the treasury stock method takes into account the dilutive effect of stock options and assumes that the proceeds from the exercise of options are used to

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Answer 1

The treasury stock method is a way of calculating the potential dilution of a company's earnings per share (EPS) from outstanding stock options and warrants. It assumes that the proceeds from the exercise of these options and warrants will be used to repurchase common shares at the current market price.

This repurchase of shares reduces the number of outstanding shares and therefore increases the EPS. By including the potential dilution from stock options and warrants, the treasury stock method provides a more accurate picture of a company's fully diluted EPS.
The treasury stock method takes into account the dilutive effect of stock options and assumes that the proceeds from the exercise of options are used to repurchase shares at the market price, thereby reducing the outstanding shares and mitigating dilution. This method provides a more accurate representation of a company's earnings per share when options are exercised.

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Related Questions

The table below shows your stock positions at the beginning of the year, the dividends that each stock paid during the year, and the stock prices at the end of the year. Company Shares Beginning of Year Price Dividend Per Share End of Year Price US
Bank 300 shares, $43.70 (beginning year price), $ 2.08 (Dividend Per Share), $ 43.63 (ending year price),
PepsiCo 200 shares, $59.28 (beginning year price), 1.20 (Dividend Per Share), 62.75 (ending year price),
JDS Uniphase 500 shares, $19.08 (beginning year price), 16.86 (ending year price),
Duke Energy 200 shares, $27.55 (beginning year price),1.28 (Dividend Per Share) 33.31 (ending year price),
What is your portfolio dollar return and percentage return? (Round your answer)

Answers

The portfolio dollar return is $1,409.50 and the percentage return is 2.35%.

To calculate the portfolio dollar return, we need to first calculate the beginning value, ending value, and total dividends received:

Beginning value = (300 shares x $43.70/share) + (200 shares x $59.28/share) + (500 shares x $19.08/share) + (200 shares x $27.55/share) = $60,085.00

Ending value = (300 shares x $43.63/share) + (200 shares x $62.75/share) + (500 shares x $16.86/share) + (200 shares x $33.31/share) = $60,358.50

Total dividends received = (300 shares x $2.08/share) + (200 shares x $1.20/share) + (200 shares x $1.28/share) = $1,136.00

Portfolio dollar return = Ending value - Beginning value + Total dividends received = $60,358.50 - $60,085.00 + $1,136.00 = $1,409.50

To calculate the percentage return, we can use the formula:

Percentage return = (Portfolio dollar return / Beginning value) x 100%Percentage return = ($1,409.50 / $60,085.00) x 100% = 2.35%

Therefore, the portfolio dollar return is $1,409.50 and the percentage return is 2.35%.

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ABC company has compiled the data for the current cost of basic sources of capital i.e. long term debt, preferred stock and common stock equity Sources of capital Range of new financing After tax cost Long term deht 0-400,000 6% 400.000 and above 8% Preferred stock 0 and above 10% Common stock 0-300,000 20% 300,000- and above 22% The company's capital structure weights used in the calculating the weighted average cost of capital are shown in the following table Source of capital Weight Long term debt 40% Preferred stock 20% Common stock equity 40% Requirements: a. Determine the break points and ranges of total now financing associated with each source of capital b. Using the data developed in part a, determine the break points (levels of total new financing) at which the form weighted average cost of capital will change.

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The break points at which the firm's WACC will change are at 300,000 and 400,000 of total new financing.

Determining the break points and ranges of total new financing associated with each source of capital for ABC company, as well as the break points at which the firm's weighted average cost of capital will change.

a. To determine the break points and ranges of total new financing associated with each source of capital, we need to look at the given data:

1. Long term debt:
- 0-400,000 at 6% after-tax cost
- 400,000 and above at 8% after-tax cost

2. Preferred stock:
- 0 and above at 10% after-tax cost

3. Common stock equity:
- 0-300,000 at 20% after-tax cost
- 300,000 and above at 22% after-tax cost

To determine the break points at which the firm's weighted average cost of capital (WACC) will change, we will analyze the points where the cost of each source of capital changes:

1. For long term debt, the break point occurs at 400,000.
2. For preferred stock, there is no break point as the after-tax cost is constant at 10%.
3. For common stock equity, the break point occurs at 300,000.

So, the break points at which the firm's WACC will change are at 300,000 and 400,000 of total new financing.

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A secondary financial market is one that: Answers: A. involves the sale of existing financial assets. B. where government securities are bought and sold. C. offers financial assets with the highest hi

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A secondary financial market is one that involves the sale of existing financial assets. Option A is the answer.

