You've just bought a share of stock for $82. You plan to sell it next year. The company has been growing, and it plans to increase the dividends by 8% each year, and it has just paid a $3.1 dividend on each share.

If you sell the share of stock next year, what will be your dividend yield over the coming year?

Answers

Answer 1

The dividend yield over the coming year will be approximately 4.08%.

What will be the dividend yield over the coming year if the stock is sold next year?

The dividend yield is a financial metric that measures the return on investment from dividends. It is calculated by dividing the annual dividend per share by the stock's current price.

In this case, the stock was purchased for $82, and the company paid a dividend of $3.1 per share.

To calculate the dividend yield for the coming year, we need to determine the dividend that will be paid next year.

Since the company plans to increase the dividends by 8% each year, the dividend for next year can be calculated by multiplying the current dividend by (1 + growth rate). Therefore, the dividend for next year will be $3.1 * (1 + 0.08) = $3.348.

To calculate the dividend yield, we divide the annual dividend by the stock price: $3.348 / $82 = 0.0408.

Therefore, the dividend yield over the coming year will be approximately 4.08%. This means that if the stock is sold next year, the investor can expect a return of 4.08% based on the dividends received relative to the stock price.

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Related Questions

The partnership of Rhino and Chris agree that the partners will
share profits and losses in a 75% to 25% ratio, respectively.
Assets are sold for a gain of $10,000 The gain will be create a
(debit/cre

Answers

When Rhino and Chris agreed that they will share profits and losses in a 75% to 25% ratio, respectively, they formed a partnership. The entries that will be made are as follows:Asset Account Dr. $10,000Partner's capital account (Rhino) Cr. $7,500Partner's capital account (Chris) Cr. $2,500

In such a case, the partnership agreement will outline how the partners are to split profits, losses, and any other gains that may arise.The gain from the sale of assets for $10,000 will be credited to the partnership's account. This is because the asset was sold for more than it was bought for, meaning the partnership gained from the sale. A credit to an account indicates that an amount has been added to it. The profit that was made from the sale of the assets is the partnership's gain. It should be shared according to the agreed ratio, which is 75% to Rhino and 25% to Chris.

In this regard, Rhino's capital account should be credited with 75% of the gain, which is $7,500, while Chris's capital account should be credited with 25% of the gain, which is $2,500.To balance the entries, the asset account will be debited. This is because it is no longer in the partnership's possession, having been sold. A debit to an account indicates that an amount has been removed from it.

Therefore, the entries that will be made are as follows: Asset Account Dr. $10,000Partner's capital account (Rhino) Cr. $7,500 and Partner's capital account (Chris) Cr. $2,500

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When the social value and the private value are equal to one another but social cost is higher than the private cost, the private market outcome will be _than the outcome desired by the higher, producers O higher, society O lower, society O None of the other alternatives are correct

Answers

When the social value and the private value are equal to one another but social cost is higher than the private cost, the private market outcome will be lower than the outcome desired by the society. The correct answer is option C.

When the social value and the private value are equal to one another but social cost is higher than the private cost, the private market outcome will be lower than the outcome desired by the higher, society because the private market does not take into account the negative externalities of economic activities.

In other words, when the social value and private value are equal, it suggests that the private benefits of the production activity are equal to the social advantages. However, when the social cost is higher than the private cost, it suggests that the private market is not considering the negative externalities of the economic activity.

This is because the private market is only concerned with the private benefits and costs associated with the economic activity, whereas the social cost is borne by society as a whole.

In conclusion, when social cost is higher than the private cost, the private market outcome will be lower than the outcome desired by the society.

Hence, option C is the right answer.

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You are paying a series of five constant-dollar (or real-dollar) uniform payments of $1,979.46 beginning at the end of first year. Assume that the general inflation rate is 34.3% and the market interest rate is 34.3% during this inflationary period. The equivalent present worth of the project is: _________

Answers

The equivalent present worth of the project is $3,512.63.

To find the equivalent present worth of the project, we need to adjust the cash flows for inflation and calculate the present value of those cash flows.

Since the general inflation rate is 34.3%, the future value of each payment after one year would be increased by this rate. Therefore, the future value of the five constant-dollar payments would be:

Future Value = $1,979.46 * (1 + 0.343[tex]) ^ 5[/tex] = $6,573.20

Next, we need to discount this future value to its present value using the market interest rate of 34.3%. The present value formula is:

Present Value = Future Value / (1 + Market Interest Rate[tex]) ^ n[/tex]

where n is the number of periods. In this case, n is 5 since we are discounting for 5 years.

Present Value = $6,573.20 / (1 + 0.343[tex]) ^ 5[/tex] = $3,512.63

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I Calculate the variance in the scenario below and state whether it is positive or negative, favourable or adverse. Explain two challenges of setting budgets. Budgeted profit: £200,000; Actual profit: £410,000 (6 marks)

Answers

To calculate the variance, you will need to deduct the actual result from the budgeted result, then divide that difference by the budgeted amount. That is,



Variance = (Actual Profit - Budgeted Profit) / Budgeted Profit
Variance = (410,000 - 200,000) / 200,000
Variance = 210,000 / 200,000
Variance = 1.05 or 105%

1. Unrealistic expectations: When budgeting, some managers set goals that are too high or unrealistic. When goals are set too high, it can create unnecessary pressure on the team to meet the goals, which can lead to burnout, job dissatisfaction, and even a high employee turnover rate. Unrealistic expectations can also lead to employees cutting corners, taking shortcuts, or disregarding rules to achieve the set goals.

