1answer.
Ask question
Login Signup
Ask question
All categories
  • English
  • Mathematics
  • Social Studies
  • Business
  • History
  • Health
  • Geography
  • Biology
  • Physics
  • Chemistry
  • Computers and Technology
  • Arts
  • World Languages
  • Spanish
  • French
  • German
  • Advanced Placement (AP)
  • SAT
  • Medicine
  • Law
  • Engineering
damaskus [11]
3 years ago
7

The Two Sisters has a return on assets of 9 percent and a dividend payout ratio of 75 percent. What is the internal growth rate

Business
1 answer:
Anettt [7]3 years ago
7 0

The internal growth rate of a firm is best described as the: A. minimum growth rate achievable assuming a 100 percent retention ratio. B. minimum. The tax rate and the dividend payout ratio will be held constant. Current and. The Two Sisters has a 9 percent return on assets and a 75 percent retention ratio.

hope this helps.

You might be interested in
The following materials standards have been established for a particular product: Standard quantity per unit of output 4.2 pound
Maru [420]

Answer: $18,224 unfavourable

Explanation:

The materials quantity variance for the month will be calculated thus:

= Standard Cost per unit × ( Actual materials Used - Actual output)

= 13.4 × [( 4,300 - 700) × 4.2]

= $18,224 unfavourable

Therefore, the materials quantity variance for the month is $18,224 unfavourable

8 0
3 years ago
Which of the following illustrates an inflow of cash? a. a decrease in common stock b. a decrease in long-term debt c. a decreas
Alexeev081 [22]

Answer:

The answer is C.

Explanation:

A decrease in inventory means customers are buying inventories (goods) from the business. It is an inflow because money comes in.

Option A is incorrect because a decrease in common stock means shareholders are withdrawing their shareholding from the business and the business will pay them. This is an outflow.

Option B is incorrect because a decrease in long term debt means the business is paying its debt or redcuing its liability and this is an outflow.

Option D is also incorrect because an increase in fixed assets means the business is buying this asset with cash and this is an outflow

6 0
3 years ago
On june 1, 2022, spk company signed a $100,000, one-year, 6 percent note payable. Interest and principal are due at maturity. Wh
posledela

$3500 sum will spk record for interest expense in their december 31, 2022

Interest = $ 6000 for 12 months.

From June to December there will be 7 months due,

therefore 7/12x6000 = $ 3500

An interest expense is the fetched brought about by an substance for borrowed reserves. Intrigued cost may be a non-operating cost appeared on the salary explanation. It speaks to intrigued payable on any borrowings—bonds, credits, convertible obligation or lines of credit. It is basically calculated as the intrigued rate times the exceptional foremost sum of the obligation. Interest expense on the income statement represents interest accrued during the period covered by the financial statements, and not the amount of interest paid over that period. While interest expense is tax-deductible for companies, in an individual's case, it depends on their jurisdiction and also on the loan's purpose.

Learn more about Interest expense here

brainly.com/question/14185533

#SPJ4

6 0
1 year ago
The government is trying to maintain the infrastructure of the country, provide Social Security benefits to citizens, and regula
likoan [24]

The government will be able to improve the road system, encouraging more people to drive on vacations. Social Security benefits will provide income for the elderly and disabled, allowing them to spend money, thus boosting the economy. Airline security might be slightly improved because of the ability to hire, but there will not be enough money to provide the latest equipment.

3 0
3 years ago
Read 2 more answers
Which choice best reflects why some people consistently make bad investmets
Orlov [11]
D) all of the above

explanation: because all of the answers reflect why some people make bad investments
6 0
1 year ago
Other questions:
  • Identify whether each of the examples represent a "House of Brands" or a "Branded House" for of brand architecture. Procter &amp
    13·1 answer
  • Polly tried for a half an hour to get online. Her tablet could detect a signal, which means that her wireless card was turned on
    5·2 answers
  • Suppose an increasing number of school districts across the country find themselves with too few teachers at a time of rising en
    13·2 answers
  • The price of gas increased, which means_<br> people will buy gas in the future.<br> more<br> fewer
    13·2 answers
  • Who is richer -Jeff Bezos or Bill Gates?​
    7·2 answers
  • Government regulations allow a manufacturer of natural weight loss products to advertise:
    6·1 answer
  • For each of the following accounts, indicate the effect of a debit or credit on the account and the normal balance.
    14·1 answer
  • Which action would a bank most likely take when deciding whether a person
    11·1 answer
  • Can policy market interventions cause consumer or producer surplus.
    11·1 answer
  • The federal funds rate is typically ________ the primary credit lending rate. a. greater than b. equal to c. less than d. None o
    6·1 answer
Add answer
Login
Not registered? Fast signup
Signup
Login Signup
Ask question!