gni per capita can be adjusted by ________ to account for differences in the cost of living.

Answers

Answer 1


GNI per capita, which stands for Gross National Income per capita, is a measure of a country's economic output that takes into account its population size. It is calculated by dividing a country's total GNI by its total population.

However, GNI per capita alone may not be an accurate reflection of a country's standard of living, as it does not account for differences in the cost of living.To adjust GNI per capita for differences in the cost of living, a common method is to use purchasing power parity (PPP).  It calculates the amount of a country's currency needed to purchase the same basket of goods and services that can be purchased with one unit of currency in another country.

By using PPP, we can compare the purchasing power of people's incomes across different countries. For example, if Country A has a higher GNI per capita than Country B, but the cost of living in Country A is also much higher than in Country B, then the PPP-adjusted GNI per capita of Country A may be lower than that of Country B. Overall, adjusting GNI per capita by PPP helps to provide a more accurate picture of a country's standard of living by accounting for differences in the cost of living.

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Related Questions

The Big and Fast company provides the following information about its activities in the year 2016.​

Marketable securities purchased: $45,000​
Treasury stock purchased: $56,000​
Inventory purchased: $412,000​
Land sold: $95,000​
Machinery purchased: $278,000​
Common stock issued: $168,000​


Required: Compute net cash provided/used by investing activities to be reported in the statement of cash flows of Big and Fast company.

Answers

The net cash provided / used by investing activities to be reported in the statement of cash flows of Big and Fast company is $284,000

How did we get that?

Net cash provided/used by investing activities = Cash outflows - Cash inflows

Where

Cash outflows

Marketable securities purchased: $45,000

Treasury stock purchased: $56,000

Machinery purchased: $278,000

Cash inflows

Land sold: $95,000

Thus,

Net Cash Flow  =  $45,000 + $56,000 + $278,000 - $95,000

= $284,000

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Nowadays, many companies have employees working from home with flexible hours. During video calls it is possible to see a lot of typical mistakes that could destroy a company’s professional image. For example, some participants check in long after a meeting has started, and some of them have their video turned off. You might also see messy rooms, open closets, and unmade beds as the background. Some people do not mute their microphones, which can create a terrible cacophony of crying children and barking dogs, disrupting the meeting. Others consider it normal to prepare sandwiches and eat them during meetings with clients, or do not even change their pajamas for shirts.
For this Portfolio Project, you will prepare a brochure on Online Meeting Etiquette. The brochure should contain the following information:
Explain in your own words what Online Meeting Etiquette is and why having it is extremely important while working remotely.

Answers

Online Meeting Etiquette refers to the set of rules and guidelines that employees should follow while participating in virtual meetings.

It is important to have proper etiquette because it can affect a company's professional image, productivity, and overall success. Online meetings are becoming more common in today's workplace as more companies are transitioning to remote work environments. With the rise of virtual meetings, it is essential to establish clear rules and guidelines to ensure that meetings are productive and professional. Having proper online meeting etiquette can help participants to stay focused and engaged in the meeting, which can lead to better communication and collaboration. Participants should be punctual, dress appropriately, and have a clean and professional background. They should also mute their microphones when not speaking to prevent background noise from disrupting the meeting. Eating or drinking during meetings should be avoided unless it is necessary due to medical reasons. Additionally, online meeting etiquette involves being respectful and professional toward all participants. Participants should listen carefully to what others have to say and avoid interrupting them. They should also avoid using offensive language or making inappropriate comments. By following these guidelines, online meetings can be more productive and help employees to stay connected and engaged while working remotely. Overall, having proper online meeting etiquette is essential for maintaining a professional and productive work environment.

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Which of the following is the best investment for a corporation in the 21% tax bracket? A. 4% municipal bond B. 7% corporate bond O C. 6% common stock D. 7% preferred stock

Answers

The best investment option for a corporation in the 21% tax bracket would be the 4% municipal bond (Option A) since it offers tax-exempt returns.

To determine the best investment option for a corporation in the 21% tax bracket, we need to consider the after-tax returns of each investment. Here's the analysis for each option:

A. 4% municipal bond: Municipal bonds are generally exempt from federal income tax. Therefore, the after-tax return would be equal to the stated yield of 4%. This option would be beneficial for a corporation in the 21% tax bracket.

B. 7% corporate bond: Corporate bond interest is subject to federal income tax. The after-tax return would be lower than the stated yield, depending on the corporation's tax rate. Since the corporation is in the 21% tax bracket, the after-tax return would be 7% * (1 - 0.21) = 5.53%.

C. 6% common stock: Common stock dividends are also subject to federal income tax. The after-tax return would be lower than the stated yield, depending on the corporation's tax rate. Since the corporation is in the 21% tax bracket, the after-tax return would be 6% * (1 - 0.21) = 4.74%.