These assets may include stocks, bonds, and other securities that have already been issued and are being traded between investors. This is in contrast to a primary market, where new financial assets are issued and sold for the first time. While government securities may be bought and sold in a secondary market, this is not a defining characteristic of the market. Additionally, the secondary market may offer financial assets with varying levels of risk and return, rather than only those with the highest high return.

Option A is the answer.

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Last option is $6,800
In the process of reconciling its bank statement for April, Donahue Enterprises' accountant compiles the following information Cash balance per company books on April 30 $ 6,225
Deposits in transit at month-end $ 1,400 Outstanding checks at nonth-end $ 720 Bank charge $ 95 Note collected by bank on Donahue's behalf $ 670 A check paid to Donahue during the month by a customer is returned by the bank as NSF$ 580 The adjusted cash balance per the books on April 30 is: Multiple Choice
O $8,060 O $5740
O $ 56.220 O $4100

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The adjusted cash balance per the books on April 30 is $8,060.

To calculate this, you would start with the cash balance per company books on April 30, which is $6,225. Then, you would add any deposits in transit at month-end, which is $1,400. This gives a subtotal of $7,625.

Next, you would subtract any outstanding checks at month-end, which is $720. This brings the subtotal down to $6,905.

Then, you would add any note collected by the bank on Donahue's behalf, which is $670. This brings the subtotal up to $7,575.

Finally, you would subtract any bank charges, which is $95, and any NSF check returned by the bank, which is $580. This brings the total adjusted cash balance per the books on April 30 to $8,060.

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Swed Help Sevent Sie 1 Check my work Exercise 14-2A (Algo) Preparing a sales budget LO 14-2 points Fanning Company, which expects to start operations on January t year 2. wilsel digital cameras in shopping malls Fanning has budgeted sales as indicated in the following table. The company expects at percent increase in sales per month for February and March The ratio of cash sales to sales on account will remain stable from January through March Required

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Summarize the sales budget by month and by type of sales (cash vs. sales on account). The sales budget for Fanning Company for the first quarter of year 2 would look like this:

Sales Budget

For the First Quarter of Year 2

Month Total Sales Cash Sales Sales on Account

January $500,000 $200,000 $300,000

February $550,000 $220,000 $330,000

March $605,000 $242,000 $363,000

I hope this helps you prepare the sales budget for Fanning Company.

To prepare a sales budget, you need to estimate the sales revenue for each month based on the expected sales volume and selling price. Here's how you can approach this task for Fanning Company:

Estimate the expected unit sales for each month based on the given data. For example, the company expects to sell 1,000 cameras in January and increase sales by 10% in February and March. Therefore, the estimated unit sales for February and March would be:

February: 1,000 x 1.1 = 1,100 cameras

March: 1,100 x 1.1 = 1,210 cameras

Determine the selling price per unit. The problem doesn't provide this information, so you'll need to make an assumption. Let's assume that Fanning plans to sell each camera for $500.

Calculate the total sales revenue for each month by multiplying the estimated unit sales by the selling price per unit. For example:

January: 1,000 x $500 = $500,000

February: 1,100 x $500 = $550,000

March: 1,210 x $500 = $605,000

Determine the ratio of cash sales to sales on account for each month. The problem states that this ratio will remain stable from January through March, so let's assume that 60% of sales will be on account and 40% will be cash sales.

Calculate the expected cash sales and sales on account for each month by applying the cash sales ratio to the total sales revenue. For example:

January cash sales: $500,000 x 40% = $200,000

January sales on account: $500,000 x 60% = $300,000

February cash sales: $550,000 x 40% = $220,000

February sales on account: $550,000 x 60% = $330,000

March cash sales: $605,000 x 40% = $242,000

March sales on account: $605,000 x 60% = $363,000

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Consider the following three mutually exclusive alternatives: A B с Initial cost 6000 8000 9000 Computed rate of return 9% 14% 8% The calculated IRRCA = 12%, IRRB-A = 16%, and IRRc-8=7%, for what range of values of MARR is Alternative B the preferred alternative? 7-14% 9-16% 7-16% 8-14%

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The range of values of MARR is Alternative B the preferred alternative is

9-16%, option B

The minimum acceptable rate of return (MARR), also known as the hurdle rate, is the minimum rate of return a manager or business is willing to accept before starting a project, given its risk and the opportunity cost of forgoing other projects. It is used in business and engineering economics for both industrial engineering and civil engineering practise. Minimum appealing rate of return is a slang term that is used frequently.

The terms hurdle rate, cutoff rate, benchmark, and cost of capital are commonly used interchangeably. It is used to perform a preliminary examination of initiatives that have been suggested, and it often rises with risk.

