If average labor productivity in two countries is the same, average living standards will be lower in the country with the lower share of population employed.
Why it is?
This is because the number of people employed in a country directly affects the overall level of output that can be produced.
If a higher share of the population is employed, there are more workers producing goods and services, which can increase the level of output and overall economic growth.
On the other hand, if a lower share of the population is employed, there are fewer workers producing goods and services, which can lead to lower levels of output and economic growth.
This can in turn lead to lower average living standards in the country, as there are fewer resources available to be distributed among the population.
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jasper company accepted a check from harp company as payment for services rendered. jasper's bank statement revealed that the harp check was an nsf check. what effect will the entry to record the nsf check have on the accounting equation of jasper company?
There will be no effect on the total assets or the total equity and will not affect the entry to record the NSF check on the accounting equation of Jasper Company.
A check returned by a bank due to insufficient funds is known as an NSF check. As an illustration, a company may accept a check in payment of an outstanding balance on a customer account. The firm then sends the check to the bank for payment, but the bank does not honour the check and returns it because there are insufficient funds in the customer's checking account. A non-sufficient funds check (NSF check) may also be referred to as a bounced check, returned check, or an inadequate funds check.
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fabiola is an accountant with rovers and associates, a law firm in downtown memphis. the firm maintains a checking account with portris bank for its operating expenses. on the 7th of every month, fabiola gets an inventory report from the office manager listing the office supplies that are needed. fabiola places the appropriate orders with office depot and writes them a check against the office's checking account.in the above banking transaction, rovers and associates is the .group of answer choices
Rovers & Associates is a downtown Memphis legal office that keeps a checking account with Portris Bank for its operational expenditures. As the legal firm's accountant.
Fabiola is in charge of managing the firm's financial activities, which include buying office supplies from Office Depot and writing checks against the firm's bank account to pay for the goods. Rovers and Associates may conveniently manage its financial operations, deposit and withdraw money, and keep track of its spending by having a checking account with Portris Bank. Writing checks against the checking account lets the company to pay for its running expenditures, such as office supplies, rent, and utilities, while also keeping an orderly record of its spending.
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Fixed costs remains unchanged in amount when the volume of activity varies from period to period within a relevant range.true or false?
Fixed costs remain unchanged in amount when the volume of activity varies from period to period within a relevant range. The given statement is True.
The fixed cost is independent of the production of goods and services. It does not vary with the production level of goods and services. Fixed cost is the fixed expenditure that does not change in respect of the volume of the units produced. It is a capital expenditure.
The fixed cost does not vary with the production, this is because the expenses are directly related to the cost of production of products. It is independent of production. Rent is the best example.
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suppose the government is considering levying a tax in one or more of the markets described in the table. which of the markets will allow the government to minimize the deadweight loss(es) from the tax? group of answer choices market a only markets a and c only markets b and d only market c only
The markets that will allow the government to minimize the deadweight loss(es) from the tax are: Markets B and D only.
An economic system known as a market economy is one in which the interactions of a nation's individual citizens and businesses determine economic policy and how much goods and services will cost.
Despite the possibility of parties exchanging goods and services through barter, the majority of markets rely on sellers providing their products or services to customers in exchange for money.
Market economies come in a variety of forms, from minimally regulated free-market and laissez-faire systems, where state activity is limited to providing public goods and services and protecting private ownership, to interventionist forms, where the government actively participates in resolving market inefficiencies and fostering social relationships.
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Note that the full question is:
Market Characteristic
A Demand is very elastic relative to supply.
B Demand is very inelastic relative to supply.
C Supply is very elastic relative to demand.
D Supply is very inelastic relative to demand.
Refer to Table 8-1. Suppose the government is considering levying a tax in one or more of the markets described in the table. Which of the markets will allow the government to minimize the deadweight loss(es) from the tax?
if the federal government cuts government spending and the federal reserve cuts the federal funds rate, what effect will this have on the private sector (expansionary or contractionary)?
If the federal government cuts government spending and the Federal Reserve cuts the federal funds rate, the overall effect on the private sector will generally be contractionary.
A cut in government spending reduces the overall demand for goods and services, as the government is a major source of demand in the economy. This reduction in demand can lead to a decrease in economic activity and employment, as firms reduce their production and hiring in response to lower demand for their products.
