The correct answer is d) $259,000 of net cash used.
The cash flows from investing activities for the year were: Loss on the sale of equipment ($14,000); Purchase of equipment ($225,000); Proceeds from the sale of equipment ($106,000); Repayment of outstanding bonds ($87,000); Purchase of treasury stock ($25,000); Issuance of common stock ($96,000); Purchase of land ($115,000).
The net cash flow from investing activities for the year is calculated by subtracting the total cash outflows from the total cash inflows, which is ($14,000 + $225,000 + $25,000 + $115,000) - ($106,000 + $87,000 + $96,000) = $259,000. Therefore, the net cash used from investing activities for the year is $259,000.
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A family eats at a restaurant. The bill is $42. The family leaves a tip and spends $49. 77 total. How much money does the family tip?.
If the bill was $42 and that family leaves a tip and spends $49.77 total. So, the family leaves a tip $7.77. The amount of the tip in dollars is calculated as:
= $49.77 - $42
= $7.77
Money can be described as a commodity that accepted by general consent that as a medium of economic exchange. A medium of economic exchange is the medium which values and prices are expressed.
Tip can be described as the particular sum of money that some people given to another people who offer services in hospitality. Tip is also a form of appreciation that some people give for their good services. Tips have the formal and fancier word or name that is gratuity. Word gratuity expensive variety because that word makes feels formality that suited for describing tips of the dignified. For example, gratuity used for the services in place restaurant's maître d'.
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Find the area of a rectangle with the length measuring 8 km and the width measuring 5 km.
A. 26 m2
B. 40 m2
C. 40 km2
D. 26 km2
Answer:
The answer is C. 40 km^2
8km*5km = 40
A = L*W
L = 8 km
W = 5 km
A state agency has recently removed the certification and training requirements for hairdressers in the state. What is likely to happen in the labor market for hairdressers?
The wages paid to hairdressers will fall.
The wages paid to hairdressers will rise.
The demand for hairdressers will fall.
The demand for hairdressers will rise.
Answer: it has to be (B)
Explanation: hope help it will make my day if you give me branlist
but you dont have to
Answer:
The wages paid to the hairdressers will fall!
There are four basic sources that multinational companies (MNCs) can tap for positions. These are: A. host-country nationals, third-country nationals, United Nations placements, and International Monetary Fund (IMF) placements. B. home-country nationals, International Monetary Fund (IMF) placements, inpatriates, and multipatriates. C. home-country nationals, host-country nationals, International Monetary Fund (IMF) placements, and multipatriates. D. home-country nationals, host-country nationals, third-country nationals, and inpatriates
Answer:
D. home-country nationals, host country nationals, third-country nationals, and inpatriates
Explanation:
The four basics sources in which the multinational companies would tap for positions are as follows:
Home country nationals
Host country nationals
Third country nationals
Inpatriates
In this the MNC would be ready for tap for the positions
Therefore the last option is correct
And, the other options would be incorrect
What is business overview
Answer:
A company overview (also known as company information or a company summary) is an essential part of a business plan. It's an overview of the most important points about your company—your history, management team, location, mission statement and legal structure.
Explanation:
Answer:
It is an essential part of a business plan. It's an overview of the most important points about your company.
Explanation:
Hope this helps!
Which is an example of an accounting function for a business?
1.) Designing print advertisements
2.) Preparing a balance sheet
3.) Hiring employees
4.) Testing computer software
hedge funds have a minimum investment requirement of between $100,000 and $20 million, with the typical minimum investment being $1 million. true false
True. Hedge funds typically have a minimum investment requirement, and it is generally true that the minimum investment ranges from $100,000 to $20 million, with the typical minimum investment being around $1 million.
Hedge funds are alternative investment vehicles that are typically available to accredited investors, institutions, or high-net-worth individuals. These funds pool together capital from multiple investors and use various investment strategies to generate returns. Unlike traditional mutual funds, hedge funds often have more flexible investment approaches and may employ strategies such as long-short equity, event-driven investing, global macro, or quantitative strategies.