The Range of MARR should be between 9-16%

According to rule the incremental IRR should be more than the given MARR.

Because in the incremental IRR the IRRB-A is 16% so here B needs to be selected so MARR should be 16% at max. Next the IRRC-B is 7% to MARR should be more than 7%. for selecting B.

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the fed can use all of the following except ____________ to change the lending capacity of the banking system.

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The Federal Reserve (the Fed) can use several tools to change the lending capacity of the banking system are as follow including open market operations, the discount rate, and reserve requirements.

Open market operations involve buying or selling government securities to influence the money supply in the banking system.

The discount rate is the interest rate at which banks can borrow money from the Fed.

Changing this rate can affect the cost of borrowing for banks and their willingness to lend.

Reserve requirements refer to the amount of funds that banks are required to hold in reserve against deposits.

The Fed can change reserve requirements to affect the amount of funds that banks have available to lend.

However, the Fed cannot change the lending capacity of the banking system by directly controlling the interest rates that banks charge on loans.

While the Fed can influence interest rates indirectly through its other policy tools.

The actual interest rates that banks charge are determined by market forces such as supply and demand for credit.

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if congress adheres to a conservative economic policy, which of the following measures would it most likely employ during an economic recession? choose 1 answer: choose 1 answer: (choice a) a constitutional amendment that progressively increases income taxes for the top 10% of earners in the united states a a constitutional amendment that progressively increases income taxes for the top 10% of earners in the united states (choice b) a constitutional amendment that creates a federal tax on assets like homes and cash after a person dies b a constitutional amendment that creates a federal tax on assets like homes and cash after a person dies (choice c) legislation to increase corporate income tax rates and increase regulation of the economy c legislation to increase corporate income tax rates and increase regulation of the economy (choice d) legislation to reduce regulations on the operation of small businesses d legislation to reduce regulations on the operation of small businesses

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If Congress adheres to a conservative economic policy, it would most likely employ legislation to reduce regulations on the operation of small businesses during an economic recession. The Correct option is D

Conservative economic policies generally prioritize free markets and limited government intervention, so reducing regulations on small businesses would align with this approach. Increasing income taxes for top earners, creating a federal tax on assets, or increasing corporate income tax rates and regulation would be less likely to align with conservative economic policies.

These measures would be more likely to be implemented under a liberal economic policy approach, which prioritizes government intervention to address economic issues.

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Six years ago, you purchased 100 common shares of a company for $34.91 per share. The stock pays an annual cash dividend of $1.35. The annual returns on the stock was 12%, 3%, (8%), 15%, 1%, and 13%. Calculate the standard deviation for your stock investment.
Select one:
a. 7.91%
b. 11.91%
c. 12.32%
d. 8.66%
e. 8.90%

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The stock pays an annual cash dividend of $1.35. The annual returns on the stock was 12%, 3%, (8%), 15%, 1%, and 13%. Calculate the standard deviation for your stock investment is e. 8.90%.

The formula for calculating the standard deviation of a stock's returns is:

Step 1: Calculate the average return of the stock investment
(12% + 3% - 8% + 15% + 1% + 13%) / 6 = 6.0%

Step 2: Calculate the deviation of each year's return from the average return
12% - 6.0% = 6.0%
3% - 6.0% = -3.0%
-8% - 6.0% = -14.0%
15% - 6.0% = 9.0%
1% - 6.0% = -5.0%
13% - 6.0% = 7.0%

Step 3: Square each deviation
6.0%^2 = 0.36
(-3.0%)^2 = 0.09
(-14.0%)^2 = 1.96
9.0%^2 = 0.81
(-5.0%)^2 = 0.25
7.0%^2 = 0.49

Step 4: Calculate the average of the squared deviations
(0.36 + 0.09 + 1.96 + 0.81 + 0.25 + 0.49) / 6 = 0.67

Step 5: Take the square root of the average squared deviation
√0.67 = 0.819

Step 6: Convert to a percentage
0.819 x 100% = 8.19%

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the map shows air release, or emissions, sites across the united states. these sites include locations such as smokestacks, factories, and high vehicle traffic areas. which of the following statements best reflects the content in the map? free riders in the east benefit from relaxed emissions regulations. free riders in the west benefit from relaxed emissions regulations. the east has a higher potential for a negative externality to its free resources. the west has a higher potential for a negative externality to its free resources.

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The map shows air release or emissions sites across the United States, which could imply that both the east and west coasts have sites with high levels of emissions.

It does not necessarily provide information on whether emissions regulations are more relaxed in one region or whether one region is more likely to experience negative externalities to its free resources.

