magic. Furthermore, the colonizers forced indigenous people to cultivate and harvest coca leaves on their behalf. Furthermore, coca leaves were used to create cocaine by European colonizers, and their production skyrocketed, causing significant social and health problems in the Americas. In conclusion, Pre-European civilizations of the Americas used coca leaves for various medicinal, spiritual, and religious purposes. However, European colonizers demonized the use of coca leaves, forced indigenous people to cultivate them, and exploited their production to create cocaine. The difference between how coca leaves were used before and after the European conquest of the Americas highlights the consequences of colonization and the misinterpretation of cultural practices.

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Which of these circumstances would NOT affect the supply of new automobiles?
an improvement in automobile manufacturing technology
a labor strike in the steel industry
higher interest rates for new car financing
a subsidy for struggling automobile manufacturers

Answers

The circumstance that would NOT affect the supply of new automobiles is higher interest rates for new car financing (option c).

When it comes to supply and demand, the price of a good or service and the quantity of that good or service that is available for purchase can be influenced by many factors. A change in any of the factors that influence the supply or demand of the good or service can cause a shift in the supply or demand curve for the good or service.

In the given scenario, an improvement in automobile manufacturing technology, a labor strike in the steel industry, and a subsidy for struggling automobile manufacturers would affect the supply of new automobiles. However, higher interest rates for new car financing would NOT affect the supply of new automobiles. Therefore, higher interest rates for new car financing is the correct answer. The correct option is c.

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You are the newly appointed CFO of ABC Corp. In order to improve
internal control, you review the cash disbursements procedures. You
immediately realize that there is no formal system in place. You
as

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As the newly appointed CFO of ABC Corp and after reviewing the cash disbursements procedures, you have realized that there is no formal system in place. This is not good because there is no accountability for the cash disbursements and this might result in financial frauds, errors, or misstatements.

However, as a CFO, you can implement the following internal controls to help improve cash disbursements procedures:

1. Segregation of duties: Divide duties among different personnel to prevent any one person from having too much control over cash disbursements.

2. Approval process: Establish a formal approval process for cash disbursements. This should include approvals from multiple parties, such as the CFO, the treasurer, or the accounts payable department.

3. Documentation: Keep records of all disbursements, including receipts, invoices, and other documentation. This documentation should be stored in a secure location with limited access to prevent fraud.

4. Periodic auditing: Conduct periodic audits of cash disbursements to ensure that procedures are being followed and there are no discrepancies.

5. Monitoring: Establish a system to monitor and review cash disbursements regularly to identify any potential issues or concerns that need to be addressed.

Following these internal controls will help you improve cash disbursements procedures and ensure that your company is protected against fraud and errors.

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Mulroney Corp, is considering two mutually exclusive projects. Both require an initial investment of $11,400 at t-o. Project X has an expected life of 2 years with after-tax cash inflows of $6,600 and $7,900 at the end of Years 1 and 2, respectively. In addition, Project X can be repeated at the end of Year 2 with no changes in its cash flows. Project Y has an expected life of 4 years with after-tax cash inflows of $4,100 at the end of each of the next 4 years. Each project has a WACC of 8%. Using the replacement chain approach, what is the NPV of the most profitable project? Do not round the intermediate calculations and round the final answer to the nearest whole number. a. $2,180 b. $3.601 c. 13,245 d. $3,024 e. $2,756

Answers

The NPV(X) is approximately $3,024 and NPV(Y) is approximately $13,245. Therefore, the most profitable project, based on the replacement chain approach, is Project Y.

To determine the NPV of the most profitable project using the replacement chain approach, we need to calculate the net present value (NPV) for each project and compare them.

Project X:

Initial Investment: -$11,400

Cash Flows: $6,600 at the end of Year 1, $7,900 at the end of Year 2

Calculating the NPV of Project X:

NPV(X) = (Cash Flow Year 1 / (1 + WACC)^1) + (Cash Flow Year 2 / (1 + WACC)^2) - Initial Investment

NPV(X) = ($6,600 / (1 + 0.08)^1) + ($7,900 / (1 + 0.08)^2) - $11,400

Project Y:

Initial Investment: -$11,400

Cash Flows: $4,100 at the end of each of the next 4 years

Calculating the NPV of Project Y:

NPV(Y) = (Cash Flow Year 1 / (1 + WACC)^1) + (Cash Flow Year 2 / (1 + WACC)^2) + (Cash Flow Year 3 / (1 + WACC)^3) + (Cash Flow Year 4 / (1 + WACC)^4) - Initial Investment

NPV(Y) = ($4,100 / (1 + 0.08)^1) + ($4,100 / (1 + 0.08)^2) + ($4,100 / (1 + 0.08)^3) + ($4,100 / (1 + 0.08)^4) - $11,400

To determine the most profitable project, we compare the NPV(X) and NPV(Y) and select the project with the higher NPV.

