2 Why is the retailor referred to as a middleman in the chain of distribution?​

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Answer 1

By facilitating the movement of goods and services and establishing connections between producers and customers, retailers play a crucial role in the distribution chain.

Due to their pivotal location in the chain of distribution between the makers or producers of goods and the final consumers, retailers are frequently referred to as middlemen. They are essential in bridging the divide and facilitating the trade of goods and services between the two sides. The following justifies the retailer's status as a middleman:

1. Intermediary Role: By buying products in bulk from producers or wholesalers and selling them to final customers in smaller amounts, the retailer serves as an intermediary. They act as a connecting point in the supply chain, ensuring that goods are efficiently delivered to their intended clients.

2. Physical Distribution: Retailers are in charge of the actual product distribution. To guarantee prompt delivery to customers, they oversee logistics, inventory, and storage of the goods. This calls for activities like shipping, warehousing, and order fulfilment.

3. Market Access: Retailers give producers a platform to connect with a larger consumer base. They are able to connect products with the appropriate target market thanks to their extensive networks, market expertise, and customer relationships. Retailers frequently have a number of stores and/or an online presence, extending the geographic reach of their items.

Retailers interact directly with customers, which is important for understanding their requirements, preferences, and purchase patterns. They enhance the overall client experience by providing individualised help, product demos, and after-sales support.

5. worth Addition: Retailers increase the worth of their items through branding, packaging, price, and marketing initiatives. They distinguish items, provide a unique selling proposition, and raise consumer awareness. Retailers may also combine products, give discounts, or offer other services to draw customers.

Retailers play a crucial role in the distribution chain by easing the flow of goods and services, linking producers with consumers, and enhancing the overall customer experience, despite the fact that the term "middleman" occasionally has the connotation of being unneeded or redundant.

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Related Questions

The population of a territory can be modeled by the equation P = f(t) = Pe0.0127 where Po is the population of the territory now and t represents years from now. How long will it take the population to triple? Round your answers to the nearest tenth of a year.

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It will take approximately 54.5 years for the population to triple, when the population of a territory can be modeled by the equation P = f(t) = Pe0.0127.

The population of a territory is modeled by the equation P = f(t) = Po × e^0.0127t where Po is the population of the territory now and t represents years from now.

P is the population of the territory t years from now. Po is the population of the territory now, 0.0127 is the growth rate.

Using the formula; P = Po × e^0.0127tTo find the time (t) it will take the population to triple, we will set the equation equal to 3Po and solve for t.3Po = Po × e^0.0127t.

Divide both sides by Po to isolate e^0.0127t.3 = e^0.0127tNow take the natural logarithm of both sides.

Recall that the natural logarithm (ln) is the inverse of the exponential function. e^(ln 3) = e^0.0127tln 3 = 0.0127t.

Divide both sides by 0.0127.t = ln 3/0.0127≈54.5.

Therefore, it will take approximately 54.5 years for the population to triple.

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QUESTION 9 Given the demand and forecast values shown in the table below, Period Demand Forecast June 520 468 495 510 August 510 September 489 500 July 521 What is the forecasting value for October using 3-Month Weighted Moving Average, with a weight allocation of 0.50, 0.3 and 0.2, respectively? A 498.3 B.511.3 C.508.3 D.496.5 QUESTION 10 Using the data above, the forecast error for July is A 15 B.-15 C.2 D.-2 QUESTION 11 Using the data above, the mean absolute deviation (MAD) at the end of September is A. 27.19 B.22.25 C. 15.28 D.O

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The 3-Month Weighted Moving Average with a weight allocation of 0.50, 0.3 and 0.2, respectively for the forecast values for the month of October are calculated as follows.

1st of all, we have to calculate the weighted average for the previous three months, September, August, and July; this is done as follows:October forecast = (0.50 * September actual demand) + (0.3 * August actual demand) + (0.2 * July actual demand)October forecast = (0.50 * 489) + (0.3 * 510) + (0.2 * 521)October forecast = 244.5 + 153 + 104.2 = 501.7 ≈ 502Hence, the forecast value for October using 3-Month Weighted Moving Average, with a weight allocation of 0.50, 0.3 and 0.2, respectively is 502.The Mean Absolute Deviation (MAD) for a forecast of data series is the average of the absolute differences between the actual observations and the forecasted values. The Mean Absolute Deviation (MAD) at the end of September is given as follows.  The calculation of Mean Absolute Deviation (MAD) for the forecast of the data series is shown below:MonthActual demand Forecasted demand |Actual demand - Forecasted demand|September 489 500 11August 510 510 0July 521 496.5 24.5June 520 495 25Total 60.5Mean Absolute Deviation (MAD) = 60.5 / 4 = 15.125 ≈ 15Hence, the mean absolute deviation (MAD) at the end of September is 15. Answer: A. 502, B.-15, and A. 27.19.

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Analyse the job roles of three different disciplines in the care planning process

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In the care planning process, three different disciplines play crucial roles: nursing, social work, and healthcare management.

Nursing professionals have a central role in care planning. They assess patients' physical and psychological conditions, identify their healthcare needs, and develop care plans accordingly. Nurses coordinate with other healthcare professionals, such as doctors and therapists, to ensure comprehensive and effective care. They also provide direct patient care, monitor their progress, and make necessary adjustments to the care plan.

Social workers contribute to the care planning process by assessing patients' social and emotional well-being. They evaluate factors such as family dynamics, support systems, and access to community resources. Social workers collaborate with patients, families, and interdisciplinary teams to address social determinants of health and develop appropriate care plans. They may provide counseling, connect patients with community resources, and offer support in navigating healthcare systems.