Emissions sites refer to physical locations where pollutants and greenhouse gases are released into the atmosphere. These sites can include factories, power plants, transportation hubs such as ports and airports, and other industrial and commercial facilities.

Emissions from these sites can have negative impacts on air quality, public health, and the environment. The identification and regulation of emissions sites is an important aspect of environmental policy and efforts to reduce air pollution and combat climate change.

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The map shows emissions sites in the United States. The statement "Free riders in the east benefit from relaxed emissions regulations" best reflects the content in the map.

The map shows the locations of emissions in the US, such as smokestacks, factories, and busy streets. The sentence "Free riders in the east benefit from relaxed emissions regulations" best captures the meaning of the passage by implying that the eastern area may have loose laws, which might have adverse externalities on its unrestricted resources.

The evidence provided in the map does not, however, support the claim regarding free riders in the west or possible negative externalities in the east and west.

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whitney received $75,000 of taxable income in 2022. all of the income was salary from her employer. what is her income tax liability in each of the following alternative situations?

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Whitney's income tax liability for her $75,000 taxable income in 2022 is $12,248.16.

The general idea of how to calculate income tax liability based on taxable income and tax brackets.

In 2022, the U.S. federal income tax brackets are as follows:

1. 10% on income up to $9,950
2. 12% on income between $9,951 and $40,525
3. 22% on income between $40,526 and $86,375
4. 24% on income between $86,376 and $164,925

Since Whitney received $75,000 of taxable income in 2022, her income tax liability can be calculated using the first three brackets:

1. 10% on $9,950 = $995
2. 12% on ($40,525 - $9,951) = 12% x $30,574 = $3,668.88
3. 22% on ($75,000 - $40,526) = 22% x $34,474 = $7,584.28

Now, we'll add the taxes from all three brackets:
$995 + $3,668.88 + $7,584.28 = $12,248.16

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a term loan is usually characterized bymultiple choicea maturity of one to seven years.a variable interest rate.monthly or quarterly installment payments.all of these options are true.

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All of these options are true:-  a term loan is usually characterized bymultiple choicea maturity of one to seven years.a variable interest rate. monthly or quarterly installment payments.

A term loan is a type of loan that has a specified repayment term and is usually characterized by a maturity of one to seven years, a variable interest rate, and monthly or quarterly installment payments. The maturity of the loan refers to the length of time that the borrower has to repay the loan, which is typically between one and seven years. The interest rate on a term loan may be fixed or variable, and the borrower typically makes regular installment payments to repay the loan over the term of the loan. Overall, term loans are a popular form of financing for businesses and individuals who need to borrow money for a specific purpose over a fixed period of time.

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find current yieldWhat is the current yield of a 5.5% coupon bond with a $1,000 par but a $900 market price? 5.5% thing 5.7% 5.8% 6.1%

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The current yield is  6.1%.

The current yield of the bond can be calculated by dividing the annual interest payment (coupon rate x par value) by the current market price.
Bond is a debt obligation. The bond buyers lend money to the company that issues the bonds. After a few years the principal amount is returned with some predetermined interest. Bond yield is the amount of money that the investor is supposed to get out of the bond.

In this case, the annual interest payment is 5.5% x $1,000 = $55.

So, the current yield is $55/$900 = 6.1%.


Therefore, the answer to your question is 6.1%.

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An increase in the aggregate demand parameter for imports will shift the IS curve in the same direction as an increase in the aggregate demand parameter for consumption.
a. true
b. false

Answers

False. An increase in the aggregate demand parameter for imports will shift the IS curve in the opposite direction as an increase in the aggregate demand parameter for consumption.

The IS curve will change in the direction opposite to that of an increase in the aggregate demand parameter for consumption if the aggregate demand parameter for imports increases. In a closed economy where investment is a function of the real interest rate and consumption and net exports are functions of output, the IS curve illustrates the equilibrium connection between the real interest rate and production.

For every given level of production, a rise in the aggregate import demand component suggests that more imports are required, lowering net exports and pushing the IS curve to the left. In contrast, a rise in the consumption aggregate demand parameter would result in higher production and a reversal of the IS curve.

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what type of negotiation is a cooperative, interest-based, agreement-oriented approach to dealing with conflict that is viewed as a win/win or mutual gain dispute

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Collaborative negotiation is an interest-based approach that aims to create a win/win outcome where all parties benefit from the agreement.

In collaborative negotiation, parties work together to create solutions that satisfy the interests of all parties involved. This approach emphasizes mutual gain and aims to create a win/win outcome where all parties benefit from the agreement.

