Difference-in-Difference (DiD) is a technique used in econometrics to determine the causal effect of a policy intervention, which in this case is the government's program to train low-skilled workers in the middle of an economic recession.
The treatment group comprises low-skilled workers who received training, while the control group comprises low-skilled workers who did not receive training. DiD is calculated by taking the difference between the treatment and control groups' outcomes before and after the intervention.
wageSit = 750 + 80.60 x treatit – 20.55 x postit + 230.90 x treatit x postit (50.4) (60.80) (9.50) (40.50)The variables in this equation are defined as follows:- wageSit represents the monthly wages for low-skilled workers, and it is in dollars.- treatit is a dummy variable that takes a value of 1 if the low-skilled worker is part of the government's training program, and 0 if he/she is not selected.- postit is a dummy variable that takes a value of 1 if the time period is after the program was executed, and 0 if the time period is before the program was executed.- 80.60 is the estimator of the treatment variable treatit, and it is statistically different from zero at the 95% confidence interval because its p-value is less than 0.05.
the government program has generated higher wages for treatment people than for control people.- -20.55 is the estimator of the dummy variable postit, and it is statistically different from zero at the 95% confidence interval because its p-value is less than 0.05. The estimator is negative because it indicates that the average wages of workers in the control group are higher than those in the treatment group before the intervention.
To know more about Difference-in-Difference visit:-
https://brainly.com/question/30241588
#SPJ11
Sharon is a partner of Green Valley Lawn Care, a partnership in the business of providing lawn care services. While mowing a lawn using a partnership mower, Donna negligently runs over a piece of metal, sending pieces of metal flying through the air. One piece hits the client's patio door and shatters the glass. (20%) is Donna liable to the client? Are Donna's partners liable to the client? Discuss fully.
Yes, Donna is liable to the client because she negligently ran over a piece of metal, sending pieces of metal flying through the air, which hit the client's patio door and shattered the glass.
Liability arises when someone has a duty to act with reasonable care to prevent others from being injured, breaches that duty, and the breach causes injury to someone else.
In this case, Donna had a duty to operate the lawnmower with reasonable care, which she breached by running over a piece of metal and causing it to fly into the air and hit the client's patio door, resulting in damage.
Therefore, Donna is liable to the client for the damage caused by her negligent actions.
However, it should be noted that as a partner of Green Valley Lawn Care, Donna's partners are also jointly and severally liable for any harm caused to the client as a result of her negligence.
Joint and several liability means that each partner is responsible for the full amount of the damages suffered by the client, not just a percentage.
Therefore, the client could sue Donna and/or any of her partners for the full amount of the damages suffered due to Donna's negligent actions.
It is important to remember that when operating a business as a partnership, all partners are responsible for the actions of the other partners, which can result in significant financial liability for each partner.
To know more about liable visit:
https://brainly.com/question/31356106
#SPJ11
What synergies exist? Show sensitivities around the sources of synergies and your projections.
the acquirer is leidos holdings and the target company is teradata corporation (2019 20 21) and put all the numbers
Synergies refer to the benefits and advantages that result from the combination of two companies. These synergies can arise from various sources, including:
1. Cost Synergies: This includes reducing duplicate functions, consolidating operations, and streamlining processes to achieve cost savings and operational efficiencies.
2. Revenue Synergies: Combining the customer base, sales channels, or complementary products/services can lead to increased revenue and market share.
3. Financial Synergies: Merging companies can benefit from improved access to capital markets, reduced borrowing costs, or optimized capital structure.
4. Strategic Synergies: Bringing together complementary strengths, expertise, or technologies can enhance competitiveness and create new business opportunities.
It is essential to conduct a thorough analysis of the companies involved, including their financial statements, market conditions, industry dynamics, and integration plans, to assess the potential synergies accurately. Sensitivity analysis can be performed by evaluating different scenarios and assumptions around the sources of synergies to understand their potential impact on financial projections and valuations.
For a comprehensive evaluation of synergies and their sensitivities in the specific case of Leidos Holdings and Teradata Corporation, I recommend consulting industry reports, financial analysts, or conducting a detailed analysis with access to up-to-date financial information.
Learn more about synergies here:
brainly.com/question/26886908
#SPJ11
argent
The following standard costs per unit, of one product, have been taken from the records of Bahrain Company: Direct materials 5 kgs at $3 per kg Direct labor 2.5 hours at $10 per hour Actual data for l
The Actual cost per unit of the product is $138 per unit.
Direct materials 5 kgs at $3 per kg
Direct labor 2.5 hours at $10 per hour
Actual data for last month:Direct materials purchased, 20,000 kgs at $2.90 per kg
Direct materials used, 25,000 kgs
Direct labor, 60,000 hours at $9.75 per hour
Production, 10,000 units
Selling and administrative expenses, $85,000
Total costs incurred, $1,465,000
The Actual cost of one unit of product, as per the given data, is as follows:
Direct materials cost= 25,000 kg × $2.90 per kg= $72,500
Direct labor cost = 60,000 hours × $9.75 per hour= $585,000
Overhead cost = Total costs incurred - (Direct materials cost + Direct labor cost + Selling and administrative expenses)= $1,465,000 - ($72,500 + $585,000 + $85,000)= $722,500
Total cost = Direct materials cost + Direct labor cost + Overhead cost= $72,500 + $585,000 + $722,500= $1,380,000
Therefore, the Actual cost per unit of the product is:Total cost ÷ Units produced= $1,380,000 ÷ 10,000 units= $138 per unit.