Healthcare management professionals oversee the care planning process. They ensure efficient operations, resource allocation, and adherence to regulatory standards. They coordinate various disciplines involved in care planning, streamline communication, and facilitate collaboration. Healthcare managers also monitor outcomes, evaluate the effectiveness of care plans, and make necessary adjustments to improve patient care and organizational efficiency.

In summary, nurses focus on the physical and medical aspects, social workers address social and emotional factors, and healthcare managers coordinate and optimize the care planning process. Together, these disciplines ensure a holistic and patient-centered approach to care planning.

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The optimal amount of X1, X2, P1, P2 and income are given by the following: X1=4!/6 P2
The original prices are: P1=39 P2=49
The original income is: 1 =7,615
The new price of P1 is the following: P1'=74
Assume that the price of xy has changed from P1 to P1: What is the substitution effect?

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The utility function are not provided, we cannot determine the exact numerical value of the substitution effect without additional information.

To determine the substitution effect, we need to compare the optimal consumption bundle before and after the change in price.

Given the original prices and optimal consumption bundle, we have:

X1 = (4!)/(6 * P2)

P1 = 39

P2 = 49

Income (I) = 7,615

The new price of P1 is P1' = 74.

To calculate the substitution effect, we need to find the optimal consumption bundle after the price change. We know that the consumer's income remains the same, so we can use the new prices to determine the new quantity demanded.

Using the original utility-maximizing condition, we have:

MU1 / P1 = MU2 / P2

Since the utility function is not given, we cannot directly calculate marginal utilities. However, we can assume that the consumer's preferences remain unchanged. Therefore, the ratio of marginal utilities should remain the same before and after the price change.

Before the price change, the ratio of marginal utilities is:

MU1 / P1 = MU2 / P2

After the price change, the new ratio of marginal utilities is:

MU1' / P1' = MU2 / P2

Since the ratio of marginal utilities remains constant, we can equate the two ratios:

MU1 / P1 = MU1' / P1'

Rearranging the equation, we have:

MU1' = (MU1 / P1) * P1'

Now, we can calculate the optimal quantity of X1 after the price change:

X1' = (MU1' * I) / P1'

Substituting the value of MU1' we obtained earlier:

X1' = ((MU1 / P1) * P1' * I) / P1'

Simplifying the expression:

X1' = (MU1 * P1' * I) / (P1 * P1')

To calculate the substitution effect, we compare the quantities of X1 before and after the price change:

Substitution Effect = X1' - X1

Substituting the values into the equation, we can calculate the substitution effect. However, since the utility function and the value of MU1 are not provided, we cannot determine the exact numerical value of the substitution effect without additional information.

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Which of the following stalements BEST describes he purpose of a Disability Income policy? A.It is used to pay for hospital, medical, and surgical expenses if a serious disability occurs. B.Il is designed to supplement Medicare Part A benefils. C.It is used to pay for an insured's normal living expenses it the insured becomes disabled D.I is designed to supplement Workers' Compensation benefits

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The statement that BEST describes the purpose of a Disability Income policy is C. It is used to pay for an insured's normal living expenses if the insured becomes disabled.

What is a Disability Income policy?

A Disability Income policy is a kind of insurance that pays a person's income if they become disabled. If you get sick or injured and are unable to work, this insurance will pay you a portion of your lost income. This kind of policy is typically required when a person's income is their most valuable asset.

The main purpose of Disability Income policies is to cover an individual's living expenses if they become disabled. This means that the insured will still be able to pay their monthly bills and other expenses even though they are unable to work. Disability Income policies are important because they provide income security when people are not able to work due to a disability, and it is often difficult to predict when a disability will occur.

Therefore, the statement that BEST describes the purpose of a Disability Income policy is C. It is used to pay for an insured's normal living expenses if the insured becomes disabled.

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Seagraves City uses a debt service fund to make payments on its general obligation bonds. During the fiscal year ended June 30, 2021, the debt service fund pays $85,000 of principal on the bonds and $15,000 of interest on the bonds. What is the income statement effect (i.e., change in fund balance) as a result of the transact

A. Increase of $15,000
B. Decrease of $100,000
C. Increase of $100,000
D. None of these
E. Decrease of $15,000

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The income statement effect (change in fund balance) resulting from the transactions in the debt service fund is a decrease of $15,000.

In a debt service fund the principal and interest payments on general obligation bonds are recorded as expenses. Therefore, the payment of $85,000 in principal and $15,000 in interest on the bonds would be recorded as expenses in the income statement of the debt service fund.

Since expenses reduce the fund balance, the payment of principal and interest would result in a decrease in the fund balance. The total decrease in the fund balance would be the sum of the principal and interest payments, which is $85,000 + $15,000 = $100,000. Among the given options, the closest answer is E. Decrease of $15,000. Although the actual decrease in the fund balance is $100,000, it is not one of the options provided. Therefore, the closest option is E, which represents a decrease of $15,000

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explain what metrics indicate and how they can benefit an organization

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Metrics provide quantifiable data about an organization's performance, facilitating decision-making, evaluating progress, and enabling performance tracking and accountability.

Metrics play a crucial role in organizations by providing objective and measurable data that helps assess performance and guide decision-making. They serve as key performance indicators (KPIs) that allow organizations to track progress, measure success, and make informed strategic choices.

Metrics can benefit an organization in several ways. Firstly, they provide valuable insights into the performance of various business processes, departments, or initiatives. By tracking metrics related to sales, revenue, customer satisfaction, productivity, or other relevant areas, organizations can identify trends, patterns, and areas of improvement.