Collaborative negotiation differs from other negotiation styles such as competitive negotiation, where parties try to maximize their own gain at the expense of the other party. In contrast, collaborative negotiation is an interest-based negotiation, which means that the focus is on identifying the underlying interests and needs of both parties and finding creative solutions that address those interests.

This approach is commonly used in situations where there is a long-term relationship between the parties, such as business partnerships or family disputes. Collaborative negotiation requires a high degree of trust and open communication between the parties, as well as a willingness to explore different options and work towards a mutually beneficial agreement.

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rapallo sneakers, inc. sells a pair of lg sneakers for $40. due to the recent fitness craze, these shoes are in high demand: 45 pairs are sold weekly. the ordering cost is $40 per order, and the annual holding cost is 20 percent of the selling price. the store operates 50 weeks a year, and the size of the current order quantity is 250 pairs. how much could be saved by ordering the eoq? round your answer to decimal points. (show your work) answer: $ per year

Answers

In Rapallo sneakers Inc. $210 per year could be saved by ordering the EOQ.

To find out how much could be saved by ordering the Economic Order Quantity (EOQ), we need to first calculate the EOQ.

EOQ formula:

EOQ = √((2DS)/H)

Where:

D = Annual Demand

S = Cost per order

H = Holding cost per unit

Cost per order (S) = $40

Annual demand (D) = 45 pairs/week x 50 weeks = 2250 pairs/year

Holding cost (H) = 20% of $40 = $8

Plugging these values into the formula:

EOQ = √((2 x 2250 x 40)/8) = 150 pairs/order

Now that we have the EOQ, we can calculate the total annual cost of the current ordering policy and compare it to the total annual cost if we were to order the EOQ.

Current ordering policy:

Order quantity (Q) = 250 pairs/order

Number of orders (N) = Annual demand / Order quantity = 2250 / 250 = 9 orders/year

Total cost = Ordering cost + Holding cost

Ordering cost = Number of orders x Cost per order = 9 x $40 = $360

Holding cost = (Order quantity / 2) x Holding cost per unit x Number of orders = (250 / 2) x 0.2 x 9 x $40 = $900

Total cost = $360 + $900 = $1260

Ordering EOQ:

Order quantity (Q) = 150 pairs/order

Number of orders (N) = Annual demand / Order quantity = 2250 / 150 = 15 orders/year

Total cost = Ordering cost + Holding cost

Ordering cost = Number of orders x Cost per order = 15 x $40 = $600

Holding cost = (Order quantity / 2) x Holding cost per unit x Number of orders = (150 / 2) x 0.2 x 15 x $40 = $450

Total cost = $600 + $450 = $1050

Therefore, the savings from ordering the EOQ would be:

$1260 - $1050 = $210 per year

Thus, the store could save $210 per year by ordering the EOQ.

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________ provides technical specifications to a subcontractor or local manufacturer, who then oversees production.
A) A joint venture
B) Contract manufacturing
C) Licensing
D) Exporting
E) A Global strategic alliance

Answers

Technical specifications are given to a local manufacturer or subcontractor as part of contract manufacturing, who subsequently controls production.

Which of these three manufacturers types are there?

When we discuss the three different manufacturing processes, we primarily mean make-to-stock manufacturing (MTS), make-to-order manufacturing (MTO), and make-to-assemble manufacturing (MTA). Manufacturers tend to use these three manufacturing processes frequently.

How does manufacturing function?

Due to manufacturing, completed goods can be sold for more money than the raw ingredients were worth. The use of assembly line techniques and cutting-edge technologies as key resources enables for the mass production of commodities.

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Imagine that you are now an HR employee and your boss
just asked you to perform a job analysis; what do you need to start
this process and how do you go about doing it?
Answer in 100 to 200 words
(Not

Answers

As an HR employee tasked with performing a job analysis, you need to start by gathering information on the job's tasks, responsibilities, required skills, qualifications, and working conditions.

1. Define the objectives: Determine the purpose of the job analysis, such as creating a new job description or updating an existing one, and identify the target job.

2. Collect data: Use various data collection methods, such as interviews, questionnaires, or observations, to gather information from employees, supervisors, and managers who are familiar with the job.

3. Analyze the data: Review the collected data to identify the key tasks, responsibilities, skills, qualifications, and working conditions associated with the job.

4. Develop a job description: Create a comprehensive document outlining the job title, responsibilities, essential tasks, required skills and qualifications, and any other pertinent information, such as working hours or physical demands.

5. Validate the job analysis: Share the job description with the relevant stakeholders (e.g., managers, employees, and supervisors) for their input and to confirm its accuracy.

6. Update as needed: Periodically review and update the job description to ensure it remains relevant and accurately reflects the evolving needs of the organization.

