on january 1, 2020, brutus corp. granted stock options to key executives exercisable for 501,000 shares of the company's common stock at $19 per share. the stock options are intended as compensation for the next five years. the options are exercisable within a five-year period beginning january 1, 2024, by the executives still in the employ of the company. no options were terminated during 2020, but the company anticipates 6% forfeitures over the life of the stock options. the market price of the common stock was $19 per share at the date of the grant. brutus corp. estimated the fair value of the options at $5 each. 2% of the options are forfeited during 2021 due to executive turnover. what amount should brutus corp. record as compensation expense for the year ended december 31, 2021, assuming the company chooses to estimate forfeitures?

Answers

Answer 1

Brutus Corp should record a compensation expense of $40,920 for the year ended December 31, 2021.

The number of options that remained outstanding at the beginning of 2021 is 501,000 * (1 - 6%) = 470,940. Since 2% of the options are forfeited during 2021, the number of options that will vest is 470,940 * (1 - 2%) = 461,721. The total compensation expense for the year is calculated as: (461,721 * $5) / 4 = $40,920, since the options are intended as compensation for five years, and the expense is recognized over the vesting period. The question relates to accounting for stock-based compensation, specifically stock options granted to key executives of Brutus Corp. on January 1, 2020. The options are exercisable within a five-year period beginning January 1, 2024, by executives who are still employed with the company. The market price of the common stock on the grant date was $19 per share, and the company estimated the fair value of the options to be $5 each. The company anticipates 6% forfeitures over the life of the stock options.

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Related Questions

keeping money in a savings account as a safety measure against possible future income declines or job loss represents money functioning as a:

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When keeping money in a savings account as a safety measure against possible future income declines or job loss, money is functioning as a "store of value." A store of value is one of the three primary functions of money, along with being a medium of exchange and a unit of account.

By holding money in a savings account, you are preserving its value for future use, ensuring that you have financial resources available in case of unexpected events like income reduction or unemployment. This financial buffer can help provide stability and peace of mind during challenging times.

It is important to have a safety net like this, as it can prevent you from having to rely on high-interest debt or make drastic cuts in your lifestyle when faced with financial hardships.

In summary, keeping money in a savings account as a precaution against potential future income declines or job loss illustrates money's function as a store of value, providing security and stability in times of financial uncertainty.

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a patent on a product gives a firm part 2 a. the power to impose a tariff on a competing product. b. protection from having the invention copied or stolen for a period of 20 years. c. economies of scale in producing the product. d. excessive profits in the long run.

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A patent on a product gives a firm protection from having the invention copied or stolen for a period of 20 years. The correct option is B.

A patent is a legal right granted by the government to inventors, giving them exclusive rights to manufacture, use, and sell their invention for a certain period of time, typically 20 years from the filing date of the patent application. The purpose of a patent is to protect inventors and encourage innovation by giving them the opportunity to profit from their ideas and creations.

One of the main benefits of a patent is that it gives a firm protection from having its invention copied or stolen by others for the duration of the patent. This protection allows the firm to have a monopoly over the production and sale of the patented product, which can lead to higher profits and a competitive advantage in the market.

The correct option is B.

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The fact that a bank's assets tend to be long-term while its liabilities are short-term creates:
a. interest-rate risk.
b. credit risk.
c. lower risk for the bank, this is why they follow this strategy.
d. trading risk.

Answers

a. interest-rate risk. Bank's assets tend to be long-term while its liabilities are short-term creates.

What is assets?

Assets are tangible or intangible resources that a person or business owns. Assets can be short-term or long-term investments and can be used to generate income or increase value. Examples of assets include cash, real estate, investments, inventory, equipment, vehicles, and intellectual property. They can be classified as current assets or non-current assets depending on their expected lifespan. Current assets are those that are expected to be realized within one year, while non-current assets are those that are expected to be owned for more than one year. Assets are important for businesses because they are used to generate revenue, pay expenses, and increase shareholder value. Additionally, assets provide liquidity, which allows businesses to generate cash flow and make investments.