Secondly, metrics enable organizations to make data-driven decisions. By analyzing metrics, leaders can gain a deeper understanding of their organization's strengths and weaknesses, prioritize resources, allocate budgets effectively, and identify opportunities for growth.

Furthermore, metrics help organizations evaluate the impact of strategies and initiatives. By setting targets and tracking corresponding metrics, organizations can assess progress, measure success, and identify any necessary adjustments or course corrections.

Metrics also foster Accounting within an organization. By setting performance goals, tracking metrics, and sharing results, individuals and teams can be held accountable for their contributions, leading to a more focused and goal-oriented work environment.

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ou are an experienced programmer working on part of a project to enable people to control household appliances from their cellphone. (For example, they can turn on the air conditioning while on the way home.) You have figured out that you can do a part of your section of the program in a way that is more efficient than the method described in the specifications. You are confident that your method is correct, and you know that the change will have no impact on other parts of the program. You understand the importance of following specifications, but you also know Organizations and Websites that any proposed revision generates a long, bureaucratic process that will take weeks and require approvals from many people in both your company and the client company. Is this a case where the trade-offs make it reasonable to use the better method without a revision of the specifications? Explain your responses.

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Yes, it is reasonable to use the better method without a revision of the specifications but only under certain conditions. You should, however, carefully evaluate the trade-offs before deciding to implement your own approach.

The following are the reasons why implementing a more effective approach is beneficial and the reasons why it should be done with caution.The need for the change. The most important factor to consider is whether the change is needed or not. If the new method provides significant advantages in terms of efficiency or functionality, it may be worth making the change even if it means bypassing the specification.The level of risk involved. Another crucial factor is the level of risk involved in implementing the new approach. The risk of introducing errors or other complications may outweigh the benefits of using the new approach. If there is a chance that implementing your new method will disrupt other parts of the program, the safer option is to follow the specification closely.The time and cost involved. Consider the cost and time involved in implementing the new method. While your approach may be more effective, it may not be worth the expense and effort required to modify the existing specifications. In such cases, it may be wiser to follow the existing specification even if it results in less efficient code.The need for regulatory compliance. If the project needs to comply with regulatory requirements or standards, then the new approach must undergo a formal review process before implementation. It is unwise to bypass the approval process when regulatory compliance is involved since noncompliance can result in significant penalties and legal issues.The impact on other stakeholders. It is essential to evaluate the effect that the new method would have on other stakeholders such as your teammates, the client, and the users. Any changes that have a significant impact on the users should be carefully evaluated and tested before implementation. On the other hand, if the change has a minimal effect on the end-users, it may be implemented without revising the specification.

In conclusion, if the proposed change is likely to cause significant benefits without the need to modify the specification, it can be considered. However, careful evaluation of trade-offs is necessary to determine if implementing your approach is worth the time, effort, and risk involved.

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Suppose the unemployment last year was 3.9% and the labor force was 165 m people. The unemployment rate this month was 3.5%. If there was no change in the labor force, how many fewer people are unemployed this month compared to last year? Now, suppose 2 million people left the labor force since last year. What would the change in the number of unemployed people be in that case?

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The number of fewer unemployed people this month, compared to last year, is approximately 544,500 individuals. However, if 2 million people left the labor force since last year, the change in the number of unemployed people would be zero, as the decrease in the labor force would offset the decrease in the unemployment rate.

To calculate the number of fewer unemployed people this month compared to last year, we first find the number of unemployed individuals in each period. In the first scenario, with an unemployment rate of 3.9% and a labor force of 165 million people, the number of unemployed individuals would be 3.9% of 165 million, which equals approximately 6.435 million. In the second scenario, with an unemployment rate of 3.5%, the number of unemployed individuals would be 3.5% of 165 million, which equals approximately 5.775 million. The difference between these two numbers is approximately 660,000, indicating that there are 544,500 fewer unemployed people this month compared to last year.

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Question 1 Not yet swered arked out of ag tion On 1 July 2019 Mary acquired a little boat for $14113. It was for her personal use. Mary borrowed $12,000 of the money from XYZ Bank. The loan was a fixed interest loan on which Mary paid interest of $2,000. Mary sold the boat in September 2019 for $17980. Required: Calculate Mary's Net Capital Gain or Loss for the 2020 tax year. Answer:

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Mary acquired a little boat for $14,113 on July 1, 2019. It was for her personal use. Mary borrowed $12,000 of the money from XYZ Bank. The loan was a fixed interest loan on which Mary paid interest of $2,000. Mary sold the boat in September 2019 for $17,980.

To calculate the Mary's Net Capital Gain or Loss for the 2020 tax year, we have to first calculate the Capital Gain and Capital Loss from the given data:Capital Gain = Sale Price - Acquisition CostCapital Gain = $17,980 - $14,113Capital Gain = $3,867Capital Loss = Acquisition Cost - Sale PriceCapital Loss = $14,113 - $17,980Capital Loss = $-3,867As we know, Capital loss can be set off against Capital gains and if the loss amount is more than the gain amount, then the loss can be carried forward to next year.

As we can see, Mary has incurred a Capital Gain of $3,867, and she cannot set off her Capital loss because she doesn't have any. Mary will have to pay tax on the $3,867 that she has gained. Mary's Net Capital Gain will be calculated as follows:Net Capital Gain = Capital Gain - Capital LossNet Capital Gain = $3,867 - 0Net Capital Gain = $3,867Therefore, Mary's Net Capital Gain for the 2020 tax year is $3,867.