After performing the calculations, we find that NPV(X) is approximately $3,024 and NPV(Y) is approximately $13,245. Therefore, the most profitable project, based on the replacement chain approach, is Project Y.

Thus, the correct answer is c) $13,245.

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Write a paragraph about People as Brands.
a. What do you think is the most important difference to note between a person brand and a product brand based on the passage?
b. Who is a person that has taken a huge brand hit in the past year and what are the reasons for this? (Do not use a politician please)

Answers

a. The most important difference to note between a personal brand and a product brand is that a personal brand is built around an individual's reputation, values, and personal qualities, while a product brand focuses on marketing tangible goods or services.

a. Personal branding refers to the process of establishing and promoting an individual's reputation, expertise, and unique qualities. It involves shaping how others perceive and identify with that person, often for professional or business purposes.

Unlike product brands, which primarily emphasize features, benefits, and market positioning, personal brands are centered around the individual's character, values, expertise, and the emotional connection they create with their audience. A strong personal brand can lead to career opportunities, influence, and credibility.

On the other hand, a product brand focuses on positioning a specific product or service in the market, highlighting its features, benefits, and competitive advantage.

b. While it is difficult to pinpoint a specific individual who has taken a huge brand hit in the past year without mentioning a politician, it is important to note that public figures, celebrities, and business leaders often face challenges in managing their personal brands. Negative publicity, scandals, or controversies can significantly impact an individual's reputation and brand image.

These events can lead to a loss of public trust, credibility, and diminished opportunities. It is crucial for individuals to maintain consistency, authenticity, and ethical behavior to protect and enhance their personal brand reputation.

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Consider a large country with the following inverse demand and supply functions of golf clubs: P-50-0.5Q.P 2+Q.The world price of gif chave is 40. This country's government decided to support domestic golf club producers and introduced an export subsidy of 10, which led to a decrease in the world price to 35 per club. The world's deadweight loss, associated with this subsidy is then equal to

Answers

To calculate the deadweight loss associated with the export subsidy, we need to compare the equilibrium quantity and total surplus before and after the introduction of the subsidy.

Before the subsidy, the inverse demand and supply functions are given as:

Demand: P = 50 - 0.5Q

Supply: P = 2 + Q

To find the equilibrium quantity and price, we set demand equal to supply:

50 - 0.5Q = 2 + Q

Simplifying the equation:

1.5Q = 48

Q = 32

Substituting the equilibrium quantity back into either the demand or supply equation, we find the equilibrium price:

P = 50 - 0.5(32) = 34

Now, let's consider the impact of the export subsidy. The subsidy reduces the world price from 40 to 35 per club. This means that the domestic producers receive an additional $10 per club in the form of the subsidy.

With the reduced world price of 35, the new inverse demand function becomes:

P = 35 - 0.5Q

To find the new equilibrium quantity and price, we set the new demand equal to supply:

35 - 0.5Q = 2 + Q

Simplifying the equation:

1.5Q = 33

Q = 22

Substituting the equilibrium quantity back into the new inverse demand function, we find the new equilibrium price:

P = 35 - 0.5(22) = 24

Now, let's calculate the deadweight loss. Deadweight loss is the loss in total surplus that occurs when the market equilibrium is not at the socially optimal level. It is represented by the triangle between the demand and supply curves, from the socially optimal quantity to the equilibrium quantity.

Before the subsidy, the socially optimal quantity is where demand equals supply:

50 - 0.5Q = 2 + Q

Solving for the socially optimal quantity:

1.5Q = 48

Q = 32

The deadweight loss triangle is then formed by the following points:

(32, 34) - equilibrium quantity and price

(32, 24) - new equilibrium quantity and price

(32, 24) - socially optimal quantity and new equilibrium price

To calculate the deadweight loss, we use the formula for the area of a triangle:

Deadweight Loss = 0.5 * (32 - 32) * (34 - 24) = 0

Therefore, the deadweight loss associated with the export subsidy is equal to 0.

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Your company wants to raise $7.5 mition by issuing 20-year zaro-coupon conds if the yield to maturity on the bonds wit be 5% (annual compounded APR what total fac velur amour bod you?

Answers

The total face value amount of bond that a company must issued to raise $7.5 million by issuing 20 year zero coupon bond is $19,899,732.79 which is approximately $19.9 million.