D. 7% preferred stock: Preferred stock dividends are typically taxed at a lower rate than common stock dividends. The after-tax return would be lower than the stated yield but higher than the after-tax return of common stock. However, the exact tax rate on preferred stock dividends depends on various factors and could vary. Without specific information on the tax treatment of the preferred stock dividends, it is difficult to determine the exact after-tax return. The correct option is A.

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What are the most important interactive communication skills needed for a manager to excel in his job and what are the challenges he may face in his managerial position. Write any five interactive communication Skills and five challenges he may face.

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Five important interactive communication skills for a manager are active listening, clear speaking, effective questioning, empathy, and non-verbal communication.

Five challenges a manager may face in their role are managing conflicts, motivating, handling difficult conversations, managing diverse teams, and ensuring effective communication departments.

Communication is the process of exchanging information, ideas, and thoughts between individuals or groups. It plays a vital role in personal and professional interactions. Effective communication involves transmitting messages clearly, accurately, and in a manner that is easily understood by the intended recipients. It encompasses various forms such as verbal, non-verbal, written, and digital communication. Good communication skills include active listening, clarity, empathy, adaptability, and the ability to convey messages concisely.

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A___ document specifies the quantities and storage locations of raw materials and components needed to complete a production order. A) bill of materials (BOM) B) planned order C) goods issue D) production authorization

Answers

The document that specifies the quantities and storage locations of raw materials and components needed to complete a production order is the A) Bill of Materials (BOM)

A bill of materials (BOM) is a document that specifies the quantities and storage locations of raw materials and components required to complete a production order. It serves as a comprehensive inventory list, outlining the necessary items and their respective quantities for the manufacturing process. The BOM typically includes details such as part numbers, descriptions, and sometimes the sequence of assembly.

The BOM is a crucial tool in production planning and control, enabling manufacturers to ensure they have the necessary materials on hand to meet production requirements. It serves as a reference for procurement, allowing for accurate and timely purchasing of materials. Additionally, the storage locations specified in the BOM help with efficient inventory management and warehouse operations.

The document that specifies the quantities and storage locations of raw materials and components needed to complete a production order is known as a bill of materials (BOM). It plays a vital role in production planning and control, facilitating efficient inventory management and procurement processes.


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The Atlantic Company sells a product with a break-even point of 5,552 sales units. The variable cost is $76 per unit, and fixed costs are $255,392.
Determine the unit sales price. Round answer to nearest whole number.
$fill in the blank 1
Determine the break-even points in sales units if the company desires a target profit of $98,716. Round answer to the nearest whole number.
fill in the blank 2 units

Answers

So, the break-even point in sales units for a target profit of $98,716 is 9,316 units.

The unit sales price would be $114 per unit.

To determine the break-even point for a target profit of $98,716, we need to use the formula: Break-even point (units) = (fixed costs + target profit) / contribution margin per unit

The contribution margin per unit can be calculated as: Contribution margin per unit = sales price per unit - variable cost per unit Contribution margin per unit = $114 - $76 Contribution margin per unit = $38

Now, substituting the values in the formula: Break-even point (units) = ($255,392 + $98,716) / $38 Break-even point (units) = $354,108 / $38 Break-even point (units) = 9,316 units (rounded to the nearest whole number)

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make the ________ to suppliers is the first scm industry best practice.

Answers

Hi there! The first SCM (Supply Chain Management) industry best practice you are referring to is: "Establishing effective communication with suppliers." This practice is crucial as it helps in building strong relationships, promoting transparency, and ensuring smooth operations. By maintaining open lines of communication, businesses can better understand their suppliers' capabilities, negotiate terms, and collaborate on solving potential issues.

This fosters trust and reliability, which are essential for long-term partnerships and success. Implementing communication channels, such as regular meetings or digital platforms, can significantly enhance the supply chain's efficiency, leading to reduced costs, improved product quality, and timely deliveries. Ultimately, effective communication with suppliers is a foundational best practice that significantly contributes to supply chain excellence.

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You purchase one standard listed option, a June 75 put contract for a put premium of $6.50. What is the maximum value of the put option per share at expiration?
Group of answer choices
$65.00
$6.50
$13.00
$75.00

Answers

The maximum value of the put option per share at expiration when you purchase one standard listed June 75 put contract for a put premium of $6.50 is $75.00.

In this case, you purchased a June 75 put contract for a put premium of $6.50. The strike price of the put option is $75.00.

If the underlying stock price is below the strike price at expiration, the put option will have intrinsic value. The intrinsic value of a put option is calculated by taking the difference between the strike price and the stock price at expiration.

Therefore, the maximum value of the put option per share at expiration would be the intrinsic value, which is the strike price minus the stock price. Since the stock price is unknown, we cannot determine the exact value. However, we can say that the maximum value per share would be equal to the strike price minus any stock price below it.

Based on the given options, the closest answer would be $75.00, as that represents the strike price of the put option.