To know more about cost, visit
https://brainly.com/question/14566816
#SPJ11
A company is studying the feasibility of a production capacity expansion plan and needs to estimate the capital cost. The relevant information about the estimated capital cost is as follows: (1) the company's existing long-term liabilities: non redeemable bonds with a face value of 1000 yuan and a coupon rate of 12% and interest paid every six months; The bond has five years to maturity, and the current market price is 1051.19 yuan; It is assumed that private placement is adopted when issuing long-term bonds, regardless of the issuance cost. (2) The company's existing preferred shares: permanent preferred shares with a par value of 100 yuan, a dividend rate of 10% and quarterly interest payment. Its current market price is 116.79 yuan. If the preferred stock is newly issued, it needs to bear the issuance cost of 2 yuan per share. (3) The company's existing common stock: the current market price is 50 yuan per share, the latest dividend paid is 4.19 yuan per share, the expected sustainable growth rate of dividend is 5%, and the beta coefficient of the stock is 1.2. The company is not prepared to issue new ordinary shares. (4) Capital market: the yield of national debt is 7%; The average market risk premium is estimated to be 6%. (5) The corporate income tax rate is 40%. (6) The ratio of known liabilities, preferred shares and common shares is 30%: 10%: 60%. Requirements: estimate various capital costs based on the above information
To estimate the capital costs for a production capacity expansion plan, we need to consider several factors. The relevant information is as follows:
Existing long-term liabilities:
Face value of non-redeemable bonds: 1000 yuan
Coupon rate: 12%
Interest paid every six months: 6%
Current market price: 1051.19 yuan
Private placement: 2 yuan per bond (issuance cost)
Total interest paid per year: 24 yuan (6% x 6 x 1051.19)
Existing preferred shares:
Par value: 100 yuan
Dividend rate: 10%
Quarterly interest payment: 10 yuan
Current market price: 116.79 yuan
Issuance cost: 2 yuan per share
Total dividends per year: 41.67 yuan (10% x 116.79 x 4)
Existing common stock:
Current market price: 50 yuan per share
Latest dividend paid: 4.19 yuan per share
Expected sustainable growth rate of dividend: 5%
Beta coefficient: 1.2
Total dividends per year: 2.09 yuan (5% x 50 x 4.19)
Capital market:
Yield of national debt: 7%
Average market risk premium: 6%
Based on the above information, we can estimate the capital costs as follows:
Existing long-term liabilities:
Interest expense per year: 24 + 24 = 48 yuan
Total capital cost: 48 yuan
Existing preferred shares:
Interest expense per year: 41.67 + 41.67 = 83.34 yuan
Total capital cost: 83.34 yuan
Existing common stock:
Interest expense per year: 2.09 + 2.09 = 4.18 yuan
Total capital cost: 4.18 yuan
Capital market:
Interest expense per year: 48 + 83.34 + 4.18 = 136.56 yuan
Total capital cost: 136.56 yuan
Therefore, the estimated capital costs for the production capacity expansion plan are 48 yuan for existing long-term liabilities, 83.34 yuan for existing preferred shares, 4.18 yuan for existing common stock, and 136.56 yuan for the capital market.
Learn more about production capcity : brainly.com/question/20709827
#SPJ11
A Moving to another question will save this response. Question 30 of 32 Question 30 4 points Marketing Mix consists of the 4 P's. One of those P's is Product. A company must carry out a customer-driven new product development process for finding and growing new products. List the eight major steps, of the new product development process, in seq
Marketing mix consists of four P's, and one of them is Product. A company should carry out a customer-driven new product development process for discovering and growing new products.
The eight major steps of the new product development process in sequence are as follows:1. Idea GenerationThe first step in the new product development process is idea generation. The company must come up with new ideas for products that they can create and develop.2. Idea ScreeningIn this phase, the company assesses the concept's potential and decides whether it is worthwhile to continue the development process.3. Concept Development and TestingThis phase involves creating the concept in more detail, testing it with customers, and getting feedback to refine the product.4. Business AnalysisDuring the business analysis stage, the company evaluates whether the product concept is viable and profitable in the long term.5. Product DevelopmentIn this stage, the product is developed, and prototypes are created.6. Test MarketingThe next phase involves testing the product in a real-world environment to see how it performs.7. CommercializationAfter successful test marketing, the product is ready for full-scale commercialization.8. Post-Launch Review and Perfecting StageThis final phase involves reviewing the product's performance and making changes to perfect it continually.Therefore, the eight major steps of the new product development process in sequence are idea generation, idea screening, concept development and testing, business analysis, product development, test marketing, commercialization, and post-launch review and perfecting stage.
To learn more about marketing mix:
https://brainly.com/question/32371867
#SPJ11
Determining the earliest start time (ES) and earliest finish time (EF) for each activity is known as the _______________ through the network.
A.crashing
B.forward pass
C.slacking
D.backward pass
Determining the earliest start time (ES) and earliest finish time (EF) for each activity is known as the forward pass through the network. A forward pass involves finding out the early start and finish times for all activities. This enables project managers to establish a realistic project schedule.
The early start time is the earliest time an activity can start after considering all its previous activities’ duration. The early finish time is the earliest time an activity can finish after considering all its previous activities’ duration. To perform a forward pass, you must begin by assigning zero to the starting node’s earliest start time and add the node’s duration to its earliest start time to obtain the earliest finish time.
This calculation is then carried forward to the next node as its earliest start time. The formula for finding the earliest start time is ES = EF of the previous activity. The formula for calculating the earliest finish time is EF = ES + activity duration. Forward pass is the term used to determine the earliest start time (ES) and earliest finish time (EF) for each activity through the network. It involves finding out the early start and finish times for all activities. This enables project managers to establish a realistic project schedule. The early start time is the earliest time an activity can start after considering all its previous activities’ duration. The early finish time is the earliest time an activity can finish after considering all its previous activities’ duration. To perform a forward pass, you must begin by assigning zero to the starting node’s earliest start time and add the node’s duration to its earliest start time to obtain the earliest finish time. This calculation is then carried forward to the next node as its earliest start time. This calculation is done using the formula: ES = EF of the previous activity. This is because an activity cannot start until its previous activity has completed. The formula for calculating the earliest finish time is EF = ES + activity duration. This is because an activity can only be completed when its duration has passed.
To know more about forward visit:
https://brainly.com/question/32416445
#SPJ11
Which of the following events is not a business transaction? a. Investment of cash by the owner. b. Hired employees. c. Incurred utility expenses for the month. d. Earned revenue for services provided.
The event which is not a business transaction among the options given is option a) “Investment of cash by the owner”.
Business transaction is the exchange of goods and services between two or more entities. It is the activity in which something is exchanged between the buyer and seller and each party gets benefited.
Types of Business Transactions
On the basis of exchange, business transactions are divided into the following two types:
Cash Transactions
Credit Transactions
Business transactions can further be divided into three types:
External transactions
Internal transactions
Non-Monetary Transactions
Now, let's discuss the given options:
a. Investment of cash by the owner - This event does not involve any exchange of goods or services between two entities. It is just an investment by the owner of the company into the company. Therefore, this is not a business transaction.
b. Hired employees - This is a business transaction as the company is hiring employees for its business operations. It involves an exchange of services for monetary compensation.
c. Incurred utility expenses for the month - This is a business transaction as the company is paying for its utilities. It involves an exchange of services for monetary compensation.
d. Earned revenue for services provided - This is a business transaction as the company is providing services to the customers and receiving monetary compensation in return. It involves an exchange of services for monetary compensation.
To learn more about investment, visit:
https://brainly.com/question/30529793
#SPJ11
Both supply and demand increase. What will happen to the price of equilibrium in the market? Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer. a price will increase price will decrease price will not change We cannot tell without more information. b с d
If both supply and demand increase, the effect on the equilibrium price is indeterminate. but the changes in supply and demand will offset each other to a certain extent, resulting in an ambiguous impact on equilibrium price.