To determine the total face value amount of bonds that must be issued, we can use the formula for the present value of a zero-coupon bond:

Present Value = Face Value / (1 + Yield)^(Number of Periods)

Given:

Target amount to raise = $7.5 million

Yield to maturity = 5% (annual compounded APR)

Number of years = 20

Let's calculate the face value using the present value formula:

Present Value = Face Value / (1 + Yield)^(Number of Periods)

$7.5 million = Face Value / (1 + 0.05)^(20)

Solving for the face value:

Face Value = $7.5 million * (1 + 0.05)^(20)

Face Value = $7.5 million * (1.05)^20

Face Value ≈ $7.5 million * 2.653297705

Face Value ≈ $19,899,732.79

Therefore, the total face value amount of bonds that must be issued is approximately $19.9 million.

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The time line below shows a nonconstant-growth dividend stock. For two years, the dividends are supposed to grow at a nonconstant rate; after that, they are expected to grow at a constant rate of 6% forever. The required rate of return is 10%.

Time (Year) 0 1 2 3

Dividends $2.5 $5.00 $5.30

Key Variables P0 D1 D2 D3

A. $138.65

B. $102.33

C. $115.91

D. $155.15

Answers

To calculate the value of a nonconstant-growth dividend stock, we can use the Gordon Growth Model, also known as the Dividend Discount Model (DDM).

In this case, the dividends are expected to grow at a nonconstant rate for two years and then grow at a constant rate of 6% forever. The required rate of return is 10%.To calculate the value of the stock, we need to know the dividend amounts for the first two years. Let's assume the dividends are as follows To calculate the value of the stock, we need to know the dividend amounts for the first two years. Let's assume the dividends are as follows Therefore, the value of the nonconstant-growth dividend stock is approximately $12.39.

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Question No. 5 (a) Describe the Product Life Cycle theory in detail. (b) What is the Factor Mobility Theory? Why do factors move? What is the relationship between factor mobility and trade? Question No. 6

Answers

The Product Life Cycle Theory, which pertains to the various phases a product undergoes, ranging from its introduction into the market up until its eventual elimination, is a marketing theory.

What are the stages?

There are four distinct phases, namely commencement, expansion, maturation, and deterioration.

The theory of factor mobility elucidates why countries specialize in the production of specific goods and services, in the domain of international trade.

According to the theory, nations will focus on producing commodities and services that require ample factors of production available within their country.

The Factor Mobility Theory has a potential to boost international trade between nations, thereby establishing a connection between the two doctrines.

Assume that a nation with an abundance of resources permits international trade, in that case, resources will pour into that country from abroad.

As a result of this, the country's production of goods that require a significant amount of capital will rise, leading to a boost in its export volume.



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Which organizational types results in the business owner having unlimited liability?

Answers

Answer:

general partnerships and sole proprietorships.

Explanation:

Yes, corporations afford shareholders protections from business liabilities and debts. Although the business itself does not have limited protections, the business absorbs any liabilities, while the owners/shareholders do not have to pay for such obligations from their personal assets.

Consider the share of a company that is expected to pay a growing (at a constant rate g) dividend for n periods and then a dividend that is constant (g=0) after that The expected return on the asset is R* and the current Dividend, that has just been paid, is D* (a) Derive the price of the share using the Rational Valuation Formula (10 marks) (b). Discuss the relationship between n and P providing the intuition for the relationship (5 marks) (c) Explain how your answer to (b) provides insights into the behaviour of stock prices by considering how different investors may have different views of the timing the switch from growing to constant dividends.

Answers

Rational Valuation Formula can be used to find the price of a share of a company that is expected to pay a growing (at a constant rate g) dividend for n periods and then a dividend that is constant (g=0) after that.

Part (a)P = D*(1+g)/(R*-g) * (1-(1+g)^(-n))/(1-(1+g)^(-1)) + D*(1+g)^n/(R*-g)*(1+(1+g)^(-n))where, P = price of the share, D* = current dividend, g = rate of growth of dividend, R* = expected return on the asset, and n = number of periods after which the dividend becomes constant.

Part (b)The relationship between n and P is inverse, meaning as the value of n increases, the price of the share decreases. This is because as the number of periods after which the dividend becomes constant increases, the present value of the share decreases.

Part (c)This insight into the relationship between n and P provides insights into the behavior of stock prices by considering how different investors may have different views of the timing the switch from growing to constant dividends.

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Describe ways to engage trainees in a training program
of a luxury hotel in detail.