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Changes in Cycles Indicate the impact of the following on the cash and operating cycles, respectively. Use the letter / to indicate an increase, the letter D for a decrease, and the letter N for no change. a. The terms of cash discounts offered to customers are made less favorable. b. The cash discounts offered by suppliers are increased; thus, payments are made earlier. C. An increased number of customers begin to pay in cash instead of with credit. d. Fewer raw materials than usual are purchased. e. A greater percentage of raw material purchases are paid for with credit. More finished goods are produced for inventory instead of for order. f. TL-11-C 11

Answers

We can indicate the impact of the following on cash and operating cycles, respectively, as follows:

a. Impact on cash cycle: N/ Impact on operating cycles: Nb. Impact on cash cycle: D/ Impact on operating cycles: Dc. Impact on cash cycle: D/ Impact on operating cycles: Nd. Impact on cash cycle: N/ Impact on operating cycles: De. Impact on cash cycle: N/ Impact on operating cycles: NWhat is cash cycle and operating cycle?

The cash cycle corresponds to the measurement of the time in which a company will convert its investments into inventory and cash flow, that is, it is the period of conversion of inventory, accounts receivable and accounts payable. The operating cycle corresponds to the time a company will convert its inventory into sales.

Therefore, the shorter the cash cycle is, it will indicate a more efficient management, both the cash and operating cycles are essential to measure the real financial performance of a company.

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PLEASE ANSWER I WILL THUMBS UP
39. The bonds issued by United Corp. bear a coupon of 7 percent, payable semiannually. The bond matures in 16 years and has a $1,000 face value. Currently, the bond sells at $1001. The yield to maturity (YTM) is ________%.
(is it 6.98, 6.99, or something else?)

Answers

The answer is 6.98.

The yield to maturity (YTM) is 6.98%. The bond in the given case has a face value of $1,000, bears a coupon rate of 7%, matures in 16 years, and pays interest semi-annually. The coupon rate of 7% means that the annual coupon payment for the bond would be 7% × $1,000 = $70. However since interest is paid semi-annually, so the bond would pay:$70/2 = $35 every six monthsThe bond sells at $1001, so the price is slightly higher than the face value of the bond.

We can now use the bond pricing formula to determine the yield to maturity (YTM): Price of the bond = PV of interest payments + PV of face value PV of interest payments = $35 × {(1 - 1/(1 + i/2)^32)/(i/2)}PV of face value = $1,000/(1 + i/2)^32where i is the YTM. Substituting the given values, we get:$1001 = $35 × {(1 - 1/(1 + i/2)^32)/(i/2)} + $1,000/(1 + i/2)^32This is a non-linear equation which cannot be solved by simple algebraic methods.

Therefore, we need to use numerical methods such as trial and error or a financial calculator to get an approximate solution to the equation. After using the financial calculator, the approximate solution obtained is i = 0.0698, which means the yield to maturity (YTM) of the bond is 6.98%. Hence, the answer is 6.98.

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a surplus of a good (or commodity) will arise in a market if its price is sustained:

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A surplus of a good will arise in a market if its price is sustained at a level that is higher than the equilibrium price. In other words, if the market price of a good is above its equilibrium price, the quantity supplied will exceed the quantity demanded, resulting in a surplus.

This surplus can occur because producers are incentivized to supply more of the good due to the higher price, while consumers are less likely to purchase the good at the higher price. Therefore, the surplus represents an imbalance between supply and demand in the market. It's important to note that a sustained price above equilibrium can lead to long-term market distortions and inefficiencies, as producers may continue to produce the surplus good even though there is low demand for it.

A surplus of a good (or commodity) will arise in a market if its price is sustained at a level above the equilibrium price.
Step 1: Identify the equilibrium price - The equilibrium price is the price at which the quantity demanded by consumers equals the quantity supplied by producers.
Step 2: Understand the relationship between price and quantity - When the price of a good is higher than the equilibrium price, the quantity supplied by producers will be greater than the quantity demanded by consumers.
Step 3: Recognize the surplus - A surplus occurs when the quantity supplied exceeds the quantity demanded at a given price. This results from the sustained high price of the good or commodity, as it discourages consumers from buying while encouraging producers to supply more.
Step 4: Understand the implications of a surplus - Surpluses typically cause downward pressure on prices, as producers compete to sell their excess goods. This can eventually lead to the market price falling back towards the equilibrium level, allowing the surplus to be eliminated.

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Suppose that the home country’s major trading partner imposes an import tariff which reduces the home exports. Use the IS-LM-FX model to illustrate the effects of this shock for the following different environments. Draw the IS-LM-FX figures and clearly indicate the initial and the new equilibria. Denote shifts in curves by arrows. Denote the initial equilibrium by point A, and the new equilibrium by point B, in each diagram.
For each case, state the effect of the shock on the following variables (increase, decrease, no change, or ambiguous, with a brief reason): Y, i, E, C, I, and TB.
a. Assume that the central bank allows the exchange rate to float.
b. Assume that the central bank responds in order to maintain a fixed exchange rate.

