Given that an investment of $40000 is made at the start and an additional $1000 is invested at the end of each semi-annual period.
Part A)
After 3 years Since we invest $1000 at the end of each semi-annual period, we invest $2000 per year. Thus, after 3 years, the total amount of investment will be:
Total Investment= $40000 + (2×3000)= $46000
For the first year, the interest will be calculated on $40000. After that, the interest will be calculated on the amount that we will have after 1 year .For a 6 monthly compounding, the annual interest rate of 3.6% is equivalent to the semi-annual interest rate of 1.8%.
Thus, the interest earned after the first 6 months will be:
Interest for first 6 months= 1.8/100 × 40000 = $720
For the next 6 months, the interest earned will be calculated on $40,000 + $1,000= $41000
Interest for next 6 months= 1.8/100 × 41000 = $738
Hence, the total amount after 1 year will be:
Amount after 1 year= 40000+720+738+2000 = $42858
Now, the interest for the next year will be calculated on $42858
The interest for the first 6 months of the 2nd year will be:
Interest for first 6 months= 1.8/100 × 42858 = $771.84
For the next 6 months, the interest earned will be calculated on $40,000 + $1,000+ $771.84= $41771.84
Interest for next 6 months= 1.8/100 × 41771.84= $751.87
Amount after 2 years = 41771.84 + 771.84+751.87 +2000 = $45295.55
Part B)
After 4 years We have already calculated the amount after 2 years. Therefore, the amount after the next 2 years will be calculated as follows:
The interest for the first 6 months of 3rd year will be: Interest for first 6 months= 1.8/100 × 45295.55 = $815.32
For the next 6 months, the interest earned will be calculated on $40000 + $1000+$815.32= $41815.32
Interest for next 6 months= 1.8/100 × 41815.32= $753.47
Amount after 3 years = 41815.32 + 815.32+753.47 +2000 = $45584.11
Now, for the 4th year, the interest will be calculated on $45584.11.The interest for the first 6 months of 4th year will be:
Interest for first 6 months= 1.8/100 × 45584.11= $820.52
For the next 6 months, the interest earned will be calculated on $40000 + $1000+$820.52= $41820.52
Interest for next 6 months= 1.8/100 × 41820.52= $753.77
Amount after 4 years = 41820.52 + 820.52+753.77+2000 = $45695.81
Part C)
After 5 years We have already calculated the amount after 4 years. Therefore, the amount after the next year will be calculated as follows:
The interest for the first 6 months of 5th year will be:
Interest for first 6 months= 1.8/100 × 45695.81 = $823.25
For the next 6 months, the interest earned will be calculated on $40000 + $1000+$823.25= $41823.25
Interest for next 6 months= 1.8/100 × 41823.25= $754.14
Amount after 5 years = 41823.25 + 823.25+754.14 +2000 = $45700.64
Therefore, the amount in the account after (a) three years, (b) four years, and (c) five years will be $45295.55, $45695.81 and $45700.64 respectively.
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on january 1 of year 1, congo express airways issued $3,250,000 of 5% bonds that pay interest semiannually on january 1 and july 1. the bond issue price is $2,930,000 and the market rate of interest for similar bonds is 6%. the bond premium or discount is being amortized at a rate of $10,667 every six months. the company's december 31, year 1 balance sheet should reflect total liabilities associated with the bond issue (including interest) in the amount of:
The December 31, Year 1 balance sheet should reflect total liabilities associated with the bond issue (including interest) in the amount of $3,204,667 ($3,193,000 + $10,667).
Let's start by figuring out the bonds' yearly interest payment:
Bond face value times coupon rate is $3,250,000 times 5% for an annual interest payment of $162,500.
The semiannual interest payment is as follows since the interest is paid every six months:
Semiannual interest payment Equals Yearly interest payment divided by two, or $162,500 divided by two, or $81,250.
Let's now determine the bond discount amortised over the course of the year:
Bond discount amortised equals $10,667 multiplied by two amounts equals $21,334.
This means that $21,334 of the bond discount was amortized during the year.
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Reverse logistics involves the process of moving a product from the point of customer receipt back to the point of origin. Which one of the following is NOT one of the Five R's of Reverse Logistics a.Recycling b.Reconciliation c.Recalls d.Repairs
The correct answer is Reconciliation is not one of the Five R's of Reverse Logistics.
