Given the following table, how would you characterize the performance of the #2 diesel fuel commodity team?
Mediocre job (will likely keep job but no bonus) O Good job (can keep Job/potential bonus) Terrible job (deserves to get fired) Fantastic job (deserves a bonus)

Answers

Answer 1

It is difficult to determine the exact performance of the #2 diesel fuel commodity team. However, if we assume that the table includes performance metrics for the team, we can make an assessment.

If the team's performance is average or slightly below average, we could say they did a mediocre job and will likely keep their job but may not receive a bonus. If the team's performance is consistently strong, they may have done a good job and can keep their job with the potential for a bonus. If the team's performance is consistently poor, they may have done a terrible job and deserve to get fired.

On the other hand, if the team's performance is exceptional and exceeds expectations, they may have done a fantastic job and deserve a bonus.

Overall, without specific performance metrics, it is difficult to give a clear characterization of the #2 diesel fuel commodity team's performance.

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Related Questions

you invest 1500 in an account at interest rate r, compounded continously. find the time required for the amount to double

Answers

The time required for the amount to double is t = ln(2) / r, where r is the interest rate.

To find the time required for the amount to double, we can use the continuous compounding formula:
A = Pe
Where A is the final amount, P is the initial investment, e is Euler's number (approximately 2.71828), r is the interest rate, and t is the time in years.
We know that we want the initial investment of $1500 to double, which means the final amount A will be $3000. We also know that the interest rate is r and the investment is compounded continuously. Substituting these values into the formula, we get:
3000 = 1500e
Dividing both sides by 1500, we get:
2 = e
Taking the natural logarithm of both sides, we get:
ln(2) = rt
Solving for t, we get:
t = ln(2) / r

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How much will the coupon payments be of a 10-year $1,000 bond with a 6.5% coupon rate and quarterly payments? O A. $5.42 B. $16.25 C. $32.50 D. $65.00

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The coupon payments for a 10-year $1,000 bond with a 6.5% coupon rate and quarterly payments can be calculated as follows:

Coupon Rate: 6.5% per annum

Face Value of Bond: $1,000

Coupon Payment Frequency: Quarterly (4 times a year)

To calculate the quarterly coupon payment, we can divide the annual coupon payment by 4, since there are 4 quarters in a year:

Annual Coupon Payment = Face Value of Bond x Coupon Rate

= $1,000 x 6.5%

= $65

Quarterly Coupon Payment = Annual Coupon Payment / 4

= $65 / 4

= $16.25

So, the correct answer is B. $16.25, which represents the quarterly coupon payment for the bond.

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if an international firm borrows money in the foreign country where it has operations it can reduce . multiple choice question. short-run exchange rate exposure triangle arbitrage long-run exchange rate exposure cross-rate exposure

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If an international firm borrows money in a foreign country where it has operations it can reduce long-run exchange rate exposure. option (C) is correct.

An organization can stay away from forex openness by just working in its homegrown market and executing in neighborhood money. If not, it should endeavor to coordinate unfamiliar money receipts with surges and incorporate insurance into business contracts.

Unfamiliar trade risk is the opportunity that an organization will lose cash on the global exchange due to money changes. Otherwise called money risk, FX hazard, and conversion scale risk, it portrays the likelihood that a venture's worth might diminish because of changes in the general worth of the elaborate monetary standards.

Therefore, option (C) is correct.

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This question is not complete, Here I am attaching the complete question:

If an international firm borrows money in the foreign country where it has operations it can reduce . multiple choice question.

(A) short-run exchange rate

(B) exposure triangle arbitrage

(C) long-run exchange rate

(D) exposure cross-rate exposure

Gains and losses do not directly affect cash flows in the case of translation exposure, but cash flows can be significantly affected by transaction exposure.
Group of answer choices
True
False

Answers

False. In the case of translation exposure, gains and losses resulting from changes in exchange rates can directly impact cash flows.