Answers

a. In the case where the central bank allows the exchange rate to float, the effects of the import tariff shock can be illustrated using the IS-LM-FX model.

Effects on variables:

Y (output): Decrease. The import tariff reduces home exports, leading to a decrease in aggregate demand. This shifts the IS curve to the left, resulting in a lower level of output.i (interest rate): No change. The shock does not directly impact the interest rate.E (exchange rate): Depreciation. As home exports decrease, there is a decrease in demand for the home currency. This leads to a depreciation of the home currency in the foreign exchange market, indicated by a downward shift in the FX curve.C (consumption): Decrease. The decrease in output and potential income reduction may lead to a decrease in consumption.I (investment): Decrease. The decrease in output and uncertainty from the import tariff may lead to a decrease in investment.TB (trade balance): Ambiguous. The effect on the trade balance depends on the relative magnitudes of the changes in exports and imports due to the import tariff.

The initial equilibrium (point A) is characterized by the intersection of the initial IS and LM curves. After the import tariff shock, the new equilibrium (point B) is characterized by the intersection of the shifted IS and LM curves, reflecting the changes in output, interest rates, and exchange rates.

b. In the case where the central bank responds to maintain a fixed exchange rate, the effects of the import tariff shock can also be illustrated using the IS-LM-FX model.

Effects on variables:

Y (output): Decrease. The import tariff reduces home exports, leading to a decrease in aggregate demand. This shifts the IS curve to the left, resulting in a lower level of output.i (interest rate): Decrease. To maintain the fixed exchange rate, the central bank may reduce interest rates to stimulate investment and offset the decline in output.E (exchange rate): No change. The central bank intervenes in the foreign exchange market to maintain the fixed exchange rate, preventing any depreciation.C (consumption): Decrease. The decrease in output and potential income reduction may lead to a decrease in consumption.I (investment): Increase. The central bank's response to lower interest rates aims to stimulate investment and counter the decrease in output.TB (trade balance): Ambiguous. The effect on the trade balance depends on the relative magnitudes of the changes in exports and imports due to the import tariff, as well as the impact of changes in interest rates and investment on imports and exports.

The initial equilibrium (point A) is characterized by the intersection of the initial IS and LM curves. After the import tariff shock, the new equilibrium (point B) is characterized by the intersection of the shifted IS and LM curves, reflecting the changes in output, interest rates, and the central bank's intervention to maintain the fixed exchange rate.

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The reduction of private investment as a result of an increase in government expenditures and the respective increase in the interest rate is described by:
a. the LM curve
b. the Laffer curve
c. none of the other answers is correct
d. the crowding-out effect

Answers

d. the crowding-out effect is the correct option. The reduction of private investment as a result of an increase in government expenditures and the respective increase in the interest rate is described by Crowd-out effect.

The crowding-out effect refers to the reduction of private investment that occurs when there is an increase in government expenditures and a subsequent increase in the interest rate. The crowding-out effect is caused by the competition for loanable funds between the government and the private sector. When the government increases its expenditures, it typically needs to borrow money to finance its activities. This increased demand for borrowing puts upward pressure on interest rates. As interest rates rise, borrowing becomes more expensive for businesses and individuals in the private sector. Higher interest rates discourage private investment because it becomes more costly to borrow money for investment projects.

The crowding-out effect is a result of the limited supply of loanable funds in the economy. When the government absorbs a larger share of these funds through increased borrowing, there are fewer funds available for private investment. As a result, private investment declines, which can have a negative impact on economic growth and productivity. In summary, the crowding-out effect describes the reduction of private investment that occurs when an increase in government expenditures leads to higher interest rates, limiting the availability of loanable funds for the private sector.

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Predictive validation is less time consuming and the easiest to administer. (T/F).

Answers

Predictive validation is actually more time consuming than other types of validation, such as concurrent or content validation. This is because predictive validation requires follow-up data to determine the accuracy of the initial predictions.

The correct answer is False .

Additionally, predictive validation often involves administering tests or assessments to a separate group of individuals, which can also increase the time and resources needed for the validation process. Predictive validation is not necessarily less time consuming and the easiest to administer.

While it can provide valuable insights into how well a selection tool predicts future job performance, the process requires collecting data over an extended period of time as new employees go through the selection process and start working. This can be time-consuming and may not be the easiest method compared to other validation techniques like concurrent validation.

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Assume two investment opportunities have identical expected values of $100,000. Investment A has a variance of 25,000 and investment B has a variance of 10,000. We would expect most investors (who dislike risk) to prefer

Answers

The Most risk-averse investors would prefer investment B due to its lower variance of 10,000 compared to investment A's variance of 25,000.