The five R's of Reverse Logistics are as follows:
a. Returns - Customers returning undesired or damaged products to the manufacturer or retailer.
b. Recall - Removing defective or unsafe products from the market.
c. Repair - Making damaged things useful again by repairing them.
d. Refurbish - Bringing a product back to like-new condition so that it can be resold.
e. Recycling - The process of converting worn or abandoned products into raw materials that can be reused in new products or for other reasons.
Reconciliation is not usually thought of as part of the reverse logistics process.
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The correct answer is b. Reconciliation is not one of the Five R's of Reverse Logistics. The other four R's are Recycling, Recalls, Repairs, and Returns.
Reverse logistics is a critical aspect of supply chain management that involves the handling of returned goods and the management of the entire supply chain in reverse. This process requires a strong focus on customer service, as it involves the handling of customer returns and complaints. The goal of reverse logistics is to optimize the value of returned products and minimize the costs associated with the process. This involves a range of activities, including product inspection, sorting, refurbishment, and resale.
Effective management of reverse logistics can help companies improve their customer service, reduce costs, and enhance their overall supply chain efficiency. By implementing effective processes for managing reverse logistics, companies can ensure that they are able to meet the needs of their customers while also maximizing their profits.
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consider the following scenario: a company is setting up different reports to monitor a variety of metrics, such as followers, comments, or clicks. they plan to use these metrics to improve the performance of their social media marketing campaigns over time. which core pillar is this company working on?
The company in this scenario is working on the "Analytics and Measurement" core pillar of their social media marketing strategy. This pillar involves monitoring key metrics, such as followers, comments, or clicks, and using the data to make informed decisions for improving campaign performance over time.
The company in this scenario is working on the core pillar of data analysis and optimization. By setting up different reports to monitor various metrics, they are collecting data that can be analyzed to improve the performance of their social media marketing campaigns over time.
This process of analyzing data and optimizing strategies is essential for achieving long-term success in social media marketing.
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Colin has a goal of having CD worth $5,000 in 5 years. How much does he need to invest now in CD earning 4% compound interest to reach his goal?
Answer:
$4,110
Explanation:
The applicable formula is
A= P( 1 + r)^n
In this case
A is the amount after five years = $5000
P= principal amount = ???
r= interest rate =4%
n = five years
$5000 = p( 1+ 0.04)^5
$5000=p(1.004)^5
$5000= p1.21665
P=$5000/1.21665290
P=4,109.64
Principal amount=$4,110
How can you keep yourself updated on the health and safety skills required for your job? A. by reading daily news B. by awaiting employer’s training intervention C. by discussing with colleagues D. by downloading relevant apps available on the Internet
Answer:
D internet
Explanation:
You should proactively keep yourself updated on the health and safety skills relevant to your profession. You can also use various apps available on the Internet. You can download these apps on your computers to upgrade your knowledge.
I just took the test and got it right.
You can keep yourself updated on the health and safety skills required for your job by downloading relevant apps available on the Internet. Option (d) is correct.
What do you mean by Safety?Safety refers to the state of not experiencing or causing harm, injury, or loss.
Your workplace will be more productive and effective if you take steps to protect your employees. According to research, employees who work in environments that prioritize health and safety are more productive. Your organization will experience less disruption and spend less money if illness and accident-related downtime are reduced.
Therefore, Option (d) is correct. By downloading relevant apps available on the Internet.
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What vision do you have for your own future?
A short summary of imagination positive future and pls include doctors cuz when I grow up I wanna be a doctor
No one can write down a vision for your future, its your vision and future.
14. The new UltraGuard flea collar is about to be introduced. It will sell for $9.95 and has unit variable costs of $4.25. The company expects to sell 47,500 UltraGuard collars during the introductory 8 month period. Some of the sales will come at the expense of the PetArmor collar, priced at $6.25 with variable costs of $3.10. We estimate that the UltraGuard collar will cannibalize 14,750 PetArmor collars during the introductory 8 month period..
Calculate the change in total contribution margin due to the introduction.
The change in total contribution margin due to the introduction of the UltraGuard flea collar is $37,612.50. To calculate the change in total contribution margin due to the introduction of the UltraGuard flea collar, we need to compare the contribution margin of the new product with the contribution margin of the existing product it is cannibalizing.
Contribution margin is calculated by subtracting the variable costs from the selling price.