Due to the nature of hedge funds and the investment strategies they employ, they often have higher minimum investment requirements compared to other investment options like mutual funds or exchange-traded funds (ETFs). The purpose of setting a minimum investment requirement is to attract investors who can provide a significant amount of capital and are willing to accept the potential risks associated with hedge fund investments.
The minimum investment requirement serves several purposes. Firstly, it helps hedge funds manage their operations efficiently by ensuring that they have a sufficient amount of capital to implement their strategies effectively. Additionally, it allows hedge funds to target high-net-worth individuals and institutional investors who have the financial capacity to bear the potential risks and understand the complexities of hedge fund investing.
While the exact minimum investment requirement can vary depending on the specific hedge fund and its investment strategy, it is generally accepted that hedge funds have high minimum investment thresholds. This helps to create a barrier to entry, limiting participation to qualified and financially capable investors.
It is important to note that regulations governing hedge funds can differ across jurisdictions, and there may be variations in the minimum investment requirements depending on local regulations and fund-specific rules. Therefore, prospective investors should carefully review the specific requirements of individual hedge funds before considering an investment.
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imperial jewelers manufactures and sells a gold bracelet for $405.00. the company’s accounting system says that the unit product cost for this bracelet is $263.00 as shown below:
The unit product cost for the gold bracelet manufactured and sold by Imperial Jewelers is $263.00, while the selling price of the bracelet is $405.00.
The unit product cost refers to the total cost associated with producing and manufacturing a single unit of the product. It includes the direct costs of materials, labor, and manufacturing overheads. In this case, Imperial Jewelers' accounting system shows that the total cost associated with producing a single gold bracelet is $263.00. However, the company sells the bracelet for $405.00, which indicates a markup of $142.00 per unit. This markup covers the indirect costs of running the business, such as marketing, administrative expenses, and profit margin.
To calculate the profit, follow these steps:
1. Note the selling price of the gold bracelet, which is $405.00.
2. Note the unit product cost of the gold bracelet, which is $263.00.
3. Subtract the unit product cost from the selling price: $405.00 - $263.00 = $142.00.
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I rlly need answers quick guys! This isnt Business tho!
Subtracting money.
$ c. $ c.
395.12 - 275.64
Answer:
$119.48
Explanation:
hope this helped :)
Tucker works for a retail distributor company that was recently started. Tucker already invested a lot of his earnings into shares of the company. When the quarterly earnings are posted, Tucker receives a check for 8% of the quarterly profit of the company. Tucker belongs to a _________ Corporation.
A. Professional
B. Closely-Held
C. Sub chapter S
What should investors consider when planning for their retirement? Check all that apply. -the amount an employer will match for a 401(k) -the contributions an employer will make to an IRA -the ideal age to establish a particular retirement plan -the amount an investor is allowed to contribute annually -the tax laws and breaks related to different retirement plans -the amount that can be withdrawn early without getting taxed
In a 401k the employer usually matches a percentage and if you are lucky dollar for dollar, where in an IRA it is does an an extra option with a set amount of money usually 2500 or more for each IRA contribution.
Correct option is A, C, D and E.
1. The amount an employer will match for a 401(k):- you don't have to forget when you will need the money, retirement is years away, but you have to know what choices will make it worth by the time you need the money back. And it is also important to know really how much you can invest. When you have a large amount more options are available. But using a variety of investments will reduce the risk.
3. The ideal age to establish a particular retirement plan:- that will set you up for the plan you need. Below 50 or older.
4. The amount an investor is allowed to contribute annually, the federal law allows a maximum contribution for participants older than 50.
5. The tax laws and breaks related to different retirement plans:- retirement plans can often give you tax benefits in the present it depends to the one you choose. For example, the payment of the tax on the money deposited in a traditional 401 (k) plan can be delayed until the money is withdrawn from the account.
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Answer:
A,C,D,E
Explanation:
I did it and this was correct.
Peter is planning his finances for the next couple of years. He wants to save money to eventually buy a house because he will be getting married
soon. He has created a savings plan revolving around his necessary expenses, and he has set a target of three years to save up a down payment
for a house. At which phase of the financial life cycle is Peter in?