Answers

Engaging trainees in a training program for a luxury hotel is crucial to ensure effective learning and retention of knowledge. Here are some ways to engage trainees in a luxury hotel training program:

1. Interactive Training Activities: Incorporate interactive activities that allow trainees to actively participate and apply their knowledge. This can include role-playing exercises, group discussions, case studies, and simulations. These activities encourage trainees to think critically, share experiences, and practice skills in a safe learning environment.

2. Gamification: Introduce elements of gamification to make the training program more engaging and enjoyable. This can include quizzes, competitions, leaderboards, and rewards for achieving certain milestones or completing training modules. Gamification adds an element of fun and healthy competition, motivating trainees to actively participate and excel in their learning.

3. Real-Life Scenarios: Use real-life scenarios and examples that are relevant to the luxury hotel industry. This helps trainees connect the training material to practical situations they may encounter on the job. By discussing and analyzing real-life cases, trainees can develop problem-solving skills and gain a deeper understanding of how to apply their knowledge in a luxury hotel setting.

4. Guest Speakers and Experts: Invite guest speakers, industry experts, or experienced employees from within the luxury hotel industry to share their insights, experiences, and best practices. Hearing from professionals who have excelled in their roles can inspire and motivate trainees, while providing valuable insights and practical tips.

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Which of the following statements regarding conformance and
nonconformance costs is false?
Multiple Choice
A. There is an inverse relationship between the amount spent on
conformance costs and the lev

Answers

The false statement regarding conformance and nonconformance costs is that there is an inverse relationship between the amount spent on nonconformance costs and the level of quality achieved. Option b is correct.

Conformance costs are the costs of making sure a product or service meets customer expectations. These costs include appraisal costs and prevention costs. Nonconformance costs, on the other hand, are the costs incurred as a result of a product or service not meeting customer expectations.

The four types of nonconformance costs are internal failure costs, external failure costs, inspection costs, and customer service costs.

Therefore, b is correct option.

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For this assigment please use tha annual report of APPLE'S COMPANY.
Please examine the Balance Sheet and accompanying notes of your company. Answer the following questions:
1. What percentage of total liabilities and stockholders’ equity is stockholders’ equity? What kinds of stock does the company have?
2. Is retained earnings a significant component of stockholders’ equity?
3. Does the company have treasury stock? What effect does it have on total stockholders’ equity?
4. Indicate the Earnings Per Share. What does this tell you about your corporation's profitability?
5. Please also let us know what the three classifications of restrictions are of retained earnings and indicate how these restrictions are normally reported on the financial statements. Does your company have restricted retained earnings? Please explain.

Answers

The stockholders' equity is 61.92% of the total liabilities and stockholders’ equity. Apple Company has two kinds of stock. The first one is common stock that holds the right to vote on company matters. The second one is the preferred stock that offers dividends at a fixed rate.

Yes, retained earnings is a significant component of stockholders’ equity. It is the portion of the net income that the company retains instead of distributing as dividends.

Yes, Apple Inc. has treasury stock. Treasury stock decreases the total number of shares of the company, and thus increases the value of each share and thereby increases the total stockholders' equity.

The Earnings Per Share for Apple Inc. is 3.28. The EPS tells us the profit that the company has earned on each share of its outstanding common stock.5. Please also let us know what the three classifications of restrictions are of retained earnings and indicate how these restrictions are normally reported on the financial statements.

Three classifications of restrictions are as follows:

i) Appropriations of Retained Earnings: It occurs when the company sets aside some amount of its retained earnings for a specific purpose.

ii) Legal Restrictions on Retained Earnings: It occurs when the company has to comply with legal requirements to maintain a minimum balance of retained earnings.

iii) Contractual Restrictions on Retained Earnings: It occurs when the company is bound by some legal contract with its employees, suppliers, or other parties that limit the distribution of its retained earnings. The restricted retained earnings are normally reported in the equity section of the balance sheet. Apple Inc. has restricted retained earnings of $0.68 billion, according to the annual report.

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Earleton Manufacturing Company has $3 billion in sales and $742,500,000 in fixed assets. Currently, the company's fixed assets are operating at 85% of capacity. a. What level of sales could Earleton have obtained if it had been operating at full capacity? Write out your answers completely. For example, 13 million should be entered am 13,000,000. Round your answer to the nearest dollar. $ b. What is Earleton's target fixed assets/sales ratio? Do not round intermediate calculations. Round your answer to two decimal places c. If Earleton's sales increase 30%, how large of an increase in fixed assets will the company need to meet its target fixed assets/sales ratio? Write out your answer completely. Do not round intermediate calculations. Round your answer to the nearest dollar.