For the UltraGuard collar:
Selling price = $9.95
Variable cost = $4.25
Contribution margin per collar = Selling price - Variable cost
= $9.95 - $4.25
= $5.70
For the PetArmor collar:
Selling price = $6.25
Variable cost = $3.10
Contribution margin per collar = Selling price - Variable cost
= $6.25 - $3.10
= $3.15
Now, we can calculate the change in total contribution margin:
Change in contribution margin = (Contribution margin per collar of UltraGuard - Contribution margin per collar of PetArmor) * Number of collars cannibalized
= ($5.70 - $3.15) * 14,750
= $2.55 * 14,750
= $37,612.50
Therefore, the change in total contribution margin due to the introduction of the UltraGuard flea collar is $37,612.50.
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What is the difference between using an action button to play an audio file via 'play sound' and an audio clip set up through the Media Group?
Answer: The action button lets users play the audio file, the sound button will play an audio clip.
Explanation:
The action button lets users play the audio file once it is clicked or has a mouse over action over the assignment button. The sound button will play an audio clip that you have specified in the action settings dialog box.
The amount of surface area on an uncored block that has holes extending through it is equal to less than ________.
Investment 2 Study questions Practice Questions: 1. On January 1, Stacy's portfolio was valued at $96,534. During the year Stacy received $3,285 in interest and $4,100 in dividends. She also sold one stock at a gain of $850. The value of the portfolio on December 31 of the same year was $113,201. At the end of June, Stacy withdrew $5,000 from the portfolio. What is the holding period return for the year? (refer slides for the formula) Sol: 25. 8% 2. Six months ago, Suzanne purchased a stock for $28 a share. Today she sold the stock at a price of $32 a share. During the time she owned the stock, she received a total of $1. 30 in dividends per share. What is her holding period return? Sol: 18. 9% 3. On January 1, Tim's portfolio was valued at $432,098. During the year Tim received $10,563 in interest and $15,060 in dividends. He also sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any more funds nor withdraw any funds during the year. On December 31 of the same year, Tim's portfolio was valued at $398,189. What is the holding period return for the year? Sol: -1. 9%
The holding period return for Stacy's portfolio for the year is 25.8%. The holding period return for Suzanne's stock is 18.9%.Tim's holding period return for the year is -4.67%, indicating a negative return.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value
In Stacy's case, the beginning value of her portfolio on January 1 was $96,534, and the ending value on December 31 was $113,201. She received $3,285 in interest, $4,100 in dividends, and had a gain of $850 from selling a stock. She also withdrew $5,000 at the end of June.
Holding Period Return = [($113,201 - $96,534 + $3,285 + $4,100 + $850) - $5,000] / $96,534
= ($24,902 + $4,100 + $850 - $5,000) / $96,534
= $24,852 / $96,534
= 0.257 or 25.8%
Therefore, the holding period return for Stacy's portfolio for the year is 25.8%.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends] / Beginning Value
In Suzanne's case, the beginning value of the stock was $28 per share, and the ending value was $32 per share. She received $1.30 in dividends per share.
Holding Period Return = [($32 - $28) + $1.30] / $28
= ($4 + $1.30) / $28
= $5.30 / $28
= 0.189 or 18.9%
Therefore, Suzanne's holding period return for the stock is 18.9%.
In the case of Tim's portfolio, the holding period return for the year is -1.9%.
Tim's portfolio had an initial value of $432,098 on January 1 and a value of $398,189 on December 31. He received $10,563 in interest and $15,060 in dividends. However, he sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any additional funds or make any withdrawals during the year.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value
= [($398,189 - $432,098) + $10,563 + $15,060 + (-$12,870)] / $432,098
= (-$33,909 + $10,563 + $15,060 - $12,870) / $432,098
= -$20,156 / $432,098
= -0.0467 or -4.67%
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an efficient approach requires a balance of using the fewest resources with getting the best results. which of the following examples is primarily motivated by the effective use of resources? a.) a communication method that is slower, but simpler to use b.) a communication method that is low-cost c.) a communication method that is faster, but harder to use d.) a communication method that is hi-tech
b) A communication method that is low-cost is primarily motivated by the effective use of resources. the best-reflecting resources of the region, including the time, The efficient utilisation of resources drives low-cost communication techniques.
Low-cost communication method try to use as little resources as possible while still getting the job done. By going with the less expensive choice, people or organisations may save money and use it towards something else. Using the fewest resources while still achieving the greatest outcomes is necessary for an efficient strategy. The efficient utilisation of resources is what drives low-cost communication techniques. This method is very helpful for people on a limited budget or who wish to allocate their resources as efficiently as possible. A low-cost communication technique might not be the fastest or simplest to use, but for people who value resource efficiency, it might be the best option.