Translation exposure refers to the risk faced by a company that has operations in foreign currencies, where the value of its assets, liabilities, and equity denominated in foreign currencies may fluctuate due to changes in exchange rates.

When a company translates its financial statements from a foreign currency to its reporting currency, gains or losses may arise due to the differences in exchange rates. These gains or losses can impact the company's cash flows if they result in changes to the value of cash, cash equivalents, or other monetary assets or liabilities denominated in foreign currencies. For example, if a company has significant cash balances or receivables/payables denominated in a foreign currency, gains or losses on translation can affect the company's cash flows directly. Therefore, gains and losses from translation exposure can have a direct impact on cash flows, contrary to the statement mentioned in the question.

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Davidson Enterprises purchases a car costing $23,000 on January 1, 2010. What is the amount of depreciation that is taken in the first year of operation using the MACRS method? A) $5,000 B) $4,600 C) $4,500 D) $4,000

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MACRS (Modified Accelerated Cost Recovery System) is a method used to calculate depreciation for tax purposes.The answer is C) $4,500.

For a car with a 5-year recovery period, the MACRS depreciation rates are 20% for the first year, 32% for the second year, 19.20% for the third year, 11.52% for the fourth year, and 11.52% for the fifth year. Using these rates, the depreciation for the first year of operation would be $23,000 x 20% = $4,600.

However, there is also a "half-year convention" rule that assumes the asset was purchased in the middle of the year. Therefore, the depreciation for the first year is half of the full-year depreciation, which is $4,600/2 = $2,300. This amount is then multiplied by 2 to get the total depreciation for the first year, which is $2,300 x 2 = $4,500.

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If the city is taxing property at the maximum rate allowed and then the assessed valuation of the property in the city increases , which of the following can be expected to happen if the state does not allow an increase in the property tax levy?A. property tax rate increaseB. the property tax levy increasesC. coefficients of dispersion increaseD. property tax rate decrease

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If the state does not allow an increase in the property tax levy, and the assessed valuation of the property in the city increases, then the property tax rate would have to decrease in order to maintain the maximum rate allowed by the state.

The correct answer is D.

In general ,The assessed valuation of the property has increased, so the city can collect the same amount of revenue with a lower tax rate. This means that property owners would pay less in property taxes, but the city would still collect the same amount of revenue as before the assessed valuation increase.

Also, Coefficients of dispassionate not directly related to this scenario, so (C) is not the correct answer. The property tax levy cannot increase if the state does not allow it, so (B) are not related options .

Hence , D is the correct option

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the graph above represents a(n): decreasing-cost industry: firms may be paying lower prices for their inputs when the industry expands increasing-cost industry: firms may be paying higher prices for their inputs when the industry expands constant-cost industry: prices of the inputs stay the same, and other production costs are constant as the industry expands competitive industry with diseconomies of scale: the short-run supply curves are upward-sloping

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Long-term manufacturing costs fall in a sector with declining costs. As a result, the supply curve in the industry with falling costs slopes downward.

An industry with increasing costs sees an increase in production costs as the market grows.

In an industry with constant costs, other production costs also remain constant even when input costs rise.

A cost is the amount of money that has been expended to produce an item or provide a service and is therefore no longer available for use in manufacturing, research, retail, or accounting. In the world of business, the cost can be one of acquisition, in which case the sum of money spent on getting it is considered the cost.

The input used to obtain the thing in this instance is money. This acquisition cost may include both additional transactional costs incurred by the acquirer above and above the price given to the producer, as well as the cost of production as borne by the original producer. A markup for profit over the cost of production is typically included in the pricing.

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The part of the return you obtain from a bond investment that is derived from buying the bond at a certain price and selling it a year later at a different price is defined as...
a.) Yield To Maturity
b.) Current Yield
c.) Capital Gains Yield
d.) Yield To Call
e.) Dividend Yield

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The part of the return you obtain from a bond investment that is derived from buying the bond at a certain price and selling it a year later at a different price is defined as Capital Gains Yield.(C)

Capital gains yield represents the return on a bond investment that comes from the change in the bond's market price over a given period. When you buy a bond at one price and sell it later at a higher price, the difference in price generates a capital gain.