Peter is in the________
phase of the financial life cycle.
Fill in the blank
Answer:
Beginning is the correct answer Beginning is the correct answer Beginning is the correct answer
Explanation:
Beginning is the correct answer Beginning is the correct answer Beginning is the correct answer Beginning is the correct answer Beginning is the correct answer
Fill in the blank. it would be possible to determine the ppp exchange rate that would exist if markets were efficient by comparing ___. multiple choice question.
The correct answer is option B) To determine the PPP exchange rate that would exist if markets were efficient in comparing the prices of traded goods and services.
The exchange rate between two currencies that offers each one the same purchasing power in various nations is known as the Purchasing Power Parity (PPP) exchange rate.
A unit of one currency should be able to purchase the same quantity of products and services in many nations in an efficient market, according to this theory.
This implies that the ratio of the prices of a basket of goods and services in each country should be the same as the exchange rate between two currencies.
We can determine the PPP exchange rate that should exist if markets are efficient by comparing the costs of similar goods and services in two different countries.
Complete Question:
Which of the following would be possible to determine the PPP exchange rate that would exist if markets were efficient?
A) Comparing the current exchange rate
B) Comparing the prices of traded goods and services
C) Comparing the inflation rates of two countries
D) Comparing the economic growth rates of two countries
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The liabilities and owners' equity for Campbell Industries is found here:
Accounts payable
$460,000
Notes payable
$246,000
Current liabilities
$706,000
Long-term debt
$1,212,000
Common equity
$4,886,000
Total liabilities and equity
$6,804,000
a. What percentage of the firm's assets does the firm finance using debt (liabilities)?
b. If Campbell were to purchase a new warehouse for
$1.4
million and finance it entirely with long-term debt, what would be the firm's new debt ratio?
Question content area bottom
Part 1
a. What percentage of the firm's assets does the firm finance using debt (liabilities)?
The fraction of the firm's assets that the firm finances using debt is
enter your response here%
Without specific information about the firm's balance sheet, we cannot determine the percentage of assets financed using debt.
To calculate the percentage of assets financed using debt, we need to know the firm's total assets and the amount of debt (liabilities) on its balance sheet. Without these specific details, we cannot provide an accurate percentage. The financing structure of a firm can vary widely depending on its industry, financial goals, and capital structure decisions. Some firms may have a higher reliance on debt financing, while others may rely more on equity or other sources of capital. To determine the percentage of assets financed using debt, it is essential to have access to the relevant financial information of the specific firm in question.
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The account holder of a checking account is referred to as the _________ on a written check.
a. Payee
b. Drawee
c. Drawer
d. Authorized user
Which accounting concept is used in each of the following accounting treatment?
The cost of a tape dispenser has been charged to an expense account, although in fact it could still be in use in ten years’ time.
A sole proprietor has sold his private house, but has not recorded anything about it in the business records.
A debt has been written off as a bad debt even though there is still a chance that the debtor eventually may be able to pay it.
A machine has been bought for an exceedingly low figure,and it has been entered in the asset account at that figure even though it is worth more.
A motor van broke down in December , 2017. The repair bill for it was not until 2018 yet it has been treated as a 2017 expense.
The accounting concepts that provide guidance for recording the following business events are as follows. The business transactions are numbered from (a) to (e) below:
1) Materiality Concept is applied because the impact of the cost of the tape dispenser being "expensed" is not significant on the reader of the financial statement.
2) Entity Concept requires separation between the finances of the owner from the finances of the business. The business is a separate economic unit distinct from the sole proprietor.
3) Prudence Concept demands that expenses (like the bad debt written off) and liabilities are not underestimated and revenues and assets should not be overestimated.
4) Historical Cost Concept: Generally accepted accounting principles require the initial recognition of an asset at its purchase cost and not fair value.
5) Accrual Concept and Matching Principle: The accrual concept requires that expenses that have been incurred for a period should be accounted for in that period, whether cash payment is made or not. The matching principle states that expenses (Van Repair Expense) should be matched to the revenue that they generate.
