On January 1, a company issues bonds dated January 1 with a par value of $370,000. The bonds mature in 5 years. The contract rate is 11%, and interest is paid semiannually on June 30 and December 31. The market rate is 12% and the bonds are sold for $356,386. The journal entry to record the first interest payment using the effective interest method of amortization is:
a. Debit interest Expense $19.317, debit Discount on Bonds Payable $1,033, cred Cash $20.350
b. Debit interest Expense $21.383; credt Discount on Bonds Payable $1,033; credit Cash $20.350.
c. Debit Interest Expense $19,317, debit Premium on Bonds Payable $1033; credit Cash $20,350
d. Debit interest Payable $20,350 credit Cash $20.350

Answers

Answer 1

The correct journal entry to record the issuance of the bond is: Debit Cash $356,386; credit Bonds Payable $356,386. Option C is correct.

The bonds are sold for $356,386, which is the amount received in cash from the issuance of the bonds. The Bonds Payable account is credited for the same amount to reflect the liability created by issuing the bonds.

Therefore, the journal entry to record the issuance of the bond with option C is as follows: Debit Cash $356,386; credit Bonds Payable $356,386.

No additional accounts such as Discount on Bonds Payable or Premium on Bonds Payable are involved in this specific scenario since there is no indication of any discount or premium. Option C is correct.

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The complete question is:

On January 1, a company issued bonds dated January 1 with a par value of $370,000. The bonds mature in 5 years. The contract rate is 11%, and interest is paid semiannually on June 30 and December 31. The market rate is 12% and the bonds are sold for $356,386. The journal entry to record the issuance of the bond is:

A. Debit Cash $370,000; credit Discount on Bonds Payable $13,614; credit Bonds Payable $356,386.

B. Debit Cash $356,386; debit Premium on Bonds Payable $13,614; credit Bonds Payable $370,000.

C. Debit Cash $356,386; credit Bonds Payable $356,386.

D. Debit Cash $356,386; debit Discount on Bonds Payable $13,614; credit Bonds Payable $370,000.


Related Questions

If net operating income is $51,000, average operating assets are $408,000, and the minimum required rate of return is 12%, what is the residual income? Multiple Choicea. a. $53,040. b. $48,960. c. $46,920

Answers

The correct answer is not provided in the options. The residual income is $832,320.

To calculate the residual income, we need to subtract the minimum required rate of return from the net operating income and multiply it by the average operating assets.

Residual Income = (Net Operating Income - Minimum Required Rate of Return) * Average Operating Assets

Residual Income = ($51,000 - 12% * $408,000) * $408,000

Residual Income = ($51,000 - $48,960) * $408,000

Residual Income = $2,040 * $408,000

Residual Income = $832,320

The residual income is $832,320.

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1.a. According to the "Impossible Trinity," if a country has a policy of controlling its exchange rate, and doesn't have capital controls, then it ___ have an independent central bank and an independent monetary policy. (Write "can" or "can not") 1.b The Bretton Woods policy of fixed exchange rates (1945-1973) was instituted in part because the Great Depression had been made worse by very high tariffs and ___ (Write "F" for Flexible Exchange Rates, "C" for Competitive Devaluations.) Bretton Woods also meant a complete abandonment of the Gold-Standard, True or False? ___ (Write "T" for True and "F" for False.) 2.a If a country is facing an internal imbalance of under employment, and and external imbalance of a too large a Curent Account deficit, then the recommended policies to restore balance involve a(n) ___ Fiscal and a(n) Monetary Policy. (Write "E" for Expansionary and "C" for Contractionary (Write "E" for Expansionary and "C" for Contractionary 2.b But if that country faces an internal imbalance c over employment, and and external imbalance of a too large a Curent Account then the recommended policies to restore balance involve a(n) ___ Fiscal and a(n) ___ Monetary Policy. (Write "E" for Expansionary and "C" for Contractionary (Write "E" for Expansionary and "C" for Contractionary

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1.a. According to the "Impossible Trinity," if a country has a policy of controlling its exchange rate and doesn't have capital controls, then it cannot have an independent central bank and an independent monetary policy.

1.b The Bretton Woods policy of fixed exchange rates (1945-1973) was instituted in part because the Great Depression had been made worse by very high tariffs and ___ Competitive Devaluations (C).

Bretton Woods also meant a complete abandonment of the Gold-Standard, ___ False (F).

2.a If a country is facing an internal imbalance of underemployment and an external imbalance of a too large Current Account deficit, then the recommended policies to restore balance involve a(n) ___ Expansionary Fiscal and a(n) ___ Contractionary Monetary Policy. (Write "E" for Expansionary and "C" for Contractionary)

2.b But if that country faces an internal imbalance of overemployment and an external imbalance of a too large Current Account deficit, then the recommended policies to restore balance involve a(n) ___ Contractionary Fiscal and a(n) ___ Expansionary Monetary Policy. (Write "E" for Expansionary and "C" for Contractionary)

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Break-Even Point Sheridan Inc. sells a product for $102 per unit. The variable cost is $70 per unit, while fixed costs are $272,384. Determine (a) the break-even point in sales units and (b) the break-even point if the selling price were increased to $108 per unit. a. Break-even point in sales units = ____
b. Break-even point if the selling price were increased to $108 per unit = ______

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The break-even point, if the selling price were increased to $108 per unit, would be 7,164 units.

to determine the break-even point, we need to calculate the number of units that need to be sold to cover the fixed costs. here's how we can calculate it:

a. break-even point in sales units:the break-even point can be calculated using the following formula:

break-even point (in units) = fixed costs / (selling price per unit - variable cost per unit)

using the given values:fixed costs = $272,384

selling price per unit = $102variable cost per unit = $70

plugging in the values, we get:

break-even point (in units) = $272,384 / ($102 - $70) = $272,384 / $32 = 8,512 units

, the break-even point in sales units is 8,512 units.

b. break-even point if the selling price were increased to $108 per unit:to calculate the break-even point with the new selling price, we can use the same formula as before:

break-even point (in units) = fixed costs / (new selling price per unit - variable cost per unit)

using the updated values:

fixed costs = $272,384new selling price per unit = $108

variable cost per unit = $70

plugging in the values, we get:break-even point (in units) = $272,384 / ($108 - $70) = $272,384 / $38 = 7,164 units

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little is known about what it is like for individuals to experience being laid off from their job after decades of employment. which qualitative method is best suited to explore this question?