If supply and demand both rise but supply grows more rapidly, the equilibrium price will decline. If demand grows more quickly than supply, the equilibrium price will rise.The equilibrium price will be determined by the relative magnitudes of the shifts in supply and demand.
The price of equilibrium in the market will not change. The reason being that an increase in both supply and demand will balance out each other and cancel out the changes. Therefore, the equilibrium price will remain the same.
To know more about equilibrium visit:
https://brainly.com/question/30694482
#SPJ11
What is the payback period of a £40000 investment with the following cash flows?
Year CF
1 £20000
2 £25000
3 £10000
4 £10000
5 £5000
a. 1 year
b. 1.8 years
c. 2 years
d. 2.25 years
e. 3.5 years
Option (b), The payback time for a £40,000 investment with the following cash flows is 1.8 years.
The payback period of a £40,000 investment with cash flows of £20,000 in Year 1, £25,000 in Year 2, £10,000 in Year 3, £10,000 in Year 4, and £5,000 in Year 5 is calculated as follows:
Step 1: Compute the cumulative cash flows.
Cumulative cash flow for Year 1 = £20,000
Cumulative cash flow for Year 2 = £20,000 + £25,000 = £45,000
Cumulative cash flow for Year 3 = £45,000 + £10,000 = £55,000
Cumulative cash flow for Year 4 = £55,000 + £10,000 = £65,000
Cumulative cash flow for Year 5 = £65,000 + £5,000 = £70,000
Step 2: Identify the year in which the cumulative cash flow exceeds the initial investment.
The cumulative cash flow exceeds £40,000 in Year 2, so the payback period is less than two years.
Step 3: Calculate the payback period.
The payback period can be calculated as:
Payback period = Year before the cumulative cash flow exceeds the initial investment + (Initial investment - Cumulative cash flow at the end of the previous year) ÷ Cash flow in the year that the cumulative cash flow exceeds the initial investment
= 2 + (£40,000 - £45,000) ÷ £25,000
= 2 - £5,000 ÷ £25,000
= 2 - 0.2
= 1.8 years
Therefore, the answer is (b) 1.8 years.
Learn more about Initial investment: https://brainly.com/question/31635721
#SPJ11
Briefly explain the two ways to calculate a company's depreciation. Which one is used more often in your opinion? (2 marks) (2) The USASK Corporation recently purchased an asset for $12,223,500. The company's manager expects that the asset will have a 10-year life. The asset has a 20% CCA rate. Calculate the CCA and UCC until the end of year 10. (6 marks)
1. The two ways to calculate a company's depreciation are:
a) Straight-line depreciation: This method evenly allocates the cost of an asset over its useful life.
formula for straight-line depreciation is:
Depreciation Expense = (Cost of Asset - Residual Value) / Useful Life
The straight-line method is simple and provides a consistent depreciation expense each year. It is commonly used for financial reporting purposes as it provides a straightforward and systematic way to allocate the cost of an asset over its useful life.
b) Accelerated depreciation: This method allows for larger depreciation expenses in the early years of an asset's life and smaller expenses in later years. It recognizes that assets often generate more value in their early years and become less productive over time. Examples of accelerated depreciation methods include the declining balance method and the sum-of-the-years'-digits method.
Accelerated depreciation can provide tax benefits by allowing for larger deductions in the earlier years, resulting in reduced taxable income. It also aligns with the economic reality that assets tend to lose value more rapidly in their initial years.
Opinion: In my opinion, the straight-line depreciation method is used more often, especially for financial reporting purposes. It is simpler to calculate and provides a consistent and even allocation of the asset's cost over its useful life. Additionally, it is widely accepted and easier to understand for stakeholders such as investors, creditors, and regulators.
2. To calculate the CCA (Capital Cost Allowance) and UCC (Undepreciated Capital Cost) until the end of year 10, we need to apply the CCA rate and the half-year rule, which allows for a half-year of CCA in the year of acquisition.
Given data:Asset cost: $12,223,500
Useful life: 10 yearsCCA rate: 20%
Applying the half-year rule, we will assume the asset was acquired at the midpoint of the year.
Year 1 CCA: (Asset cost × CCA rate) / 2 = ($12,223,500 × 20%) / 2 = $1,222,350
UCC at the end of Year 1: Asset cost - Year 1 CCA = $12,223,500 - $1,222,350 = $11,001,150
For subsequent years, the CCA will be calculated based on the UCC from the previous year:
Year 2 CCA: UCC at the end of Year 1 × CCA rate = $11,001,150 × 20% = $2,200,230UCC at the end of Year 2: UCC at the end of Year 1 - Year 2 CCA = $11,001,150 - $2,200,230 = $8,800,920
Repeat this process for each year until the end of Year 10.
The CCA and UCC calculations for each year are as follows:
Year 1: CCA = $1,222,350, UCC = $11,001,150
Year 2: CCA = $2,200,230, UCC = $8,800,920Year 3: CCA = $1,760,184, UCC = $7,040,736
Year 4: CCA = $1,408,147, UCC = $5,632,589Year 5: CCA = $1,126,518, UCC = $4,506,071
Year 6: CCA = $900,144, UCC = $3,605,927Year 7: CCA = $720,116, UCC = $2,885,811
Year
Learn more about Income here:
https://brainly.com/question/14732695
#SPJ11
Listen AdWords accounts are structured in 4 basic levels: campaigns, ad groups, ads, and keywords. True False
The structure of AdWords accounts provides a hierarchical framework for organizing and managing advertising campaigns. It allows advertisers to have control over their budget, targeting options, and ad creatives at different levels.
AdWords accounts are structured in four basic levels: campaigns, ad groups, ads, and keywords. Let's explore each level in detail:
1. Campaigns: At the top level, campaigns serve as the container for your advertising efforts. Each campaign has its own settings, budget, and targeting options.
Advertisers can create multiple campaigns to target different goals or audiences. For example, a company may have separate campaigns for brand awareness, product promotion, or geographic targeting.
2. Ad Groups: Within each campaign, you can create ad groups. Ad groups allow you to further organize your ads and keywords based on a specific theme or target audience. For example, within a campaign promoting athletic shoes, you might have separate ad groups for running shoes, basketball shoes, and hiking shoes. This structure enables you to tailor your ad messaging and keywords more effectively.
3. Ads: Within each ad group, you create individual ads that will be shown to users. Ads consist of text, images, or other media elements that aim to attract clicks and conversions. Advertisers can create different variations of ads within an ad group to test different messaging, offers, or visuals. This helps optimize performance and drive better results.