Therefore the correct answer is A.

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The third phase in the SDLC is planning and in this phase the analyst thoroughly studies the organization's current procedures and the information systems used to perform organizational tasks. True or False

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False. The third phase in the SDLC (Software Development Life Cycle) is actually the Design phase. The Planning phase is the second phase, where the analyst thoroughly studies the organization's current procedures and the information systems used to perform organizational tasks.

The third phase in the SDLC (Software Development Life Cycle) is actually the analysis phase, not planning. The purpose of this phase is to thoroughly study the organization's current procedures, business processes, and the information systems used to perform organizational tasks in order to identify the user requirements that the new software system needs to meet. During this phase, the analyst typically interviews stakeholders, observes business operations, and analyzes data in order to gain a complete understanding of the existing systems and processes. Planning is actually the second phase in the SDLC, and it involves defining the scope of the project, identifying project deliverables, and developing a high-level project plan.

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Question 1
8. Accurate, meaningful and timely information is as a result of good
Select one:
a.
Legislation by Receiver of Revenue.
b.
internal control.
c.
Record keeping.
d.
accountants holding the job
e.
business functioning.

Answers

Accurate, meaningful and timely information is as a result of good  Internal control .The correct answer is b. internal control.

Accurate, meaningful and timely information is a result of good internal control, which refers to the policies and procedures put in place by a company to ensure that its operations are conducted in an orderly and efficient manner, and that the financial reporting is accurate and reliable.

Internal control helps to minimize the risk of errors, fraud, and non-compliance, and ensures that the company's resources are used effectively and efficiently. Record keeping and accountants holding the job are important components of internal control, but they are not the only ones.

Good internal control involves a comprehensive approach that includes all aspects of the business functioning.

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a 10 year zero coupon bond was issued to pay par value at maturity. the bond was purchased for $600, 1 years ago. what is the bond worth today?

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the current value of a 10 year zero coupon bond that was issued to pay par value at maturity and purchased for $600 Tne year ago is $653.27.

A zero coupon bond is a bond that does not pay interest, but is instead sold at a discount to its face value, which is the amount it will be worth at maturity. In this case, the bond was issued with a par value of $1,000, which means that it will be worth $1,000 at maturity in 10 years.

The bond was purchased for $600 one year ago, which means that the purchaser received a discount of $400 ($1,000 - $600) on the face value of the bond. This discount represents the return on investment that the purchaser will receive when the bond matures.

To calculate the current value of the bond, we need to take into account the time value of money, which means that money is worth more today than it will be in the future. To do this, we can use a bond pricing formula, which takes into account the present value of the bond's future cash flows.

Using this formula, we can calculate that the current value of the bond is $653.27. This means that the purchaser's investment has increased in value by $53.27 ($653.27 - $600) over the past year.

In summary, the current value of a 10 year zero coupon bond that was issued to pay par value at maturity and purchased for $600 one year ago is $653.27. This value takes into account the discount that the purchaser received on the face value of the bond, as well as the time value of money.

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U Question 5 1 pts In the presence of a positive externality, a Pigouvian subsidy is required (instead of a tax), to restore the socially optimal level. O True. O False. Question 6 1 pts Suppose that

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True. In the presence of a positive externality, a Pigouvian subsidy is required (instead of a tax), to restore the socially optimal level.

In this case, a Pigouvian subsidy can be used to incentivize producers to increase production and consume more of the good or service, leading to a socially optimal level of output. This subsidy would provide a payment to producers for each unit they produce, effectively lowering their costs and encouraging them to produce more. This is in contrast to a Pigouvian tax, which would be used in the presence of a negative externality to discourage production and consumption of a good or service that generates social costs higher than its private costs.