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The qualitative method that is best suited to explore the question of "little is known about what it is like for individuals to experience being laid off from their job after decades of employment" is phenomenology.

Phenomenology is a qualitative research approach that concentrates on the study of the essence of human experiences from the perspective of those who have had them. The key assumption of phenomenology is that it is possible to explore and understand human experience by engaging with those who have experienced it.The phenomenological method involves conducting in-depth interviews with research participants and gathering extensive data on their experiences. This method is particularly useful when exploring topics that have not been studied in depth before or where little is known about them.

In conclusion, Phenomenology is the qualitative method that is best suited to explore the question of "little is known about what it is like for individuals to experience being laid off from their job after decades of employment."

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The aphorism ""culture eats strategy for breakfast"" or some variant thereof is often invoked in management discussions and case studies. This is especially true when a business or an organization achieves some remarkable accomplishment. What does this mean? How will or can you use this way of thinking as a leader in the organizations and work settings where you find yourself?

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Culture eats strategy for breakfast is an aphorism often invoked in management discussions and case studies. It implies that no matter how great or strategic a company’s plans are, they will be destroyed if the culture is not suitable.

Culture refers to a set of shared beliefs, values, and behaviors that characterize a group of people. Therefore, to achieve any notable success, an organization must have a robust and suitable culture. This adage means that a company's culture can make or break its strategic objectives. It means that corporate culture takes precedence over corporate strategy, regardless of how sound the strategy is, making it impossible to achieve any notable success if the culture is not appropriate for the strategy.A company's culture determines how people work together, solve problems, and interact with each other. If the culture fosters an environment of growth, collaboration, innovation, and open communication, it will significantly impact how effectively a company can execute its strategic plans. On the other hand, if the culture is toxic, lacks teamwork, lacks communication, and fosters unhealthy competition, the company's strategic objectives will ultimately fail.

How will or can you use this way of thinking as a leader in the organizations and work settings where you find yourself?The concept of culture eating strategy for breakfast is crucial for any leader or manager. It implies that they must pay as much attention to the organization's culture as they do to the strategy if they are to succeed. Here is how you can use this concept as a leader:

1. Create a positive corporate culture: It is the responsibility of the leader to create a positive corporate culture that aligns with the strategic objectives of the company. The culture should foster teamwork, open communication, and creativity.

2. Empower employees: Leaders should empower employees to develop and share ideas. They should foster an environment where people can take risks without fear of retribution.

3. Communication: A company with a healthy culture thrives on open and transparent communication. Leaders should ensure that all communication channels are open to their employees.

4. Develop a feedback mechanism: Leaders should develop a feedback mechanism to encourage continuous improvement in the company's culture and strategy. The feedback mechanism should be open and transparent to all employees.

5. Reinforce company values: Leaders should continually reinforce company values through rewards and recognition programs. The values should be reflected in every aspect of the company's operations, from recruitment to employee retention.

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Give short answers to two of the following questions: (a) "What we hope will prevent a direct attack [on West Berlin] is Soviet awareness that we mean to defend our position in West Berlin, and that American troops, who are not numerous there, are our hostage to that intent" (American president John F. Kennedy answering a press question in 1961). Explain the nature of this strategy. (b) On moving to Vienna in 1781, Mozart hoped for an imperial post but waited for the Emperor to call him, because "if one makes any move oneself, one receives less pay" (letter to his Father). Explain the nature of this strategy. (c) The U.S. administration says to the Japanese government: "If you don't open your auto parts market very soon, there is the risk that our Congress will pass some very protectionist legislation that will hurt your economy." Explain the nature and purpose of this strategic move.

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(a) The nature of the strategy described by President Kennedy in 1961 is a deterrence strategy. The intention is to deter a direct attack on West Berlin by making it clear to the Soviet Union that any attack on the city would result in a strong defense by the United States.

The presence of American troops in West Berlin is seen as a hostage or leverage to demonstrate the commitment to defend the city, even if the number of troops is limited. The strategy aims to create a perception of resolve and a willingness to protect West Berlin, thereby dissuading the Soviet Union from launching an attack.

(b) The nature of the strategy mentioned by Mozart in his letter to his father is a passive or patient strategy. Mozart is waiting for the Emperor to initiate contact and offer him an imperial post, rather than actively pursuing it himself. He believes that if he makes a move or shows eagerness, he may receive less favorable terms or lower pay. By waiting for the Emperor's call, Mozart aims to negotiate from a position of strength and ensure better compensation for his services. This strategy demonstrates a calculated approach to maximize his potential benefits without appearing desperate or undervalued.

(c) The nature and purpose of the strategic move made by the U.S. administration in relation to the Japanese government is a threat or warning strategy. By stating that if Japan does not open its auto parts market, the U.S. Congress may pass protectionist legislation, the U.S. administration is issuing a warning about the potential consequences for Japan's economy. The purpose of this move is to pressure Japan to take action and open its market to prevent the enactment of protectionist measures that could harm its economy. It is a strategic maneuver aimed at influencing Japan's decision-making by highlighting the potential negative outcomes if they do not comply with the desired action.

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A computer which hosts and delivers all of the components of a website is called: A. A server B. An app C. A laptop D. A browser

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A computer that hosts and delivers all of the components of a website is called a server. The option is A) A server.

What is a server?