4. Keywords: Keywords are an essential part of AdWords campaigns. They represent the search terms or phrases that trigger your ads to appear when users enter those keywords in search engines. Advertisers select relevant keywords for each ad group to ensure their ads are shown to the right audience. Keywords can be broad, exact, or phrase-matched, allowing for precise targeting or broader reach.
The structure of AdWords accounts provides a hierarchical framework for organizing and managing advertising campaigns. It allows advertisers to have control over their budget, targeting options, and ad creatives at different levels.
This structure enables better organization, optimization, and tracking of advertising performance, ensuring more effective campaigns and better results.
learn more about budget here: brainly.com/question/31952035
#SPJ11
Question 6 Commonly, global brands adopt a 'glocal' approach in their promotions, opting to globalise their advertising campaigns and localise their sales promotions. What would their reasons be for doing so? Discuss and justify with examples. (1.5 pages worth of answer) (10 Marks)
A 'glocal' approach in promotions refers to the strategy adopted by global brands to combine global advertising campaigns with localized sales promotions. This approach recognizes the need to maintain a consistent global brand image while also tailoring promotional activities to specific local markets.
Consistency of Brand Image: By globalizing their advertising campaigns, global brands ensure a consistent brand image and message across different markets. This helps in building brand recognition and creating a unified perception of the brand's values and offerings worldwide. Consistency in advertising is crucial for global brands to establish a strong brand identity and maintain brand equity. For example, Coca-Cola's "Open Happiness" campaign has been globally recognized and associated with the brand's positive and refreshing image.
Cultural Relevance: Localization of sales promotions allows global brands to adapt their marketing tactics to suit the cultural preferences and behaviors of local markets. Consumer behavior and purchasing habits can vary significantly across different regions, and by tailoring promotions to these local nuances, brands can better connect with their target audience.
Market Specificity: Global brands often face diverse market conditions, including different levels of competition, pricing dynamics, and distribution channels. By localizing sales promotions, brands can address specific market challenges and capitalize on opportunities effectively. This allows them to respond to local market trends and competitive pressures. For example, Nike's "Just Do It" campaign maintains a consistent global message while customizing its sales promotions to engage with local sports events and sponsorships to connect with target consumers.
Regulatory Compliance: Different countries may have varying regulations and restrictions on advertising and sales promotions. By adopting a glocal approach, global brands ensure that their promotional activities comply with local laws and regulations. This helps in avoiding legal issues and maintaining a positive brand image in each market. For instance, pharmaceutical companies like Pfizer adapt their advertising campaigns and sales promotions to comply with country-specific regulations related to drug advertising and promotion.
Consumer Preferences and Behavior: Localizing sales promotions allows global brands to align their strategies with the unique preferences and behavior of local consumers. It enables brands to offer incentives and promotional activities that resonate with local buying habits, customer loyalty programs, and pricing structures. For example, Starbucks offers localized promotions, such as the Lunar New Year-themed drinks in Asian markets, catering to local celebrations and preferences.
In conclusion, adopting a 'glocal' approach in promotions allows global brands to strike a balance between maintaining a consistent brand image globally and catering to local market needs. By globalizing their advertising campaigns and localizing sales promotions, brands can ensure brand consistency, cultural relevance, market specificity, regulatory compliance, and alignment with consumer preferences. This approach has been successfully implemented by numerous global brands, enabling them to effectively navigate diverse markets and build strong connections with their target audience.
Learn more about glocal here-
https://brainly.com/question/25223613
#SPJ11
Under what conditions should organizations "unlear" Select one a. In situations involving organizational change b. Whenever new knowledge is brought into the organization c. Whenever the organization shifts from communities of practice to experimentation in the knowledge acquisition process d. In situations involving rapid technological advancement e. Whenever there is a public disapproval of business practices
The conditions that necessitate the need for unlearning are as follows: In situations involving organizational change:
Changes like these require an organization to unlearn certain habits and processes and adopt new ones. Whenever new knowledge is brought into the organization: Organizations may acquire new knowledge through mergers and acquisitions, innovation, and the hiring of new staff members. In order to successfully integrate this new knowledge, organizations must unlearn their old ways of doing things and adopt new ones. Whenever the organization shifts from communities of practice to experimentation in the knowledge acquisition process: Community of practice involves learning through practice and reflection on previous experiences, while experimentation involves trial and error.
To learn more about organization click here https://brainly.com/question/28497652
#SPJ11
A-Zone Media sells two models of e-readers. The budgeted price per unit for the wireless model is $207 and the budgeted price per unit for the wireless and cellular model is $446. The master budget called for sales of 11,500 wireless models and 3,250 wireless and cellular models during the current year. Actual results showed sales of 9,000 wireless models, with a price of $275 per unit, and 4,850 wireless and cellular models, with a price of $700 per unit. The standard variable cost per unit is $95 for a wireless model and $235 for a wireless and cellular model.
Required:
a. Compute the activity variance for these data.
b. Compute the mix and quantity variance for these data
The activity variance is -$517,500 for the wireless model.
The activity variance is $713,600 for the wireless and cellular model.
The mix variance is -$373,363.50, and the quantity variance is $196,100.
a.
To compute the activity variance, there is a need to compare the actual sales volume with the budgeted sales volume for each model.
Given information:
Budgeted Sales: 11,500 units
Actual Sales: 9,000 units
Activity Variance = (Actual Sales - Budgeted Sales) * Budgeted Price
= (9,000 - 11,500) * $207
= (-2,500) * $207
= -$517,500
Wireless and Cellular Model:
Budgeted Sales: 3,250 units
Actual Sales: 4,850 units
Activity Variance = (Actual Sales - Budgeted Sales) * Budgeted Price
= (4,850 - 3,250) * $446
= 1,600 * $446
= $713,600
b.
To compute the mix and quantity variance, there is a need to compare the actual sales mix with the budgeted sales mix for the two models.
Budgeted Sales Mix:
Wireless Model: 11,500 / (11,500 + 3,250) = 0.78 or 78%
Wireless and Cellular Model: 3,250 / (11,500 + 3,250) = 0.22 or 22%
Actual Sales Mix:
Wireless Model: 9,000 / (9,000 + 4,850) = 0.65 or 65%
Wireless and Cellular Model: 4,850 / (9,000 + 4,850) = 0.35 or 35%
Mix Variance = (Actual Mix - Budgeted Mix) * Actual Sales * Budgeted Price per unit
= [(0.65 - 0.78) * 13,850] * $207
= (-0.13 * 13,850) * $207
= (-1,800.50) * $207
= -$373,363.50
Quantity Variance = (Actual Sales - Budgeted Sales) * Budgeted Price per unit
= [(9,000 - 11,500) * $207] + [(4,850 - 3,250) * $446]
= (-2,500) * $207 + 1,600 * $446
= -$517,500 + $713,600
= $196,100
Therefore, the activity variance is -$517,500 for the wireless model and $713,600 for the wireless and cellular model. The mix variance is -$373,363.50, and the quantity variance is $196,100.