This gain is the capital gains yield. The other terms mentioned, such as yield to maturity, current yield, yield to call, and dividend yield, are related to different aspects of bond investments or returns from stocks, and do not specifically refer to the change in bond prices over time.(C)

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Work teams can take a variety of forms. One of the key ways to distinguish between different types of teams is to consider their level of autonomy.
Compare and then rank the following types of teams by selecting the relative level of autonomy.
Self-managing team
Moderate autonomy

Answers

The relative level of autonomy for the following types of teams, ranked from highest to lowest, is: 1. Self-managing team 2. Moderate autonomy team.

1. Self-managing teams have the highest level of autonomy as they can set their own goals, plan and schedule their work, and make decisions independently. They are responsible for monitoring their performance and making improvements without direct supervision.

2. Moderate autonomy teams have a lower level of autonomy compared to self-managing teams. They may have some freedom in planning and decision-making, but they still report to and receive guidance from a manager or supervisor.

They may have more autonomy in specific tasks or projects, but overall control and direction remain with higher-ups.

In summary, self-managing teams enjoy the highest level of autonomy, allowing them to take full control of their work, while moderate autonomy teams operate under more supervision and guidance from managers or supervisors.

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A corporation issues 50,000 bonds at $1,000 each. The bonds mature in 5 years and have a coupon rate of 7 percent. What will the annual interest expense be for the corporation? Click the answer you think is right. a. $175 million b. $350 million c. $17.5 million d. $350,000
d. $3.5 million

Answers

The annual interest expense be for the corporation is d. $3.5 million.

The annual interest expense for the corporation can be calculated using the formula:
A interest expense = Coupon rate x Face value of bonds
Coupon rate = 7% (given)
Face value of bonds = $1,000 (given)
Total number of bonds issued = 50,000 (given)
So, the total face value of bonds issued = $1,000 x 50,000 = $50,000,000
Therefore, the annual interest expense = 7% x $50,000,000 = $3,500,000 or 3.5 million (option d)

The coupon rate, or coupon payment, is the nominal yield the bond is stated to pay on its issue date. This yield changes as the value of the bond changes, thus giving the bond's yield to maturity (YTM).

A bond's coupon rate can be calculated by dividing the sum of the security's annual coupon payments and dividing them by the bond's par value. For example, a bond issued with a face value of $1,000 that pays a $25 coupon semiannually has a coupon rate of 5%. All else held equal, bonds with higher coupon rates are more desirable for investors than those with lower coupon rates.

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How do you determine your cost of debt?A. Your lender can tell you what your current borrowing costs areB. Multiply your current ratio by your credit rating and add the risk free rateC. Multiply your cost of equity by 1minus the tax rateD. Subtract your cost of equity from your WaccE. None of the above

Answers

To determine your cost of debt,  Your lender can tell you what your current borrowing costs are. The correct option is a.

This is because the cost of debt is the effective interest rate a company pays on its debts, and your lender will have the most accurate information on your interest rates and borrowing costs.

The cost of debt is the effective interest rate a company pays on its debt financing. It is a key component of a company's overall cost of capital, which is the average rate of return required by a company's investors for providing capital to the company.

It may also be calculated using financial ratios, such as the company's interest coverage ratio or the yield-to-maturity on existing debt, among other methods. It is important for companies to accurately determine their cost of debt as it is a crucial input in various financial and investment decision-making processes.

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flask company reports net sales of $3,570 million; cost of goods sold of $3,210 million; net income of $640 million; and average total assets of $3,050 million. compute its total asset turnover. multiple choice 0.95. 1.17. 0.85. 1.05. 1.11.

Answers

Flask Company has a Total Asset Turnover of 1.17, which means that it generates $1.17 in sales for every $1 of assets it holds. (option b).