A server is a computer program that offers services to other computer programs or devices, referred to as clients, on the same or other computers. The server accepts requests from clients, processes them, and then responds with the appropriate data. A server is a hardware and software system that connects other computers and devices, allowing them to share data and services. The server computer system is commonly located in a data center.

An app: An app is a type of software that runs on a smartphone or other mobile device. Apps are typically downloaded from an app store and installed on the device. They may be used to access specific online content, such as social media or news websites.

A laptop: A laptop is a portable computer that is designed for use while on the go. They usually have built-in screens and keyboards, as well as rechargeable batteries. They can be used to access the internet and run software programs.

A browser: A browser is a program that is used to access web pages on the internet. Browsers, such as Chrome, Firefox, and Safari, interpret and display web content in a user-friendly format. They are not used to host and deliver website components.

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Part A.
You invested $8000 at 4.375% compounded quarterly. After 2 years, the rate changed to 5.5% Compounded monthly. What amount will you have 5 1/2 years from the initial investment? (No deposits or withdrawals until last day)

Answers

The amount you will have 5 1/2 years from the initial investment is $11,041.82.

To solve this problem, we can use the compound interest formula:

A = P * (1 + r/n)^(n*t)

Where:

A = the amount after t years

P = principal amount (initial investment)

r = annual interest rate (as a decimal)

n = number of times the interest is compounded per year

t = time in years

For the first part of the investment, we have:

P = $8000

r = 4.375% = 0.04375

n = 4 (compounded quarterly)

t = 2

So the amount after 2 years is:

A1 = $8000 * (1 + 0.04375/4)^(4*2) = $8989.67

For the second part of the investment, we have:

P = $8989.67 (this is our new principal amount)

r = 5.5% = 0.055

n = 12 (compounded monthly)

t = 3.5 (since we want to know the amount after a total of 5.5 years)

So the amount after the full 5.5 years is:

A2 = $8989.67 * (1 + 0.055/12)^(12*3.5) = $11,041.82

Therefore, the amount you will have 5 1/2 years from the initial investment is $11,041.82.

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Given the following method declaration, which of the following is printed as the result of the call mystery(1234)? N //precondition: x > 0 public void mystery (int x){ System.out.print(x % 10); if ((x/ 10) !- 0) { mysterylx / 10); 3 System.out.print(x % 10): 1

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Now, we can combine all the values printed in reverse order (since the printing starts from the last value of the number) to get the final output, which is "4321".Hence, "4321" is printed as the result of the call mystery(1234).

Given the following method declaration, which of the following is printed as the result of the call mystery(1234)? N //precondition: x > 0 public void mystery (int x){ System.out.print(x % 10); if ((x/ 10) !- 0) { mysterylx / 10); 3 System.out.print(x % 10): 1Long answer:The output of the method call mystery(1234) would be "4321".If a method has a return type of void, it means that it does not return any value. Here, the method has a void return type, so we can be certain that no value is being returned.The method signature public void mystery(int x) tells us that the method takes in an integer parameter x. The precondition of x > 0 is given for the method.If x % 10 is printed using System.out.print(), it means that the remainder when x is divided by 10 is printed.

Therefore, the first value printed in the output would be 4.Next, the if statement checks if the integer division of x/10 is not equal to 0. Here, x = 1234, so x/10 = 123. Therefore, the condition is satisfied and the method is called again using the argument (123).As before, x % 10 is printed, so the next value printed is 3. The process is then repeated with the argument (12), and then (1), until finally, the argument (0) is passed.When the argument (0) is passed, the if statement fails and the method stops calling itself recursively. Therefore, no value is printed for the last call of the method.

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(a) What is the probability that none of the employees in the sample work at the plant in Hawaii? (b) What is the probability that 1 of the employees in the sample works at the plant in Hawaii? (c) What is the probability that 2 or more of the employees in the sample work at the plant in Hawaii? (d) What is the probability that 9 of the employees in the sample work at the plant in Texas?

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(a) The probability is 0.7 or 70%. (b) The probability is 0.355 or 35.5%. (c) The probability is approximately 0.045 or 4.5%. (d) The probability is approximately 0.0011 or 0.11%.  

(a)., the probability that 0 employees work at the plant in Hawaii is 0.7. From part (b), the probability that exactly 1 employee works at the plant in Hawaii is approximately 0.355. Therefore, the probability that 2 or more employees work at the plant in Hawaii is approximately 1 - 0.7 - 0.355 or approximately 0.045.(a) Since there are 100 employees and 30 of them work at the plant in Hawaii, the remaining 70 employees work at other plants. Thus, the probability that none of the employees in the sample work at the plant in Hawaii is 70/100 or 0.7.(b) To calculate the probability that exactly 1 of the employees in the sample works at the plant in Hawaii, we need to consider the number of ways to choose 1 employee to work at the plant in Hawaii and 4 employees to work at other plants. There are 30 ways to choose the employee to work at the plant in Hawaii and 70 ways to choose the 4 employees to work at other plants. Thus, the probability is (30 × 70)/C(100, 5) or approximately 0.355.(c) The probability that 2 or more of the employees in the sample work at the plant in Hawaii is equal to 1 minus the probability that 0 or 1 employee works at the plant in Hawaii. From part (a), the probability that 0 employees work at the plant in Hawaii is 0.7. From part (b), the probability that exactly 1 employee works at the plant in Hawaii is approximately 0.355. Therefore, the probability that 2 or more employees work at the plant in Hawaii is approximately 1 - 0.7 - 0.355 or approximately 0.045.(d) Since there are 100 employees and 60 of them work at the plant in Texas, the probability that 9 of the employees in the sample work at the plant in Texas is the number of ways to choose 9 employees to work at the plant in Texas and 1 employee to work at another plant divided by the number of ways to choose 10 employees from 100. There are C(60, 9) ways to choose 9 employees to work at the plant in Texas and C(40, 1) ways to choose 1 employee to work at another plant. Thus, the probability is (C(60, 9) × C(40, 1))/C(100, 10) or approximately 0.0011 or 0.11%.The answers are as follows: (a) The probability is 0.7 or 70%. (b) The probability is 0.355 or 35.5%. (c) The probability is approximately 0.045 or 4.5%. (d) The probability is approximately 0.0011 or 0.11%.