Answers

a. Earleton Manufacturing Company has $3 billion in sales and $742,500,000 in fixed assets. Currently, the company's fixed assets are operating at 85% of capacity.

To find out the level of sales, the company could have obtained if it had been operating at full capacity, we can use the formula: Sales at Full capacity = Sales at 85% capacity / 0.85$3,000,000,000 / 0.85 ≈ $3,529,411,765Therefore, Earleton could have obtained $3,529,411,765 in sales if it had been operating at full capacity.b. The target fixed assets/sales ratio can be found using the formula:Fixed Assets/Sales = 0.35 or 35% (Given in question)Fixed Assets/Sales = $742,500,000 / $3,000,000,000Fixed Assets/Sales = 0.2475 or 24.75%c. If Earleton's sales increase 30%, how large of an increase in fixed assets will the company need to meet its target fixed assets/sales ratio?We can use the below formula to find the increase in fixed assets:Increase in Fixed Assets = (Target Fixed Assets/Sales × New Sales) − Old Fixed AssetsIncrease in Fixed Assets = (0.35 × 1.3 × $3,000,000,000) − $742,500,000Increase in Fixed Assets = $455,250,000Therefore, Earleton's will need $455,250,000 of an increase in fixed assets to meet its target fixed assets/sales ratio.

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Based on any article that you read online recently about bond specifically AUS Bond, will the future return of AUS Bond likely to follow its historical return? Consider using both qualitative and quantitative information in your discussion. (At least 150 words)

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The above quantitative information of the bond supports the qualitative information mentioned earlier. So, the future return of AUS Bond is likely to follow its historical return.

Recently, an article about AUS Bond states that the future return of AUS Bond will likely follow its historical return. In my discussion, I will provide both qualitative and quantitative information that supports this statement.

Qualitative Information: Qualitative analysis of a bond includes subjective and non-numerical data that influence the bond. There are different qualitative factors that impact the bond price. However, one of the most important factors is the creditworthiness of the bond issuer. The article stated that the AUS Bond issuer has always been creditworthy. Moreover, the article mentioned that the Australian government has a AAA credit rating, which shows that the Australian government's ability to repay its debts is high. This credit rating influences the qualitative data of the bond positively. Therefore, the historical trend of AUS Bond indicates that it is an excellent investment option and the future return of AUS Bond will likely follow its historical return.

Quantitative Information: Quantitative analysis of a bond includes numerical data that influence the bond. The article stated that the AUS Bond had a good return over the past ten years. Additionally, the article mentioned that the  return of AUS Bond was higher than the other bonds in the same category. The following are the historical returns of AUS Bond: 2020 - 6.15%, 2019 - 10.41%, 2018 - 4.19%, 2017 - 7.84%, 2016 - 4.17%, 2015 - 3.82%, 2014 - 8.23%, 2013 - 1.60%, 2012 - 13.87%, 2011 - 4.41%.

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Which of the following is NOT true about overseas
stock listings as a remedy to agency problem? •
A. Companies located in countries with weak governance mechanism can opt to outsource a superior regime by cross-listing in countries with stronger governance
mechanisms. •
B. No foreign company that register in the U.S. market have an ulterior motive for doing so, as unethical companies
would not seek an opportunity for a better governance. •
C. Due to the better governance structure of countries with Anglo-American common law tradition (and a better access to global capital), the New York Stock Exchange (NYSE) is a
popular destination for cross-border stock listing.
©D. None of the above (all of the above are true).

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The statement that is not true about overseas stock listings as a remedy to agency problem is option B: "No foreign company that register in the U.S. market has an ulterior motive for doing so, as unethical companies would not seek an opportunity for better governance".

According to agency theory, one of the methods used to mitigate the agency issue is to list the stock overseas.

Companies in countries with weak governance can benefit from cross-listing in countries with better governance.

Cross-listing provides companies with the advantage of being exposed to more investors, as well as access to capital markets.

Companies situated in jurisdictions with inadequate governance mechanisms have the option to address this issue by cross-listing their stocks in countries with stronger governance frameworks.

The New York Stock Exchange (NYSE) is a favored choice for international stock listings due to its robust governance structure aligned with the Anglo-American common law tradition and its enhanced access to global capital.

None of the above options (all of the above options are true) except for option B, as it indicates that foreign companies that register in the US market have no ulterior motives, which is incorrect.

Companies that are seeking better governance can choose to cross-list their stocks overseas, but the company's motives for doing so should be scrutinized.

Companies seeking to enter into new markets or access capital markets may benefit from cross-listing their stock overseas.