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Corporate social responsibility adds value because it allows companies to reflect the needs and concerns of their various stakeholder groups. This statement reflects the ________ argument for CSR.ethical moral rational economic

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The statement Corporate social responsibility adds value because it allows companies to reflect the needs and concerns of their various stakeholder groups" reflects the rational argument for CSR. This argument suggests that CSR is a logical and strategic approach for companies to create value and achieve long-term success. By engaging in CSR practices, companies can address the expectations and demands of their stakeholders, including customers, employees, investors, communities, and the environment. This, in turn, can help companies to enhance their reputation, build trust, reduce risk, and improve performance.

Moreover, the rational argument for CSR emphasizes the importance of aligning business objectives with social and environmental objectives. By doing so, companies can create shared value for both their stakeholders and society at large. This approach recognizes that businesses do not operate in isolation, but rather are part of a larger system of stakeholders who have a significant impact on the company's success. Therefore, companies that adopt a strategic CSR approach can strengthen their relationships with stakeholders, gain a competitive advantage, and contribute to sustainable development.

In summary, the rational argument for CSR recognizes the importance of addressing the needs and concerns of stakeholder groups in a strategic and sustainable way. It highlights the potential benefits of CSR for companies, including enhancing reputation, reducing risk, improving performance, and creating shared value for stakeholders and society. As such, it provides a compelling case for companies to integrate CSR into their business strategy and operations.

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A producer of two fixed proportion outputs A and B, producing QA = QB with marginalrevenues MRA and MRB, should equate marginal cost to: the vertical sum of MRA and MRB

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In a situation where a producer is producing two fixed proportion outputs A and B, with the same quantity of production for both (QA = QB), and with marginal revenues of MRA and MRB respectively, the producer should equate marginal cost to the vertical sum of MRA and MRB. This means that the producer should produce at a level where the marginal cost of producing one more unit of A and one more unit of B is equal to the sum of the marginal revenue of A and B. This ensures that the producer is maximizing their profits by producing the optimal level of output.

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In a behavioral encouragement​ plan, individuals are awarded incentives for​ ________.A.accomplishing specific objectivesB.producing​ better-quality outputC.exceeding production and salesD.having exemplary attendance E.showing hard​ work, diligence, and skill

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In a behavioral encouragement plan, individuals are awarded incentives for accomplishing specific objectives. So, the correct answer is option A.

Employee motivation and goal-setting are encouraged with the help of this kind of plan.

The incentives may be monetary, like as raises or bonuses, or non-financial, such as recognition, kudos, or more vacation time. Employees are more likely to be motivated to work harder and seek to achieve the goals by offering an incentive.

These kinds of incentives can also contribute to the development of a supportive workplace where workers feel appreciated and driven.

In the end, the goal of this kind of strategy is to assist employees in achieving their objectives and making a positive contribution to the achievement of the company's goals.

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since air transportation is so much more costly than other modes, what justifies its use? (select all that apply.) some kinds of freight are perishable, very expensive, or fragile enough to warrant special shipping treatment. some companies might think it's worth the cost to ensure that they have faster service or more items in stock on demand. the environmental impact of air transportation is lower, so companies can justify its use. air transportation is unaffected by delays for maintenance, scheduling, and weather, making it far more reliable.

Answers

The following options justify the use of air transportation despite its high cost: Some kinds of freight are perishable, costly, that require special shipping mode ; Some companies have thinking that the cost is worth to ensure faster service or more items in stock on demand.

Air transportation refers to the movement of people, goods, or mail by means of aircraft. Air transportation can offer faster services and greater flexibility in scheduling compared to other modes of transportation.

However, the environmental impact of air transportation is generally higher than other modes, and it may not be as reliable in cases of maintenance, scheduling, and weather delays.

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Tall Man lettering is approved by which organization?

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Tall Man lettering is approved by the American Medical Association (AMA). This form of lettering is an important tool in helping healthcare professionals distinguish between similar sounding medications and dosages in order to avoid medication errors.

By capitalising specific letters in the medicinal name, Tall Man lettering is an instantly recognisable and standardised technique to distinguish between prescription names that look alike or sound alike.

For instance, the medicinal names LISinopril and LISaopril contain the same letters but are written with distinct capitalization, making it simpler to tell them apart visually.