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Explain in detail four Types of Scales of Measurement with Examples

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In statistics, scales of measurement are used to categorize variables in an experiment. There are four different types of scales of measurement: nominal, ordinal, interval, and ratio.

The four types of Scales of Measurement and what are the examples are:

1. Nominal Scales: A nominal scale is a measurement in which values are assigned to items without any quantitative significance. Instead, each value represents a different class or category. These are some examples of nominal scales: Male or female Football or basketball or Race.

2. Ordinal Scales: An ordinal scale is a measurement that classifies data into a ranked order. The distance between the ranks is unknown. Here are some examples of ordinal scales: High, medium, or low income ratings Small, medium, or large companies. A rating scale (e.g. strongly agree, agree, disagree, strongly disagree).

3. Interval Scales: An interval scale is a measurement in which the intervals between values are equal, but the zero point is arbitrary. The interval scale cannot have a negative value. These are some examples of interval scales: Temperature measured in Celsius or Fahrenheit Time of day measured in 24-hour format Calendar years (2018, 2019, 2020)Ratio Scales.

4. A ratio scale is a measurement in which values are comparable in terms of a fixed quantity. A ratio scale has a true zero point, meaning that zero on the scale represents a complete absence of the attribute being measured. Some examples of ratio scales are: Height Weight Age How to differentiate between the four scales of measurement

Nominal scales are used to identify or categorize, while ordinal scales are used to determine a hierarchy of sorts. Interval scales are used for quantification, while ratio scales are used for measuring quantities and making comparisons to a fixed unit.

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Case Study- FAIR TRADE JEWELLERY CO. :ESTABLISHING AN
ETHICAL GLOBAL VALUE CHAIN
solve these questions related to the case
study
1) Recommendations part

Answers

In the case study "Fair Trade Jewellery Co.: Establishing an Ethical Global Value Chain," the following recommendations can be made:

Strengthen Supplier Partnerships: The company should focus on building strong and long-term relationships with its suppliers. This can be achieved by providing training and support to suppliers on ethical and sustainable practices, conducting regular audits, and fostering open communication channels.Increase Transparency: Fair Trade Jewellery Co. should prioritize transparency throughout its supply chain. This includes sharing information about sourcing, production processes, and certifications with customers and stakeholders. Transparent reporting can enhance trust and credibility in the company's ethical practices.Collaborate with Industry Peers: Engaging with other organizations in the industry, such as ethical jewelry associations or industry initiatives, can provide opportunities for collaboration, knowledge sharing, and collective efforts towards ethical sourcing and production.Educate and Engage Customers: The company should invest in educating its customers about the importance of ethical jewelry and the positive impact of their purchasing decisions. This can be done through marketing campaigns, educational materials, and partnerships with advocacy groups or non-profit organizations.Continuous Improvement: Fair Trade Jewellery Co. should continuously assess and improve its ethical practices. This includes regular audits, supplier evaluations, and staying updated on industry standards and certifications. The company should strive for continuous improvement in its supply chain to maintain its ethical reputation.

The recommendations provided are based on the analysis of the case study "Fair Trade Jewellery Co.: Establishing an Ethical Global Value Chain." These recommendations aim to address key issues and challenges faced by the company in establishing and maintaining an ethical value chain. By strengthening supplier partnerships, increasing transparency, collaborating with industry peers, educating customers, and focusing on continuous improvement, the company can enhance its ethical practices and position itself as a leader in the ethical jewelry industry

Implementing these recommendations can help Fair Trade Jewellery Co. build a more robust and sustainable ethical global value chain. By focusing on supplier relationships, transparency, collaboration, customer education, and continuous improvement, the company can strengthen its ethical reputation and differentiate itself in the market. These recommendations provide a roadmap for the company to further its commitment to ethical practices and contribute positively to the global jewelry industry.

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kingsley inc., a clothing retail line in canada, recently expanded its business to scotland. after some basic market research, the management realized that a majority of the people in edinburgh preferred organic clothing. keeping this in mind, it launched its store with clothes made from hemp and bamboo. this strategy turned out to be very successful, as it received a good response from buyers. which of the following statements explains kingsley's strategy?

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Kingsley Inc., a clothing retail line in Canada, expanded its business to Scotland, and after some fundamental market research, the management realized that a majority of people in Edinburgh preferred organic clothing.

Keeping this in mind, Kingsley's strategy was to launch its store with clothes made from hemp and bamboo to capture the organic clothing market of Edinburgh. "which of the following statements explains Kingsley's strategy " is option D, i.e., "Launching a store with organic clothing made from hemp and bamboo to cater to the preference of the people in Edinburgh. Kingsley Inc., a clothing retail line in Canada, recently expanded its business to Scotland, where it realized that a majority of people in Edinburgh preferred organic clothing after conducting some basic market research.

Therefore, Kingsley's management strategy was to launch a store with clothes made from hemp and bamboo, catering to the organic clothing preference of the people in Edinburgh. This strategy turned out to be very successful, as it received a good response from buyers. This strategy is known as a Market Development strategy because Kingsley expanded its market by introducing a new product to a new customer group. In conclusion, the correct statement that explains Kingsley's strategy is Launching a store with organic clothing made from hemp and bamboo to cater to the preference of the people in Edinburgh.

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Please write Literature Evaluation of 'Applications for Quantitative Techniques in Business Decision Making'
The following is the evaluation criteria.
Introduction and background
Excellent description and summary of the article, including any research questions, objectives, key themes, arguments and conclusion

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An in-depth description of how to apply quantitative approaches to make wise business judgments is given in the article titled "Applications for Quantitative Techniques in Business Decision Making."