Investors who dislike risk typically seek investments with lower variance or volatility. In this scenario, investment A has a variance of 25,000, while investment B has a variance of 10,000. Since investment B has a lower variance, it implies that the potential fluctuations in returns are smaller compared to investment A. Therefore, investors who prioritize risk aversion would generally prefer investment B over investment A.

Variance is a measure of the dispersion or spread of returns around the expected value. A lower variance signifies a more predictable and stable investment, which aligns with the risk-averse preferences of many investors. By choosing investment B, these investors can mitigate the potential downside risk and maintain a greater level of confidence in their investment outcome.

Given the identical expected values of $100,000, investors who dislike risk would typically prefer investment B due to its lower variance of 10,000, indicating a more stable and predictable investment compared to investment A with a variance of 25,000.

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Which one of the following represents the use of a nonrenewable primary energy source?
a. using coal to generate electricity, which is used to heat a home
b. using the energy of falling water to turn a mill, which grinds corn into corn meal
c. heating a cabin in the winter using coal
d. using a windmill to pump water out of the ground

Answers

The nonrenewable primary energy source among the given options is (a) using coal to generate electricity, which is used to heat a home.

The use of coal to generate electricity, which is then used to heat a home, represents the use of a nonrenewable primary energy source. Coal is a fossil fuel that takes millions of years to form, and its reserves are finite. While coal has been a significant energy source for many years, its use has negative environmental impacts, such as air pollution and greenhouse gas emissions.

The other options listed all involve the use of renewable energy sources, such as water and wind, which are replenished naturally and are considered more sustainable in the long run. It is important to consider the environmental and social impacts of our energy choices and move towards more sustainable and renewable sources of energy.

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The industry analysis should appear early in the plan because:
Group of answer choices
(a) It logically precedes the analysis of a firm’s target market and marketing strategy.
(b) It logically precedes the analysis of a firm’s management team and company structure.
(c) It logically precedes the analysis of a firm’s operations plan and product (or service) development plan.
(d) It logically precedes the analysis of a firm’s financial projections.

Answers

The correct option is (a). It logically precedes the analysis of a firm’s target market and marketing strategy.

The Industry analysis should appear early in the business plan because it provides the necessary context and foundation for understanding a firm's target market and marketing strategy. By first examining the overall industry, its trends, competitors, and market conditions, a business can better assess its place within that landscape. This information is crucial for making informed decisions about targeting specific customer segments, developing a unique value proposition, and crafting a marketing strategy that will resonate with potential customers.

Additionally, having a strong grasp of the industry dynamics can help businesses identify potential risks, opportunities, and areas for growth, ultimately leading to a more robust and successful business plan.

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Forecasts can be made more accurate by: (choose all that apply)
[] Using a shorter time horizon
[] Aggregating to product famiies or locations
[] Using multiplie sources of information
[] Gathering data closer to the customer

Answers

Forecasts can be made more accurate by:

- Aggregating to product families or locations

- Using multiple sources of information

- Gathering data closer to the customer

By aggregating forecasts to product families or locations, organizations can benefit from economies of scale and better capture common patterns and trends within specific groups. This approach helps reduce variability and improve the accuracy of the overall forecast.

Using multiple sources of information allows organizations to gather diverse perspectives and data points, which can help identify different factors influencing the forecasted variables. It helps mitigate bias and provides a more comprehensive understanding of the market dynamics, leading to more accurate forecasts.

Gathering data closer to the customer involves collecting information directly from customers or monitoring customer behavior and preferences.

This approach provides real-time insights and a deeper understanding of customer needs and demands, resulting in more accurate forecasts aligned with market realities. Additionally, being closer to the customer allows organizations to quickly adapt and respond to changing trends and preferences.

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Clayborn Corporation's net cash provided by operating activities was $118.800: Its net income was $105.000, its income taxes were $44700, its capital expenditures were $93,600, and its cash dividends were $30,200. Required: Determine the company's tree cash flow (Negative amounts should be indicated by a minus sign.) Free cash flow

Answers

To determine the company's free cash flow, we need to subtract the capital expenditures from the net cash provided by operating activities. Free cash flow represents the cash available to the company after all operating expenses and capital expenditures have been paid.

Net Cash Provided by Operating Activities: $118,800
Capital Expenditures: $93,600
Free Cash Flow = Net Cash Provided by Operating Activities - Capital Expenditures
Free Cash Flow = $118,800 - $93,600
Free Cash Flow = $25,200
Therefore, the company's free cash flow is $25,200.
This positive free cash flow indicates that the company has generated excess cash from its operating activities after accounting for its capital expenditures. It suggests that the company has sufficient liquidity to meet its financial obligations, invest in growth opportunities, or distribute dividends to its shareholders.