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A large electric utility company spews 62 million tons of greenhouse gases (mostly carbon dioxide) into the environment each year This company has committed to spending $2.1 billion in capital over the next five years to reduce its annual emissions by 6%. More will be spent after five years to reduce greenhouse gases further. D a. What is the implicit cost of a ton of greenhouse gas? 51 b. If the United States produces 2 billion tons of greenhouse gases each year, how much capital must be spent to reduce total emissions by 4% over the next five years based on your answer in Part (a)?
a. The implicit cost of greenhouse gas is $__- per ton (Round to the nearest cent.)

Answers

a. The implicit cost of greenhouse gas is $33.87- per ton (Round to the nearest cent.). $2,709,600,000 must be spent to reduce total emissions by 4% over the next five years

The implicit cost of greenhouse gas:  An implicit cost is an indirect cost that is not visible. When making a decision, it is a cost that has already been incurred but is not visible. It is the chance cost of using a company's or individual's current resources. .

The implicit cost of greenhouse gas can be calculated by dividing the money spent by the amount of greenhouse gases reduced. In this case, the electric utility company is spending $2.1 billion in capital over the next five years to reduce its annual emissions by 6%.

We can calculate the amount of greenhouse gases the company is reducing by multiplying its current greenhouse gases by 6%: 62,000,000 x 0.06 = 3,720,000. Then we can calculate the implicit cost of greenhouse gas by dividing $2.1 billion by 3,720,000:2,100,000,000 / 3,720,000 = 564.51612903Then we convert it to per ton:564.51612903 / 16 = 33.87099557

b. If the United States produces 2 billion tons of greenhouse gases each year, we can find the total amount of greenhouse gases that need to be reduced in order to reach a 4% reduction: 2,000,000,000 x 0.04 = 80,000,000 Then we can calculate the capital needed to reduce 80,000,000 tons of greenhouse gases by using the implicit cost per ton we found in Part (a): 80,000,000 x $33.87 = $2,709,600,000. Therefore, $2,709,600,000 must be spent to reduce total emissions by 4% over the next five years based on our answer in Part (a).

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regory bought 500 shares of stock at a price of $60 per share. He later sold his stock at a price of $56. What was his total return on his investment?
A) $4 capital gain
B) $2,000 capital gain
C) $26,500 capital gain
D) $60 capital loss
E) $2,000 capital loss

Answers

Total return on investment = – $2000.Therefore, Gregory's total return on his investment is $2000 capital loss. Hence, option E is correct.

Gregory bought 500 shares of stock at a price of $60 per share. He later sold his stock at a price of $56. What was his total return on his investment. The answer to the question is option E) $2,000 capital loss.Explanation:We are given that Gregory bought 500 shares of stock at a price of $60 per share. Therefore, the amount invested by him is

500 × 60

= $<<500*60

=30000>>30000.

He later sold his stock at a price of $56. Therefore, the amount received by him is

500 × 56

= $<<500*56

=28000>>28000

.Total return on investment = Selling price – Purchase price Total return on investment

= 28000 – 30000

.Total return on investment

= – $2000

.Therefore, Gregory's total return on his investment is $2000 capital loss. Hence, option E is correct.

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Choose any country in the world, other than the U. S., and briefly explain that country’s current laws that would affect the LGBTQ community.

Answers

One of the countries that can be discussed to answer this question is India. India has a rich and diverse culture, and it is considered a very conservative country in many ways.

It is one of the few countries in the world that still criminalizes homosexuality. It was in 2018 when the Supreme Court of India declared section 377 of the Indian Penal Code unconstitutional, thereby decriminalizing homosexuality in the country.However, despite this landmark decision, the LGBTQ+ community still faces discrimination and marginalization in various forms. There is still a lack of legal recognition for same-sex couples in India. Same-sex marriage or civil unions are not legally recognized in India, and there are no laws protecting the rights of LGBTQ+ individuals regarding housing, healthcare, employment, and other areas.

Transgender persons in India are also facing various issues. There is a lack of recognition for their gender identity, and they face discrimination in society. Despite the situation of the LGBTQ community, there has been progress in recent years as more than 100 organizations working for the welfare of the community have emerged. These organizations provide resources for the community to support them with legal issues, HIV/AIDS awareness, and other services.

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at common law, the person who used a symbol or mark to identify a business or product was protected in the use of that trademark. true false

Answers

True. At common law, the person who used a symbol or mark to identify a business or product was protected in the use of that trademark.

What is a trademark?

A trademark is a unique symbol, logo, phrase, word, or a combination of these that distinguishes the goods and services of one company from those of another. It can be a brand, a logo, or a slogan that makes it unique from others. Trademarks can be registered, which gives them the status of property that is owned by the registrant.

Why is a trademark important?

A trademark is crucial because it provides legal protection to the brand owner. It prohibits others from using the same or similar mark without permission. If a competitor or other third party uses a trademark, the owner of the trademark can bring a lawsuit against them for infringement of the trademark.

Therefore, if someone uses a symbol or mark to identify a business or product, they will be protected in the use of that trademark. This statement is true.

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Michael Ltd makes calculators that sell for $20 each. The
company’s annual production and sales is 20,000 calculators. The
fixed manufacturing overhead is 30,000 and $50,000 is fixed
administrative

Answers

It is necessary to allocate the $30,000 fixed manufacturing overhead cost to the 20,000 calculators that Michael Ltd produces annually.

Michael Ltd makes calculators that sell for $20 each. The company's annual production and sales are 20,000 calculators. The fixed manufacturing overhead is $30,000, and $50,000 is the fixed administrative expense.

Michael Ltd can use different techniques to allocate the manufacturing overhead to the products it produces. For instance, it can use the traditional or conventional method or the activity-based costing (ABC) method.