Let's take the example of Flask Company, which has reported its net sales, cost of goods sold, net income, and average total assets. We can use this information to calculate the Total Asset Turnover of the company.

The formula to calculate Total Asset Turnover is:

Total Asset Turnover = Net Sales / Average Total Assets

Using the values provided by Flask Company, we can calculate its Total Asset Turnover as follows:

Total Asset Turnover = Net Sales / Average Total Assets

Total Asset Turnover = $3,570 million / $3,050 million

Total Asset Turnover = 1.17

Therefore, option (b) is right one.

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hospitality represents a more subtle approach to consultation because it involves helping customers to understand their situations better. true false

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The given statement: hospitality represents a more subtle approach to consultation because it involves helping customers to understand their situations better is TRUE.

Hospitality is a customer-focused approach that involves creating a welcoming and supportive environment for customers, often in the context of service industries such as hotels, restaurants, and tourism.

In the context of consultation, hospitality involves taking a subtle approach to assisting customers by helping them understand their situations better. This might involve providing information, guidance, or advice in a non-intrusive way that puts the customer at ease and encourages them to engage with the consultant.

By fostering a sense of trust and understanding, hospitality can help build a positive relationship between the consultant and the customer, leading to better outcomes for both parties.

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the term explaining the relatively large increase in the number of female-headed households with children living in poverty is known as the ______.

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The term explaining the relatively large increase in the number of female-headed households with children living in poverty is known as the "feminization of poverty."

This refers to the phenomenon where poverty disproportionately affects women, particularly those who are heads of households. The feminization of poverty is often attributed to systemic issues such as the gender wage gap, a lack of affordable childcare, and limited access to educational and job opportunities.

As a result, women are more likely to be living in poverty than men, and those who are heads of households face additional challenges in providing for their families. The feminization of poverty is a complex issue that requires attention and action to address its root causes.

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You are handling a flood claim in Houston, Texas. Your Policyholder has a flood policy on his home. The replacement cost of his dwelling is $230,000. The flood related damages to the dwelling are valued at $220,000. The replacement cost of the damaged contents on his claim is $85,000. The actual cash value of the damaged contents is $63,000. How much will you pay him for his damaged contents? Do not consider a deductible.

Answers

Since the policyholder has a flood policy on his home, you will pay him the actual cash value of the damaged contents. Therefore, you will pay him $63,000 for his damaged contents. There is no need to consider a deductible in this case.

Based on the information provided, the policyholder's damaged contents have a replacement cost of $85,000 and an actual cash value of $63,000.

Since the policyholder has a flood policy, they should be able to file a claim for the damaged contents. The insurance company should pay the policyholder the actual cash value of the damaged contents, which is $63,000.

The replacement cost of the contents may be relevant if the policyholder decides to replace the damaged items and submits receipts for reimbursement, but it does not affect the initial payout for the damaged contents claim.

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Income is necessary in order to afford monthly bills and save for the future. what is the best way to consistently earn income?

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There are several ways to consistently earn income, depending on an individual's skills, interests, and circumstances. Here are some common methods:

Employment: One of the most traditional ways to earn an income is through regular employment. This may involve working as an employee for a company or organization, where an individual is paid a regular salary or wages in exchange for their labor or services.Entrepreneurship: Starting and running a business can be another way to earn an income consistently. This may involve creating and selling products or services, and managing the operations and finances of a business. Entrepreneurship requires planning, resource management, and dedication, but it can provide opportunities for financial success and independence.Freelancing or Consulting: Providing specialized services or skills on a contract basis can be another way to earn an income consistently. Freelancing or consulting allows individuals to work independently and offer their services to multiple clients, either remotely or in person.Investments: Investing in various financial instruments, such as stocks, bonds, real estate, or other assets, can generate income through dividends, interest, rent, or capital gains. Investments generally require knowledge, research, and risk management, but they can provide passive income over time.Rental Properties: Owning and renting out properties, such as apartments, houses, or commercial spaces, can be a source of consistent income through rental payments. However, owning and managing rental properties involves responsibilities such as property maintenance, tenant management, and legal compliance.Online Platforms: With the advent of the internet, there are numerous online platforms that offer opportunities to earn an income consistently. These may include freelance marketplaces, e-commerce platforms, content creation platforms, and online tutoring or coaching platforms.Education and Career Development: Continuously improving skills, acquiring relevant education or certifications, and advancing in one's career can lead to higher-paying job opportunities, promotions, and salary increases, resulting in consistent income growth over time.

