Ian's estate receives the proceeds of the contract
Ian's common-law partner receives the proceeds of the contract.
The contract ownership passes to Ian's common-law partner.
The contract becomes part of Ian's estate.
Earnings reinvested back into the firm.
A share buy back policy by the firm.
A consistent dividend while cyclical earnings peak.
Reduction in personal income tax.
Increase in government spending.
Increase in import tariffs.
Reduction in general sales tax.
Backdating Purchase Orders
Promise of Future Price.
Guaranteed Repurchase of Securities
Operating performance ratios
Risk analysis ratios.
The MER is the total annual cost of running a fund that includes management fees.
Management fees are the total annual cost to run the fund that includes the MER.
The management fee reduces the overall return on the fund, while the MER is a percentage of the total assets under management.
The MER is the sales commission to purchase the fund and the management fee is the annual cost to run the fund.
Probability of return of principal.
Economies of scale.
Transparency related to valuation.
Securitization of assets.
They all have the same level of liquidity.
Company B/Company A/Company C
Company A/Company B/Company C
Company C/Company B/Company A
CBA Inc., since it has the lower debt/equity ratio.
ZYX Inc., since it has the higher debt/equity ratio.
CBA Inc., since it has a debt/equity ratio that is closer to the industry average.
ZYX Inc., since it has a debt/equity ratio that is above the industry average.
The investor must report interest earnings of $20
The investor must report a capital gain of $20
The investor must report interest earnings of $40
There is no amount taxable
The level of the company's capacity utilization.
The need for future financing and the type of security that might be used.
The presence of warrants or options that may decrease the number of shares outstanding.
The gain in market share over competition.
Sell $200,000 equities, buy $200,000 fixed income.
Sell $200,000 equities, increase cash position by $200,000.
Sell $200,000 equities, buy $100,000 fixed income, increase cash by $100,000.
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