However, in this case, we will use the traditional method to allocate the fixed manufacturing overhead cost to the company's calculators produced.

The traditional method allocates the manufacturing overhead cost based on a single allocation base, such as labor or machine hours. Michael Ltd's fixed manufacturing overhead is $30,000, which is a sunk cost since the cost is already committed and can not be changed.

Therefore, it is necessary to allocate the $30,000 fixed manufacturing overhead cost to the 20,000 calculators that Michael Ltd produces annually.

Using the traditional method, the cost allocation base for Michael Ltd is direct labor hours. The company uses the following information to allocate the fixed manufacturing overhead cost: Direct materials per unit

= $5Direct labor cost per unit

= $2Variable manufacturing overhead cost per unit

= $3Total variable cost per unit

= $10Total cost per unit

= $14Selling price per unit

= $20The direct labor hours per unit are calculated as follows: Direct labor hours per unit

= Direct labor cost per unit / Direct labor rate

= $2 / $10 per hour

= 0.2 direct labor hours per unit to calculate the predetermined overhead rate, we divide the total fixed manufacturing overhead cost by the total direct labor hours as follows: Predetermined overhead rate

= Total fixed manufacturing overhead cost / Total direct labor hours

= $30,000 / 4,000 direct labor hours

= $7.5 per direct labor hourFinally, to allocate the fixed manufacturing overhead cost to the calculators produced, we multiply the predetermined overhead rate by the direct labor hours per unit.

Thus, the fixed manufacturing overhead cost per unit is: Fixed manufacturing overhead cost per unit = Predetermined overhead rate x Direct labor hours per unit

= $7.5 per direct labor hour x 0.2 direct labor hours per unit

= $1.5 per unit therefore, the total cost of the calculators produced is: Total cost per unit

= Variable cost per unit + Fixed manufacturing overhead cost per unit= $10 per unit + $1.5 per unit

= $11.5 per unitHence, Michael Ltd's total annual cost of producing 20,000 calculators is: Total cost of producing 20,000 calculators

= Total cost per unit x Number of units produced= $11.5 per unit x 20,000 units= $230,000Therefore, Michael Ltd's total annual production cost is $230,000.

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a) CJ Patel Ltd has a share price of $1.95. The company has made a renounceable rights issue offer and the offer is a two-for-six pro-rata issue of ordinary shares at $1.65 per share. (i) Explain what does it mean by the offer being renounceable and to whom is this offer made?

(ii) Calculate the price of the right.

(iii) Calculate the theoretical ex-rights share price.

Answers

(i) A renounceable rights offer means that existing shareholders of CJ Patel Ltd have the option to exercise their rights to purchase additional shares at a specified price or transfer/sell their rights to other investors. The offer is made to existing shareholders.

(ii) The price of the right is $0.30.

(iii) The theoretical ex-rights share price is $1.65.

a)(i) A renounceable rights issue offer means that existing shareholders have the option to either exercise their rights and purchase additional shares at a specified price or sell their rights to someone else. The offer is made to the existing shareholders of CJ Patel Ltd, giving them the opportunity to maintain their proportional ownership in the company by subscribing to additional shares.

(ii) To calculate the price of the right, we can determine the subscription price per right. In this case, the offer is a two-for-six pro-rata issue, which means for every six existing shares, shareholders are entitled to purchase two additional shares at the offer price.

Subscription price per right = Offer price per share / (Number of rights per share + 1)

Subscription price per right = $1.65 / (2 + 1)

Subscription price per right = $1.65 / 3

Subscription price per right ≈ $0.55

Therefore, the price of the right is approximately $0.55.

(iii) The theoretical ex-rights share price is the expected price of CJ Patel Ltd's shares after the rights issue has taken place. To calculate this, we subtract the subscription price per right from the current share price.

Theoretical ex-rights share price = Current share price - Subscription price per right

Theoretical ex-rights share price = $1.95 - $0.55

Theoretical ex-rights share price ≈ $1.40

Therefore, the theoretical ex-rights share price is approximately $1.40.

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Johnson, Inc. has 3.8 million shares of common stock outstanding and is subject to a corporate tax rate of 21 percent. The firm currently has no debt. The expected annual earnings before taxes of $3.5 million in perpetuity and it distributes all of its earnings as dividends at the end of each year. The current required return on the firm’s equity is 10.5 percent. The firm is planning a recapitalization under which it will issue $5 million of perpetual 5 percent debt and use the proceeds to buy back shares.

a. What is the price per share prior to announcement?

b. What is the vlaue of the firm and price per share uder APV method after the recapitalization plan is announced?

c. How may share will be repurchased? What is the price per share after the completion of the repurchase program?

Answers

a) Price per share = $8.76. b) Price per share = $9.05. c)  after the completion of the repurchase program, the price per share will be approximately $7.91.

How to find the price per share prior to announcement

To solve this problem, we can use the Adjusted Present Value (APV) method. Let's calculate the different components:

a. Price per share prior to the announcement:

To calculate this, we need to determine the value of the firm without the recapitalization. We can use the perpetuity formula to find the value of the firm:

Value of the firm = Earnings before taxes / Required return on equity

Value of the firm = $3.5 million / 0.105 (10.5%)

Value of the firm = $33.33 million

Now, we can calculate the price per share:

Price per share = Value of the firm / Number of shares outstanding

Price per share = $33.33 million / 3.8 million

Price per share = $8.76

b. Value of the firm and price per share under the APV method after the recapitalization plan is announced:

In this case, we need to consider the tax shield from the interest expense of the debt. Let's calculate the value of the tax shield first:

Tax shield = Tax rate * Debt

Tax shield = 0.21 (21%) * $5 million

Tax shield = $1.05 million

Now, we can calculate the value of the firm:

Value of the firm = Value of the firm without debt + Value of the tax shield

Value of the firm = $33.33 million + $1.05 million

Value of the firm = $34.38 million

Next, we can calculate the price per share:

Price per share = Value of the firm / Number of shares outstanding

Price per share = $34.38 million / 3.8 million

Price per share = $9.05

c. Number of shares repurchased and price per share after the completion of the repurchase program:

To calculate the number of shares repurchased, we need to use the proceeds from the debt issuance divided by the price per share after the announcement:

Number of shares repurchased = Debt issued / Price per share after the announcement

Number of shares repurchased = $5 million / $9.05

Number of shares repurchased ≈ 552,486 shares

Now, we can calculate the price per share after the completion of the repurchase program:

Price per share = Price per share after the announcement * (1 - (Number of shares repurchased / Number of shares outstanding))

Price per share = $9.05 * (1 - (552,486 / 3.8 million))

Price per share ≈ $7.91

So, after the completion of the repurchase program, the price per share will be approximately $7.91.

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Discussion of Torts 10 pts In the business environment, tort causes of action can put a company out of business. It important for the astute business owner to understand the risk the company is taking

Answers

In the business environment, a tort refers to a wrongful act that results in injury to an individual or damage to property. It is a civil offense, as opposed to a criminal offense. Tort causes of action can put a company out of business because they may result in high financial settlements or judgments.

There are several types of torts that a business owner should be aware of. These include intentional torts, negligence, and strict liability. Intentional torts occur when an individual or business intentionally commits an act that results in injury or damage. Examples include assault, battery, and defamation. Negligence occurs when an individual or business fails to exercise reasonable care and causes injury or damage.


In conclusion, understanding tort law and the risks associated with it is critical for any business owner. By taking steps to mitigate those risks, a business owner can protect their company and ensure its long-term success.

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i
need answer please
10 Define and discuss brands, addressing the issues of whether or not they are rational, how long they typically last, and if they are viable in the Internet era.

Answers

Brands are not solely rational constructs but encompass both rational and emotional aspects. Their lifespan can vary, and they play a crucial role in the Internet era. Brands that effectively adapt to the digital landscape and continuously deliver value to their customers can remain viable and successful in the ever-changing business environment.

Brands can be defined as distinctive symbols, names, logos, designs, or other elements that differentiate and identify a specific product, service, or company from its competitors. They represent the overall perception and reputation of a business in the minds of consumers.

While brands can have rational elements such as product features, quality, and functional benefits, they also encompass emotional and psychological associations. Consumers often form connections and attachments to brands based on their experiences, values, and perceptions. This emotional aspect adds depth and meaning to the brand beyond pure rationality.

The lifespan of a brand can vary significantly. Some brands have endured for decades or even centuries, demonstrating their resilience and ability to adapt to changing consumer preferences and market dynamics. However, other brands may experience a shorter lifespan due to factors such as intense competition, shifts in consumer preferences, or failure to innovate and meet evolving customer needs.

In the Internet era, brands have become more important than ever. The internet has expanded the reach and influence of brands, allowing businesses to connect with global audiences and engage in direct communication with customers. Online platforms provide opportunities for brand building, storytelling, and fostering customer loyalty.

At the same time, the internet has also posed challenges for brands. The abundance of information and choices available online has increased competition and made it easier for consumers to compare and switch between brands. Brands need to adapt to the digital landscape by developing a strong online presence, delivering seamless customer experiences across multiple channels, and utilizing digital marketing strategies to build and maintain brand relevance.

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Choose an industry and explain how the Covid-19 crisis impacted the size of operations of firms in this industry. Did this industry "recover" and what is the current state of the industry?

Answers

The Covid-19 crisis has had a significant impact on the size of operations of firms in the airline industry. Most airlines have seen a drastic decrease in demand for air travel, which has resulted in many airlines cutting down on the number of flights they operate and reducing the size of their fleet.

This has led to a significant reduction in the size of operations of firms in this industry, as they have had to lay off employees and cut down on expenses in order to survive. According to the International Air Transport Association (IATA), the global airline industry is expected to lose around $314 billion in revenue due to the Covid-19 crisis in 2020.

Many airlines have resorted to borrowing money and taking out government loans to stay afloat during the crisis. Some airlines have even filed for bankruptcy or gone out of business entirely. However, the industry has started to show some signs of recovery as restrictions on travel have begun to ease in some parts of the world.

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For each of the following scenarios, determine if the individual is helped or hurt by inflation.Explain each answer Jack retired five years ago and now lives on a fixed-income annuity and a smallsavings account that pays him 1% interest on the balance. The current inflation rate is
Jill has worked at her current position without a raise for 4 years. Because inflation has risen 5% over the course of the 4 years, she has struggled to pay day-to-day livingexpenses and her house payment. She asked her employer for a raise and he gave hera 6% raise because she is such a good worker.

Answers

Inflation is defined as a rise in the general price level. Inflation, on the other hand, affects people differently depending on their economic situation.

Here is how inflation helps and hurts each of the individuals in the situations given:

Jack retired five years ago and now lives on a fixed-income annuity and a small savings account that pays him 1% interest on the balance. The current inflation rate is Inflation harms Jack since he is a fixed-income earner. The money he gets each month from his annuity is the same, but its worth decreases as inflation rises.

Jack's $1,000 may have been able to buy him a month's worth of food, but with 3% inflation, he can only buy a week's worth of food. Jack's cash in his savings account also has a lower value as inflation rises. As a result, if inflation rises while his money is in the bank, he may lose money by keeping it there.