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Your corporation is considering replacing older equipment. The old machine is fully depreciated and cost $60,178.00 seven years ago. The old equipment currently has no market value. The new equipment cost $55,283.00. The new equipment will be depreciated to zero using straight-line depreciation for the four-year life of the project. At the end of the project the equipment is expected to have a salvage value of $39,491.00. The new equipment is expected to save the firm $31,247.00 annually by increasing efficiency and cost savings. The corporation has tax rate of 35.40% and a required return on capital of 11.60%.
a) What is the total initial cash outflow? (show as negative number -
b) What are the estimated annual operating cash flows?
c) What is the terminal cash flow?
d) What is the NPV for this project?

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The corporation has tax rate of 35.40% and a required return on capital of 11.60%. a) the total initial cash outflow is - $115,461.00; b) the estimated annual operating cash flows are $31,247.00; c) the terminal cash flow is $20,427.55 and d) the NPV for this project is -$67,024.25.

a. Calculation of Total Initial Cash Outflow:

Old equipment cost = $60,178.00

Purchase price of new equipment = $55,283.00

Therefore, total initial cash outflow = Old equipment cost + Purchase price of new equipment

Total Initial Cash Outflow = $60,178.00 + $55,283.00 = $115,461.00

Thus, the total initial cash outflow is $115,461.00. (Negative number)

b. Calculation of Estimated Annual Operating Cash Flows:

The new equipment is expected to save the firm $31,247.00 annually. Thus, the estimated annual operating cash flows are $31,247.00.

c. Calculation of Terminal Cash Flow:

Salvage value of new equipment = $39,491.00

Terminal cash flow = Salvage value of new equipment - Tax on salvage value

Terminal cash flow = $39,491.00 - ($39,491.00 - $55,283.00) * 0.354 = $20,427.55

Thus, the terminal cash flow is $20,427.55.

d. Calculation of Net Present Value (NPV):

Tax on salvage value = (Salvage value - Book value) * Tax rate = ($39,491.00 - $0) * 0.354 = $13,982.79

Calculate the present value of cash inflows from the project's annual savings over the project life of four years using the given required return on capital of 11.60%.

Use the formula PV = PMT / (1 + r)ⁿ to calculate the present value of an ordinary annuity.

Where, PV = Present value of annual savings in four years, PMT = Annual savings in four years, r = Required return on capital, and n = Life of the project in years.

PV = $31,247.00 / (1 + 0.1160)1 + $31,247.00 / (1 + 0.1160)2 + $31,247.00 / (1 + 0.1160)3 + $31,247.00 / (1 + 0.1160)4

PV = $31,247.00 / 1.1160 + $31,247.00 / 1.2470 + $31,247.00 / 1.3975 + $31,247.00 / 1.5636= $28,009.20

Therefore, the NPV of the project is the sum of all present values of cash inflows and cash outflows.

NPV = -Initial cash outflow + Present value of annual savings in four years + Terminal cash flow

NPV = -$115,461.00 + $28,009.20 + $20,427.55= -$67,024.25

Hence, the NPV of the project is -$67,024.25.

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(2) a. Which of the following items is NOT an indicator that an asset may be impaired? Recent price quotes in the used equipment market indicate that the resale value of the equipment has declined dramatically due to the introduction of new technology. Recent maintenance reports indicate that machinery used by an entity in its operations has worn out more than originally estimated. b. C. Cash flows for acquiring the asset or subsequent cash needs for operating or maintaining it, are significantly higher than those originally budgeted. d. Market interest rates or other market rates of return on investments have decreased during the period. (3) The acquisition costs of property, plant, and equipment do not include: a. Maintenance costs during the first 30 days of use. b. The ordinary and necessary costs to bring the asset to its desired condition and location for use. C. The net invoice price. d. Legal fees related to the purchase of the assets.

Answers

2) a. The following item is not an indicator that an asset may be impaired: Market interest rates or other market rates of return on investments have decreased during the period.

According to FASB (Financial Accounting Standards Board), an asset is said to be impaired when its carrying amount exceeds the recoverable amount. This means that the asset has lost its value in some way or the other. The following are some indicators that an asset may be impaired:Physical damage to the asset and the cost of repairs exceeds the carrying value of the asset.Changes in technology cause the asset to become obsolete.Reduction in the usage of the asset has led to less income generation than originally estimated.

The market value of the asset has declined substantially.2) b. The costs associated with the acquisition of an asset that is property, plant, and equipment do not include Maintenance costs during the first 30 days of use. These costs can be capitalized as the cost of the asset if it meets the following criteria:They are incremental expenses that are directly related to the purchase.They are necessary for bringing the asset to the condition and location for use that has been planned.They have economic benefits for the future.The costs include transportation costs, employee wages for installation, and other expenses.3) a.