To make sure that patients and healthcare professionals can readily read and distinguish between similar-sounding prescriptions, Tall Man lettering is also utilised in other places, such as medical posters, pill labels, and patient handouts.

The usage of Tall Man lettering is strongly advised by the AMA since it is essential in assisting in the reduction of medication errors.

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the first step of the marketing planning process involves: group of answer choices hiring a senior planner. writing the mission statement. establishing organizational objectives. formulating a marketing plan.

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The first step of the marketing planning process involves writing the mission statement. Marketing plan is a practical document. Thus, option B is correct.

Thus, an organization's advertising strategy for generating leads and reaching its target market is outlined in a marketing plan, which is a practical document. A marketing strategy outlines the outreach and PR initiatives that will be implemented over time, along with how the business will evaluate their success. The strategy a business will employ to promote its products to customers is described in the marketing plan.

The target market, the brand's or product's value proposition, the campaigns to launch, and the metrics to be applied to judge the success of marketing initiatives are all identified in the plan.

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Shifting Cost Curves Exploration Today we will be investigating what happens when the costs of production change. Before we get started, let's review! Section 1-Review Define the following terms. - Total cost- - Total fixed costs. - Total variable costs. - Marginal cost- - Average total cost- - Average fixed cost- - Average variable cost. Section 2-Calculations and Graphing Assume the following: TC=Q^3 +20MC=3Q^21. What is the amount of total fixed costs? How do you know this? 2. Write out the equation for calculating total variable costs based on the total cost above. 3. Write out the equation for calculating average fixed cost based on the total cost above. 4. Write out the equation for calculating average variable cost based on the total cost above. 5. Write out the equation for calculating average total cost based on the total cost above. 6. Calculate the costs of production using the above information. Round to 2 decimal places. 7. Graph the 4 per-unit cost curves for quantities 1-3. Section 3-Changing Costs of Production 1. Assume that fixed costs double. Write the new total cost equation. 2. From Section 2, which of the per-unit cost curves will be affected by this change? (Hint: which cost curves contain fixed costs in the equation?) 3. If the fixed costs increase, would the per-unit curves affected increase or decrease? 4. Write a rule for identifying which per-unit costs curves change (and how!) when fixed costs change. Example: ↑P=↑QS;↓P=↓QS 5. Now assume that fixed costs return to normal, and variable costs double. Write the new total cost equation. 6. From Section 2, which of the per-unit cost curves will be affected by this change? 7. If the variable costs increase, would the affected curves increase or decrease? 8. Write a rule for identifying which per-unit cost curves change (and how!) when variable costs change. Section 4-Application 1. Explain in words what would happen if the government levied a $1 per-unit tax on producers. Show the change on a graph. 2. Explain in words what would happen if the government granted a lump-sum (one-time, regardless of output) subsidy to producers. Show the change on a graph. 3. What is the rule for determining the profit maximizing quantity of output for a firm? (Hint: look ahead to chapter 14 for this rule) 4. Would a change in fixed costs change that quantity? Variable costs? Explain, being sure to include how those changes might affect quantity. 5. Total profit is calculated using the following equation: π=(P−ATC)∗Q Would a change in fixed costs change the amount of total economic profit earned? Variable costs? Explain, being sure to include how those changes might affect profit.

Answers

1)Total fixed costs are $0, as there is no constant value associated with the equation.
2)Total variable costs (TVC) = Total Cost (TC) - Total fixed costs (TFC) = Q^3 +20 - $0 = Q^3 +20
3)Average fixed cost (AFC) = TFC/Q = $0/Q = $0
4)Average variable cost (AVC) = TVC/Q = (Q^3 +20)/Q = Q^2 + 20/Q
5)Average total cost (ATC) = TC/Q = (Q^3 +20)/Q = Q^2 + 20/Q
For Q = 1, TC = 21, AFC = $0, AVC = $21, ATC = $21, and MC = $9.
 For Q = 2, TC = 28, AFC = $0, AVC = $14, ATC = $14, and MC = $18.
For Q = 3, TC = 47, AFC = $0, AVC = $9.33, ATC = $15.67, and MC = $27.