Learn more about activity variance here:
https://brainly.com/question/31810069
#SPJ12
Question 39 Eamon buys a new barbecue using his credit card. In other words, Eamon has used ________ to purchase the barbecue. O a loan O a demand deposit O fiat money O currency Question 40 Which of the following assets is the most liquid? O savings account balances O checking account balances O stocks O pounds of wheat Question 41 Which of the following is part of the M1 definition of money? O time deposits O demand deposits O stocks O savings deposits
39. Eamon utilized a loan in the form of his credit card to complete the purchase of the barbecue.
Eamon used his credit card to purchase the barbecue, which means he used a loan. A credit card is a financial instrument that allows individuals to borrow money from a financial institution, typically a bank, up to a certain credit limit. It functions as a loan, and the amount spent on the credit card becomes a debt that Eamon will need to settle.
When Eamon made the purchase, he essentially borrowed the funds necessary to pay for the barbecue from the credit card issuer. The credit card issuer covers the cost of the purchase, and Eamon is required to repay the borrowed amount, usually with interest, according to the terms and conditions of his credit card agreement.
40. Checking account balances are considered the most liquid asset due to their easy accessibility and immediate usability.
Liquidity refers to the ease and speed with which an asset can be converted into cash without significant loss in value. Among the options provided, checking account balances are the most liquid asset. Checking accounts are specifically designed for everyday transactions and provide easy access to funds.
Individuals can withdraw money from their checking accounts through various means such as ATM withdrawals, writing checks, or using debit cards. Since the funds in a checking account are readily available and can be used for immediate payments, they are considered highly liquid compared to other assets like savings account balances, stocks, or physical commodities like pounds of wheat.
41.The M1 definition of money includes demand deposits (checking account balances) as they are readily available for transactions, while time deposits, stocks, and savings deposits are not included in this category.
The M1 definition of money includes the most liquid forms of money that are widely accepted as a medium of exchange. Demand deposits, also known as checking account balances, are part of the M1 definition. Demand deposits represent funds held in checking accounts that can be accessed on demand by the account holder. These funds can be used for various transactions, such as making purchases, paying bills, or transferring money to others.
Time deposits, stocks, and savings deposits, on the other hand, are not part of the M1 definition. Time deposits have specific maturity periods and may have penalties for early withdrawal, while stocks represent ownership in a company and are not generally used directly as a medium of exchange. Savings deposits, although more liquid than time deposits, may have restrictions or limitations on immediate access or use, making them less liquid compared to demand deposits.
Learn more about credit card here:
https://brainly.com/question/27350251
#SPJ11
Discuss two major differences between political economy in the
Classical tradition and political economy in the Marxist/Radical
tradition.
Political economy refers to a cross-disciplinary field of study that analyzes how economic systems impact society, politics, and culture. There are several schools of thought within political economy, with the Classical tradition and Marxist/Radical tradition being two major ones.
In summary, the Marxist/Radical tradition and Classical tradition differ in their views on historical materialism and the labor theory of value. While the former emphasizes the role of the economy in shaping historical development and sees value as being determined by the amount of labor that goes into production, the latter sees economics as a separate sphere from politics and culture and argues that value is set by the market. Despite these differences, both traditions have contributed significantly to our understanding of political economy.
The Marxist/Radical tradition and Classical tradition of political economy have several differences that set them apart from each other. These include historical materialism and the labor theory of value. Although these two schools of thought differ in their views on how the economy operates, they have both made significant contributions to our understanding of the relationship between economics and society.
To know more about Political economy visit:
brainly.com/question/858044
#SPJ11
USA - based MNC has a project in Switzerland (data provided in
CHF)
Maturity = 3 years
Initial investment = CHF 2 bil
Price of Product
Quantity
Year 1
CHF 5,000
1 million unit
Year 2
CHF 7,000
The revenue from the sale of the product in Switzerland during the given period is CHF 15.5 billion.
Given, A USA-based MNC has a project in Switzerland. The maturity period is 3 years. The initial investment is CHF 2 billion. The price of the product and quantity provided is as follows: Year 1: CHF 5,000 per unit for 1 million units Year 2: CHF 7,000 per unit for 1.5 million units Calculating the revenue from the sale of the product during the given period: Year 1Revenue from 1 million units of product = CHF 5,000 × 1,000,000= CHF 5,000,000,000Year 2Revenue from 1.5 million units of product = CHF 7,000 × 1,500,000= CHF 10,500,000,000So, the total revenue from the sale of the product over the 2-year period is: Total revenue = Revenue in Year 1 + Revenue in Year 2= CHF 5,000,000,000 + CHF 10,500,000,000= CHF 15,500,000,000. Hence, the revenue from the sale of the product in Switzerland during the given period is CHF 15.5 billion.
know more about revenue from the sale.
https://brainly.com/question/20691834
#SPJ11
A stock market comprises 2300 shares of stock A and 2300 shares of stock B The share prices for stocks A and B are $25 and $15, respectively. What is the capitalization of the market portfolio? A. $92,000 OB. $105,800 OC. $82.800 OD. $101.200 CETTE
If A stock market comprises 2300 shares of stock A and 2300 shares of stock B The share prices for stocks A and B are $25 and $15, respectively, then - A. $92,000.
How to find?A stock market comprises 2300 shares of stock A and 2300 shares of stock B. The share prices for stocks A and B are $25 and $15, respectively.
The formula to calculate the capitalization of the market portfolio is: Capitalization of market portfolio = Market capitalization of stock A + Market capitalization of stock B , Market capitalization of stock A = Number of shares of stock A × price per share of stock A. Market capitalization of stock B = Number of shares of stock B × price per share of stock B.
Substitute the given values in the above formula, we get. Market capitalization of stock A = 2300 × $25 = $57,500Market capitalization of stock B = 2300 × $15 = $34,500, Capitalization of market portfolio = $57,500 + $34,500 = $92,000
Therefore, the answer is A. $92,000.
To know more on stock market visit:
https://brainly.com/question/7550583
#SPJ11
Alicia and Alice go to Nail Emporium and get manicures. Alice is low on funds, so Alicia pays for both manicures with her debit card. Alicia then loans Alice her debit card so Alice can get her hair done later that day. When Alicia's bank statement comes in, Alicia discovers $750 in unauthorized purchases that Alice had made. Alicia notifies the bank immediately of the unauthorized purchases. Alicia will be responsible for paying:
a. only $500.
b. only $50.
c. none of the unauthorized purchases.
d. the entire $750 in unauthorized purchases.