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Which of the following statement is CORRECT regarding job order cost accounting system? O Under the procation approach # manufacturing overhead had been overallocated, the Work in Process Control, Finished Goods Control, and Cost of Goods Sold accounts would be increased O Under the proration approach, manufacturing overhead had been overallocated, the Work in Process Control Finished Goods Control, and Cost of Goods Sold accounts would be decreased. O Under the adjusted allocation rate approach, the total under-or overallocated manufacturing overhead in included in this year's Cost of Goods Sold Under the direct wete-off method, total under or overallocated manufacturing overhead is always added to the Cost of Goods Sold

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The correct statement regarding job order cost accounting system is that under the adjusted allocation rate approach, the total under-or overallocated manufacturing overhead is included in this year's Cost of Goods Sold.

Job order costing is a cost accounting system that assigns direct and indirect costs to different production batches or jobs. Manufacturers can use it to track all expenses associated with the production of a specific job. It is used to calculate the overall cost of a single unit that is produced as part of a larger batch of items. Additionally, it is used to calculate the overall profit or loss generated by the job.There are four different methods for adjusting manufacturing overhead in job order cost accounting.

They are: Under the proration approach, manufacturing overhead had been overallocated, the Work in Process Control Finished Goods Control, and Cost of Goods Sold accounts would be decreased.

Under the direct wete-off method, total under or overallocated manufacturing overhead is always added to the Cost of Goods Sold. Under the adjusted allocation rate approach, the total under-or overallocated manufacturing overhead in included in this year's Cost of Goods Sold. The overallocated overhead will decrease the cost of goods sold, while the underallocated overhead will increase the cost of goods sold.Under the procation approach # manufacturing overhead had been overallocated, the Work in Process Control, Finished Goods Control, and Cost of Goods Sold accounts would be increased.

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duffjd provides a laundry service for towels and sheets to three hotel chains in a major city, hoyluk. it provides each hotel chain with trade credit.

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Duffjd provides laundry services for towels and sheets to three hotel chains in the city of Hoyluk. It offers trade credit to each hotel chain. A trade credit is an agreement between a buyer and seller whereby the seller agrees to allow the buyer to pay for goods or services at a later date.

This is often used as a way of financing businesses, allowing them to obtain the goods or services they need without having to pay for them upfront.Duffjd may offer trade credit as an incentive for hotels to continue to use its services. By providing credit terms, it allows hotels to pay for their laundry services after they have been used, freeing up their cash flow for other expenses.

Trade credit also helps to build trust and loyalty between Duffjd and its customers, as the hotels are more likely to continue using its services if they have a good working relationship. Overall, offering trade credit is a common practice in many industries and can be beneficial for both buyers and sellers.

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if walmart offers a major sale to compete against its competitors, how can this lead to a prisoner's dilemma?
a. if walmart decreases its prices to gain market share against competitors that did not lower their prices, then walmart would earn higher profits.
b. if walmart decreases its prices to gain market share against competitors that also lowered their prices, then all stores earn smaller profits than if they all kept their prices high.
c. if walmart decreases its prices to gain market share against competitors that did not lower their prices, then walmart would earn lower profits.
d.walmart prices are too high. decreases in its prices will cause walmart to breakeven.
e. walmart prices are too low. walmart should increase its prices to breakeven

Answers

The option that describes how a major sale by Walmart to compete against its competitors can lead to a prisoner's dilemma is:

(b) if Walmart decreases its prices to gain market share against competitors that also lowered their prices, then all stores earn smaller profits than if they all kept their prices high.

In a prisoner's dilemma scenario, each participant has an incentive to choose an action that benefits them individually, but when all participants act in their self-interest, it leads to a suboptimal outcome for everyone involved.

In this case, if Walmart decreases its prices to compete with its rivals, and its competitors respond by also lowering their prices, it creates a price war where all stores are offering discounted prices. While Walmart may gain some market share, the profits of all stores are diminished compared to a situation where they kept their prices high.

The dilemma arises because each store is incentivized to lower prices to attract customers and gain a competitive advantage. However, when all stores engage in price competition, it leads to reduced profitability for all of them.

This situation exemplifies the prisoner's dilemma because even though each store could potentially benefit from keeping prices high, the fear of losing market share to their rivals drives them to lower prices, resulting in a less desirable outcome for all.

Therefore, option (b) captures the essence of how a major sale by Walmart can lead to a prisoner's dilemma in a competitive market.

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Covid-19 has created a volatile operating environment for all companies and one major concern is the impact on asset values. Companies will need to carefully consider the impairment of their assets and will need to make key judgements and sensitivity of assumptions regarding their recoverable amount calculations. Required: Briefly discuss the impact of Covid-19 on any two aspects of the impairment testing on intangibles. Please ensure that your discussion is relevant to the assets specified.

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Covid-19 has had a large and extensive influence. Millions of illnesses and millions of fatalities have occurred as a result worldwide. The pandemic has put a strain on healthcare systems, thrown off economies, and brought about a number of social and psychological issues.

1. A decrease in the future cash flows expected to be generated from the use of an intangible asset may lead to an impairment in value. This may arise, for example, if an intangible asset, such as a brand, is no longer valued by customers or is less valued, as a result of the pandemic, and this is expected to lead to lower cash flows from the sale of goods or services.

2. Covid-19 pandemic has negatively impacted the discount rate used to calculate the present value of expected future cash flows from the use of intangible assets. The risk-free rate, which is a component of the discount rate used to calculate the present value of future cash flows, is used as a benchmark for assessing the risks associated with investments in assets. The pandemic has led to a decline in risk-free rates, which may have an impact on the present value of expected future cash flows and result in the impairment of intangible assets.