A fixed cost is a cost that does not vary with changes in the quantity of output produced, such as rent or insurance. A variable cost is a cost that varies with changes in the quantity of output produced, such as labor or materials. Total cost is the sum of total fixed costs and total variable costs. Marginal cost is the change in total cost that results from producing one additional unit of output. Average fixed cost is total fixed cost per unit of output. Average variable cost is total variable cost per unit of output. Average total cost is total cost per unit of output. The relationships between these costs are important in determining a firm's profitability and production decisions.

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For a perfectly competitive firm, MR is equal toa. P
b. TR/Q
c. P/MC
d. AVC / ATC

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For a perfectly competitive firm, the answer is a. MR is equal to P, which means that the marginal revenue earned by the firm is equal to the price of the product. So, the correct answer is a. P.

This is because in a perfectly competitive market, the firm is a price-taker and has no control over the market price. The firm can only sell its output at the prevailing market price, and any increase in production will lead to a decrease in price.

In summary, in a perfectly competitive market, a firm's marginal revenue is equal to the market price of the product, which means that the firm cannot influence the price and must accept it as given.

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mr. smith likes to pay his taxes quarterly instead of once a year. if the assessed value on his home is $80,000 and the rate is 3.50 mills, what is his quarterly tax?

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Mr. Smith's quarterly tax is computed by dividing his yearly tax by four, where the annual tax is determined by multiplying his home's assessed value by the mill rate, his quarterly tax is $70 ($280 divided by 4).

Mr. Smith's house We calculate the annual tax by multiplying the assessed value by the mill rate:$80,000 x 0.0035 = $280, We split the annual tax by four because Mr. Smith pays his taxes quarterly: $280 / 4 = $70

Mr. Smith's quarterly tax is thus $70. is assessed at $80,000 in value. We must first convert the mill rate to a decimal before we can calculate his quarterly tax. Because one mill equals 0.001, 3.50 mills equals 0.0035.

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What do Mercantilists say about IPR?

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Mercantilists believed in maximizing a country's wealth through government intervention in economic affairs.

Therefore, they would likely prioritize protecting and promoting a country's intellectual property rights (IPR) as a means of ensuring that their domestic industries have a competitive advantage in the global marketplace.

They may also view IPR as a source of revenue through licensing and and may be inclined to enforce strict penalties for infringement to prevent foreign competitors from gaining an unfair advantage.

Overall, mercantilists would likely place a high value on IPR and prioritize their protection as a key component of their economic strategy.

It's important to note that these interpretations are speculative and may not accurately reflect the views of all Mercantilists, as the economic theory and historical context of Mercantilism were complex and varied. Economic theories and perspectives have evolved over time, and modern views on IPR may differ significantly from those that may have been held by Mercantilists during their time.

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on october 1, a truck costing $12,700, on which $9,070 of accumulated depreciation has been recorded (through that date) was sold for $4,070 cash. what is the gain on disposal?

Answers

The target of disposal is $5,000 if, as of October 1st, a truck purchased for $12,700, on which $9,070 in accumulated depreciation has been recorded (until that date), was sold for $4,070 cash.

What is price?

Price is the sum of the values that consumers exchange for the advantages of owning or utilising a good or service. It can also refer to the amount of money charged for a good or service. The price a consumer must pay to obtain a good or service is known as the cost. The link between the supply and demand of the good or service, along with the seller's expenses, is what often determines price.

The cost of manufacturing, the cost of distribution, the cost of providing the service, the quality of the good or service, the market's demand for the good or service, and the level of competition all go into determining the price.

Gain on disposal = Sale Price - Accumulated Depreciation

Gain on disposal = $9,070 - $9,070

Gain on disposal = -$5,000

Therefore, the gain on disposal is $5,000.

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A diverse workforce increases the company's likelihood of success through creativity and _______________.

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A diverse workforce increases the company's likelihood of success through creativity and "innovation".