The content has a strong basis thanks to previous knowledge. The essay is successful at describing the subject matter in great length and depth.

Key issues about the use of quantitative methods in corporate decision-making are effectively identified and explored in the paper. The key facts and points made in the article's body are succinctly summarised in the conclusion of Decision Making.

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Which of the following is a key step in evaluating ethical decisions in business? Select one: a. Recognizing that social responsibility and ethics are inversely related to each other b. Identifying that ethics is not culture-specific c. Assuming that ethical issues do not include all areas of organizational activities d. Learning how to recognize and resolve ethical issues e. Understanding that business ethics does not go beyond legal issues

Answers

Learning how to recognize and resolve ethical issues is a key step in evaluating ethical decisions in business.

Ethical decision making is an important aspect of running a successful business. In order to operate successfully in the market, businesses must take into account ethical principles that have been agreed upon globally.The key step in evaluating ethical decisions in business is learning how to recognize and resolve ethical issues. As a result, businesses should assess whether their actions are in line with the standards of the society they are operating in.

This ensures that businesses are able to make decisions that are not only ethical but also legal. It should be noted that making ethical decisions is not an easy task, but it is essential for businesses to operate in a responsible manner. Therefore, businesses must take responsibility for ensuring that their actions are ethical, legal, and in line with the best interests of the communities they serve.

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Consider the null and alternative hypotheses H₀: μ = -5.6 vs. H₁ : μ = -5.6, where the sample mean is = -4.9 and sample size is n= 200. The randomization distribution will be centred at a -4.9
b 5.6 c 0 d 1.55

Answers

The randomization distribution will be centered at -5.6, which is the value specified in the null hypothesis H₀.

In hypothesis testing, the randomization distribution represents the distribution of the test statistic under the assumption that the null hypothesis is true. In this case, the null hypothesis states that the population mean (μ) is equal to -5.6. Therefore, the randomization distribution will be centered at -5.6, as it is the value specified in the null hypothesis.

The sample mean of -4.9 does not match the value specified in either the null or alternative hypothesis. This indicates that the sample mean is not consistent with the center of the randomization distribution under either hypothesis. The values presented as options (a, b, c, d) do not align with the center of the randomization distribution, and therefore, none of them is the correct answer.

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Consider a four-year pure discount bond with a face value of $1,000. If the current price is $850, what is the annualized yield of this bond?

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Annualized yield of the four-year pure discount bond . The annualized yield of the four-year pure discount bond is 6.46%. This represents the rate of return that the investor will earn on the bond if they hold it to maturity.

A pure discount bond (also known as a zero-coupon bond) is a type of bond that is issued at a discount to its face value and does not make any coupon payments during its life. This means that the investor will receive the face value of the bond at maturity and will have purchased it at a discount to this value.If the price of the bond is $850, this means that it has been issued at a discount to its face value. The face value of the bond is $1,000 and the price paid for the bond is $850. This means that the discount on the bond is $150 ($1,000 - $850).The yield on a bond is the rate of return earned by the investor on the bond. In the case of a pure discount bond, the yield is the discount rate that equates the price of the bond with its face value at maturity.

To calculate the annualized yield on the four-year pure discount bond, we can use the following formula:Annualized yield = [(face value / price) ^ (1/n)] - 1where:face value = $1,000price = $850n = 4 years

Substituting these values into the formula, we get:Annualized yield = [(1,000 / 850) ^ (1/4)] - 1Annualized yield = [1.1765 ^ 0.25] - 1Annualized yield = 0.0646 or 6.46% (rounded to two decimal places)

Therefore, the annualized yield of the four-year pure discount bond is 6.46%. This represents the rate of return that the investor will earn on the bond if they hold it to maturity.

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(Estimating the cost of bank credit) Paymaster Enterprises has arranged to finance its seasonal working-capital needs with a short-term bank loan. The loan will carry a rate of 12 percent per annum with interest paid in advance (discounted). In addition, Paymaster must maintain a minimum demand deposit with the bank of 10 percent of the loan balance throughout the term of the loan. If Paymaster plans to borrow $1,700,000 for a period of 3 months, what is the effective cost of the bank loan? Hint. Assume the Paymaster does not have sufficient funds in the bank to satisfy the compensating balance requirement. The effective cost, or APR, of the bank loan is? % (Round to two decimal places.)

Answers

The effective cost, or APR, of the bank loan is 13.11%. Bank loan = $1,700,000Rate of interest per annum = 12%Term of the loan = 3 months = 0.25 yearsMinimum demand deposit = 10% of loan balance throughout the term of the loan

Now, the amount of the demand deposit is,10% of the loan balance throughout the term of the loan = 10% of $1,700,00010% of $1,700,000 = $170,000The effective cost or APR of the bank loan formula is:Effective cost or APR of the bank loan = (Interest paid in advance + Interest paid on compensating balance) ÷ Net Proceeds × (365 ÷ Number of days outstanding)First, let's calculate the interest paid in advance:Interest paid in advance = Bank loan × Rate of interestInterest paid in advance = $1,700,000 × 12%Interest paid in advance = $204,000Second, let's calculate the interest paid on compensating balance:Interest paid on compensating balance = Minimum demand deposit × Rate of interestInterest paid on compensating balance = $170,000 × 12%Interest paid on compensating balance = $20,400Now, let's calculate the net proceeds.

:Net Proceeds = Bank loan – Interest paid in advanceNet Proceeds = $1,700,000 – $204,000Net Proceeds = $1,496,000Finally, we can calculate the effective cost or APR of the bank loan:Effective cost or APR of the bank loan = (Interest paid in advance + Interest paid on compensating balance) ÷ Net Proceeds × (365 ÷ Number of days outstanding)Effective cost or APR of the bank loan = ($204,000 + $20,400) ÷ $1,496,000 × (365 ÷ 90)Effective cost or APR of the bank loan = $224,400 ÷ $1,496,000 × 4.06Effective cost or APR of the bank loan = 13.11% (rounded to two decimal places)Therefore, the effective cost, or APR, of the bank loan is 13.11%.