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In an EOQ model, the EOQ is originally determined at 100 units. When the demand rate is doubled, the new EOQ should be adjusted to O 100÷2=50 10 × 2 = 200 100 x √√2 = 141 100 x 4 = 400

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When the demand rate is doubled, the new EOQ should be adjusted to 100 x √√2 = 141.  Therefore, the correct option is: 100 x √√2 = 141.

How to solve for the new EOQ ?

The formula for calculating EOQ is: EOQ = √(2DS / H)

Where:

D = Demand

S = Ordering cost

H = Holding cost

When the demand rate is doubled, the demand variable (D) is multiplied by 2.

That means, we can rewrite the formula as: EOQ = √(2DS(2) / H).

Now, let's consider the original EOQ as 100 units.

That means we already know D, S and H. We just have to plug in these values and solve for EOQ as follows:

100 = √(2 x D x S / H)100² = 2 x D x S / HD² x H / 2S = D = 100 x H / 2S...equation 1.

Doubling the demand rate means we have a new-

D = 2 x 100 x H / 2S = 100 x H / S.

Plugging this value in the original formula:

EOQ = √(2DS(2) / H)

EOQ = √(2 x 100 x H / S x S x 2 / H)

EOQ = 100 x √√2 / 1

EOQ = 100 x √√2 / 1 = 100 x √2 / √2

= 100 x 1.41 = 141.

Therefore, the new EOQ should be adjusted to 141.

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"Friends and neighbors complain that taxes are indeed very heavy, and if those laid on by the government were the only ones we had to pay, we might more easily discharge them; but we have many others, and much more grievous to some of us. We are taxed twice as much by our idleness, three times as much by our pride, and four times as much by our folly…"
—Benjamin Franklin, The Way to Wealth (1758)
What does Benjamin Franklin mean in his statement about taxation above? What advice is implied and how would you apply that advice to your financial planning?

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In his statement about taxation, Benjamin Franklin means that taxes are not the only financial burdens that the people face. He further elaborates that people are taxed twice as much by their idleness, three times as much by their pride, and four times as much by their folly. What Benjamin Franklin implies is that it is not the taxes imposed by the government that are the only burden, but people also have to bear the costs of their own vices.

What he implies is that people should exercise thrift and practice frugality in their day-to-day lives.  Franklin is advising the people to lead an industrious life, to be humble, and to exercise discretion in their spending to become financially stable. According to the advice implied by Franklin, one can apply the following tips to their financial planning: Reduce expenses: An important way to become financially stable is to reduce expenses. It’s imperative to cut back on unnecessary spending and save money in the long run. Work more: To make ends meet and save for the future, one should work harder and longer. The more one works, the more money they will be able to save. Save more: One of the most important steps in financial planning is saving. One should prioritize saving and set up a savings plan to help them achieve their financial goals. This way, one can start building their emergency fund and other investments that would be useful in the future.

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The following information is from DALLAS Manufacturing Co. for April: Direct materials used in production $95,000 Direct labour $76,000 Total manufacturing cost $234,000 Raw materials inventory, April 1 $32,000 Work-in-process inventory, April 1 $5,000 Finished goods inventory, April 1 $101,000 Purchases of raw materials $102,000 Cost of goods manufactured $250,000 Administrative expense $41,000 Selling expense $66,000 Sales $333,000 Gross margin $137,000 Net income $30,000 Required: (a.) Compute the cost of goods sold. (b.) Compute the balance in finished goods inventory at April 30. (c.) Compute the balance in work-in-process inventory at April 30. (d.) Compute the balance in raw materials inventory at April 30. (e.) Compute the total manufacturing overhead.

Answers

(a) To compute the cost of goods sold:

Cost of goods sold = Beginning finished goods inventory + Cost of goods manufactured - Ending finished goods inventory

Cost of goods sold = $101,000 + $250,000 - Ending finished goods inventory

(b) To compute the balance in finished goods inventory at April 30:

Ending finished goods inventory = Beginning finished goods inventory + Cost of goods manufactured - Cost of goods sold

Ending finished goods inventory = $101,000 + $250,000 - Cost of goods sold

(c) To compute the balance in work-in-process inventory at April 30:

Ending work-in-process inventory = Beginning work-in-process inventory + Total manufacturing cost - Cost of goods manufactured

Ending work-in-process inventory = $5,000 + $234,000 - $250,000

(d) To compute the balance in raw materials inventory at April 30:

Ending raw materials inventory = Beginning raw materials inventory + Purchases of raw materials - Direct materials used in production

Ending raw materials inventory = $32,000 + $102,000 - $95,000

(e) To compute the total manufacturing overhead:

Total manufacturing overhead = Total manufacturing cost - Direct materials used in production - Direct labor

Total manufacturing overhead = $234,000 - $95,000 - $76,000

Please note that the values for ending finished goods inventory, ending work-in-process inventory, ending raw materials inventory, and total manufacturing overhead cannot be determined without additional information or calculations.

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Question:- Enumerate, then explain the two types of compensation
systems.

Answers

Compensation is the total amount of monetary and non-monetary rewards provided by a company to its employees in return for their services. These rational operators rewards may include salary, benefits, bonuses, and other forms of compensation.

Below are two types of compensation systems:1. Direct compensation The direct compensation system is what employees receive as salary or wages. It comprises base pay, incentives, bonuses, commission, and overtime.