A cut in the federal funds rate, the customer interest rate at which banks lend to each other overnight, reduces the cost of borrowing and encourages borrowing and spending. However, in this scenario, the effect of lower interest rates may be offset by the contractionary impact of the cut in government spending.
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you wish to retire a millionaire in 40 years. you invest in small cap stock expecting to earn 16% per year compounded monthly. what amount must you invest per month to reach one million dollars in 40 years?
A monthly investment of $23.15 is required to reach a millions of dollars in four decades.
What is an investment?An investment is a trade that is done with the goal of realizing a profit or capital gain. Appreciation is the term for an asset's value rising over time. When someone buys inside a good, she do not aim to use it as a means of direct purchase instead as a means of future wealth creation.
How Do Investments Work?The goal of investment is to generate income and gradually increase wealth. Any strategy that generates prospective future income can be considered to as an asset. Purchasing securities such as bonds, stocks, or real estate is one example of this.
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analysis of a subject property's pro forma reveals that its seventh-year net operating income (noi) is projected to be $241,282 (you can assume that this cash flow occurs at the end of the year). if you estimate the projected rental growth rate for the property to be 3.5% per year and the going-out capitalization rate in year 7 to be 9%, determine the net sale proceeds the current owner of the property would receive if he were to sell the property at the end of year 7 and incur selling expenses that amounted to $108,300.
The current owner of the property would receive net sale proceeds of $2,572,722.22 if they were to sell the property at the end of year 7, after incurring selling expenses of $108,300.
As per the question given,
To determine the net sale proceeds, we need to first calculate the property's value at the end of year 7 using the going-out capitalization rate and the NOI in that year.
The formula to calculate the property's value at year 7 is:
Value = NOI in Year 7 / Going-Out Cap Rate
Value = $241,282 / 0.09
Value = $2,681,022.22
Next, we need to estimate the selling expenses, which are given as $108,300.
Finally, we can calculate the net sale proceeds by subtracting the selling expenses from the property's estimated value in year 7:
Net Sale Proceeds = Value at Year 7 - Selling Expenses
Net Sale Proceeds = $2,681,022.22 - $108,300
Net Sale Proceeds = $2,572,722.22
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business mergers interlocking directorates monopolistic practices
Business mergers refer to the consolidation of two or more companies to form a larger entity.
Mergers can create synergy and increase efficiency, but they can also lead to monopolistic practices if the resulting company gains a dominant market position. Interlocking directorates occur when the same person serves as a director on the boards of two or more competing companies. This can create conflicts of interest and reduce competition in the market, as the same person is essentially working for multiple competing companies. Monopolistic practices occur when a single company or a small group of companies dominates a market, allowing them to control prices, reduce competition, and limit consumer choice. These practices can include price fixing, exclusive dealing, and other anti-competitive behaviors. In some cases, interlocking directorates and business mergers can lead to monopolistic practices. For example, if two competing companies merge and a director from one of the companies also serves on the board of a competitor, this could lead to reduced competition in the market. Similarly, if a director sits on the boards of multiple companies in the same industry, they may share information that could lead to monopolistic practices. To prevent monopolistic practices, governments may use antitrust laws to regulate mergers and prevent interlocking directorates. These laws aim to promote competition and protect consumers by preventing companies from dominating markets and engaging in anti-competitive practices.
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which of the following statements is not correct about the capital allocation line (cal)? question 6 options: one can achieve the maximum possible return along the capital allocation line by investing 100% in the risky asset. the slope of the capital allocation line is the sharpe ratio. it is a plot of risk-return combinations available by varying allocation between risky and risk-free assets. capital allocation line using the market index portfolio as the risky asset is called the capital market line (cml).
One can achieve the maximum possible return along the capital allocation line by investing 100% in risky assets is not correct. A line that graphically displays the risk-and-reward profile of assets is called the capital allocation line (CAL), and it can be used to determine the ideal portfolio.
The capital allocation line (CAL), using the market index portfolio as the risky asset is also called a capital market link (CML), this is a line formed on a graph of all feasible mixtures of risk-free and risky assets. The graph represents the return investors' sway probably earn by expecting a specific level of risk among their investments. The slope of the capital allocation line is the Sharpe ratio. It is called the Sharpe Ratio (SR), which measures the performance of the securities compared with risk-free assets. If the SR is above the CAL, then it is advised to buy the assets if it is below CML then sell them. The higher the slope, the higher the expected return of taking risks.