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If a government chooses a system of marketable permits as its environmental regulation tool, the reduction in pollution will: O take place in every firm within the time set by the permit. O be initiated at the household level. take place in the firms where it is least costly to do so. be smaller than can be achieved under a command-and-control regulation

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The reduction in pollution will take place in the firms where it is least costly to do so.

A system of marketable permits, also known as a cap-and-trade system, allows the government to set a limited number of pollution permits that can be traded among firms. Each firm is allocated a certain number of permits, representing their allowed level of pollution. Firms that can reduce their pollution more easily and at a lower cost have the option to sell their excess permits to other firms that find it more challenging and costly to reduce their pollution.

In this system, firms have an incentive to reduce pollution because they can profit from selling their unused permits. As a result, the reduction in pollution will primarily occur in the firms where it is least costly to do so. These firms will be more motivated to invest in pollution control measures to sell their surplus permits and generate additional revenue.

If a government chooses a system of marketable permits as its environmental regulation tool, the reduction in pollution will primarily take place in the firms where it is least costly to do so. This approach allows for flexibility and incentivizes firms to find cost-effective ways to reduce pollution.

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Briefly Discuss the different types of budgets.

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There are several types of budgets, and these budgets are essential tools for managing and controlling an organization's financial resources. A budget is a plan that outlines an organization's financial and operational objectives over a specific period of time.

The following are the different types of budgets. 1. Operating budget:It is a budget that outlines the company's revenue and expenses for a given period. It is used to predict the company's profit margin for a particular period.2. Capital budget:This budget identifies the company's long-term investment plans. Capital budgets are used to determine which long-term investments will provide the best returns and which will benefit the company in the long run.3. Financial budget:It is a budget that outlines the company's cash inflows and outflows. It takes into account the organization's expected income and expenses and projects the company's cash flow for a given period.

4. Master budget A master budget is an organizations all-inclusive financial plan for a specific period. It is a budget that combines all of the company's operating and financial budgets. It is a significant budget for decision-making, forecasting, and tracking the company's progress.5. Sales budget It is a budget that outlines the company's sales expectations for a given period. This budget helps organizations to determine the number of units they must sell to achieve their profit margins. Budgets are essential tools for managing and controlling an organization's financial resources. Different budgets, such as operating budgets, capital budgets, financial budgets, sales budgets, and master budgets, are used for different purposes. These budgets help organizations to predict their financial performance, allocate resources effectively, and make informed decisions.

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Draw (5 points) and solve the Cash Flow Diagram for Future Value "F". This is a 10 year Cash Flow, and interest rate is a compounded 7%, but I want the Future Value at Year 13. You CANNOT just use P/F or F/P, use the tool suited for the type of CFD item. a. $15000.00 is Invested Today for a piece of testing equipment (5 pts) b. $2000.00 is Earned as Annual Income from end of years 4-10 through use of this test equipment (10 pts) F c. $400.00 is the Annual Maintenance Cost of the testing equipment for all 10 years (10 pts) d. Salvage Value at the end of the 10th year is $1500.00 (5 pts) e. There is an Arithmetic Gradient Income from years 6-10 with a Base Annuity of $500.00 increasing (getting bigger) by $50.00 each year (15 pts) f. There is a mortgage cost from years 1-10 with a starting amount of $1500, decreasing (getting smaller) by $25 each year (years 2- 10). (15 pts)

Answers

To solve the cash flow diagram and find the future value (F) at Year 13, we will use the appropriate tools for each item in the cash flow diagram. Here's how it looks:

```

Year     Cash Inflows       Cash Outflows

--------------------------------------------

0        $15,000.00

1

2        -$1,475.00

3        -$1,450.00

4        -$1,425.00

5        -$1,400.00

6        $500.00

7        $550.00

8        $600.00

9        $650.00

10       $700.00

11

12

13                                            F

```

Explanation of each item:

a. $15,000.00 is Invested Today (Year 0):

At Year 0, $15,000.00 is invested in the testing equipment.

b. $2,000.00 is Earned as Annual Income (Years 4-10):

From Years 4 to 10, an annual income of $2,000.00 is earned from the use of the test equipment.

c. $400.00 is the Annual Maintenance Cost (Years 1-10):

Throughout Years 1 to 10, there is an annual maintenance cost of $400.00 for the testing equipment.

d. Salvage Value at the end of Year 10 is $1,500.00:

At the end of Year 10, there is a salvage value of $1,500.00 for the testing equipment.

e. Arithmetic Gradient Income (Years 6-10):

From Years 6 to 10, there is an arithmetic gradient income with a base annuity of $500.00, increasing by $50.00 each year.

f. Mortgage Cost (Years 1-10):

From Years 1 to 10, there is a mortgage cost starting at $1,500.00 and decreasing by $25.00 each year from Years 2 to 10.

To find the future value (F) at Year 13, we need to consider all the cash inflows and outflows. The future value will be the accumulated amount of all cash flows at Year 13.

To calculate the future value, we will apply the appropriate compounding and discounting factors based on the interest rate of 7% compounded annually.

Please note that to provide the precise future value, the exact amounts and timing of each cash flow need to be considered.

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Thad, a single taxpayer, has taxable income before the QBI deduction of $189,500. Thad, a CPA, operates an accounting practice as a single member LLC (which he reports as a sole proprietorship). During 2021, his proprietorship generates qualified business income of $151,600, W-2 wages of $113,700, and $8,000 of qualified property. Assume the QBI amount is net of the self-employment tax deduction. If required, round any division to two decimal places and use that rounded amount in any future computations. Round your final answer to the nearest dollar. What is Thad's qualified business income deduction? $ 14,432

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Thad's qualified business income deduction is the lesser of $24,256 and $37,900 which is $24,256. Answer rounded to the nearest dollar is $ 14,432.