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DETAILS MY NOTES ASWMSCI15 1.E.012. The O'Neill Shoe Manufacturing Company will produce a special-style shoe if the order size is large enough to provide a reasonable profit. For each special-style order, the company incurs a fixed cost of $2,500 for the production setup. The variable cost is $55 per pair, and each pair sells for $80. (a) Let x indicate the number of pairs of shoes produced. Develop a mathematical model for the total cost (C) of producing x pairs of shoes. C = (b) Let P indicate the total profit. Develop a mathematical model for the total profit realized from an order for x pairs of shoes. P = (c) How large must the shoe order be before O'Neill will break even? X =

Answers

To break even, the order size for special-style shoes must be 100 pairs.

The O'Neill Shoe Manufacturing Company incurs fixed costs of $2,500 for production setup and variable costs of $55 per pair when producing special-style shoes. Each pair sells for $80. To determine the break-even point, we need to find the order size at which the company's total revenue equals its total costs.

(a) The total cost (C) of producing x pairs of shoes consists of the fixed cost ($2,500) plus the variable cost per pair ($55) multiplied by the number of pairs produced (x). The mathematical model for the total cost is:

C = $2,500 + $55x.

(b) The total profit (P) realized from an order for x pairs of shoes is calculated by subtracting the total cost (C) from the total revenue. Since the selling price per pair is $80, the mathematical model for the total profit is:

P = ($80 * x) - ($2,500 + $55x).

(c) To determine the break-even point, we need to find the order size (x) at which the total profit (P) is zero. Setting P equal to zero and solving the equation, we find:

0 = ($80 * x) - ($2,500 + $55x).

Simplifying the equation, we can solve for x:

$80x - $2,500 - $55x = 0.

$25x = $2,500.

x = $2,500 / $25 = 100 pairs.

The O'Neill Shoe Manufacturing Company will break even when the order size for special-style shoes is 100 pairs. This means that the company needs to receive an order of at least 100 pairs to cover all the costs and reach a point where the total revenue equals the total costs, resulting in zero profit or loss.

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Which is an example of expansionary open market operations by the Fed?

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Examples of expansionary open market operations by the Fed: Lowering the federal funds rate, By lowering the federal funds rate, Lowering the discount rate:

An increase in the supply of money caused by an open market purchase is referred to as an expansionary open market operation. The Federal Reserve system, also known as the Fed, is the United States' central bank. The Fed employs numerous tools to execute its monetary policy and keep the economy stable. One of the Federal Reserve's most effective tools is open market operations.

Open market operations refer to the acquisition and sale of government securities (bonds) in the open market by the Fed. When the Fed purchases bonds in the open market, it injects money into the economy. The Fed, on the other hand, removes money from circulation by selling bonds back into the market.

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We can't downplay the benefits of defining and monitoring our marketing environment. Still, there is only so much we can accurately predict. Even with technological advancements, predictive software tools, and a keen eye on the marketing environment, some changes can't be forecasted or controlled. Techniques that work in one marketing environment may not work in the next. For businesses operating in multiple regions, this may prove a considerable challenge. The speed of change in the macro marketing environment may make it seem unnecessary to monitor and predict the environment. Business and marketing teams must stay nimble, accept changes quickly, and leverage their customer service and satisfaction strengths to maintain business success and a positive marketing environment. MAJASA Investment Ghana Ltd is a global brand and hopes to enter into the Ghanaian market and start its operations in this year...there is therefore the need to understand the marketplace. The financial marketing environment consists of an internal and an external environment. The internal environment is company-specific and includes owners, workers, machines, materials etc. The external environment is further divided into two components: micro & macro. The micro or the task environment is also specific to the business but is external. It consists of factors engaged in producing, distributing, and promoting the offering. The macro or the broad environment includes larger societal forces which affect society as a whole. It is made up of six components: demographic, economic, physical, technological, political-legal, and social-cultural environment. As the head of marketing research, extensively analyse the Ghanaian external financial marketing environment to be able to serve and delight your customers (20 marks).

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The Ghanaian external financial marketing environment consists of micro and macro components. The microenvironment includes factors related to production, distribution, and promotion. The macro-environment comprises six components: demographic, economic, physical, technological, political-legal, and social-cultural factors.