The diverse workforce refers to the group of employee who comes from the different areas or having different diversity. The diverse workforce helps the organization to grow through the different critical thinking and innovative thought.

Most of the companies or organization hires employees from the diverse areas to know the culture, market and so on. They try to increase their chance to success in different markets.

Therefore, the company's likelihood of success through creativity and innovation.

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A bank that cannot meet its loan commitments is experiencing the results of:
a. interest rate risk.
b. credit risk.
c. trading risk.
d. liquidity risk.

Answers

A bank that cannot meet its loan commitments is experiencing the results of liquidity risk. Thus, the correct answer is option d.

Liquidity risk refers to the risk of a bank not being able to meet its short-term obligations, such as deposit withdrawals or loan payments, due to a lack of cash or liquid assets. Banks must maintain an adequate level of liquidity to ensure that they can meet these obligations and avoid a potential run on the bank, which could have severe consequences for the bank and the broader financial system. Managing liquidity risk is therefore a critical aspect of bank management, and involves a range of strategies and tools, such as maintaining a buffer of liquid assets, managing the maturity structure of assets and liabilities, and establishing access to emergency sources of funding.

Therefore, the correct answer is option d.

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Mrs. A’s spouse had bought life insurance from RLI in September 2008. However, Mrs. A has taken a life insurance from Max. Life Insurance on July 2008. This information is not shared with RLI. After the death of her spouse Mrs. A made a claim under the policy in February 2009. While RIL was making a decision on this claim, Max life informed it of the previous insurance. Because Mrs. A has not revealed this information, RIL rejected her claim. Discuss compliances related to this case laws. What necessary steps has to be taken under the provisions of IRDAI under this matter

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The case mentioned above highlights the importance of compliance with IRDAI regulations regarding disclosure of previous insurance policies.

As per IRDAI regulations, it is mandatory for the policyholder to disclose any existing or previous life insurance policies at the time of purchasing a new policy. This helps the insurance company assess the risk involved and avoid fraudulent claims.

In the case of Mrs. A, she failed to disclose her previous insurance policy to RLI and made a claim on the policy after her spouse's death. When RLI found out about her previous policy from Max Life Insurance, they rejected her claim.

To avoid such situations, it is essential for policyholders to comply with IRDAI regulations and disclose all relevant information at the time of purchasing a new policy. Additionally, insurance companies should also conduct thorough due diligence and verify the information provided by the policyholder before accepting the policy.

In conclusion, compliance with IRDAI regulations regarding disclosure of previous insurance policies is crucial to ensure a fair and transparent insurance process. Failure to do so can result in the rejection of claims and legal consequences for the policyholder.

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True or False: Forecasting creates certainties about the future of the company.

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The given statement "Forecasting creates certainties about the future of the company" is false because is a valuable tool for businesses to make better-informed decisions.

Forecasting does not create certainties about the future of the company, but it does help in making informed decisions and reducing uncertainties. Forecasting is the process of making predictions about the future based on past and present data and analyzing trends.

It plays a crucial role in the strategic planning process, allowing companies to anticipate changes and prepare for various scenarios.

While forecasting can provide valuable insights into the possible outcomes of future events, it cannot guarantee the accuracy of these predictions. Several factors can influence the outcome, including unforeseen external circumstances and changes in consumer behavior.

Forecasting models rely on historical data, and there is always a level of uncertainty in the future projections.

To improve the accuracy of forecasts, companies often use different forecasting methods and techniques, such as time series analysis, regression analysis, and qualitative methods. Combining multiple approaches can help mitigate the risk of relying on a single forecast.

In conclusion, forecasting is a valuable tool for businesses to make better-informed decisions, but it does not create certainties about the future of the company. It is essential to understand that forecasts are based on assumptions and can be subject to change due to various factors.

Therefore, businesses should be prepared to adapt and adjust their strategies as needed.

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Inflation targeting is one of the most popular monetary policy strategies practiced by several developed countries in the world. Describe any TWO (2) elements or characteristics of inflation targeting.