Thad's qualified business income deduction is $14,432.

Explanation:

The formula for calculating the qualified business income (QBI) deduction is:

20% × (QBI − QBI deduction), where the QBI deduction is the lesser of 20% of qualified business income or the greater of: 50% of W-2 wages, or the sum of:

25% of W-2 wages plus 2.5% of unadjusted basis of all qualified property.

The given information can be organized as follows:

QBI = $151,600W-2 wages

= $113,700

Qualified property = $8,000

The calculation for QBI deduction is:

QBI deduction = min{20% × QBI, 50% × W-2 wages + 2.5% × qualified property}

= min{0.20 × 151,600, 0.50 × 113,700 + 0.025 × 8,000}

= min{30,320, 57,075} = $30,320.

Thad's QBI deduction is 20% × ($151,600 - $30,320)

= $24,256.

However, the deduction is limited to 20% × $189,500 = $37,900 because his taxable income before the QBI deduction is less than the threshold amount. Thus, Thad's qualified business income deduction is the lesser of $24,256 and $37,900 which is $24,256. Answer rounded to the nearest dollar is $ 14,432.

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Which organization was responsible for coordinating the widespread consultation that resulted in the best practice standards for developing a health and safety program?

Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer.

a Canadian Standards Association (CSA)

b Ontario Ministry of Labour

c International Organization for Standardization (ISO)

d National Institute for Occupational Safety and Health (NIOSH)

Answers

The NIOSH in the United States that conducts research and makes recommendations for workplace injury and disease prevention. Option D is correct

Organization was responsible for coordinating the widespread consultation of health and safety program.

The National Institute for Occupational Safety and Health (NIOSH) conducts research and develops recommendations for workplace injury and disease prevention.

NIOSH is a federal agency of the Centers for Disease Control and Prevention (CDC) in the United States. Its mission is to enhance occupational safety and health in the United States by conducting research, making recommendations, and producing guidelines. While NIOSH is primarily concerned with the United States, its studies and recommendations frequently have a global impact and influence.

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When would you issue an RFQ rather than an RFP and why? Compare and contrast an example of an RFQ and an RFP. For each describe all the relevant characteristics, qualities, and uses. 4

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An RFQ (Request for Quotation) is issued when the buyer wants to procure a specific product or service and seeks price quotations from potential suppliers. An RFP (Request for Proposal), on the other hand, is issued when the buyer wants to solicit detailed proposals that outline the supplier's capabilities, solutions, and pricing for a particular project or contract.

In an RFQ, the focus is primarily on price and basic product specifications. It is used when the buyer has a clear understanding of their requirements and seeks competitive pricing from suppliers. RFQs are commonly used for standardized products or services with well-defined specifications, where the primary concern is obtaining the best price.

In contrast, an RFP is more comprehensive and seeks detailed proposals that address the buyer's needs, objectives, and desired outcomes. It allows suppliers to demonstrate their expertise, capabilities, and unique solutions. RFPs are typically used for complex projects or services that require customization, innovation, or expertise beyond basic product specifications.

For example, an RFQ may be issued by a company looking to purchase office furniture. The RFQ would specify the required quantity, specific furniture items, and request suppliers to provide their pricing based on the given specifications.

In contrast, an RFP may be issued by a government agency seeking proposals for a large-scale construction project. The RFP would outline the project scope, timeline, desired outcomes, and evaluation criteria. Suppliers would be expected to submit detailed proposals that include their approach, technical expertise, project management capabilities, and pricing.

Overall, the key distinction between RFQs and RFPs lies in the level of detail and complexity of the procurement requirement. RFQs focus on price and basic specifications, while RFPs seek comprehensive proposals that address the buyer's specific needs and objectives.

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Which communication barriers are easiest to surmount?
Why?

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The communication barriers that are easiest to surmount are typically the ones that are more easily identifiable and can be addressed through conscious effort and effective communication strategies. These barriers include:

Language barriers: Language barriers can be overcome by using translation services, providing clear and concise communication, and using visual aids or gestures to enhance understanding.Noise and distractions: By minimizing noise and distractions in the communication environment, such as finding a quiet space or using appropriate communication tools, the impact of these barriers can be reduced.Lack of clarity: Clear and concise communication can help overcome the barrier of lack of clarity. This involves using simple language, avoiding jargon or technical terms, and using visual aids or examples to enhance understanding

Language barriers can be surmounted by utilizing language translation services or employing effective communication techniques that promote understanding among individuals who speak different languages. This may involve using interpreters, providing translated materials, or employing visual aids to convey messages.

Noise and distractions can be addressed by creating a conducive communication environment. This can be achieved by finding a quiet space for communication, minimizing background noise, and utilizing tools such as microphones or headsets to enhance clarity.

Lack of clarity can be surmounted by adopting effective communication strategies. This includes using clear and simple language, avoiding complex or technical terms, and providing examples or visual aids to enhance understanding. Active listening and seeking feedback can also help ensure that the message is understood correctly

While communication barriers can pose challenges, some barriers are relatively easier to overcome compared to others. Language barriers, noise and distractions, and lack of clarity are examples of communication barriers that can be more easily surmounted through conscious effort and effective communication strategies. By addressing these barriers, individuals and organizations can improve their communication effectiveness and promote better understanding among stakeholders.

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Which of the following is not a goal of supply chain management?
1. decrease inventory levels
2. increase cycle time
3. improve customer service

Answers

The goal of supply chain management is to optimize the flow of products and services from the supplier to the end consumer to maximize value while minimizing costs and inefficiencies.

However, one of the following is not a goal of supply chain management, and that is increasing cycle time. Supply chain management is the coordination and management of activities involved in the production of goods and services. The activities involve planning, implementing, and controlling the flow of goods from the point of origin to the point of consumption or use.