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Freeman Company's accounting records include the following information: Payments to suppliers, Collections on accounts receivable, Cash sales Income taxes paid, Equipment purchased $ 48,000 100,000 29,000 4,900 14,900 What is the amount of net cash provided by operating activities indicated by these transactions?
Multiple Choice $43,100. $76,100. $172,100. $61,200.

Answers

The net cash provided by operating activities can be found to be the sum of B. $ 76, 100.

How to find the net cash from operations ?

Net cash provided by operating activities is calculated by considering the cash inflows and outflows related to the company's core business operations.

The net cash provided by operating activities is the sum of the cash inflows minus the sum of the cash outflows. So, the calculation is:

= ( $ 100, 000 + $ 29, 000) - ( $ 48, 000 + $ 4, 900 )

= 129, 000 - 52, 900

= $ 76, 100

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On December 31, 2021, Pearl Corporation holds debt investments in bonds of three companies Gold Company: 10%. 3,000,000 par value bonds to yield 11%. Silver Company: 8 %, $1,800,000 par value bonds to yield 10%. Moonlight Company: 9%, $2,000,000 par valuo bonds to yield 7% All the three investments in bonds mature January 1, 2025 and pay interest semiannually every July 1 and January 1, and all of them are held by Pearl Corporation for trading. The amortized costs for the three debt investments on December 31, 2021, were $2,873,064, $1721,304, and $2,300,000 respectively. If the fair values of all the bonds were $2,800,000 for Gold, S1,600,000 for Silver and $2,350,000 for Moonlight, and the previous balance of unrealized gain or loss on December 31, 2020, was $21,384. Required: a) Compute the unrealized gain or loss on December 31, 2021, for each investment and for total, and prepare the necessary adjusting entry. b) Assume that Silver bonds are held-for-collection. Is there any adjustment needed, and what is the adjusting entry if any.

Answers

a) To compute the unrealized gain or loss on December 31, 2021, for each invest-ment and in total, we need to compare the fair value of each investment with its amortized cost. The formula to calculate unrealized gain or loss is:

Unrealized Gain/Loss = Fair - Amortized Cost

Let's calculate the unre-alized gain or loss for each investment:

For Gold Company:

Unrealized Gain/Loss = $2,800,000 - $2,873,064

Unrealized Gain/Loss = -$73,064 (Loss)

For Silver :

Unrealized Gain/Loss = $1,600,000 - $1,721,304

Unrealized Gain/Loss = -$121,304 (Loss)

For Moonlight Company:

Unrealized Gain/Loss = $2,350,000 - $2,300,000

Unrealized Gain/Loss = $50,000 (Gain)

To calculate the total unrealized gain or loss, we sum up the individual gains or losses:

Total  Gain/Loss = -$73,064 - $121,304 + $50,000

Total  Gain/Loss = -$144,368 (Loss)

The necessary adjusting entry to record the unrealized loss on December 31, 2021, would be:

Loss on Trading Investments $144,368

Unrealized Loss on Trading Investments $144,368

b) If the Silver bonds are held-for-collection, there is no adjustment needed because held-for-collection investments are not subject to fair value adjustments.

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Alfredo Gutierrez bought 2,000 shares of a phone company’s stock at $36.50 per share. He sold his stock at $48.25 per share. Each transaction paid a sales commission of $49.95 plus $0.02 per share. a) What was the net amount of the sale? b) What was the profit or loss from the sale?

Answers

The net amount of the sale was $96,410.05. Alfredo Gutierrez made a profit of $23,410.05 from the sale. When determining the net amount and overall profit or loss from a stock sale, it's critical to take into account any transaction costs, such as sales commissions.

To calculate the net amount of the sale and the profit or loss, we need to consider the cost of buying the stock, the sales price, and the sales commission. Here's how we can calculate it:

a) Net amount of the sale:

Sales price per share: $48.25

Number of shares sold: 2,000

Sales commission per share: $0.02

Total sales commission: $0.02 * 2,000 = $40

Total sales commission including the fixed commission: $40 + $49.95 = $89.95

Net amount of the sale: (Sales price per share * Number of shares sold) - Total sales commission

Net amount of the sale: ($48.25 * 2,000) - $89.95

Net amount of the sale: $96,500 - $89.95

Net amount of the sale: $96,410.05

b) Profit or loss from the sale:

Cost per share: $36.50

Total cost of buying the stock: Cost per share * Number of shares bought

Total cost of buying the stock: $36.50 * 2,000 = $73,000

Profit or loss from the sale: Net amount of the sale - Total cost of buying the stock

Profit or loss from the sale: $96,410.05 - $73,000

Profit or loss from the sale: $23,410.05

In conclusion, the net amount of the sale was $96,410.05. Alfredo Gutierrez made a profit of $23,410.05 from the sale. It's important to consider any transaction costs, such as sales commissions, when calculating the net amount and overall profit or loss from a stock sale.