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a check drawn by a company in payment of a voucher for $635 was recorded in the journal as $365. what entry is required in the company's accounts
The journal entry for the company will be debit Accounts Payable; credit Cash
A journal entry is a record of a financial transaction made by a company and kept in its accounting records. A business's transactions are tracked in a journal, which also shows the debit and credit balances. These particular entries can aid in the authentication of transactions and make it easier to determine whether they are backed by bills.
In the given case, the company has drawn a check for which the amount of $635 was recorded in the journal as $365. This means there was an error in recording. Therefore, the correct entry will be -
Accounts Payable A/c $270
Expense A/c $365
To Cash A/c $635
( Being check written to pay off an accounts payable voucher
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caleb, who owns a successful business with two locations and a few international clients, was approached by a large organization about dramatically expanding his company. caleb later told his wife that he is happy with his success, but he wants to stay small because if he decides to add new products, small companies
Caleb is happy with his success, but he wants to stay small because if he decides to add new products, small companies can move more quickly and start more readily.
What do you mean by products?
The thing that is being sold is called a product. An object or a service can both be considered products. It could appear in the form of anything physical, digital, or cybernetic. Every good has a price, and every good has costs attached to it. The price that can be paid is influenced by the market, the quality, the marketing, and the target market.
What does "product" signify in terms of commerce?
In business, a product is an item or service that you might offer to clients. These products could be material (like clothing or furniture) or immaterial (like computer software). A business is referred to as a product business if product sales account for the majority of its revenue.
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morgan jennings, a geography professor, invests $83,000 in a parcel of land that is expected to increase in value by 12 percent per year for the next eleven years. he will take the proceeds and provide himself with a 16-year annuity. assuming a 12 percent interest rate, how much will this annuity be? (do not round intermediate calculations. round your final answer to 2 decimal places.)
The annuity that Professor Jennings will receive for a 12 percent interest rate is $2,665.57 per year for 16 years.
To solve this problem, we can use the following steps:
Calculate the future value of the initial investment of $83,000 after 11 years at a 12% annual rate of return:
FV = PV x (1 + r)^n
FV = $83,000 x (1 + 0.12)^11
FV = $272,315.06
Calculate the present value of the 16-year annuity that Professor Jennings will receive, using the formula for the present value of an annuity:
PV = PMT x (1 - (1 + r)^-n) / r
where PMT is the annual payment, r is the interest rate per period (12%/12 = 1% per month), and n is the number of periods (16 x 12 = 192).
PV = PMT x (1 - (1 + 0.01)^-192) / 0.01
We can solve for PMT by setting the present value of the annuity equal to the future value of the initial investment:
PV = FV
PMT x (1 - (1 + 0.01)^-192) / 0.01 = $272,315.06
PMT = $272,315.06 x 0.01 / (1 - (1 + 0.01)^-192)
PMT = $2,665.57
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somerset leasing received $38,400 for 12 months' rent in advance. how should somerset record this transaction?
Somerset should record this transaction as debit cash $38,400.
What is a transaction?A transaction is a fundamental concept in business and finance that refers to the exchange of goods, services, or money between two or more parties. In a transaction, each party has something of value that they wish to exchange with the other party. The exchange can be in the form of a sale, purchase, transfer, or agreement to do something in exchange for something else. Transactions are usually recorded and tracked to ensure accuracy and accountability. They can take many forms, such as cash transactions, credit card transactions, wire transfers, or electronic payments. In the world of finance, transactions are critical for keeping track of money flows and maintaining financial records. Accurate recording and tracking of transactions are essential for businesses, governments, and individuals to ensure financial transparency, compliance with regulations, and smooth financial operations.
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how much would an investor expect to pay for a $1,000 par value bond with a 9% annual coupon that matures in 5 years if the interest rate is 7%?
The investor would have to pay 1082 dollars.