It's important to note that the best way to consistently earn income may vary for each individual's skills and depend on their unique circumstances, skills, and goals. It's recommended to carefully consider one's financial situation, interests, and long-term plans when determining the most appropriate approach to earning income consistently. Consulting with a financial advisor or career counselor may also be helpful in making informed decisions.

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Using Table 3.6, calculate the marginal and average tax rates for a single taxpayer with the following incomes: (Do not round intermediate calculations. Round your answers to 1 decimal place.)income Marginal Tax Rate Average Tax Ratea $27,000 _____________% _____________%b $64,000 _____________% _____________%c $314,000 _____________% _____________%d $4,400,000 _____________% _____________%

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Using Table 3.6, we can calculate the marginal and average tax rates for a single taxpayer with the following incomes:
a) For an income of $27,000, the marginal tax rate is 12% and the average tax rate is 8.2%.

b) For an income of $64,000, the marginal tax rate is 22% and the average tax rate is 14.8%. c) For an income of $314,000, the marginal tax rate is 35% and the average tax rate is 25.3%. d) For an income of $4,400,000, the marginal tax rate is 37% and the average tax rate is 30.6%. Note: Table 3.6 contains the tax brackets and rates for the 2021 tax year. The marginal tax rate is the tax rate applied to the last dollar earned, while the average tax rate is the total tax paid divided by the total income earned.

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Cigarettes have a long history of being used as money in prisons. however, far fewer people smoke now than used to. this has diminished the ability of cigarettes to perform which function of money?

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The diminished ability of cigarettes to perform the function of money in prisons due to fewer people smoking now is related to the function of money as a store of value. As cigarettes have a limited shelf life, their value as a store of value decreases when fewer people smoke and demand decreases.

Money serves three functions: a medium of exchange, a unit of account, and a store of value. In prisons, cigarettes have traditionally been used as a medium of exchange, allowing prisoners to trade them for goods and services.

However, as fewer people smoke now, the demand for cigarettes has decreased, which reduces their value as a store of value. Cigarettes have a limited shelf life, and as their value decreases over time, they become less effective as a means of storing value. This diminishes their ability to perform the function of money in prisons.

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to which of the problems in the construction of the cpi is the invention of a new product most relevant? a. substitution bias b. income bias c. unmeasured quality improvement d. excluding new goods

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The problem in the construction of CPI (Consumer Price Index) that is most relevant to the invention of a new product is unmeasured quality improvement. The correct option c) unmeasured quality improvement.

This problem arises because the CPI fails to account for the improvements in the quality of goods and services that occur over time. The CPI measures the change in the prices of goods and services, but it does not take into account the changes in the quality of these goods and services.

When a new product is invented, it is likely to have better quality than the existing products in the market. This improvement in quality is not reflected in the CPI, which only looks at the prices of goods and services. Therefore, the invention of a new product can lead to a bias in the CPI, as it fails to capture the full extent of the quality improvement.

The CPI is an important economic indicator, as it is used to measure inflation and is used by policymakers to make important economic decisions. If the CPI does not accurately reflect the changes in the quality of goods and services, then policymakers may make incorrect decisions.

For example, if the CPI shows a decrease in the price of a product, policymakers may assume that inflation is low, when in fact, the quality of the product has improved, and the price decrease may not be a true reflection of inflation.