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Which economic system has the most government control? (Select the best answer.)
A planned economy . A traditional economy . A mixed economy . A market economy
Answer:
A planned economy because they know what is going to be put in place at any certain time, so they have the most power. Hope it helps! Please vote Brainliest!
Explanation:
Answer:
A planned economy that is the answer
what is the biggest attraction for business considering enganing in international business?
A. The lack of domestic resources
B. The cost of labor
C. The number of burdensome regulations
D. The size of the market
Answer:
A the lack of domestic resources
does anyone here know anything about like witchy stuff, like spells and stuff
Answer:
There are many religions that revolve around witchcraft. A modern pagan religion, called 'Wicca', have some spellbooks. Earthbound (a store) sells some spellbooks. I'm sure you can find some online too.
Explanation:
Extra note- you can actually learn a lot about witchcraft on TikTok. It can teach you about spells, charms, etc.
which of the following forms of regionalism has a common currency? question 5 options: custom union common market economic union all of the above
The form of regionalism that has a common currency is Economic Union. Regionalism refers to economic, social, and political ties that bind a region together.
The objective of regionalism is to unite and safeguard shared interests in the area. Regionalism promotes cooperation and integration among states to ensure the economic development of their member nations.Regionalism often manifests itself in various forms. The most common types of regionalism are free trade areas, customs unions, common markets, and economic unions. A Common Currency Common currency refers to a currency that is used by two or more member nations of a region.
Common currency promotes trade between nations by eliminating the need for currency exchange, which can be expensive and time-consuming.Common currency also provides stable exchange rates and boosts investment between member nations. The euro, which is used by the European Union, is an example of a common currency.Economic UnionAn Economic Union is a form of regionalism that encourages economic integration among member nations by permitting free trade, common external tariffs, and free movement of labor and capital. An economic union goes beyond a common market by introducing monetary union and common currency.The economic union is considered the highest form of regionalism because it involves full economic integration, as well as significant political integration, such as a shared legal system.
The European Union is an example of an economic union, which includes 27 European nations, and uses the euro as its common currency. Therefore, it can be concluded that the form of regionalism that has a common currency is Economic Union.
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an example of fraudulent financial statements is group of answer choices misappropriation of assets. aggressive accounting for transactions, events, or other significant matters. failure to provide adequate documentation to support financial statement assertions. misrepresentation of events, transactions, and other significant events in the financial statements.
Misrepresentation of events, transactions, and other significant events in the financial statements is an example of fraudulent financial statements.
What is transactions?A transaction is a business agreement or exchange between two or more parties, often involving the exchange of goods, services, money, or a combination of these. Transactions usually occur during an exchange of goods or services between buyers and sellers, and can often involve multiple steps or stages. Transactions can also involve the transfer of funds from one party to another or the transfer of ownership of a product or service. Transactions can be conducted online, in person, or over the phone.
Misrepresentation of events, transactions, and other significant events in the financial statements is an example of fraudulent financial statements. This occurs when a company attempts to make their financial statements look better than they actually are by falsifying or exaggerating certain information. This could include inflating revenue figures, underreporting expenses, or overstating assets. All of these actions can lead to inaccurate financial statements and can be considered fraudulent.
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calculate minimum stock level
Answer:
Formula to determine the minimum stock level
The minimum stock level can be determined by applying the following formula: Minimum Stock Level = Re-order Level – (Normal consumption per day/per week, etc. X Normal delivery time).
how long does it take for tax refund to show in bank account after approved
Answer:
Assuming no issues, IRS issues tax refunds in less than 21 calendar days after IRS receives the tax return. IRS has an on-line tool, "Where's My Tax Refund", at www.irs.gov that will provide the status of a tax refund using the taxpayer's SSN, filing status, and refund amount.
Explanation:
Which education and qualifications would a high-level National Security Officer most likely need? Check all that apply.
design skills
customer-service skills
leadership skills
bachelor’s degree
discipline
high school degree
The education and qualifications that a high-level National Security Officer would most likely need are :
leadership skillsbachelor’s degreedisciplineBecoming a National Security OfficerThrough a competitive, national, merit-based annual competition, successful applicants distinguish themselves as highly motivated in their academic and career goals and in their strong commitment to public service. In return for support, award recipients agree to work in qualifying national security positions for at least one year.