The base pay is the fixed remuneration an employee gets, whereas incentives, commission, and overtime pay depend on the employee's performance, productivity, and quality of work. Bonuses are a one-time reward for performance above the set target.2. Indirect compensationIndirect compensation is the benefit and perk plan for employees and their families. These are benefits and amenities that are provided to employees as part of their work environment. Indirect compensation benefits include medical insurance, life insurance, retirement benefits, and time off, including vacations, holidays, and sick leaves.The two types of compensation systems are direct and indirect compensation.

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analytical techniques that are widely used when comparing financial statements are . multiple select question. common-size statements ratios interviewing key executives dollar and percentage changes on statements

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Analytical techniques that are widely used when comparing financial statements are common-size statements, ratios, and dollar and percentage changes on statements.

These analytical techniques are commonly used to compare financial statements. These methods are used to compare financial data across different time periods and between different companies. Let's discuss each of them in detail.

Common-size statements:

Common-size financial statements allow for the comparison of different businesses of varying sizes or sectors to one another by converting their financial data into percentages of a common base figure. They can be used to evaluate both income statements and balance sheets.

Ratios:

Financial ratios are used to evaluate a company's financial performance. They show how a company is doing in relation to other companies in its industry or sector. These ratios can be used to compare a company's performance over different time periods.

Dollar and percentage changes on statements:

This analytical technique involves comparing the dollar amounts or percentages in specific line items on a financial statement over time to determine changes or trends in performance.

By comparing dollar amounts or percentages from different periods, a company can determine whether they have improved or worsened in certain areas.

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Court Casuals has 100,000 shares of common stock outstanding as of the beginning of the year and has the following transactions affecting stockholders' equity during the year. May 18 Mar 31 July 1 Issues 25,000 additional shares of Si par value common stock for $40 per share. Repurchases 5.000 shares of treasury stook for $45 per share. Declares a cash dividend of $1 pur share to all stockholders of record on July 15. Hint: Dividends are not paid on treasury stock. Pavs the cash dividend deolared on July 1. Reissues 2,500 shares of treasury stock purchased on May 31 for $46 per share. July 31 August 10 Record each of these transactions, Edit View Insert Format Tools Table 12pt v v Paragraph B I וכ A

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May 18: Issue 25,000 additional shares of $1 par value common stock for $40 per share.

March 31: Repurchase 5,000 shares of treasury stock for $45 per share.

July 1: Declare a cash dividend of $1 per share to all stockholders of record on July 15.

July 31: Pay the cash dividend declared on July 1.

August 10: Reissue 2,500 shares of treasury stock purchased on May 31 for $46 per share.

Stockholders, also known as shareholders or equity holders, are individuals, entities, or organizations that hold shares of stock in a corporation. They are considered the owners of the corporation and have a claim on its assets and earnings. Stockholders have voting rights in corporate matters, such as electing the board of directors and approving major decisions. They may also receive dividends as a share of the corporation's profits.

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How can a "positioning" map be created and used? How is Trader
Joe’s an example of segmentation and positioning? Any Canadian
example similar to Trader Joe’s? At least two.

Answers

A "positioning" map can be created by plotting various brands or products based on their perceived attributes or characteristics in the minds of consumers.

The map typically uses two dimensions that are relevant to the target market. It helps identify the competitive landscape, market opportunities, and potential gaps for a brand to differentiate itself. The map can be used to make strategic decisions, such as identifying a unique positioning, assessing market positioning relative to competitors, and identifying areas for product development or repositioning.

In Canada, two examples similar to Trader Joe's are:

Bulk Barn: Bulk Barn is a retail chain that focuses on bulk food products, offering a wide range of items such as nuts, dried fruits, grains, and spices. They emphasize a cost-effective approach by allowing customers to purchase quantities according to their needs, reducing packaging waste. Bulk Barn targets health-conscious consumers and those looking for affordable and customizable food options.

Farm Boy: Farm Boy is a regional grocery chain in Canada that positions itself as a fresh food destination. They emphasize locally sourced produce, prepared foods, and a variety of specialty items. Farm Boy caters to customers seeking high-quality, fresh ingredients, and a unique shopping experience.

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Jim bought the iPhone 12 almost a year after it came out when there were good deals offered o it. According to the book, which category of consumers in the diffusion of innovation curve does Jim fall under? ke Innovators O Early Adopters Never Adopters Lagards Pioneers Late Majority

Answers

Jim, who bought the iPhone 12 almost a year after it came out when there were good deals offered on it, falls under the category of Early Adopters in the diffusion of innovation curve.

The diffusion of innovation curve is a theoretical model that represents how new products or technologies are adopted by different segments of the population over time. It categorizes consumers into different groups based on their willingness to adopt new innovations.

The categories in the diffusion of innovation curve are as follows: Innovators, Early Adopters, Early Majority, Late Majority, and Laggards.

Jim, who bought the iPhone 12 almost a year after its release when there were good deals offered, can be classified as an Early Adopter. Early Adopters are individuals who adopt a new product or technology relatively early in its lifecycle but after the Innovators. They tend to be opinion leaders and are often influential in shaping the opinions and behaviors of others.

Early Adopters are motivated to adopt new innovations to gain a competitive advantage, be seen as trendsetters, or enjoy the benefits of the product. They are willing to take some risk and are more likely to adopt a new product once they perceive it as being widely accepted and beneficial.

Therefore, based on Jim's behavior of purchasing the iPhone 12 after it had been on the market for some time but when good deals were available, he falls into the category of Early Adopters in the diffusion of innovation curve.