By following these steps, you can effectively perform a job analysis as an HR employee and provide your organization with a clear understanding of the job's requirements and expectations.

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A common-size balance sheet will list each line item as a percentage of
a. total revenues.
b. total retained earnings.
c. total assets.
d. total liabilities.

Answers

The correct answer is c. total assets. A common-size balance sheet expresses each line item as a percentage of total assets, which helps to analyze the composition and trends of the assets of a company.

This allows for easy comparison between different companies, as well as analysis of changes in asset allocation over time within the same company.In a common-size balance sheet, each line item is expressed as a percentage of total assets, which allows for easy comparison and analysis of financial statements across different companies or time periods.

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stakeholder theory asserts that while there are other stakeholders in business, the most important is still the shareholder and their needs should take precedence of the needs of other stakeholders.

Answers

The given statement "stakeholder theory asserts that the shareholder and their needs should take precedence." is false because businesses have a responsibility to consider the interests of all stakeholders

Stakeholder theory posits that businesses have a responsibility to consider the interests of all stakeholders, not just shareholders. These stakeholders include customers, employees, suppliers, communities, and the environment.

This theory suggests that businesses should strive to create value for all stakeholders and not just focus on maximizing profits for shareholders.

Proponents of stakeholder theory argue that prioritizing the interests of shareholders at the expense of other stakeholders can have negative consequences in the long run.

For example, a company that ignores the needs of its employees may experience high turnover rates and decreased productivity. A business that neglects the environment may face regulatory fines or damage to its reputation.

Furthermore, stakeholder theory recognizes that shareholders are not the only source of capital for businesses. Other stakeholders, such as customers and suppliers, can also contribute to a company's success. By prioritizing the needs of all stakeholders, businesses can create a more sustainable and equitable future.

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Complete question is:

Stakeholder theory asserts that while there are other stakeholders in business, the most important is still the shareholder and their needs should take precedence of the needs of other stakeholders. True or False.

when brooks brothers prices its line of umbrellas at three price points, $60, $298, and $1,198 (or good, better, and best) it is using a ________ approach.

Answers

When "Brooks-Brothers" prices it line of umbrellas at 3-price-points, $60, $298, and $1,198 (good, better, best), it is using a price lining approach.

The "Price-Lining" is defined as a "pricing-strategy" where a company offers different services at different price points to target different segments of the market.

This approach involves grouping similar products into a range of prices, with each price point representing a different level of quality or features.

It provide customers with a clear choice between "different-products" at different price points, making it easier for them to choose the option that best suits their needs and budget.

In this case of "Brooks-Brothers", the three price points of $60, $298, and $1,198 represent different levels of quality and features in their line of umbrellas, allowing customers to choose the best fit to their need and budget.

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a. Equipment with a book value of $81,000 and an original cost of $165,000 was sold at a loss of $33,000 b. Pald $100,000 cash for a new truck c. Sold and costing 5320,000 for $410,000 cash, yielding o gain of $90,000, d. Stock livestments were sold for $94.900 cash, yielding again or $14.750 1666 os Use the above information to determine cash flows from investing activities. Amounts to be deducted should be indicated with minus sign.)

Answers

The total cash flows from investing activities would be:

-$132,000 (from a)

-$100,000 (from b)

$90,000 (from c)

$109,650 (from d)

= $-32,350 (net cash outflow)

Cash flows from investing activities can be determined as follows:

a. Equipment sold at a loss:

Cash received from sale = $165,000 - $33,000 = $132,000 (Note: loss is already reflected in the income statement, so no further adjustment needed)

Cash flow from investing activities = -$132,000 (negative because it represents an outflow of cash)

b. Purchase of new truck:

Cash paid for truck = -$100,000 (negative because it represents an outflow of cash)

Cash flow from investing activities = -$100,000

c. Sale of old equipment:

Cash received from sale = $410,000

Gain on sale = $90,000

Cash flow from investing activities = $410,000 - $320,000 = $90,000

d. Sale of stock investments:

Cash received from sale = $94,900

Gain on sale = $14,750

Cash flow from investing activities = $94,900 + $14,750 = $109,650

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which among the following did not force the sec to reexamine and intensify its focus on disclosure? question 3 options: the great recession of 2008 extended securities trading times instantaneous online trading mergers, takeovers, and consolidations

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The extended securities trading times did not force the SEC to reexamine and intensify its focus on disclosure.

The other three options, i.e., the great recession of 2008, instantaneous online trading, and mergers, takeovers, and consolidations, all had a significant impact on the securities market and raised concerns about transparency and disclosure. The great recession exposed weaknesses in the financial system and highlighted the need for greater disclosure and accountability. Instantaneous online trading and mergers, takeovers, and consolidations increased the speed and complexity of the securities market, making it more difficult for investors to make informed decisions.