Jill has worked at her current position without a raise for 4 years. Because inflation has risen 5% over the course of the 4 years, she has struggled to pay day-to-day living expenses and her house payment. She asked her employer for a raise and he gave her a 6% raise because she is such a good worker.Inflation helps Jill because she receives a pay raise. Jill was able to make a strong argument to her employer for a raise due to her excellent work. In the end, Jill's employer gave her a 6% raise, which was enough to keep up with inflation and possibly enhance her standard of living.

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On January 1, 2020, Sitra Company leased equipment from National Corporation. Lease payments are $100,000, payable annually beginning on January 1, 2020 for 20 years. The lease is non-cancelable.
The following information pertains to the agreement:
1. The fair value of the equipment on January 1, 2020 is $850,000
2 The estimated economic life of the equipment was 25 years on January 1, 2020 with guaranteed residual value of $25,000
3. The lease is non-renewable. At the termination of the lease, the equipment reverts to the lessor 4. The lessor's implicit rate is 10% which is known to Sitra. Sitra's incremental borrowing rate is 12% (The PV of $1 for 20 periods at 10% is 0.14864 and the PV for an ordinary annuity of $1 for 20 periods at 10% is 8.51356).
5. Sitra uses straight-line method for depreciation.
Instructions:
A) Compute the present value of minimum lease payments.
B) Prepare all necessary journal entries on the lessee's books for the year 2020

Answers

A) The Answer is :

Present Value of Minimum Lease Payments = $971,224

Compute the Present Value of Minimum Lease Payments:

To compute the present value of minimum lease payments, we need to discount the future lease payments using the lessee's incremental borrowing rate of 12%. The annual lease payment is $100,000 for 20 years. Using the present value of an ordinary annuity formula, we can calculate the present value factor.

Present Value Factor = [1 - (1 + r)^(-n)] / r

Where:

r = Incremental borrowing rate = 12%n = Number of periods = 20Present Value Factor = [1 - (1 + 0.12)^(-20)] / 0.12Present Value Factor = 9.71224Present Value of Minimum Lease Payments = Annual Lease Payment × Present Value FactorPresent Value of Minimum Lease Payments = $100,000 × 9.71224Present Value of Minimum Lease Payments = $971,224

Therefore, the present value of minimum lease payments is $971,224.

B) The Answer Is :

Journal Entries Year 2020, Cash. $100,000

Prepare Journal Entries on the Lessee's Books for the Year 2020:

January 1, 2020:

Leased Equipment                                     $850,000Lease Liability                                             $971,224Cash                                                            $121,224

(To record the lease agreement and initial payment)

December 31, 2020:

Lease Expense                                 $38,561Interest Expense                              $97,122Lease Liability                                   $61,561Cash                                                  $100,000

(To record lease expense, interest expense, and lease payment)

The lease liability is reduced by the lease payment of $100,000, and the difference between the lease payment and interest expense is recognized as lease expense. The interest expense is calculated based on the remaining lease liability at the beginning of the year and the lessee's incremental borrowing rate of 12%.

About Journal Entry

In accounting and bookkeeping, journals are all financial transactions of a business entity or organization that are recorded chronologically and aim to record data, including the number of transactions, the names of transactions that either affect or are affected, and the time the transaction takes place.

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The facility is thinking about purchasing an espresso machine. The cost of the machine is $3250.00. The FSD believes they can expect a net yearly income of $1500.00 from the sale of espresso. How many months would it take to see payback on this machine? A. 2.166 B. 26 C. 5.54 D. there is not enough information to calculate payback time frame.

Answers

The correct option is B. The payback time frame for the espresso machine is 26 months.

To calculate the payback time frame for the espresso machine, we need to determine how many months it would take to recoup the cost of the machine based on the net yearly income from the sale of espresso.

First, let's convert the net yearly income to a monthly income. Since there are 12 months in a year, we can divide the net yearly income by [tex]12[/tex]:

Monthly income = [tex]\frac{\$1500}{12} = \$125[/tex]

Now we can calculate the payback time frame by dividing the cost of the machine by the monthly income:

Payback time frame = [tex]\frac{\$3250}{\$125} =26[/tex]

Therefore, the payback time frame for the espresso machine is [tex]26[/tex] months. So the answer is B. [tex]26[/tex].

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J. Jones sells one-half of his partnership to J. Denim for
$5,000 cash. The entry to record this transaction will include a
(debit/credit) to J. Denim, Capital.

Answers

The entry to record the transaction of J. Jones selling one-half of his partnership to J. Denim for $5,000 cash will include a credit to J. Denim, Capital.

When a partner sells a portion of their partnership interest to another partner, it is considered a transaction between the partners and does not affect the partnership's overall financial position. The selling partner, J. Jones, will reduce their capital account since they are selling a portion of their ownership in the partnership.

By crediting J. Denim, Capital, we are increasing J. Denim's capital account to reflect the additional investment made in the partnership. J. Denim is effectively purchasing a portion of the partnership interest from J. Jones, and the cash paid for this purchase increases J. Denim's capital account.

The entry to record the transaction would look like this:

Debit: Cash (for the $5,000 received)

Credit: J. Denim, Capital (to increase J. Denim's capital account)

This entry reflects the transfer of ownership from J. Jones to J. Denim and properly records the transaction in the partners' capital accounts. It is important to note that this transaction does not affect the partnership's overall capital balance, as it represents a reallocation of ownership between the partners.

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Katie likes to paint and sit in the sun. Her utility function is U(P, S) = 3PS + 6P, where P is the number of paint brushes and S is the number of straw hats. The price of a paint brush is $1 and the price of a straw hat is $5. Katie has $50 to spend on paint brushes and straw hats. Solve Katie's utility-maximization problem using a Lagrangian. How much does Katie's utility increase if she receives an extra dollar to spend on paint brushes and straw hats?