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The following information are available on December 31, 2020:
Cash 300,000
Account receivable 160,000
Inventories 150,000
Prepaid rent 48,000
Property, plant, and equipment, net 900,000
Accounts payable 300,000
Notes payable, due in nine months 160,000
Loan payable, due in 2025 400,000
Service income 1,000,000
Operating expense 580,000

Instructions: Type the numerical answer 1, 2, 3. or 4 in the box after the question.
A. At what amount shall the total assets be reported in balance sheet? Blank 1
1) 1,558,000
2) 658,000
3) 860,000
4) 420,000

B. At what amount shall the total liabilities be reported in balance sheet? Blank 2
1) 1,558,000
2) 658,000
3) 860,000
4) 420,000

Answers

A. The total assets shall be reported as 1,558,000 in the balance sheet (Answer 1).

B. The total liabilities shall be reported as 658,000 in the balance sheet (Answer 2).

To determine the total assets, we add up all the asset categories: cash ($300,000), accounts receivable ($160,000), inventories ($150,000), prepaid rent ($48,000), and property, plant, and equipment, net ($900,000). The total is $1,558,000 (Answer 1).

To determine the total liabilities, we consider the accounts payable ($300,000), notes payable due in nine months ($160,000), and loan payable due in 2025 ($400,000). The total is $658,000 (Answer 2).

The remaining information provided, such as service income and operating expenses, are not relevant to calculating the total assets and liabilities.

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Let (inverse) demand be Pb = 93 - 6 Qb and (inverse) supply be Pv = 29 + 2 Qv. Consider the shift in demand illustrated (the intercept of Pb moves by 14 ), which of the following is the most likely cause of the shift depicted: (1) A decrease in consumer income if the good is NORMAL; (2) A decrease in consumer income if the good is INFERIOR; (3) A decrease in the price of a substitute to the good; (4) An increase in the price of a complement to the good; (5) All of the above.

Answers

option (1) A decrease in consumer income if the good is NORMAL is the most likely cause of the shift depicted

The most likely cause of the shift depicted is an increase in consumer income if the good is normal. A shift in demand for a good happens due to a change in one or more determinants of demand, and it is indicated by the entire demand curve moving to a new position. The demand schedule represents a table that lists how much of a good people are willing and able to buy at different prices, while the demand curve is a graphical representation of the demand schedule, and it is downward-sloping. The determinants of demand include income, tastes and preferences, expectations, prices of related goods, and the number of consumers. An increase in consumer income, if the good is normal, causes an upward shift of the demand curve to the right because consumers have more disposable income to spend, and they are willing and able to purchase more of the good at each price. .The inverse demand function is Pb = 93 - 6 Qb, where Pb represents the price of the good, and Qb represents the quantity of the good demanded. The inverse supply function is Pv = 29 + 2 Qv, where Pv represents the price of the good, and Qv represents the quantity of the good supplied. Inverse functions can be used to find the equilibrium price and quantity by setting them equal to each other.  Therefore, the equilibrium price and quantity are found by solving

- 6 Qb = 29 + 2 Qv for Qb and Pv.

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What has occurred when one company arranges to buy a foreign currency sometime in the future, at an exchange rate quoted today? O a The company has entered a forward contract. None of the above O c. The currency has been devalued. O d. The company has purchased a foreign currency option. O b. Quiz 1 Fi stion 3 at red out of estion e What is the intrinsic value of a foreign currency option? a. The chance that a currency will rise over time to make the option in the money O b. The gain that could be realized if the option was exercised immediately Oc. The difference between the spot rate and the strike price O d. The difference between a call option and a put option Next page Jestion 4 "yot vered ed out of question Time left 1:25:59 Under U.S. GAAP, which of the following conditions must be met to qualify for hedge accounting? a. There must be formal documentation of the hedging relationship. The hedge must be effective. O c. All of the above must be met in order to qualify for hedge accounting. Od. A derivative must be used specifically to hedge fair value exposure or cash flow exposure. O b. Quiz navigat 1 3 Finish atterns 1 ved of on The number of Japanese yen () required today to buy one U.S. dollar ($) today is called: Oa the spot rate. O b. the retail rate. C. the exact rate. d. the forward rate.

Answers

When one company arranges to buy a foreign currency sometime in the future, at an exchange rate quoted today, it has entered a forward contract.

Hence, option A is the correct answer.The intrinsic value of a foreign currency option is the gain that could be realized if the option was exercised immediately.

Hence, option B is the correct answer.The condition that must be met to qualify for hedge accounting under U.S. GAAP is that there must be formal documentation of the hedging relationship, and the hedge must be effective. Hence, option B is the correct answer.

The number of Japanese yen (¥) required today to buy one U.S. dollar ($) today is called the spot rate. Hence, option A is the correct answer.

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What was the average growth rate in China from 1989 to 2014?
Group of answer choices
A) Around 20%
B) Around 2%
C) Around 9%
D) Around 30%

Answers

The average growth rate in China from 1989 to 2014 was around 9%.

In the late 1970s and early 1980s, the Chinese government introduced a series of economic reforms that liberalized the country's economy and allowed for greater private enterprise and foreign investment. These reforms helped to spur rapid economic growth in China that has continued to this day.

During the period from 1989 to 2014, China experienced significant economic growth, with an average annual GDP growth rate of around 9%. This growth was largely driven by industrialization and export-oriented policies, as China became a major global manufacturing hub. China's GDP growth rate fluctuated during this time period, with a peak of around 15% in the early 1990s and a low of around 6% in the aftermath of the global financial crisis of 2008.