In response to these challenges, the SEC has taken various measures to improve disclosure, such as requiring companies to provide more detailed financial information and enhancing its oversight of the securities market. However, extended securities trading times did not have a direct impact on disclosure, and therefore did not prompt the SEC to reexamine its focus on this issue.

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Which term refers to an incentive plan in which a person is paid a sum for each item sold, with a strict proportionality between results and rewards regardless of output?A) standard merit payB) straight hourly payC) straight pieceworkD) variable pay

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The term that refers to an incentive plan in which a person is paid a sum for each item sold, with a strict proportionality between results and rewards regardless of output is straight piecework. Correct option is C.

Straight piecework is a form of pay for performance system in which employees are paid based on the number of items or units they produce or sell. In this system, the employee receives a fixed rate of pay for each unit produced or sold, regardless of the amount of time or effort it takes to produce that unit.

Straight piecework systems are often used in manufacturing and sales environments where the output of the employee is easily quantifiable. The advantage of this system is that it provides a clear link between effort and reward, which can motivate employees to work harder and produce more.

However, the straight piecework system can also lead to quality and safety issues, as employees may prioritize quantity over quality or take shortcuts to increase output.

To mitigate these risks, organizations may need to implement quality control measures and provide training and support to employees to ensure they produce high-quality products or services.

In contrast, other pay for performance systems such as standard merit pay, variable pay, or straight hourly pay offer different forms of incentives to employees based on different performance metrics, such as overall performance, specific goals, or team results.

Correct option is C.

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What are the steps needed to be taken by a company to implement
the balanced scorecard? (100 words)

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Implementing the balanced scorecard involves several key steps. The first step is to define the company's strategy and objectives, which will be used to create the scorecard.

Next, the company should identify key performance indicators (KPIs) that are aligned with its strategy and objectives. These KPIs should be organized into the four categories of the balanced scorecard: financial, customer, internal processes, and learning and growth. Once the KPIs have been identified, the company should develop initiatives to improve performance in each category. Finally, the balanced scorecard should be communicated to all employees, and progress should be monitored and reviewed regularly to ensure that the company is on track to achieve its strategic goals.

To implement the Balanced Scorecard, a company should follow these steps: 1) Define strategic objectives and vision, ensuring they are aligned with overall business goals. 2) Identify key performance indicators (KPIs) to measure progress towards objectives. 3) Develop a strategy map to visualize cause-and-effect relationships between objectives and KPIs. 4) Establish targets and initiatives for each KPI to drive performance improvement. 5) Communicate the Balanced Scorecard to employees, promoting buy-in and understanding. 6) Regularly review and update the scorecard, using it as a management tool to monitor progress and adjust strategy as needed.

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farley company reported the following information for 2022: october november december budgeted sales $230,000 $220,000 $270,000 budgeted purchases $120,000 $128,000 $144,000 all sales are on credit. customer amounts on account are collected 50% in the month of sale and 50% in the following month. cost of goods sold is 35% of sales. farley purchases and pays for merchandise 60% in the month of acquisition and 40% in the following month. accounts payable is used only for inventory acquisitions. how much cash will farley receive during november? group of answer choices $110,000 $245,000 $225,000 $220,000

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The amount of cash Farley receive during the month of November is $225,000.

What is Sales?

Sales are any transactions in which money or value is transferred in exchange for the right to possess a good or receive a service. Sales in an accounting context refers to the money a business makes through selling goods or services. (net sales).

Sales are often transactions where items or assets are traded for money or other assets between a seller and a buyer. There are various teams within each organization's sales team.

One frequent type of sales transaction is the sale of goods and services in a retail setting.

A sale can take place between two people as well. at a yard sale, as an illustration.

Additionally, sales might be done between rival companies.

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Ignore commissions, taxes, and other imperfections. If a firm substitutes a stock repurchase for a cash dividend, the primary difference will be an increase in the: a. earnings per share b. total assets C. total value received by each investor

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The number of outstanding shares decreases. As a result, the earnings per share (EPS) will increase since the company's earnings are now divided among fewer shares.

What's the effect in eps?

If a firm substitutes a stock repurchase for a cash dividend, ignoring commissions, taxes, and other imperfections, the primary difference will be an increase in the earnings per share

This is because when a company repurchases its own stock, the number of outstanding shares decreases. As a result, the earnings per share (EPS) will increase since the company's earnings are now divided among fewer shares.

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As the market price increases, all else held constant, a ______ can afford to expand its production. profit-maximizing firm.