How to solve for the coupon amountTo calculate the price an investor would expect to pay for a bond, we can use the following formula:
Bond Price = (C / r) x [1 - (1 / (1 + r)^n)] + (FV / (1 + r)^n)
where:
C = annual coupon payment
r = discount rate (i.e. the interest rate)
n = number of periods (i.e. the number of years until maturity)
FV = face value (or par value) of the bond
Plugging in the given values, we get:
Bond Price = (90 / 0.07) x [1 - (1 / (1 + 0.07)^5)] + (1,000 / (1 + 0.07)^5)
Bond Price = (1,285.71) x [1 - (1 / 1.40255)] + (711.78)
Bond Price = $1,079.74
Therefore, an investor would expect to pay approximately $1,079.74 for this bond.
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Why is mixed crop and livestock intensive or extensive?
Mixed crop and livestock farming can be either intensive or extensive depending on the farming practices and management strategies used.
In intensive mixed crop and livestock farming, the emphasis is on maximizing productivity and efficiency through the use of high inputs such as labor, capital, and technology. This type of farming is characterized by high stocking rates, high use of fertilizers and pesticides, and high levels of mechanization. The aim is to produce the maximum yield of crops and livestock on a given area of land, often using specialized breeds and genetically modified organisms. Intensive mixed crop and livestock farming is often economic profits associated with high environmental and social costs, such as soil erosion, water pollution, and loss of biodiversity. In extensive mixed crop and livestock farming, the emphasis is on maintaining a balance between crop and livestock production, and on using sustainable farming practices that minimize environmental impacts.
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when don meets with phil to discuss phil's output decline, in which management role will don be opating?
Top-level managers, middle managers, first-line managers, and team leaders are the four most typical categories of managers.
It's crucial for managers in mid-level jobs to have interpersonal skills, including the capacity to inspire others. Because they report to top-level managers and supervise the operations of first-line managers, these managers have a crucial function. All of the following, with the exception of: spokesman (D). Not every individual in a managerial or decision-making position speaks publicly about the organization's choices, which is the responsibility of a spokesman. The personnel "on the line" and in the closest touch with the employees are first-line managers, who are at the entry level of management. They are directly in charge of ensuring that the goals and strategies of the company are carried out successfully.
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Refer to Exhibit 7-1. What is the value of gross domestic product? O $3.072 $6,062 O $2.637 O $6.382 O $5,731
According to Exhibit 7-1, the value of gross domestic product is $6,062. Thus, Option B is correct.
This can be determined by looking at the chart and finding the value associated with the "Gross Domestic Product" category. It is important to note that gross domestic product (GDP) is a measure of the market value of all final goods and services produced within a country in a given period of time. It is one of the most commonly used indicators of a country's economic performance.
Knowing the value of gross domestic product is important because it provides a snapshot of a country's economic activity and can be used to compare economic performance across different regions and time periods. Policymakers, investors, and businesses often use GDP as a key indicator to make informed decisions and plan for the future.
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what line item flows from the balance sheet to the statement of cash flows
The line item that flows from the balance sheet to the statement of cash flows is the "Change in Cash and Cash Equivalents" line item.
This line item reflects the change in the company's cash and cash equivalents from one period to another and is calculated by subtracting the cash and cash equivalents at the beginning of the period from the cash and cash equivalents at the end of the period.
This line item is important because it provides insight into the company's liquidity and ability to meet its short-term obligations. It is also an important component of the statement of cash flows, which provides information about the company's cash inflows and outflows during the period.
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Whenever a customer's check
bounces, what account is credited?
A. Cash Equivalents
B. Accounts Receivable
C. Checks
D. Cash
in a market economy, why do businesses and individuals make the decisions?
Self-interest serves as the driving force behind market economies. Trying to squeeze every dollar out of their budgets is the driving force behind consumer behavior.
Are decisions made by organizations and people in a market system?A market economy is a kind of capitalism in which a nation's businesses and citizens interact to determine economic policy and the cost of goods and services. Entrepreneurs strive to maximize their businesses' revenues. Employees strive to earn the greatest incomes and pay possible. The majority of the resources are owned by private people, businesses, and corporations in a market economy. People make choices that affect demand and supply, which determines pricing and controls how commodities and services are produced and used.
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mackenzie company sold $680 of merchandise to a customer who used a regional bank credit card. regional bank charges a 4.0% fee for sales on its credit cards. the journal entry to record this sales transaction would be:
The journal entry to record this sales transaction would be: d. Debit Cash $652.8; debit Credit Card Expense $27.2 and credit Sales $680.