Answers

Katie's utility will rise by 15 if she receives an extra dollar to spend on paintbrushes and straw hats.

In order to solve Katie's utility-maximization problem using a Lagrangian, the following steps should be followed:

Step 1: The problem's utility function is

U(P, S) = 3PS + 6P.

Katie has $50 to spend on paint brushes and straw hats, and the price of a paintbrush is $1 and a straw hat is $5.

Step 2: The utility function, subject to the budget constraint, will be optimized.

3PS + 6P is the utility function, and the budget constraint is

P + 5S = 50 or P = 50 - 5S.

Step 3: In this stage, the Lagrangian formula is used to solve the issue.

L = 3PS + 6P - λ(P + 5S - 50).

Taking the derivative of the equation with respect to P, we get:

3S - λ = 0 or λ = 3S.

Taking the derivative of the equation with respect to S, we get:

3P - λ5 = 0 or λ = 15P/3.

We will equate the two expressions for λ and solve for S.

3S = 15P/3S = 5P, and

S = 5P/3.

Katie's budget constraint equation,

P + 5S = 50, is used to solve for P.

P + 5(5P/3) = 50 or

P = 10.

Therefore, S = 50/3.

Step 4: Katie's utility function will be calculated using these values.

U(10, 50/3) = 3(10)(50/3) + 6(10) = 220.

Step 5: The partial derivative of the Lagrangian function

L = 3PS + 6P - λ(P + 5S - 50) with respect to λ is as follows:

P + 5S - 50 = 0.

The marginal utility of an additional dollar is the value of the derivative: λ, which is 15 (because λ = 3S, and S = 50/3).

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TRUE / FALSE. The top management team are the organization's group of senior executives responsible for the day to day functions and these are the people that make the most contributions to any organization. True F

Answers

False. The statement is not entirely accurate. While the top management team consists of senior executives who play a crucial role in decision-making and setting the strategic direction of the organization, it is not accurate to say that they are solely responsible for the day-to-day functions or that they make the most contributions to the organization.

The top management team is primarily responsible for formulating strategies, setting goals, and providing overall guidance to the organization. They are tasked with making critical decisions that impact the long-term success and direction of the company. However, the day-to-day functions of the organization are typically carried out by various departments and teams throughout the organization.

Each department within the organization, such as operations, finance, marketing, human resources, and others, has its own set of responsibilities and contributes to the functioning of the organization. Frontline employees, middle managers, and other staff members also play a significant role in executing tasks, implementing strategies, and delivering value to customers.

It is important to recognize that contributions to an organization come from various levels and functions within the company. While top management sets the vision and direction, it is the collective effort of all employees that drives the success of the organization. Collaboration, teamwork, and effective coordination between different levels and departments are crucial for achieving goals.

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Which of the following scenarios could trigger the Reserve Bank of Australia (RBA) to increase the official cash rate?

a.The medium-term inflation rate in Australia is predicted to rise above 2% but still sit below 3% p.a.

b.The overheating economy which is due to the rapid recovery in economic activity and ongoing fiscal stimulus.

c.The medium-term inflation rate in Australia is predicted to fall below 2%

d.The contracting economy due to the impact of the global pandemic

Answers

Answer : The Reserve Bank of Australia (RBA) could increase the official cash rate due to the overheating economy which is due to the rapid recovery in economic activity and ongoing fiscal stimulus.

Explanation : The Reserve Bank of Australia (RBA) could increase the official cash rate due to the overheating economy which is due to the rapid recovery in economic activity and ongoing fiscal stimulus.The Reserve Bank of Australia (RBA) could increase the official cash rate if the economy is overheating due to the rapid recovery in economic activity and ongoing fiscal stimulus.

The Reserve Bank of Australia (RBA) has a duty to maintain economic stability by regulating the official cash rate. The cash rate is the rate at which financial institutions borrow money from the Reserve Bank of Australia. To curb inflation and sustain economic growth, the Reserve Bank of Australia (RBA) could increase the official cash rate.

The overheating economy scenario could lead to the Reserve Bank of Australia (RBA) increasing the official cash rate because the inflation rate could be high in such an economic environment. Hence, the answer to the question is option B.A scenario in which the medium-term inflation rate in Australia is predicted to rise above 2% but still sit below 3% p.a. may not be enough to trigger an increase in the official cash rate, as it could be seen as a healthy inflation rate that the Reserve Bank of Australia (RBA) wants to maintain.

A contracting economy due to the impact of the global pandemic is also not enough to trigger an increase in the official cash rate as the Reserve Bank of Australia (RBA) would need to implement policies that stimulate the economy, such as lowering the official cash rate, in this scenario.

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Jolie earned $205 for babysitting in one month. She spent d dollars going to a water park with some friends. After going to the water park, Jolie had $160 remaining.
a. Jolie spent $205 - d dollars at the water park.
b. Jolie spent $160 + d dollars at the water park.
c. Jolie spent $205 + d dollars at the water park.
d. Jolie spent $160 - d dollars at the water park.

Answers

To get the answer to the question, we'll apply basic arithmetic. Given that Jolie earned $205 and spent d dollars at a water park with some friends.

After going to the water park, Jolie had $160 remaining.

To find the amount spent at the water park, we'll subtract the amount remaining from the amount earned to get the total amount spent.205 - d = 160. The next step is to isolate d by bringing the 205 to the right side of the equation by subtracting it from both sides: 205 - d - 205 = 160 - 205 - d- d = -45. Therefore, the amount spent is $45. To check this, we add the amount spent ($45) to the amount remaining ($160).$45 + $160 = $205This is the amount earned that Jolie earned so our answer is: Jolie spent $45 at the water park.