Thus, the education and qualifications that a high-level National Security Officer would most likely need are :
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Answer:here's the answer for this question
Explanation:edge2023
Which of the following are incorporated in GAAP?
A. Requirements, policies, and ideals
B. Laws, regulations, and policies
C. Concepts, constraints, and principles
D. Mandates, laws, and ethics
sannomsy, a confectionary company, uses similar conveyor belts with several interchangeable parts and the same procedure for the manufacture of all the toffees in its product line. this gives the company an advantage over its competitors in terms of consistency in quality, efficient processes, and price leadership. in the context of organizational authority, sannomsy is most likely using
In the context of organizational authority, sannomsy is most likely using standardization.
The process of developing and putting into practice a set of standards is known as standardization. It aids in directing the production of various goods and services and also enhances an organization's compatibility, consistency, and effectiveness. The organization has an advantage over its rivals thanks to this standardization process.
As a result of its ability to speed up the innovation process and its facilitation of the dissemination of ground-breaking concepts and cutting-edge technical information, standardization also promotes innovation. Sannomsy is thus applying the standardization process in the context of an organizational authority.
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Misrepresenting pertinent policy provisions relating to coverage after a loss is an?
Misrepresenting pertinent policy provisions relating to coverage after a loss is an unfair claim settlement practice.
Pertinent policies are those facts which tend to prove the allegations of the party offering them and those which have no such tendency are called impertinent.
When something is pertinent, it means it is significant. It will have an impact on the decision or the outcome.
Therefore, if the pertinent policy is misrepresented, it becomes an unfair claim settlement practice.
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PLSSS HELP!!
1. What are 3 differences between Jack London's Koolau Story and Piilani's
(Koolau's wife)? Give 1 difference in events, 1 in characterization/characters'
motives, and 1 in writing focus/style)
Difference in events:
In Jack London's "Koolau Story," the main difference in events compared to "Piilani's" is the central conflict. "Koolau Story" follows the story of Koolau, a Hawaiian rebel, who fights against the government forces and evades capture. The events revolve around Koolau's resistance and the hardships he faces in the mountains. On the other hand, "Piilani's" focuses on the character Piilani, a young Hawaiian girl who witnesses the conflict and its impact on her community. The events in "Piilani's" highlight her perspective and experiences during the rebellion.
Difference in characterization/characters' motives:
In terms of characterization and characters' motives, "Koolau Story" portrays Koolau as a defiant and rebellious figure driven by a strong desire for freedom and justice. His motives are rooted in resistance against the government forces that seek to suppress his people. On the other hand, "Piilani's" presents Piilani as a young girl who initially admires Koolau's bravery but eventually becomes disillusioned with the violence and seeks a peaceful resolution. Her motives shift from admiration to a desire for peace and reconciliation.
Difference in writing focus/style:
In terms of writing focus/style, "Koolau Story" by Jack London emphasizes the action and adventure elements of the rebellion. London's writing style often includes vivid descriptions of the natural surroundings, intense confrontations, and a fast-paced narrative. In contrast, "Piilani's" focuses more on the emotional and psychological aspects of the characters' experiences. The writing style may delve into the internal struggles, reflections, and personal growth of the characters, providing a more introspective and nuanced perspective on the events unfolding.
These differences highlight the contrasting narratives and perspectives between the two stories, one centered around the rebel leader Koolau and the other from the viewpoint of a young girl, Piilani, witnessing the rebellion.
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Tejas used his credit card to buy a jacket that cost $100. At the end of the month, he still didn’t have the $100 to pay for the jacket, so he paid nothing. What is MOST likely to happen in thi scenario? A percentage of interest will be added to his $100. He will still owe exactly $100 on the next month’s bill. His $100 owed will become $200 owed on the next bill.
As a result of Tejas not paying the $100 he used from his credit card, A percentage of interest will be added to his $100.
Credit cards:
Are a form of debt Incur interest on debt if balance is not paid offWhen he used the $100 to pay for the jacket, it becomes a debt and the credit card company will charge interest on that debt.
In conclusion, a percentage interest will be added to his cash.
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You have allocated $8,000 for employee training. You have 20 employees and each course costs $200. How many training courses can you afford per employee?
Answer:
B) 2
Explanation:
$8,000 divided by 20 is 400, $400 divided by $200 is 2 courses per employee.