Therefore, it is important to take into account the changes in the quality of goods and services when constructing the CPI. This can be done by using quality-adjusted price indices, which take into account the changes in the quality of goods and services. By doing so, the CPI can be more accurate and provide a better measure of inflation.

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you are the curator of a museum. it is running short of funds, so you decide to increase revenue. what should you do to increase revenue if the price elasticity of demand is 0.98? lower the admission price nothing, revenue is maximized at current admission price raise the admission price

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If the price elasticity of demand for the museum is 0.98, it means that a 1% increase in the admission price would lead to a 0.98% decrease in the quantity of tickets sold.

The museum curator might think about reducing the entrance fee to raise cash. This is due to the fact that demand for museum tickets is fairly elastic, which means even tiny price changes can have a big impact on how many tickets are sold.

Depending on how much the increase in quantity sold overcomes the decrease in price, the museum may be able to boost attendance and revenue by lowering the entry fee.

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The unemployment rate has risen and the price level and real gdp have fallen. what are four possible actions the federal reserve has taken to cause this?

Answers

The possible actions the federal reserve takes will be money supply reduction, interest rate increase, exchange rates and market operations.

The four possible actions the federal reserve has taken for price level and real GDP are -

Money supply reduction - By selling Treasury bonds or increasing the minimum reserves needed by banks, the Federal Reserve may have decreased the amount of money in circulation. This might result in a reduction in bank lending as well as a reduction in consumer and company expenditure and investment, which would lower prices and real GDP.Interest rate increase - The cost of borrowing money for investment purposes by firms and individuals may have increased as a result of the Federal Reserve raising interest rates. As a result, expenditure and investment may decline, which would lower real GDP and the level of prices. Exchange rate appreciation - It's possible that the Federal Reserve's activities raised value of the dollar relative to other currencies. This would increase cost of American goods for international consumers, lower exports, and result in a decline in real GDP. A stronger currency may cause prices to decline as imported items become less expensive.Open market operation - The money supply might have been reduced and interest rates could have risen if the Federal Reserve had sold government assets on the open market. This may result in less spending and investment, which would lower real GDP and prices.

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the competitive set report in a monthly star report shows what information? 18 months of monthly data and 2 years of ytd, running 3-month, and running 12-month data 12 months of monthly data and 3 years of ytd, running 3-month, and running 12-month data 12 months of monthly data and 2 years of ytd, running 3-month, and running 12-month data 18 months of monthly data and 3 years of ytd, running 3-month, and running 12-month data

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The competitive set report helps hoteliers understand their performance relative to their competitors and identify areas for improvement to remain competitive in the market.

The competitive set report in a monthly star report typically shows 12 months of monthly data and 2 years of year-to-date (YTD), running 3-month, and running 12-month data.

This report compares the performance of a hotel with its competitive set, which consists of a group of similar hotels in the same market. The report provides data on key performance indicators (KPIs) such as occupancy rate, average daily rate (ADR), and revenue per available room (RevPAR) for both the hotel and its competitive set.

The 12 months of monthly data provide a detailed view of the hotel's performance over the past year, while the 2 years of YTD data give a broader perspective on performance trends. The running 3-month and running 12-month data provide insights into the hotel's recent performance and its longer-term trends, respectively.

Overall, the competitive set report helps hoteliers understand their performance relative to their competitors and identify areas for improvement to remain competitive in the market.

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Question 18 On December 31, 2020, the stockholders' equity section of Coronado Industries, was as follows: Common stock, par value $10; authorized 40000 shares; issued and outstanding 12000 shares $ 120000 Additional paid-in capital 114000 Retained earnings 189000 Total stockholders' equity $423000 On March 31, 2021, Coronado declared a 10% stock dividend, and accordingly 1200 additional shares were issued, when the fair value of the stock was $16 per share. For the three months ended March 31, 2021, Coronado sustained a net loss of $42000. The balance of Coronado's retained earnings as of March 31, 2021, should be $139800. $127800. $135000. $147000.