Therefore the answer is option a. Jolie spent $205 - d dollars at the water park.

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According to the cost-benefit analysis for pollution control,
should a firm be required to remove 100% of the pollution it
made?
A. Yes, since justice requires that all humans have the right to
live a

Answers

A firm should be required to remove a reasonable amount of pollution, based on the results of the cost-benefit analysis.

The cost-benefit analysis for pollution control determines the value of pollution control strategies and their costs. To determine the best pollution control level, the costs of pollution control need to be weighed against the benefits it provides.  

Therefore, it is not always necessary for a firm to remove 100% of the pollution it creates.

What is cost-benefit analysis for pollution control?

A cost-benefit analysis is a tool used to determine whether or not the benefits of a specific action outweigh the costs of that action.

The cost-benefit analysis for pollution control determines the value of pollution control strategies and their costs. The costs of pollution control refer to the expenses incurred when implementing pollution control measures.

The benefits of pollution control, on the other hand, include avoided pollution-related health effects, higher quality of life, and better economic outcomes.

According to the cost-benefit analysis for pollution control, should a firm be required to remove 100% of the pollution it made?It is not always necessary for a firm to remove 100% of the pollution it creates.

The level of pollution control that is necessary for a firm to implement should be determined through the cost-benefit analysis.

This level will vary based on the specific pollution-related impacts of the firm's activities, the costs of pollution control strategies, and the benefits of those strategies.

Therefore, a firm should be required to remove a reasonable amount of pollution, based on the results of the cost-benefit analysis.

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You own a stock portfolio invested 30 percent in Stock Q, 35 percent in Stock R, 10 percent in Stock S, and 25 percent in Stock T. The betas for these four stocks are 1.0, 0.7, 1.4, and 0.8, respectively. What is the portfolio beta? (Do not round intermediate calculations. Round your answer to 3 decimal places.)

Answers

When the betas for these four stocks are 1.0, 0.7, 1.4, and 0.8, respectively the portfolio beta is 0.885

The question requires us to find out the portfolio beta for a stock portfolio invested in Stock Q, Stock R, Stock S, and Stock T with the given beta values.

So, let us begin with the steps-  to find the portfolio beta

Step 1: Multiply beta value of each stock by its weight. That is,

`Stock Q = 1.0 × 0.30

= 0.300`

`Stock R = 0.7 × 0.35

= 0.245

``Stock S = 1.4 × 0.10

= 0.140

``Stock T = 0.8 × 0.25

= 0.200`

Step 2: Add the product of step 1 to obtain the portfolio beta.

`Portfolio beta = 0.300 + 0.245 + 0.140 + 0.200

= 0.885`

Therefore, the portfolio beta is 0.885.

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A limited liability company's (LLC’s) operating agreement will typically contain provisions for all of the following, except

Multiple Choice

A. the amount and methods of capitalizing the business.

B. assigning personal liability to the members for business debts.

C. the procedure for handling a member’s death or incapacity.

D. the structure of governance and members’ responsibilities.

Answers

The option B, assigning personal liability to the members for business debts is incorrect as it is not a provision in the limited liability company's (LLC’s) operating agreement. It is because limited liability companies are structured to limit the personal liability of the members to the company’s debts and legal liabilities. Thus, the correct answer is B.

The option B, assigning personal liability to the members for business debts is incorrect as it is not a provision in the limited liability company's (LLC’s) operating agreement. It is because limited liability companies are structured to limit the personal liability of the members to the company’s debts and legal liabilities. Thus, the correct answer is B. However, the operating agreement of an LLC outlines the basic rules and regulations that govern the management of the company. The agreement is typically a legally binding contract that outlines the rights, powers, and responsibilities of the LLC's members. The agreement is not required to be filed with the state, although it is advisable to have one. The agreement will typically contain provisions for the following: Capital Contributions: The amount and method of capitalizing the business are outlined in the operating agreement. This provision specifies how much money members are required to contribute to the LLC, how the funds are used, and how profits and losses are allocated.

Management Structure: The agreement specifies the management structure of the LLC. It outlines the responsibilities of the members and managers, as well as the decision-making process. Taxation: The agreement provides for how the LLC will be taxed, either as a partnership or as a corporation. Membership Interests: The operating agreement defines the rights and obligations of each member, including their voting power and allocation of profits and losses. Transfer of Interests: The operating agreement outlines the procedure for transferring a member's interests in the LLC. Death or Incapacity of a Member: The agreement outlines how the LLC will handle a member's death or incapacity. It specifies how the member's interests will be handled and transferred to the remaining members or their heirs in the event of their death or incapacity. Thus, options A, C, and D are all provisions that are typically included in the operating agreement of an LLC, while B is not.

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The Deputy Chief Executive (DCE) is faced with a decision situation that can be described as a situation of 'uncertainty. Which Decision-making model will be used in this decision situation? [Explanation is not required] Use the editor to format your answer

Answers

Te Deputy Chief Executive (DCE) is faced with a decision situation that can be described as a situation of 'uncertainty. The Decision-making model will be used in this decision situation is uncertainty decision-making model.

When it comes to decision-making, uncertainty is one of the many decision-making situations. The decision-making process in uncertain circumstances is not straightforward. Decision-making under uncertainty entails determining the likelihood of potential results and weighing their advantages and disadvantages in light of the available data, making the most probable decision possible. Uncertainty is a decision-making model that is used in a decision-making situation.