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How growth became the enemy of prosperity

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Growth has been traditionally seen as a sign of prosperity and progress for economies and societies. However, there is growing concern that the pursuit of unlimited growth is actually undermining prosperity in many ways. This is because economic growth is often achieved at the expense of the environment, social equity, and quality of life. The environmental costs of growth are becoming increasingly apparent, with climate change, pollution, and resource depletion posing serious threats to human well-being. Furthermore, the benefits of growth are not distributed equally, with inequality and poverty remaining persistent challenges in many countries.

One way in which growth is undermining prosperity is through its impact on the environment. The pursuit of economic growth often leads to the overexploitation of natural resources and the degradation of ecosystems, which in turn has negative impacts on human health and well-being. For example, air pollution from industrial growth is a major contributor to respiratory diseases and premature deaths. Similarly, deforestation and the depletion of fish stocks can undermine the livelihoods of people who depend on these resources for their survival.

In addition to environmental costs, growth can also have negative social consequences. Economic growth does not necessarily lead to greater equality or social mobility, and can in fact exacerbate inequality and poverty. This is because economic growth tends to benefit those who are already wealthy and powerful while leaving behind those who are marginalized or disadvantaged. In many countries, the gap between rich and poor is widening, despite overall economic growth.

Furthermore, the pursuit of growth can also have negative impacts on quality of life. As societies become more focused on economic growth, they often prioritize productivity and efficiency over other values such as social connection, leisure time, and cultural diversity. This can lead to a homogenization of cultures and a loss of community, as people become more isolated and disconnected from each other.

Overall, while economic growth can bring benefits, it is important to recognize the limits of growth and the need to balance economic, social, and environmental goals. Instead of seeing growth as an end in itself, we should focus on creating sustainable and equitable societies that prioritize the well-being of all people and the natural world.

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(Table: Total Cost for a Perfectly Competitive Firm) Look at the table Total Cost for a Perfectly Competitive Firm. If the market price is $4.50, profit at the profit maximizing quantity of output is: A) $34.00 B) $2.00 C) $4.50 D) $5.00

Answers

If the market price is $4.50, the profit at the profit maximizing quantity of output is D) $5.00.This represents the difference between the total revenue and total cost at that level of output.

To determine the profit at the profit maximizing quantity of output, we need to find the quantity of output where marginal cost (MC) equals the market price. In this case, the market price is $4.50.

Looking at the table provided, we can see that at a quantity of 8 units, the marginal cost is also $4.50. This indicates that the profit maximizing quantity is 8 units.

To calculate the profit, we need to subtract the total cost from the total revenue. The total revenue is calculated by multiplying the market price by the quantity of output:

Total Revenue = Market Price * Quantity

Total Revenue = $4.50 * 8 = $36.00

The total cost at a quantity of 8 units is $31.00.

Profit = Total Revenue - Total Cost

Profit = $36.00 - $31.00 = $5.00

Therefore, the profit at the profit maximizing quantity of output when the market price is $4.50 is $5.00.

At the profit maximizing quantity of output of 8 units and a market price of $4.50, the profit is $5.00. This represents the difference between the total revenue and total cost at that level of output.

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Question 2 (25 points)
A principal protected note (PPN) is a fixed-income security that guarantees a minimum return equal to the investor's initial investment (the principal amount), regardless of the performance of the underlying assets. These investments are tailored for risk-averse investors wishing to protect their investments while participating in gains from favorable market movements. The attraction of a principal-protected note is that an investor is able to take a risky position without risking any principal. The worst that can happen is that the investor loses the chance to earn interest, or other income such as dividends, on the initial investment for the life of the note. And the investor still has chance to win upwards potential from underlying asset.
Assume you have a $1,000 budget and a one-year investment horizon. The risk-free interest rate is 20% and a risk-free bond security is available in the market. There is also a risky stock with a current price of $900 that might double or halve in a year. This stock has a Euro call option on the market, with a price of $181 and a strike price of $1000 a year from now. Please detail how you would create a portfolio similar to PPN with above information and the details why your portfolios works.

Answers

To create a portfolio similar to a Principal Protected Note (PPN), I would allocate $900 to purchase the risky stock and $100 to invest in the risk-free bond security.

This combination allows me to participate in the potential upside of the stock while protecting my principal investment through the risk-free bond. In the best-case scenario, if the stock doubles in value, my portfolio will increase to $1,800. Even in the worst-case scenario of the stock halving in value, I would still receive $900 from the bond, preserving my initial investment. This portfolio provides the potential for gains while ensuring the principal is protected, resembling the characteristics of a PPN.

By investing most of the budget in the risky stock, there is potential for significant returns if the stock price doubles. However, to protect the principal, a portion of the budget is allocated to the risk-free bond, which guarantees the return of the initial investment. In the event of a stock price decline, the bond provides a safety net, ensuring that the investor's principal is preserved. The Euro call option on the stock, priced at $181, is not necessary for replicating the PPN-like characteristics in this portfolio construction.