Thus, accounting concepts are the basic assumptions, rule, and principles for recording business transactions and events and preparing accounts and financial statements.
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list possible reasons why many new entrepreneurs decide on the unethical choice.
Answer:
As a business owner and leader, you’re going to have to make a lot of important decisions for your company. On everything from marketing to sales, operations to human resources, your team will look to you for guidance and ask which direction they should go in. In addition to keeping profitability in mind, you also have look at decisions from an ethical standpoint. The role of ethics in decision making affects how you approach decisions, how you decide which action to take and whether or not you need to consult someone else for their viewpoint.
Explanation:
When eathering information about certain occupations, be sure to understand how you are paid. What is the difference between a salary and an hourly wage ?
a) An hourly wage usually has benefits and is flexible whereas a salary does not.
b) A salary is paid no matter how many hours you work whereas an hourly wage is paid only for the time on your job:
c) An hourly wage is paid in installments whereas a salary is paid once a year.
d) A salary is paid based on time spent working and hourly wage is paid when the job complete.
Answer: the answer is B.
Explanation: The reason for it being B is because. Hourly is the amount of hours you work while salary is based on the job itself.
Answer:
It might be B
Explanation:
Of course immediately take out A and D
A because it is too vauge and D because
An hourly wage is paid by the hour and can even have overtime where this is not the case for Salary, where the pay is fixed
C can be eliminated because there is no such thing as being paid once a year (even paid annually dosen't mean this)
Provide an example of a good stock in which to invest using the top down or funnel approach.
- What is something that is occurring in the economy or in the world (macro level)?
- What industry might benefit from this?
- Which company within the industry is the one to pick? Why?
Please be detailed in your explanations.
The top-down approach is a method of analysis that begins with macro-level analysis and moves toward micro-level analysis. It is a method of analysis in which you look at the big picture of the economy and the world, then focus on sectors, industries, and finally businesses.
The following is an example of a stock that is a good investment using the top-down or funnel approach:As per the current situation of the world, electric cars are gaining popularity, especially in developed countries. Electric cars have become the future of the automotive industry. The auto industry is investing more money in electric cars. Therefore, electric cars will be a benefit to the environment as they are very eco-friendly.
The automaker Tesla, Inc. will be the first choice as the world's largest electric car manufacturer.Tesla is also gaining popularity for its charging stations, which are located in various countries. In conclusion, Tesla is a good stock to invest in as it benefits from global trends such as an increasing demand for electric vehicles and sustainability while having a leading position in the industry.
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Analyze and solved the given problem and use the appropriate furmula. How much money is invested at 7% annual interest for 5 years to earn550,000?
The interest earned on a principal amount over a given period of time. In this case, the problem provides us with the interest rate of 7%, the time period of 5 years, and the amount of interest earned, which is $550,000.
To calculate the principal amount, we can rearrange the simple interest formula as follows:
P = I / (r * t)
Where P is the principal amount, I is the interest earned, r is the interest rate, and t is the time period.
Substituting the given values, we get:
P = $550,000 / (0.07 * 5)
P = $1,571,428.57
Therefore, the principal amount that must be invested at an annual interest rate of 7% for 5 years to earn $550,000 is $1,571,428.57.
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Gerald has been an employee with GeoFuture Inc. for 15 years. He started with an entry-level job, and today he is a manager of an entire division. Over the years, Gerald has acquired a reputation for doing the right things in the company. Hence, as an efficient leader, he is capable of effectively communicating and motivating his subordinates to work toward the company's vision and mission. According to the Level-5 leadership pyramid, which is the highest level of leadership Gerald has reached so far
Answer:
Level 4
Explanation:
THESE ARE THE OPTIONS FOR THE QUESTION;
Level 5
Level 4
Level 3
Level 2
From the question, we are informed about Gerald who has been an employee with GeoFuture Inc. for 15 years. He started with an entry-level job, and today he is a manager of an entire division. Over the years, Gerald has acquired a reputation for doing the right things in the company. Hence, as an efficient leader, he is capable of effectively communicating and motivating his subordinates to work toward the company's vision and mission. According to the Level-5 leadership pyramid. In whichever his case , the highest level of leadership Gerald has reached so far is Level 4
M anagement pyramid can be regarded as skills set which is deviced in describing the features of managers and employee to further their careers.