Journaling is the practice of keeping or producing records of all transactions, whether or not they are financial.
A company's debit and credit balances are shown in an accounting journal, along with a list of transactions. The journal entry may contain multiple entries, each of which is either a credit or a debit. For the journal entry to be deemed balanced, the total of the debits and credits must be equal.
Two examples of recurring items that can be noted in journal entries are depreciation and bond amortization. Accounts payable typically has its own subledger and indirectly affects the general ledger, while journal entries are typically entered using a different module in accounting software. Therefore, the general ledger account balances are directly impacted by journal entries.
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Note that the full question is:
MacKenzie Company sold $680 of merchandise to a customer who used a Regional Bank credit card. Regional Bank deducts a 4.0% service charge for sales on its credit cards. MacKenzie electronically remits the credit card sales receipts to the credit card company and receives payment in approximately 5 days. The journal entry to record this sale transaction would be:
a. Debit Cash of $680 and credit Sales $680.
b. Debit Cash of $680 and credit Accounts Receivable Regional $680.
c. Debit Accounts Receivable Regional $652.8; debit Credit Card Expense $27.2 and credit Sales $680.
d. Debit Cash $652.8; debit Credit Card Expense $27.2 and credit Sales $680.
e. Debit Cash $652.8 and credit Sales $652.8
the two types of control procedures are preventive and representative
The statement is incorrect the two types of control procedures are preventive and detective.
A control procedure is what?Control procedures are actions a business does to maintain an effective accounting system. Control procedures are often described as a series of actions taken by a business to maintain the integrity of its accounting system.
What exactly are internal controls?Internal checks often consist of duty separation, authorization, documentation, reconciliation, and other control procedures. A corporation implements internal controls to guarantee the integrity of accounting and financial data, encourage accountability, and guard against fraud. By increasing accuracy, internal controls can aid in increasing operational efficiency.
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true or false: all of the accounts listed on an unadjusted trial balance are also listed on the balance sheet.
True, all of the accounts listed on an unadjusted trial balance are also listed on the balance sheet.
What accounts are on the unadjusted trial balance?
A general ledger's account list, or unadjusted trial balance, is a list of all the accounts. It is created at the conclusion of the time period (such as the month, quarter, or year) before any adjusting entries are made.
When examining account balances, it is typically used as a starting point.
What does a balance sheet explain?
An organization's assets and liabilities at a given point in time are described in detail in a balance sheet, which is a financial statement. One of the three essential financial statements—the other two being the income statement and cash flow statement—used to assess a company's performance is the balance sheet.
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Drag each tile to the correct box.
Determine the best type of savings fund or each situation.
401(k)
rainy-day fund
sinking fund
emergency fund
money needed to start a business
paying utility bills while unemployed
unexpected plumbing expenses
retirement
Reset
Next
The necessary funding will be; 401(k) contributions, startup capital for a business, rainy-day reserves for retirement, sinking funds for paying bills while unemployed, and emergency funds for unforeseen plumbing costs
What does rainy day fund mean?A rainy day fund, also known as a contingency fund, is a predetermined sum of money placed aside to be utilized when regular income is interrupted or reduced in order to maintain normal operations.
A sinking fund is one that an economic body creates by gradually setting aside income to pay for upcoming capital expenditures or debt repayment.
A financial safety net for future unforeseen disasters and/or bills is an emergency fund.
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Answer:
Trust
Explanation:
money needed to start a business - Sinking fund
paying utility bills while unemployed - Emergency fund
unexpected plumbing expenses - Rainy day fund
Retirement - 401 k
discuss the view that imposing an indirect tax on gasoline (petrol) is the most effective way of reducing the market failure caused by cars.
Taxes on harmful externalities like cars are meant to force customers and producers to cover the entire social cost of the good. Consumption is decreased as a result, and the result is more socially beneficial.
Without a tax, there will be excessive consumption if a good has a negative externality (Q1 where D=S), as individuals tend to overlook the external costs. Positively, it offers motivation to lessen harmful externalities like pollution. For instance, the higher gasoline price has made cars more fuel-efficient.
In cases where MSC = MSB, social efficiency is the first-best option.