Answers

The balance of Coronado's retained earnings as of March 31, 2021 should be $127,800.

This is because the 10% stock dividend resulted in the issuance of 1,200 additional shares (12000 x 10% = 1200), increasing the total outstanding shares to 13,200 (12000 + 1200). The total value of the dividend is 1200 x $16 = $19,200, which is recorded in the stock dividend account.

The net loss of $42,000 is subtracted from the retained earnings balance of $189,000, resulting in a balance of $147,000. However, the stock dividend account is credited for the fair value of the shares issued, which is $19,200. Therefore, the final balance of retained earnings is $147,000 - $19,200 = $127,800.

In summary, Coronado's retained earnings balance as of March 31, 2021 is reduced by the net loss and the fair value of the stock dividend. The net loss is subtracted directly from the retained earnings balance, while the fair value of the stock dividend is credited to the stock dividend account.

The final balance of retained earnings is then calculated by subtracting the stock dividend account balance from the retained earnings balance.

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Barbara Lynch is the product manager for a line of skiwear produced by Heathco Industries and privately branded for sale under several different names, including Northern Slopes and Jacque Monri. A new part of Ms. Lynch's job is to provide a gerly forecast of sales for the northern United States, a region composed of 27 states stretching from Maine to Washington.

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Barbara Lynch, as the product manager for a line of skiwear produced by Heathco Industries, is responsible for providing a yearly sales forecast for the northern region of the United States. This region is composed of 27 states that stretch from Maine to Washington.

A sales forecast is an estimate of how much product is expected to be sold during a specific period.

To create an accurate sales forecast, Ms. Lynch needs to analyze past sales data, market trends, and consumer behavior. She also needs to consider external factors such as weather conditions and economic trends that may impact sales. For example, if the upcoming winter is predicted to be colder than usual, there may be an increase in demand for skiwear.

Ms. Lynch will likely use a combination of quantitative and qualitative methods to create the sales forecast. Quantitative methods involve using statistical data to predict future sales, while qualitative methods involve analyzing market trends, consumer behavior, and other non-numerical factors to make predictions.

Once the sales forecast is complete, Ms. Lynch can use it to inform production planning, inventory management, and marketing strategies. By accurately predicting sales, she can ensure that the right amount of product is produced and marketed in the right regions at the right time, leading to increased sales and revenue for Heathco Industries.

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adding capacity to bottleneck might shift the bottleneck. true or false?

Answers

True. Adding capacity to a bottleneck may shift the bottleneck to another part of the process or system, as the flow of work or materials adjusts to the increased capacity.

This is why it's important to carefully analyze and plan any changes to capacity in order to optimize the entire system.
 adding capacity to a bottleneck might shift the bottleneck. By increasing capacity at the bottleneck point, you may alleviate the constraint, but it could potentially create a new bottleneck elsewhere in the system.

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As a hiring manager, you can use several criteria to predict the success of various applicants. you choose____to predict future performance.Because Newman Enterprises is a large company, employees' home addresses, performance appraisal ratings, and emergency contacts are maintained in the company's_____. This software makes data entry tracking, and analyzing easier Imagine that your firm has made a commitment to increasing the diversity represented at higher levels of the organization. What can you do to forecast which positions could be staffed with minorities? a. Forecast internal poly b. Create a replacement chart c. Assess the external labor market d. Conduct a job analysis

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As a hiring manager, you can use several criteria to predict the success of various applicants. you choose Forecast internal poly to predict future performance.Because Newman Enterprises is a large company, employees' home addresses, performance appraisal ratings, and emergency contacts are maintained in the company's to Conduct a job analysis. Option a, d is Correct.

Minorities. Affirmative action refers to four ethnic minority groups when it uses the phrase "minorities," including American Indians or Alaskan Natives, Asians, Blacks, Hispanics, Native Hawaiians, and Other Pacific Islanders. Minorities who are represented feel validated and are free to share their thoughts.