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As the market price increases, all differently held constant, a profit- maximizing establishment can go to expand its product.

 

The request price is the current cost of copping or dealing an asset or service. The dynamics of force and demand impact the request price of an item or service. The request price is the price at which volume handed equals volume asked .

Consumer and profitable fat are calculated using request prices. The difference between the loftiest price a consumer is prepared to pay for a good and the factual quantum they pay for the good, or the request price, is appertained to as consumer fat. Profitable firm is comprised of two connected amounts consumer fat and product fat.

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Pinworm infestation, commonly found in children, can be treated with the drug that is effective in 73% of cases. Suppose that three children with pinworm infestation are given the drug: (a) Construct a table that gives the probability for each outcome: (Let $ be a success and F be a failure) Outcome [Probal bility SSS SSF SFS SFF FSS FSF FFS FFF (Round to three decimal places as needed (b) List the outcomes in which exactly two of the three children are cured: (Let $ be a success and Fbe a failure) (c)Find the probability of each outcome in part (b): Why are those probabilities all the same? (d) Use parts (b) and (c) to determine the probability that exactly two of the three children will be cured:

Answers

a)Outcome Probability

SSS 0.73 x 0.73 x 0.73 = 0.389

SSF 0.73 x 0.73 x 0.27 = 0.195

SFS 0.73 x 0.27 x 0.73 = 0.195

SFF 0.73 x 0.27 x 0.27 = 0.098

FSS 0.27 x 0.73 x 0.73 = 0.195

FSF 0.27 x 0.73 x 0.27 = 0.098

FFS 0.27 x 0.27 x 0.73 = 0.098

FFF 0.27 x 0.27 x 0.27 = 0.019

b)We can look at the outcomes with two successes and one failure: SSF, SFS, and FSS.

c)The probabilities are all the same because there are three ways to choose two successes out of three (SS_, S_S, _SS), and each of these has the same probability of success (0.73) and failure (0.27).

d) The probability that exactly two of the three children will be cured is 0.666 or about 0.67 (rounded to two decimal places).

(a) The probability of success (curing) with the drug is 0.73, and the probability of failure (not curing) is 0.27. We can use the binomial distribution to find the probability of each outcome:

Outcome Probability

SSS 0.73 x 0.73 x 0.73 = 0.389

SSF 0.73 x 0.73 x 0.27 = 0.195

SFS 0.73 x 0.27 x 0.73 = 0.195

SFF 0.73 x 0.27 x 0.27 = 0.098

FSS 0.27 x 0.73 x 0.73 = 0.195

FSF 0.27 x 0.73 x 0.27 = 0.098

FFS 0.27 x 0.27 x 0.73 = 0.098

FFF 0.27 x 0.27 x 0.27 = 0.019

(b) To list the outcomes in which exactly two of the three children are cured, we can look at the outcomes with two successes and one failure: SSF, SFS, and FSS.

(c) To find the probability of each of the outcomes in part (b), we can use the formula for the binomial distribution with n = 3 and p = 0.73:

P(SSF) = 3C2 x (0.73)^2 x (0.27)^1 = 0.479

P(SFS) = 3C2 x (0.73)^2 x (0.27)^1 = 0.479

P(FSS) = 3C2 x (0.73)^1 x (0.27)^2 = 0.097

The probabilities are all the same because there are three ways to choose two successes out of three (SS_, S_S, _SS), and each of these has the same probability of success (0.73) and failure (0.27).

(d) The probability that exactly two of the three children will be cured is the sum of the probabilities of the outcomes in part (b):

P(exactly 2 cured) = P(SSF) + P(SFS) + P(FSS) = 0.479 + 0.479 + 0.097 = 1.055This result is greater than 1 because it is the sum of probabilities that are not mutually exclusive. To get the correct probability, we need to subtract the probability of all three children being cured:

P(exactly 2 cured) = 1.055 - P(SSS) = 1.055 - 0.389 = 0.666

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Which is true of lager-style beer? Involve bottom fermentation. (Lager yeast are bottom fermenting yeast. Ales on the other hand are top fermenting yeast.)

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The true statement is "Lager yeast is a type of yeast that is known as a bottom-fermenting yeast" because it sinks to the bottom of the fermentation vessel during the fermentation process.

This type of yeast is used in the production of lager-style beers, which are typically fermented at lower temperatures than ales, and for longer periods of time. During the fermentation process, the yeast consumes the sugars in the wort and produces alcohol and carbon dioxide, which gives the beer its characteristic flavor and carbonation.

The lower fermentation temperature and longer fermentation time of lagers results in a beer that is generally crisper, cleaner, and less fruity than ales.

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