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Inflation targeting is a monetary policy strategy that aims to keep inflation within a specific target range by adjusting interest rates. Two key elements or characteristics of inflation targeting are: Clear and transparent communication and  Flexibility.

1. Clear and transparent communication: Central banks that practice inflation targeting typically communicate their inflation targets and the reasoning behind their decisions to the public. This helps to build credibility and trust in the central bank's policies, and also allows individuals and businesses to make informed decisions about their own economic activity.

2. Flexibility: While inflation targeting involves setting a specific target range for inflation, it also allows for some flexibility in response to changing economic conditions. For example, if there is a sudden shock to the economy (such as a recession or natural disaster), the central bank may temporarily adjust its target range in order to stabilize the economy. This flexibility allows for a more nuanced approach to monetary policy, rather than simply relying on rigid rules or targets.

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take it all away has a cost of equity of 11.14 percent, a pretax cost of debt of 5.34 percent, and a tax rate of 21 percent. the company's capital structure consists of 66 percent debt on a book value basis, but debt is 32 percent of the company's value on a market value basis. what is the company's wacc?

Answers

The company's weighted average cost of capital (WACC) is approximately 6.58%.

To calculate the WACC (weighted average cost of capital) of Take It All Away, we need to first determine the weights of equity and debt in the company's capital structure.

Since we know that debt represents 66% of the company's book value, and debt is 32% of the company's market value, we can assume that equity represents 34% of the company's market value (100% - 32%).

Next, we can calculate the cost of equity using the given information:
Cost of equity = 11.14%

To calculate the after-tax cost of debt, we need to multiply the pretax cost of debt by (1 - tax rate):
After-tax cost of debt = 5.34% x (1 - 0.21) = 4.22%

Now, we can calculate the WACC using the following formula:
WACC = (Weight of equity x Cost of equity) + (Weight of debt x After-tax cost of debt)

WACC = (0.34 x 0.1114) + (0.66 x 0.0422)
WACC = 0.0379 + 0.0279
WACC = 0.0658 or 6.58%

Therefore, Take It All Away's WACC is 6.58%.

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____ studies the way work moves through the organization in order to improve efficiency.Work flow analysisJob analysis

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Work flow analysis studies the way work moves through the organization in order to improve efficiency.

It is a systematic examination of the flow of work in an organization, identifying areas of inefficiency and opportunities for improvement. This analysis involves studying the steps involved in a particular process, the roles of employees involved in that process, the equipment and resources needed, and any potential obstacles or bottlenecks that could impede the process.

By analyzing and improving work flow, organizations can increase efficiency, reduce waste, and improve productivity, ultimately leading to greater profitability and success.

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michelle is an active participant in the rental condominium property she owns. during the year, the property generates a ($17,000) loss; however, michelle has sufficient tax basis and at-risk amounts to absorb the loss. if michelle has $117,000 of salary, $14,000 of long-term capital gains, $4,000 of dividends, and no additional sources of income or deductions, how much loss can michelle deduct?

Answers

Michelle can deduct up to $7,500 of rental real estate losses against her other income for the year, given the information provided.

What is Tax?

Tax is a mandatory financial contribution that individuals and businesses are required to pay to the government, typically based on income, property, goods, or services. The government uses tax revenue to fund public services and programs, such as education, healthcare, national defense, and infrastructure.

In this case, Michelle has a salary of $117,000, long-term capital gains of $14,000, and dividends of $4,000, for a total AGI of $135,000. Since her AGI is above the $100,000 threshold, the amount of her rental real estate loss that she can deduct is reduced by 50 cents for every dollar of AGI over the threshold.

To calculate the reduced deduction, we first determine how much her AGI exceeds the threshold:

$135,000 - $100,000 = $35,000

Next, we multiply this excess amount by 50% to determine the reduction in the loss deduction:

$35,000 × 50% = $17,500

Finally, we subtract the reduction from the maximum loss deduction of $25,000:

$25,000 - $17,500 = $7,500

Therefore, Michelle can deduct up to $7,500 of rental real estate losses against her other income for the year, given the information provided.