The correct option is (c).
c. none of the unauthorized purchases.
In cases of unauthorized purchases made using a debit card, the liability for fraudulent transactions depends on when the cardholder reports the unauthorized activity to the bank. According to the U.S. Electronic Fund Transfer Act (EFTA), if Alicia notifies the bank immediately after discovering the unauthorized purchases, her liability for the fraudulent charges should be limited.
Under the EFTA, if Alicia reports the unauthorized transactions before any losses occur, she should not be held responsible for any of the unauthorized purchases. The bank is typically responsible for investigating the matter, reversing the charges, and restoring the funds to Alicia's account.
Therefore, Alicia will not be responsible for paying any of the $750 in unauthorized purchases as long as she promptly notifies the bank.
Learn more about liability here:
https://brainly.com/question/28391469
#SPJ11
3- Increase or decrease a petty cash fund: - To Increase , debit Petty Cash and credit Cash. Debit Credit Petty Cash XXX Date Cash XXX - To decrease , debit Cash and credit Petty Cash . Debit Credit Cash XXX Date Petty Cash XXX 3- Increase or decrease a petty cash fund: • If short : xxx Miscellaneous Expense cash Over & Short Cash XXX XXX If over : XXX Miscellaneous Expense cash Over & Short Cash XXX XXX
Petty cash refers to the fund that a business maintains for small expenses. It is an amount of cash kept on hand for making minor or emergency payments and is used to avoid writing small checks or generating electronic payments for minor expenses. What are the steps for increasing or decreasing a petty cash fund?
The following are the steps for increasing or decreasing a petty cash fund: To increase: To increase the petty cash fund, the business will debit petty cash and credit cash. This means that they are taking cash from the regular cash account and putting it into the petty cash fund.
The entry will be as follows: Debit Credit Petty Cash XXX Date Cash XXX To decrease: To decrease the petty cash fund, the business will debit cash and credit petty cash. This means that they are taking cash from the petty cash fund and putting it back into the regular cash account.
The entry will be as follows: Debit Credit Cash XXX Date Petty Cash XXX If short: If the petty cash fund is short, then the business can either add more cash to the fund or leave it as it is and treat the shortage as an expense. The entry will be as follows: XXX Miscellaneous Expense Cash Over & Short XXX If over: If the petty cash fund is over, then the business will take the excess cash out and deposit it into the regular cash account.
The entry will be as follows: XXX Miscellaneous Expense Cash Over & Short XXX
To know more about payments visit:
https://brainly.com/question/8401780
#SPJ11
When you state a refusal, negative words are appropriate.
TRUE
FALSE
When stating a refusal, negative words are not appropriate.
When delivering a refusal, it is generally recommended to avoid using negative words. Instead, it is important to use a diplomatic and tactful approach to maintain a positive and professional tone. Negative words can create a confrontational or defensive atmosphere, potentially damaging the relationship between the sender and the recipient.
When refusing a request or delivering bad news, it is crucial to focus on maintaining a respectful and empathetic tone. This can be achieved by using positive language, offering alternative solutions or options, and emphasizing any positive aspects that may exist. By doing so, the sender can demonstrate understanding and consideration, even if the request cannot be granted.
Using positive words and a constructive approach can help soften the impact of a refusal and foster a positive feeling between the sender and the recipient. It allows for open communication and the possibility of finding alternative solutions that may satisfy both parties involved.
Learn more about tactful approach here:
https://brainly.com/question/32156436
#SPJ11
Issuing shares is a key characteristic of the corporate business form. After you identify a company with publicly traded stock, what are some of the risk factors that affect the price of those shares? What risk factors might be unique to the industry in which the company operates?
*PLEASE READ DIRECTIONS! ALSO, DO NOT GET FROM ANOTHER CHEGG POST. I NEED A NEW AUTHENTIC ANSWER AND I WILL UPVOTE.
Initial Post Grading Rubric
Response content appropriate for graduate work
Word count (300 words)
Critical Thinking Question at the end of the post
The stock price of a publicly traded company can be influenced by a variety of factors, some of which are particular to the company and some of which are unique to the industry.
What are the factors?Some of the risk factors that affect the price of those shares after identifying a company with publicly traded stock are:
Macroeconomic Factors: Macroeconomic factors are large-scale economic factors that impact a broad swath of the economy. The economy's overall health is an example of a macroeconomic factor. Interest rates, exchange rates, inflation, and government regulations are examples of other macroeconomic factors that could influence a publicly traded company's stock price.
Company-Specific Factors: Company-specific factors refer to factors that are unique to a company and its performance.
In addition to earnings, new product releases, changes in senior management, and news reports about a company might all affect its stock price.
Industry-Specific Factors: Industry-specific factors refer to factors that are unique to the industry in which a company operates.
When there is a high demand for a particular product or service, for example, an entire industry's stock prices will rise.
Industry-specific risk factors refer to unique risk factors that are specific to a company's industry and that affect a particular company or multiple companies in that industry.
The supply and demand for goods and services, technological innovation, and government regulation all impact an industry's overall growth and performance.
When there is a high demand for a particular product or service, for example, an entire industry's stock prices will rise.
Consequently, investors must pay attention to industry-specific risk factors when analyzing the performance of a company with publicly traded stock.
To know more on Stock price visit:
https://brainly.com/question/29997372
#SPJ11
Suppose an individual's MRS of beer for steak at her current market basket is 2. Le... she is willing to give up a maximum of two steaks in exchange for one more beer. (She is spending all her income and buys strictly positive quantities of both goods.) Suppose steaks cost $20 each and beer costs $5 apiece. Then in order to increase her utility, the individual should (sketching a diagram with number of steaks on the vertical axis and number of beers on the horizontal axis might be helpful): O a buy more steak and less beer. O b. buy more beer and less steak. Oc. stay at her current consumption levels. O d. buy less of both goods
The individual should buy more beer and less steak in order to increase her utility. This choice allows her to take advantage of the lower relative price of beer and maximize her satisfaction.
To determine the optimal consumption choice for the individual, we need to compare the marginal rate of substitution (MRS) with the price ratio of the two goods.
Given that the MRS of beer for steak is 2, this means the individual is willing to give up 2 steaks to obtain 1 more beer.
The price ratio of steak to beer is $20/$5 = 4, indicating that 1 steak is worth 4 beers in terms of the market prices.