The government earns money from taxes. This can be used for substitutes like public transportation. Disadvantages, Higher taxes won't have much of an impact on demand if it is inelastic.
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adjustments ensure that ______ balances are reported at amounts representing the economic benefits that remain at the end of the current period.
a. account
b. liability
c. asset
d. revenue
e. expense
Adjustments ensure that asset balances are reported at amounts representing the economic benefits that remain at the end of the current period.
What are adjusting entries?Adjusting entries are a set of journal entries made at the end of an accounting period to ensure that the financial statements accurately reflect the economic activity of the business. One of the primary objectives of adjusting entries is to ensure that the balances of the accounts in the financial statements are reported at amounts that represent the economic benefits that remain at the end of the period.
One of the main types of accounts that require adjustment at the end of the period are asset accounts. Asset accounts represent economic resources owned or controlled by a business that have the potential to provide future benefits. Examples of asset accounts include cash, accounts receivable, inventory, and property, plant and equipment.
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if the federal reserve wishes to use monetary policy to reinforce congress' fiscal policy changes, it should
If the Federal Reserve wishes to use monetary policy to reinforce Congress' fiscal policy changes, it should increase the money supply when government spending is increased.
Fiscal policy refers to the use of government spending and fiscal policy to affect economic conditions, especially macroeconomic conditions. These include/contain aggregate demand for goods and services, employment, inflation and economic growth.
During a recession, governments can lower/reduce tax rates or increase spending to stimulate demand and boost economic activity. Conversely, you can raise/increase interest rates to combat inflation or cut spending to cool the economy.
Fiscal policy is often contrasted with monetary policy enacted by central bankers rather than elected government officials. Fiscal policy refers to the use of government spending and taxation to influence economic conditions.
Fiscal policy is largely/mostly based on the ideas of British economist John Maynard Keynes.
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you are considering an investment that will pay you $1,737 in one year, $2,282 in two years and $3,248 in three years. if you want to earn 15% on your money, how much will you be willing to pay? round and answer to the nearest cent (two places to the right of the decimal point). do not include the dollar sign ($).
According to the investment, the amount will be willing to paid is $ 5371.58. It is calculated under the present value of cash flow.
What do you mean by an investment?A buyer made with the intention of creating capital or revenue growth is defined as an investment. When a person invests in a good, they must not intend to use it as a source of consumption purposes, but rather as a tool for future wealth creation.
An investment entails putting capital to use, such as time, money, effort, etc., with the hope of receiving a larger return than what was initially invested.
Here,
Calculation of present value of cash flow:
= 1737/(1+15%) + 2282/(1+15%)^2 + 3248/(1+15%)^3
= 1510.44 + 1725.52 + 2135.62
= $ 5371.58
Therefore, according to the data of the investment the amount will be willing to paid is $ 5371.58. It is calculated under the present value of cash flow.
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for a time in its history and among its british customers, the company's differentiation strategy suffered a setback. what happened?
The approach of distinctiveness works well for pricey, high-end consumer items. For typical, inexpensive products like doughnuts, it is ineffective. Almost anything can serve as the foundation for a company to develop a differentiated good or service.
Core Competence of Starbucks: The ability of Starbucks to successfully exploit its cornerstone product differentiation methods by providing a premium product mix of high pricey quality snacks and beverages has been the company's fundamental competency. Although it makes coffee, its customers are ready to pay more for a cup of the stuff because they value the brand, the ambiance of the restaurant, and the quality of the goods.
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turner company reported assets of $20,000 (including cash of $9,000), liabilities of $8,000, common stock of $7,000, and retained earnings of $5,000. based on this information, what can be concluded?
25% of Turner's assets are the result of prior earnings. If a company's total assets increased while liabilities and common stock remained unchanged.
Retained earnings must have increased. In order for retained earnings to increase, the company must have reported net income as a result of income exceeding expenses.When calculating your company's retained cash flow, you must locate the cash flow statements for the previous two financial periods. Then identify the total cash flow figure on the statements, and then subtract dividends and expenses.To calculate retained earnings, take the current balance in the retained earnings account,add the current period net income or subtract the net loss,and subtract any dividends or distributions to owners or shareholders.In the partnership company,every time there is a change in the profit-sharing relationship between the partners,it is necessary to revalue the assets and revalue the liabilities of the company to determine the current value.
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