China's economic growth has slowed somewhat in recent years, as the country has shifted away from export-oriented policies and towards a more domestic consumption-driven model of growth. Nonetheless, China remains one of the world's fastest-growing economies and an important driver of global economic growth.

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A market structure in which the decisions of individual buyers and sellers have no effect on market price is: A. monopoly B. monopolistic competition C. perfect competition D. oligopoly

Answers

Option C. Perfect competition. In perfect competition, the market structure does not depend on the decisions of individual buyers and sellers, since the market price is predetermined by supply and demand forces.

Market structure refers to the characteristics of a market that determine how trading is carried out. A market structure is considered to be perfect when there is no single buyer or seller that can influence the market price. In perfect competition, the decisions of individual buyers and sellers have no effect on market price.

A. Monopoly: A monopoly is a type of market structure in which a single seller or provider controls the entire market for a particular product or service. A monopoly has the ability to set prices as it is the only supplier in the market.

B. Monopolistic competition: A monopolistic competition is a type of market structure where there are many buyers and sellers selling products that are slightly different from each other. Here, the actions of individual buyers and sellers can have an impact on the market price.

C. Perfect competition: Perfect competition is a market structure where the actions of individual buyers and sellers have no effect on the market price. The market is characterized by many buyers and sellers dealing with identical products.

D. Oligopoly: Oligopoly is a market structure in which a small number of firms dominate the market. These firms have the power to influence market price by colluding or engaging in anti-competitive behavior.In conclusion, the correct answer is option C. perfect competition.

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In the above figure, LAC is the average cost curve and LMC is the marginal cost curve. If this monopolist were regulated and allowed to earn only zero economic profits, it would produce

Group of answer choices

at Q1 output rate and charge A.

at Q2 output rate and charge C.

at Q3 output rate and charge F.

the monopolist would shut down

Answers

The given figure illustrates the long-run average cost curve LAC and the long-run marginal cost curve LMC. In this case, the monopolist is regulated and permitted to earn only zero economic profits.

The monopolist would produce at Q2 output rate and charge C.There are a few reasons why the monopolist would produce at Q2 output rate and charge C. To begin with, when a monopolist is regulated, it is not permitted to earn economic profits. In other words, the monopolist will only produce output at the point where price intersects with the average total cost (ATC) curve. The reason behind it is that the long-run price (P) will be equal to the long-run marginal cost (LMC) of producing the commodity. This is because the LAC and LMC curves will have a point of intersection with each other.  Furthermore, the Q2 output rate and charge C are set such that there are no economic profits made. The marginal cost curve, on the other hand, intersects the average total cost curve (ATC) at its minimum point. This is why Q2 is chosen instead of Q1 or Q3, as it is the point of intersection between LMC and LAC curves, where the average total cost is minimized, and thus the regulated price will be minimum. Therefore, it can be concluded that the monopolist would produce at Q2 output rate and charge C.

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Loans typically come with restrictions on the borrower called ____________ which are intended to protect the lender
2. According to SIFMA's Capital Markets Factbook, what percentage of the money raised by US corporations in 2020 in capital markets came from bond issuance? ​[Hint: No need to go to the factbook. Check the readings at the very top of the Bonds subsection]
Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer.
a. 5%
b. 9%
c. 50%
d. 77%
e. 85%
3. According to the podcast episode linked in the readings, the first government bonds ever issued were by the Venetian government and were called the
____________

Answers

Loans typically come with restrictions on the borrower called covenants which are intended to protect the lender. Covenants are agreed between the borrower and the lender as part of the loan documentation to outline the terms of the agreement and the responsibilities of each party.

These agreements are necessary to protect the lender by setting terms to ensure that the borrower meets their repayment obligations. The restrictions can include limiting the company’s ability to take on new debt, limitations on how much the company can spend on capital expenditures or dividends, or requirements to maintain specific financial ratios.

The answer to the second question is e. 85%. According to SIFMA's Capital Markets Factbook, 85% of the money raised by US corporations in 2020 in capital markets came from bond issuance. This makes bonds a significant source of funding for corporations.

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Calculation of goodwill - Super Profit Method ). A partnership firm earned net profits during the last four years as under :- Year Profits ($) 1 20,000 11 15,000 III 25,000 IV 10,000 The capital investment in the firm throughout the above mentioned period has been $1,00,000. Having regard to the risk involved, 15% is considered to be a fair return on the capital invested.

Answers

Goodwill= Super Profits x Number of Years Purchase Goodwill is therefore worth $10,000.

Calculation of Goodwill - Super Profit Method is as follows: Given, Net Profits of the Partnership Firm are: Year Profits ($) 120,000 215,000 325,000 410,000 Average Profits= (20,000+15,000+25,000+10,000)/4= 17,500Normal Profits= Total Capital x Normal Rate of Return= $1,00,000 x 15/100= $15,000Super Profits= Average Profits - Normal Profits= $17,500 - $15,000= $2,500 Goodwill= Super Profits x Number of Years Purchase= $2,500 x 4= $10,000 Therefore, the value of Goodwill is $10,000.

Goodwill, in the context of business and accounting, refers to the intangible value or reputation that a company enjoys due to factors such as customer loyalty, brand recognition, strong customer relationships, favorable market positioning, and overall positive business attributes. It represents the value of the company's intangible assets that cannot be separately identified or quantified.

Goodwill arises when a company is acquired for a price higher than the fair value of its identifiable net assets (assets minus liabilities). It reflects the premium paid for the company's reputation, customer base, intellectual property, and other intangible factors that contribute to its future earnings potential.

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