The number of training courses you can afford per employee is 2.
How many training courses can you afford?The mathematical operation that would be used to solve this question is division. Division is the process of grouping a number into equal parts using another number. The sign that represents division is ÷
The first step is to divide the amount allocated for employee training by the number of employees.
= $8,000 / 20 = $400
The next step is to divide $400 by the cost of each course
$400 / $200 = 2
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Question 3 2.5 pts Assume Merck (MRK) just finished paying an annual dividend of $2.4 (for 2019). You look up their beta and it equals 0.37 , implying it's much less risky than the market portfolio. The current risk free rate equals 1.54 %. Assume a market risk premium of 7.5 %. Merck's current stock price is $79. Assuming investors expect Merck to grow at a constant rate in perpetuity, what is that growth rate expectation? (write this number as a decimal and not as a percentage, e.g. 0.11 not 11%. Round your answer to three decimal places. For example 1.23450 or 1.23463 will be rounded to 1.235 while 1.23448 will be rounded to 1.234)
Stock Price refers to the current market value of a single share of a company's stock. It is the price at which a share of the company's stock can be bought or sold in the stock market.
To calculate the growth rate expectation, we can use the Gordon Growth Model which is:
Stock Price = Dividend / (Required Return - Growth Rate)
where:
Stock Price is the current stock price of Merck
Dividend is the most recent annual dividend paid by Merck
Required Return is the expected return that investors demand for investing in Merck, which is the risk-free rate plus the product of the market risk premium and Merck's beta
Growth Rate is the rate at which Merck is expected to grow in perpetuity
Plugging in the given values, we get:
$79 = $2.4 / (r - g)
where:
r = 1.54% + 7.5% x 0.37 = 4.9075% (required return)
g = growth rate expectation (unknown)
Solving for g, we get:
g = r - ($2.4 / $79) = 4.9075% - 3.03797% = 1.8695% or 0.019
Therefore, the growth rate expectation for Merck is 0.019 (rounded to three decimal places).
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A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. If the pre-split market cap was 1.71B, what would the post-split market cap be?
A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. the post-split market cap be 684 million
What is market cap?Generally, In a 2-for-5 reverse split, every 5 shares of stock are combined into 2 shares. This means that the number of outstanding shares of stock will be reduced by 2.5 times. If the pre-split market cap is 1.71B, the post-split market cap can be calculated by dividing the pre-split market cap by 2.5:
1.71B / 2.5 = 684 million
So, the post-split market cap would be approximately 684 million. Please note that this calculation is based on the assumption that the value of the company's stock remains the same after the reverse split. In practice, the value of the stock may change as a result of the reverse split.
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Examine the following and identify whether it is a quantitative or qualitative research question. Do SHS students participate in a yearly National Maths and Science program learn more math content as demonstrated on the WAEC league than those who do not participate in the math program? What are the independent and the dependent variables?
Answer:
Explanation:
Research Question: Do SHS students participate in a yearly National Maths and Science program learn more math content as demonstrated on the WAEC league than those who do not participate in the math program?
Type of Research: The research question is a quantitative research question.
Independent Variable: Participation in the yearly National Maths and Science program (categorical variable: participation vs. non-participation).
Dependent Variable: Math content learned as demonstrated on the WAEC league (quantitative variable: scores or performance level).
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Prepaid expenses should be _____ by the cost of the asset used during the accounting period.
a. unaffected
b. increased
c. decreased
Prepaid costs are future fees that are paid in advance, such as hire or insurance. On the stability sheet, prepaid expenses are first recorded as an asset. As the advantages of the belongings are realized over time, the quantity is then recorded as an expense.
Is prepaid prices an asset in accounting?Prepaid expenses are recorded as an asset on a business's stability sheet due to the fact they signify a future advantage that is due to the company. Prepaid costs are quantities paid in enhance through a business in change for items or services to be delivered in the future.
Prepaid prices are these prices which are now not incurred or due but however are paid in advance with the aid of the company.
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https://brainly.com/question/9270086#SPJ1Putting money into more than one kind of investment at a time is called liquidity. sunken cost. diversification. compound interest.
Answer:
diversification
Putting money into more than one kind of investment at a time is called diversification.
What is diversification?Diversification is the process of investing in diverse opportunities so as to reduce non-systemic risks. For example, if a person buys the stock of a health care company, in order to diversify, the person might invest in the stocks of an automobile company.
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