In situations where the probability of an event is unknown, the uncertainty decision-making model is used to make decisions. When making a decision under conditions of uncertainty, decision-makers use their judgement, best guess, or previous experience to make the best possible decision.It's also worth noting that decision-makers may choose to gather additional information to reduce the level of uncertainty, which will help them make more informed decisions. In summary, the decision-making model that will be used in the decision situation of uncertainty is the uncertainty decision-making model.

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Prof Irias sues Prof. McGuire for trespass of property in a
state trial court and loses. Prof Irias
can insist that the United States Supreme Court hear her
case
can plead her case before

Answers

When Prof Irias sues Prof. McGuire for trespass of property in a state trial court and loses, she cannot insist that the United States Supreme Court hear her case. Nonetheless, she can plead her case before the federal court by raising a constitutional issue, which requires that the US Supreme Court intervene in the dispute.

The US Supreme Court is the highest court in the United States, and it has both appellate and original jurisdiction. The original jurisdiction provides the Supreme Court with the authority to settle disputes between states, while the appellate jurisdiction involves hearing appeals from lower federal courts and state courts that involve federal law or the Constitution.

The US Supreme Court has a discretionary authority to decide which cases to hear. When a state court decides a case involving a federal question, a party who is aggrieved by the decision may appeal to the Supreme Court for review.

In this case, Prof Irias would have to appeal to the US Supreme Court if her case involved a federal question, but the court has the discretion to deny or grant her appeal.

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Thomas is a graduate student who can afford only two varieties of food: canned beans and ramen noodles. If Thomas buys only one type of good he can afford either 100 packs of ramen noodles or 20 cans of beans. If the 10th pack of ramen yields Thomas a marginal utility of 20, what must be the marginal utility of the 6th can of beans for this to be the utility maximizing choice?

I need a graph as well Please!

Please explain each and every step.

Answers

The marginal utility of the 6th can of beans for this to be the utility maximizing choice is 12.

Marginal utility means extra satisfaction or utility received from consuming additional unit of goods.

To determine the marginal utility of the 6th can of beans:

Marginal utility of the 10th pack of ramen noodles = 20 (Given)

Let marginal utility of the 6th can of beans be MU(6).

MU(6) / Price of 6 cans of beans = MU(10) / Price of 10 packs of ramen noodles

MU(6) / (6 cans of beans) = 20 / (10 packs of ramen noodles)

MU(6) / 6 = 20 / 10

MU(6) / 6 = 2

= 2 × 6

= 12

Therefore, the marginal utility of the 6th can of beans must be 12 for this to be the utilize maximum when compared to the marginal utility of the 10th pack of ramen noodles with marginal utility of 20.

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A farmer focusing on the production of eco-friendly chicken eggs collects the following data about his output. In a sample of 50 eggs, the farmer finds the average egg to weigh 47 grams. The standard deviation of the egg weight is 2 grams and the distribution of weights resembles a normal distribution reasonably closely. The farmer can sell the eggs to a local distributor. However, they have to be in the interval between 44 grams and 50 grams (i.e., the lower specification limit is 44 grams and the upper specification limit is 50 grams). a. What is the capability score of the eco-friendly chicken egg operation? b. What percentage of the produced eggs fall within the specification limits provided by the local distributor? c. By how much would the farmer have to reduce the standard deviation of the operation if his goal were to obtain a capability score of Cp=2/3 (i.e., get 4.5% defects)?

Answers

a. Capability score: 0.5

b. Percentage within limits: Approximately 99.85%

c. Standard deviation reduction: Approximately 0.51 grams.

To compute the ability score and level of eggs inside as far as possible, we can utilize the interaction capacity record, Cp.

a. The capacity score (Cp) is determined by partitioning the resistance width (the distinction between the upper and lower particular cutoff points) by multiple times the standard deviation:

Cp = (USL - LSL)/(6 * standard deviation)

For this situation, the upper detail limit (USL) is 50 grams, the lower particular cutoff (LSL) is 44 grams, and the standard deviation is 2 grams. Connecting these qualities to the recipe, we get:

Cp = (50 - 44)/(6 * 2) = 6/12 = 0.5

Accordingly, the ability score of the eco-accommodating chicken egg activity is 0.5.

b. To decide the level of eggs inside as far as possible, we want to work out the region under the ordinary circulation bend between the cutoff points. We can utilize a standard typical conveyance table or a factual programming to track down this worth. Expecting a symmetric conveyance, we can find the level of eggs inside as far as possible as follows:

Rate inside limits = Rate underneath USL - Rate beneath LSL

Utilizing a standard typical conveyance table or programming, we track down the accompanying probabilities:

Rate underneath USL = Rate under 50 grams = 100 percent (as far as possible is at the tail of the appropriation)

Rate underneath LSL = Rate under 44 grams = around 0.15% (from the table)

In this way, the level of eggs inside as far as possible is roughly 100 percent - 0.15% = 99.85%.

c. To accomplish a capacity score (Cp) of 2/3 or 0.67 (which compares to 4.5% deformities), we can revise the Cp recipe and tackle for the expected standard deviation:

standard deviation = (USL - LSL)/(6 * Cp)

Utilizing the given upper and lower detail limits (50 grams and 44 grams) and the ideal Cp of 0.67, we can compute the necessary standard deviation:

standard deviation = (50 - 44)/(6 * 0.67) = 6/4.02 ≈ 1.49 grams

Thusly, the rancher would have to diminish the standard deviation of the activity to roughly 1.49 grams to accomplish a capacity score of Cp = 2/3 (4.5% deformities).

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Outline two possible problems to HSN of many employees leaving.​

Answers

not having enough employees to do the work or something
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