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What is the general purpose of recruitment?
Create a better work environment
Save the organization money
Increase employee effectiveness
Increase the pool of qualified applicants

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The general purpose of recruitment is to increase the pool of qualified applicants, option (d) is correct.

Recruitment is essential to ensure that an organization has the right talent to achieve its objectives. By bringing in skilled and capable employees, organizations can increase their productivity and effectiveness. Furthermore, recruitment allows organizations to fill vacancies quickly, minimizing the impact of staff shortages on their operations.

Additionally, recruitment can improve the diversity of an organization's workforce, creating a more inclusive and equitable workplace. Recruitment can help organizations stay competitive by identifying and hiring candidates with specialized skills or experience, option (d) is correct.

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The correct question is:

What is the general purpose of recruitment?

a. Create a better work environment

b. Save the organization money

c. Increase employee effectiveness

d. Increase the pool of qualified applicants

at the end of this month, les will start investing $300 a month for his retirement account. if he continues investing $300/month for 30 more years and earns an average of 8.25 percent on his retirement account, how much will he have in his retirement account 30 years from now?

Answers

According to the question, Les will have $313,917.93 in his retirement account 30 years from now.

What is account?

An account is a record of financial transactions that is kept by an individual or entity. This record is typically used to track income, expenses, assets, liabilities, and investments. Accounts can be used to store information about past, current, and future transactions.

This is calculated using the compound interest formula:

A = P(1 + r/n)^nt

A = the amount of money Les will have

P = the principal, or the initial amount Les invested (in this case, $300)

r = the annual interest rate (in this case, 8.25%)

n = the number of times the interest is compounded per year (in this case, 12)

t = the time period, or the number of years (in this case, 30)

A = 300(1 + 0.0825/12)⁽¹²ˣ³⁰⁾

A = 300(1.00686775)³⁶⁰

A = 300(3.13917974)

A = $313,917.93

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building high-morale organizations and building communication networks that include employees are both elements of: group of answer choices the tools of tqm. employee empowerment. taguchi methods. six sigma certification. iso 9000 certification.

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building high-morale organizations and building communication networks that include employees are both elements of: group of answer choices the tools of tqm.

What is communication?

Communication is the process of exchanging information and ideas between two or more people. It involves sending and receiving messages and understanding the shared meaning between the sender and receiver. It can be verbal (spoken or written) or non-verbal (e.g. body language, gestures or facial expressions). Communication is essential in all aspects of life, allowing people to interact with each other and build relationships. Good communication skills are essential in order to effectively express ideas and feelings, understand others and build strong relationships.

employee empowerment. taguchi methods. six sigma certification. iso 9000 certification.

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To determine living standards for the average person, we calculate a. the inflation rate. b. the unemployment rate.c. the average level of prices. d. real per capita gross domestic product (GDP). e. GDP deflator

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To determine living standards for the average person, we calculate the real per capita gross domestic product (GDP). Living standards refer to the quality of life experienced by individuals in a society, which can be influenced by factors such as income, access to goods and services, and overall economic wellbeing. Real per capita GDP is a measure of the average economic output per person, adjusted for inflation. By using real per capita GDP, we can assess how economic growth is translating into improved living conditions for individuals.

Inflation rate and unemployment rate are important indicators of economic health, but they do not directly measure living standards. The inflation rate refers to the rate at which the general level of prices for goods and services is rising, which can affect purchasing power and the cost of living. A high inflation rate may reduce living standards if wages do not keep pace with increasing prices.

The unemployment rate measures the percentage of the labor force that is unemployed and actively seeking work. A high unemployment rate can have negative effects on living standards, as it may lead to reduced income, lower consumption, and diminished economic opportunities. However, it is important to consider other factors, such as underemployment and job quality, when assessing the impact of unemployment on living standards.

In conclusion, to determine living standards for the average person, we calculate real per capita GDP, which provides a more comprehensive view of individual wellbeing in an economy compared to the inflation rate or unemployment rate alone.

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