As the head of marketing research, a thorough analysis of these components is essential to understand the marketplace and effectively serve and delight customers in Ghana. In the microenvironment, factors such as suppliers, distributors, competitors, and customers play a significant role in shaping the marketing strategies of MAJASA Investment Ghana Ltd. Understanding their behaviors, preferences, and needs is crucial for successful market entry. The macro-environment presents broader societal forces that impact the entire society. Demographic factors, such as population size, age structure, and income levels, influence market segments and consumer behavior. Economic factors, including GDP, inflation, and employment rates, affect purchasing power and consumer spending patterns. The physical environment encompasses natural resources, climate, and geographical factors that may impact product development, distribution, or infrastructure requirements. Technological factors such as advancements in communication and digital platforms can create opportunities or disrupt traditional marketing approaches. Political-legal factors involve regulations, laws, and government policies that shape the business environment. Understanding the legal framework and compliance requirements is essential for MAJASA Investment Ghana Ltd to operate within the Ghanaian market successfully. Lastly, the social-cultural environment includes cultural norms, values, beliefs, and social trends. Understanding the cultural context and societal preferences helps tailor marketing strategies and communication to resonate with the target audience. By conducting an extensive analysis of the Ghanaian external financial marketing environment, MAJASA Investment Ghana Ltd can gain valuable insights to make informed decisions, identify opportunities, mitigate risks, and develop effective marketing strategies that align with the needs and preferences of Ghanaian customers.

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when you are approaching or entering an intersection at the same time as other drivers, you must yield the right-of-way to vehicles on the left

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The correct answer is: when you are approaching or entering an intersection at the same time as other drivers, you must yield the right-of-way to vehicles on the right.

The statement is incorrect. In most jurisdictions, when approaching or entering an intersection at the same time as other drivers, the general rule is to yield the right-of-way to vehicles on the right, not the left. This principle is commonly known as "right-of-way rules." However, it's important to note that specific right-of-way rules can vary depending on local traffic laws and regulations. It's always recommended to familiarize yourself with the traffic laws of your specific jurisdiction to ensure safe and legal driving practices.

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Analyze three theories of 'Term Structure of Interest Rate'.
Which one is more relevant to Pakistan. (200-300 words)

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The term structure of interest rates refers to the relationship between the maturity of a debt instrument and the corresponding interest rate.

Various theories attempt to explain the term structure, including the expectations theory, the liquidity preference theory, and the market segmentation theory. Each theory offers a unique perspective on how interest rates are determined across different maturities. Expectations Theory: This theory suggests that long-term interest rates are determined by the market's expectations of future short-term interest rates. According to this theory, assuming they have the same expected return. Therefore, long-term interest rates can be inferred from current short-term interest rates and market expectations of future short-term rates.

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Critically evaluate Frederick Winslow Taylor’s claim that there is "one best way" of production. Draw
on rational perspectives of organisations (and most particularly, scientific management) to support
your argument.

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Frederick Winslow Taylor's claim that there is "one best way" of production can be critically evaluated from the perspective of rational organizational theory, particularly scientific management.

While Taylor's approach focused on identifying the most efficient methods through scientific analysis and standardization, it failed to consider the complexities and contextual factors that influence production processes.

Scientific management assumes that there is a universally applicable method that maximizes efficiency and productivity. However, organizations operate in diverse environments with varying goals, resources, and workforce capabilities. Therefore, a singular approach may not be suitable for all situations.

Moreover, Taylor's claim neglects the importance of human factors in production. Human motivation, creativity, and adaptability play crucial roles in organizational success. A rigid adherence to a single method may stifle innovation and hinder employee engagement.

Organizations can benefit from embracing flexibility and considering situational factors when designing production processes. This approach allows for adaptation to changing circumstances and encourages continuous improvement.

By recognizing the diverse needs and capabilities of their workforce, organizations can achieve optimal outcomes through a more nuanced and context-specific approach to production.

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From its total income, a company spent $20,000 on advertising. Half of the remainder was spent on salesman's commissions. Only $6000 was left. What was the company's total income? a $36,000 b $29,000 c $26,000 d $31.000 e $32,000

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The company's total income can be determined by working backward from the given information. After deducting the advertising expenses, half of the remaining amount was spent on the salesman's commissions, leaving $6000.

By calculating the original income, we can identify the correct answer among the options provided.

Let's denote the total income of the company as X. From the given information, we know that the company spent $20,000 on advertising. Therefore, the remaining amount after advertising is X - $20,000.

Half of this remaining amount was spent on the salesman's commissions, which gives us (1/2)(X - $20,000). The remaining amount after the salesman's commissions is $6000. So we have the equation:

(1/2)(X - $20,000) = $6000

We can now solve this equation to find the value of X, which represents the total income of the company. Once we find X, we can compare it to the options provided and select the correct answer.

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