Since the MRS of 2 (2 steaks for 1 beer) is lower than the price ratio of 4 (1 steak for 4 beers), the individual's willingness to trade is lower than the market rate.
Therefore, the individual should buy more beer and less steak in order to increase her utility. This choice allows her to take advantage of the lower relative price of beer and maximize her satisfaction.
Learn more about marginal rate of substitution here:
brainly.com/question/30763866
#SPJ11
How much leeway should Popeyes offer to individual franchisees in deciding on the menu, restaurant appearance, and advertising? Should Popeyes take a centralized approach, or should it let franchisees adapt their strategy to local conditions?
The decision on how much leeway Popeyes should offer to individual franchisees in deciding on the menu, restaurant appearance, and advertising depends on various factors and requires a balance between centralized control and local adaptation.
1. Brand consistency: Popeyes is a well-established brand with a distinct identity and customer expectations. Maintaining consistency across locations is important to ensure a unified brand image and customer experience. Therefore, Popeyes should exercise some level of centralized control to ensure that core menu items, brand messaging, and overall brand standards are upheld across all franchise locations.
2. Local market conditions: Franchisees operate in different markets with unique characteristics, consumer preferences, and cultural norms. Allowing franchisees to adapt their strategy to local conditions can be beneficial in catering to specific market demands. This flexibility enables franchisees to offer menu items or make adjustments that resonate with the local customer base. It can help franchisees capitalize on regional tastes and preferences, potentially leading to increased customer satisfaction and business success.
3. Operational efficiency: Some aspects of the business, such as supply chain management, standard operating procedures, and quality control, may benefit from a centralized approach. Maintaining consistent supply chain relationships, efficient inventory management, and quality standards can be more effectively managed with centralized control. This ensures that the franchisees receive the necessary support and resources to deliver a consistent product and service experience.
4. Franchisee expertise and entrepreneurial spirit: Franchisees often bring valuable expertise, insights, and entrepreneurial spirit to the table. They have a vested interest in the success of their individual businesses. Allowing franchisees some level of autonomy empowers them to make informed decisions based on their understanding of the local market and their unique business circumstances. This can foster innovation, local engagement, and entrepreneurial initiatives.
In conclusion, Popeyes should strike a balance between centralized control and local adaptation. While maintaining brand consistency and certain operational aspects centrally can ensure a unified customer experience, franchisees should be given some leeway to adapt their strategy to local conditions. This allows them to cater to specific market demands, capitalize on regional preferences, and leverage their expertise and entrepreneurial spirit. The ideal approach may involve establishing clear guidelines, providing training and support, and fostering open communication channels between Popeyes and its franchisees to ensure a collaborative and successful partnership.
To learn more about franchisees, visit
brainly.in/question/7032452
#SPJ11
which of the following is true about equilibrium? group of answer choices there is no net change in the concentrations of the reactants and products. it is microscopically static and macroscopically dynamic at equilibrium, all species have stopped reacting altogether. the relative amounts of the reactants and products are equal.
The correct answer is: The relative amounts of the reactants and products are equal.
There is no requirement that the amounts of reactants and products be equal. However, the quantities of reactants and products will remain constant after equilibrium has been reached.
At equilibrium, the relative amounts of the reactants and products are equal. This means that the concentrations of the reactants and products reach a balance where the rates of the forward and reverse reactions are equal. It is important to note that while the concentrations remain constant, the individual molecules are still in constant motion and are undergoing reactions, but these reactions occur at an equal rate in both directions.
The concept of equilibrium in a chemical reaction can be described using the equilibrium constant (K). The equilibrium constant is calculated using the concentrations of the reactants and products at equilibrium. For a general reaction:
aA + bB ⇌ cC + dD
The equilibrium constant expression is:
K = [C]^c[D]^d / [A]^a[B]^b
At equilibrium, the concentrations of the reactants and products are such that the equilibrium constant remains constant. This implies that the ratio of the concentrations of the products to the reactants is equal to the equilibrium constant (K) for that particular reaction.
Therefore, it can be concluded that at equilibrium, the relative amounts of the reactants and products are equal, as determined by the equilibrium constant.
Learn more about equilibrium ,visit:
https://brainly.com/question/29618306
#SPJ11
Use the table to determine how many workers the firm will employ when the cost per good is $6, and the wage rate
is $25
A 3 workers
B 5 workers
C 2 workers
D 4 workers
The table which is not included in the question. However, the optimal number of workers can be determined through marginal analysis.
The correct answer is D.
Since the table is missing, I will explain the process of determining the optimal number of workers using marginal analysis:To determine the optimal number of workers using marginal analysis, one needs to find the point at which the marginal cost of labor is equal to the marginal revenue product of labor (the additional revenue generated from hiring an additional worker).The cost per good is $6, and the wage rate is $25.
Therefore, if we multiply the wage rate by the marginal product of labor (MPL), we get the marginal revenue product (MRP).MPL x Price = MRPTo determine how many workers the firm will employ when the cost per good is $6 and the wage rate is $25, we need to compare the MRP with the marginal cost (MC) of labor. The optimal number of workers is reached when MRP = MC.When MRP > MC, the firm should hire more workers.When MRP < MC, the firm should reduce the number of workers.When MRP = MC, the firm has hired the optimal number of workers.The answer, therefore, will be the option that provides the number of workers at which the marginal revenue product of labor is equal to the marginal cost of labor. The correct answer is D. 4 workers.
To know more about marginal analysis visit:
https://brainly.com/question/14952769
#SPJ11
Please give explanation to the answer you get and no
SPREADSHEET
1. Suppose that put options on a stock with strike prices $30 and $35 cost $4 and $7, respectively. How can the options be used to create (a) a bull spread and (b) a bear spread? Construct a table tha
Answer: The expected value of the sampling distribution of the mean (μ) is equal to the population mean (μ), which is given as 28 days.
Explanation: The standard deviation of the sampling distribution (standard error, σ) is calculated using the formula:
σ = σ / sqrt(n)
where σ is the population standard deviation (given as 9 days) and n is the sample size (given as 36 students).
Plugging in the values:
σ = 9 / sqrt(36)
σ = 9 / 6
σ = 1.5 days
Therefore, the expected value of the sampling distribution of the mean is 28 days, and the standard deviation (standard error) of the sampling distribution is 1.5 days.
The probability that the Number of School Days Missed is More than 32 days:
To calculate this probability, we need to standardize the value of 32 using the sampling distribution.
Z = (X - μ) / σ
where X is the value we want to calculate the probability for, μ is the population mean (28 days), and σ is the population standard deviation (9 days).
Z = (32 - 28) / 9
Z = 4 / 9
Z ≈ 0.444
Using a standard normal distribution table or calculator, we can find the probability associated with Z > 0.444. Let's assume the probability is P(Z > 0.444) = 0.33.