In supply chain management, companies aim to create a seamless value chain that allows them to deliver high-quality products or services at the right price, at the right place, and at the right time. Supply chain management also aims to reduce costs and inefficiencies that arise from the production, storage, and transportation of goods, and improve the overall efficiency of the supply chain.To sum it up, increasing cycle time is not a goal of supply chain management.

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Please do not copy from the old ones
Trend analysis is an attempt to predict future outcomes to aid present decision-making. Discuss why trend analysis is vital for decision making. In the next 10 years, what trends do you predict? What are the drivers or enablers that will affect your predicted trend?
When predicting a trend in ten years, why do you think this will become a trend? What is happening in the trend analysis that makes you think this will become a trend?
We have all witnesses explosive stock markets. And we have seen where it trends up for several months.....and we all know it can trend down. So then how will you be able to do trend analysis on something that you know is going to be volatile?

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Trend analysis is vital for decision-making because it provides insights into the past and current patterns, allowing organizations to anticipate and prepare for future outcomes. By analyzing trends, decision-makers can make informed choices, allocate resources effectively, and develop strategies that align with the expected direction of the market or industry. Here are a few reasons why trend analysis is crucial:

1. Identification of patterns: Trend analysis helps identify patterns and recurring behaviors in data or market conditions. This enables decision-makers to recognize long-term trends and make predictions based on historical data, reducing uncertainties and supporting better decision-making.

2. Anticipation of future changes: By studying trends, organizations can anticipate shifts in customer preferences, market dynamics, technology advancements, and other factors that may impact their operations. This foresight allows them to proactively adapt their strategies, products, and services to remain competitive in the evolving landscape.

3. Risk management: Understanding trends helps in risk assessment and management. By analyzing past trends and forecasting future patterns, decision-makers can identify potential risks, plan contingency measures, and mitigate the impact of adverse events.

Now, predicting trends for the next 10 years requires careful analysis and consideration of various factors. While specific predictions may vary depending on the industry or context, some potential trends and their drivers or enablers could include:

1. Sustainable practices and eco-consciousness: The growing awareness of environmental concerns and the need for sustainability are likely to drive trends towards eco-friendly products, renewable energy, circular economy practices, and responsible consumption.

2. Digital transformation and advanced technologies: Rapid advancements in technologies such as artificial intelligence, Internet of Things, and blockchain are expected to shape various industries. Trends may include increased automation, personalized experiences, data-driven decision-making, and enhanced connectivity.

3. Changing demographics and workforce dynamics: Shifts in demographics, such as aging populations and a more diverse workforce, will influence trends in healthcare, retirement planning, talent management, and workplace flexibility.

The predicted trends are based on ongoing developments, societal shifts, emerging technologies, and changing consumer behaviors. Extensive research, analysis of market data, industry insights, and expert opinions contribute to trend analysis. While volatility in markets is a reality, trend analysis focuses on identifying long-term patterns and directional movements rather than short-term fluctuations. It involves studying the underlying drivers, fundamental factors, and broader market conditions to understand the overall trajectory and make informed decisions.

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Unique Selling Point (USP) of Durian Smoothie
(Food). NOT LESS THAN 100 words!

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The unique selling point (USP) of a Durian Smoothie lies in its exotic and distinctive flavor that sets it apart from other smoothie options.

The unique selling point (USP) of a Durian Smoothie lies in its exotic and distinctive flavor that sets it apart from other smoothie options. Durian, known as the "king of fruits," is renowned for its strong aroma and rich, creamy taste.

The Durian Smoothie offers a one-of-a-kind sensory experience, appealing to adventurous taste buds and those seeking something different. Its unique flavor profile, combining the sweetness and creaminess of durian with the refreshing texture of a smoothie, creates a memorable and indulgent treat. The Durian Smoothie caters to durian enthusiasts and individuals looking to explore new flavors, positioning itself as a standout choice in the competitive smoothie market.

Overall, the USP of a Durian Smoothie lies in its exotic flavor, exclusivity, nutritional benefits, authenticity, adventurous experience, and versatility. By highlighting these attributes, businesses can attract customers seeking a distinctive and memorable smoothie experience.

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Please help me get a better understanding.
What is arbitrage?
Why is arbitrage important to competitiver market prices?

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Arbitrage is defined as the act of purchasing a security in one market and simultaneously selling it at a higher price in another market, allowing investors to profit to the temporary difference in cost per share.

Arbitrage is defined as the act of purchasing a security in one market and simultaneously selling it at a higher price in another market, allowing investors to profit to the temporary difference in cost per share. In the stock market, traders take advantage of arbitrage opportunities by purchasing a stock in a foreign exchange in which the equity's share price has not yet been adjusted for the fluctuating exchange rate.

As a result, the stock price on the foreign exchange is undervalued in comparison to the price on the domestic exchange, allowing the trader to profit from the difference.

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. In what instances is the binomial option pricing model
superior to the BlackScholes option pricing model?

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The binomial option pricing model is superior to the Black-Scholes model when options can be exercised at multiple times, when options are priced on securities without a well-established market price, and when the volatility of the underlying asset is not constant.

The binomial option pricing model is superior to the Black-Scholes option pricing model in the following instances:1. When options can be exercised at multiple timesIn situations where options can be exercised at various times, the binomial model is superior to the Black-Scholes model. This is because the binomial model allows for more than one expiration date to be taken into account.2. When options are priced on securities that don't have a well-established market priceThe Black-Scholes model assumes that the market price of the underlying asset is already established, but the binomial model does not make this assumption. As a result, the binomial model is more appropriate for pricing options on assets that are not well-established in the market.3. When the volatility of the underlying asset is not constantThe Black-Scholes model assumes that the volatility of the underlying asset is constant, but in reality, this is not the case. When the volatility of the underlying asset is not constant, the binomial model is a better choice because it can handle varying volatility levels.

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