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the recessionary gdp gap will differ from the ad shortfall when the

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The recessionary GDP gap will differ from the AD shortfall when there is a difference between actual and potential GDP due to a lack of aggregate demand.

In a recessionary GDP gap, actual GDP falls short of potential GDP, leading to underutilized resources and unemployment. On the other hand, an AD shortfall occurs when aggregate demand is insufficient to meet the level of production at potential GDP. These two concepts differ in that the recessionary GDP gap refers to the gap between actual and potential output, while AD shortfall focuses on the lack of demand driving the economy below potential output.

Step-by-step explanation:

1. Recessionary GDP gap: The difference between potential GDP (maximum output at full employment) and actual GDP (current output) when actual GDP is less than potential GDP.
2. AD shortfall: The difference between the aggregate demand needed to achieve potential GDP and the actual aggregate demand in the economy.
3. Both the recessionary GDP gap and AD shortfall occur during economic downturns, but they represent different aspects of the economy's underperformance.
4. The recessionary GDP gap focuses on the output side of the economy (production), while the AD shortfall focuses on the demand side (consumption, investment, government spending, and net exports).
5. In some cases, the recessionary GDP gap and AD shortfall might be equal, but they can also differ depending on the specific circumstances of the economic downturn.

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walk-in job seekers looking for jobs that pay hourly wages are common in larger organizations. T/F

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True. In larger organizations, it is common to have walk-in job seekers who are seeking employment with hourly wages. These person often seek entry-level positions that do not require specialized skills.

Skills refer to the abilities, knowledge, and expertise that individuals possess, enabling them to perform tasks, solve problems, and achieve specific outcomes. Skills can be acquired through education, training, and practical experience. They can be categorized into various types, including technical skills, such as programming or operating machinery, and soft skills, such as communication, leadership, and problem-solving. Developing a diverse set of skills is essential for personal and professional growth, as they enhance one's capabilities, effectiveness, and adaptability in various domains and contexts. Continuous skill development is crucial in keeping up with evolving demands and remaining competitive in today's dynamic world.

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You borrow $23876 to buy a car. You will have to repay this loan
by making equal monthly payments for 7 years. The bank quoted an
APR of 15%. How much is your monthly payment (in $ dollars)?
$________

Answers

The monthly payment for a loan is  $383.83

How much is your monthly payment?

To calculate the monthly payment for a loan, we can use the formula for the amortization of a loan:

P = (r * A) / (1 - (1 + r)⁻ⁿ)

Where:

P is the monthly payment

A is the loan amount

r is the monthly interest rate

n is the total number of months

First, let's calculate the monthly interest rate (r) using the Annual Percentage Rate (APR):

r = APR / (12 * 100)

Given that the loan amount (A) is $23,876 and the loan term is 7 years (84 months), we can substitute these values into the formula:

r = 15 / (12 * 100) = 0.0125 (monthly interest rate)

A = $23,876

n = 7 years * 12 months/year = 84

P = (0.0125 * 23876) / (1 - (1 + 0.0125)⁻⁸⁴)

P = $383.83

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Jerin and John have had a very positive and productive business relationship for the past five years however a recent dispute has arisen between them. They are thinking that under these circumstances they should go to mediation . Would you agree?

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Jerin and John have had a very positive and business productive business relationship for the past five years however a recent dispute has arisen between them the settlement of a business dispute.

Similar to paying taxes and deploying new circumstance technologies, corporation conflicts are an inescapable part of running a firm. It might have to do with a written agreement.

A verbal contract, or a dispute involving your employees. It could be necessary to sever ties with even a longtime business partner. Whatever the issue, finding a solution may be a very painful and draining process both emotionally and financially. When things get heated, it could feel like the only option is a drawn-out, public, and expensive legal battle. By employing mediation to settle your business dispute, you can avoid going to court. In its most basic form, mediation is a voluntary process in which an unbiased.

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Which of the following is the cornerstone of the master budget? the sales budget the production budget the selling and administrative expense budget The budgeted balance sheet

Answers

The cornerstone of the master budget is the sales budget. Option a is correct.

This budget lays out the expected sales revenue for a given period, which serves as the foundation for all other budgets. Once the sales budget is determined, the production budget can be created to align with the expected sales figures.

From there, the selling and administrative expense budget can be developed, which outlines the anticipated expenses associated with selling and general business operations. Finally, the budgeted balance sheet can be created, which summarizes the financial position of the company based on the information in all of the other budgets.

Without an accurate and well-planned sales budget, the other budgets will not be aligned with the company's overall goals and objectives.

Therefore, option a is correct.

Which of the following is the cornerstone of the master budget?

a. the sales budget

b. the production budget

c. the selling and administrative expense budget

d. The budgeted balance sheet

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