Therefore, the probability that the number of school days missed due to influenza is more than 32 days is approximately 0.33.
The probability that the Number of School Days Missed is Less than 25 or Greater than 30 days:
To calculate this probability, we need to find the individual probabilities of the two events (less than 25 days and greater than 30 days) and then add them together.
First, let's calculate the Z-score for each event:
Z1 = (25 - 28) / 9
Z1 = -3 / 9
Z1 ≈ -0.333
Z2 = (30 - 28) / 9
Z2 = 2 / 9
Z2 ≈ 0.222
Using a standard normal distribution table or calculator, we can find the probabilities associated with Z < -0.333 and Z > 0.222. Let's assume the probabilities are P(Z < -0.333) = 0.369 and P(Z > 0.222) = 0.411.
Now, we can calculate the total probability:
P(Z < -0.333 or Z > 0.222) = P(Z < -0.333) + P(Z > 0.222)
P(Z < -0.333 or Z > 0.222) = 0.369 + 0.411
P(Z < -0.333 or Z > 0.222) ≈ 0.780
Therefore, the probability that the number of school days missed due to influenza is less than 25 or greater than 30 days is approximately 0.780.
Learn more about the Expected Value of Sampling Distribution of Mean and Standard Deviation here:
brainly.com/question/30159646
#SPJ11
Nesmith Corporation's outstanding bonds have a $1,000 par value, a 6% semiannual coupon, 20 years to maturity, and an 10.5% YTM. What is the bond's price? Round your answer to the nearest cent.
Last year Janet purchased a $1,000 face value corporate bond with an 11% annual coupon rate and a 10-year maturity. At the time of the purchase, it had an expected yield to maturity of 9.46%. If Janet sold the bond today for $1,155.67, what rate of return would she have earned for the past year? Do not round intermediate calculations. Round your answer to two decimal places.
Janet earned a rate of return of approximately 15.57% for the past year.
To calculate the price of the bond, we can use the present value formula for bond valuation:
Price = (C / 2) * [1 - (1 + r/2)^(-2n)] / (r/2) + (1000 / (1 + r/2)^(2n))
Where:
C = Coupon payment (semiannual coupon rate * par value)
r = Yield to maturity (expressed as a decimal)
n = Number of periods (number of years to maturity * 2, since coupons are paid semiannually)
For Nesmith Corporation's bond:
C = 0.06 * 1000 = $60 (semiannual coupon payment)
r = 0.105 (10.5% YTM expressed as a decimal)
n = 20 * 2 = 40 (20 years to maturity with semiannual payments)
Substituting these values into the formula, we can calculate the bond's price:
Price = (60 / 2) * [1 - (1 + 0.105/2)^(-240)] / (0.105/2) + (1000 / (1 + 0.105/2)^(240))
Evaluating this expression, we find:
Price ≈ $814.74
Therefore, the price of Nesmith Corporation's bond is approximately $814.74.
For Janet's bond, to calculate the rate of return, we can use the following formula:
Rate of Return = (Ending Value - Beginning Value) / Beginning Value
Where:
Ending Value = $1,155.67 (current selling price of the bond)
Beginning Value = $1,000 (original purchase price of the bond)
Substituting these values into the formula, we can calculate the rate of return:
Rate of Return = (1155.67 - 1000) / 1000
Calculating this expression, we find:
Rate of Return ≈ 0.15567
Converting this to a percentage, we have:
Rate of Return ≈ 15.57%
Therefore, Janet earned a rate of return of approximately 15.57% for the past year.
learn more about rate of return here
https://brainly.com/question/17164328
#SPJ11
net income was $465,000. issued common stock for $72,000 cash. paid cash dividend of $14,000. paid $125,000 cash to settle a long-term notes payable at its $125,000 maturity value. paid $117,000 cash to acquire its treasury stock. purchased equipment for $94,000 cash. use the above information to determine cash flows from financing activities. (amounts to be deducted should be indicated with a minus sign.)
The cash flows from financing activities for the given information will be $328,000
To determine the cash flows from financing activities, we have to prepare a statement of cash flows. The formula for calculating the cash flows from financing activities is as follows:
Cash flows from financing activities = Cash inflows from financing activities - Cash outflows from financing activities
Given that,
Net income = $465,000
Issued common stock for $72,000 cash
Paid cash dividend of $14,000
Paid $125,000 cash to settle a long-term notes payable at its $125,000 maturity value
Paid $117,000 cash to acquire its treasury stock
Purchased equipment for $94,000 cash.
Cash outflows from financing activities are as follows:
Issued common stock for $72,000
cash: $72,000
Paid cash dividend of $14,000: $14,000
Paid $125,000 cash to settle a long-term notes payable at its $125,000
maturity value: $125,000
Paid $117,000 cash to acquire its treasury stock: $117,000
Total cash outflows from financing activities: $328,000 ($72,000 + $14,000 + $125,000 + $117,000)
Cash inflows from financing activities are as follows:There is no amount that was received from financing activities, therefore cash inflows from financing activities are zero ($0).Thus, the cash flows from financing activities for the given information will be $328,000 (amounts to be deducted should be indicated with a minus sign).
Learn more about cash flow here https://brainly.com/question/30066211
#SPJ11
In the world of skateboard attire, instinct and marketing savvy
are prerequisites to success. Moogy Ellis had both. During 2020,
his international skateboarding company, Ryan, rocketed to $900
million
A skateboard is a type of transport that resembles a narrow board with wheels attached to its bottom and is utilized by standing on it and pushing it with one foot. Skateboarding, a sport that has been around for over 50 years, has given rise to a variety of styles.
Skateboarders wear clothes that are suitable for their sport, which can include loose-fitting jeans, t-shirts, and sweatshirts. They may also wear safety gear, such as helmets, wrist guards, knee pads, and elbow pads. Skateboarding attire refers to the type of clothing that skateboarders wear. It can include loose-fitting jeans, t-shirts, and sweatshirts that are comfortable and breathable, allowing for a wide range of motion while riding. Skateboarding attire should be suitable for the sport, as well as for safety. Skateboarders frequently wear helmets, wrist guards, knee pads, and elbow pads to protect themselves while riding.
Ryan is an international skateboarding company that sells skateboard attire, accessories, and gear. Moogy Ellis founded it in 2020, and its popularity grew quickly due to his instinct and marketing skills. Despite its rapid growth, Ryan remained true to its roots, creating high-quality skateboard attire for its customers while still remaining true to the sport's culture and style.
To know more about Transport visit:
https://brainly.com/question/18176031
#SPJ11