This program facilitates tracking, analyzing, and data entering. Assume that your company has committed to increase the diversity represented at the organization's higher levels. fewer internal conflicts and complaints. increased access to different and new customer markets. higher revenue and increased productivity. a rise in inventiveness.

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Assume that you observe the following prices in the T-Bill and Eurodollar futures markets
T-Bill Eurodollar
September 95.24 94.6
a. If you expected the TED spread to narrow over the next month then an appropriate strategy would be to do what long or short and why?
b. Assume that a month later the price of the September T-Bill future is 96.25 and the price of the Eurodollar future is 95.9. Calculate the profit on the T-Bill futures position.
c. Assume that a month later the price of the September T-Bill future is 96.25 and the price of the Eurodollar future is 95.9. Calculate the profit on the Eurodollar futures position.

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Assuming the prices in the T-Bill and Eurodollar future markets, the strategy if you expected the TED spread to narrow over the next month would be to go long on Eurodollar and short on T-Bill.

a. If you expected the TED spread to narrow over the next month, you would want to go long on Eurodollar futures and short on T-Bill futures. This is because the TED spread is the difference between the interest rate on interbank loans (measured by Eurodollar futures) and the risk-free rate (measured by T-Bill futures). If you expect the spread to narrow, it means that the Eurodollar futures prices will increase faster than the T-Bill futures prices.

b. To calculate the profit on the T-Bill futures position, you need to know how many contracts were traded and the size of each contract. Assuming a standard T-Bill futures contract size of $1 million face value, the profit would be:

Profit = (96.25 - 95.24) x $1 million = $1,010,000

c. To calculate the profit on the Eurodollar futures position, you need to know the same information as in part b. Assuming a standard Eurodollar futures contract size of $1 million face value, the profit would be:

Profit = (95.9 - 94.6) x $1 million = $1,300,000

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Embezzlement
The fraudulent conversion of property by a person to whom that property was entrusted.
E.g., bank teller takes deposits, lawyer who steals from trust account.

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Embezzlement is a financial crime where an individual fraudulently converts property or funds that were entrusted to them for their own personal use. This occurs when someone, such as a bank teller or lawyer, takes advantage of their position of trust to steal money or assets from the people they are supposed to serve.


For example, a bank teller might embezzle funds by taking deposits from customers and transferring the money to their own account, rather than depositing it into the customers' accounts as intended. Similarly, a lawyer could embezzle funds by stealing from their client's trust account, which is intended to hold money for the client's legal needs.
In both cases, the individuals are committing embezzlement by abusing their trusted positions and misappropriating funds for their own personal gain.

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State one reason why a business would want to offer a high-quality service

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Answer:

so as to make trust to his contomers and well managed

Happy customers build a better reputation.
Positive reputation leads to higher growth. Reputation goes a long way in a business. It attracts customers, investors, partnerships, and employees.

a(n) refers to an industry dominated by a small number of players. group of answer choices oligopoly monopoly perfect competition free market

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An oligopoly refers to an industry that is dominated by a small number of players, typically two or three large firms.

These firms have significant market power and can influence prices, output, and other market conditions. An oligopoly is characterized by barriers to entry, such as high capital costs or regulatory hurdles, which limit competition from new entrants. In contrast, perfect competition is a market where no single firm has market power and many small firms compete to sell their goods or services.

A monopoly occurs when a single firm dominates an industry and has exclusive control over the supply of a good or service. A free market refers to an economic system where prices are determined by supply and demand without government intervention.

An oligopoly refers to an industry dominated by a small number of players. In an oligopoly, these few firms have significant market power and can influence prices, output, and other market conditions. This contrasts with a monopoly, where one firm controls the entire market, and perfect competition, where there are numerous small firms with no individual market power.

In a free market, businesses operate with minimal government interference, which could allow for the formation of oligopolies if competition is limited.

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