The employment pyramid model is one that gives illustration of descending hierarchy of pyramid having the CEO at the top of the level, followed by presidents at the second level followed by vice presidents, then on fourth level there is middle management followed by team leaders and supervisors that dominate the fifth level then the entry-level employees.
Which of the following best completes the table?
Table listing kinds of trade barriers with examples of each. Regulation, clothing made using child labor. Tariff, foreign steel. Embargo, diamonds from Zimabawe.
What is an example of local content requirement?
Customs duties paid on cloth made in India
Imported apples exceeding a percentage of domestic production
Inexpensive sugar grown in the Caribbean
Oil from a Middle Eastern country that is considered hostile
Answer:
1. The best that completes the table is:
Oil from a Middle Eastern country that is considered hostile.
2. An example of local content requirement is:
Imported apples exceeding a percentage of domestic production.
Explanation:
Many countries of the world impose free-trade restrictions. For example, tariffs raise the prices of imported goods relative to domestic goods (good produced at home), thereby making imports more expensive. Some governments provide subsidies to their domestic industries, thereby making the domestic goods cheaper than their foreign counterpart and discouraging free trade. Local content requirements are another means to restrict free trade. These requirements demand that part of the production process for imported goods be completed domestically.
Answer:
C. inexpensive sugar grown in the Caribbean
Explanation:
just took the quiz
suppose you have joined a new business at the entry level. in the long run, you wish to establish yourself as an is strategy person. how would you chart your organizational growth in that direction?
Making an information systems strategy is the responsibility of an IS strategy person.
Setting IT organizational goals, identifying the necessary action plans to achieve these goals, and mobilizing funding to support those action plans are all steps in the design of an information systems strategy.
An organization's growth depends heavily on its information systems strategy.
The information systems strategy offers a framework for utilizing information technology to accomplish other IT goals as well as organizational goals. By addressing the variables that have an impact on how well a business uses IT, this approach directs the organization toward its objectives.
Therefore, You may set yourself up for a successful career in IS strategy by establishing clear goals and expectations, becoming involved in projects that will help you hone your talents, networking with other IS strategy experts, being current on the most recent trends, being patient and persistent, and being well-organized.
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Of the thirteen different blood donors, at least one of them is HIV . Provide a written description of the complement of the given event.
The complement of the given event is the scenario where none of the thirteen blood donors is HIV positive. In other words, the complement event occurs when all thirteen blood donors are HIV negative.
The probability of the complement event can be calculated by subtracting the probability of the given event from 1. If we assume that the probability of any one donor being HIV positive is p, then the probability of at least one donor being HIV positive is 1 - (1-p)^13. Thus, the probability of none of the donors being HIV positive is (1-p)^13.
The complement event is important to consider because it represents the scenario where it is safe to use the blood donations for transfusion. Healthcare professionals must ensure that donated blood is free from infectious diseases, including HIV. By knowing the probability of the complement event, healthcare providers can assess the risk of using the donated blood for transfusion and take necessary precautions to protect their patients.
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You have a credit card balance of $53.00 from the previous month. You have $172.45 in new purchases and you made a payment of $50.00. Your APR is 8.75%. According to the Previous Balance method, what amount would you use to calculate the interest for this month?
Answer:
$50
Explanation:
As per previous balance method the Interest is charged based on the opening balance of the Credit Card.
As $50 was the balance from previous month and opening balance for this month, Hence $50 would be the amount we would use to calculate the interest for this month.
Answer:
The answer is $50.
Explanation:
what is the formula for activity ratio
Answer:
The ratio is calculated by dividing the net sales by the working capital. The ratio helps you figure out the net annual sales generated by the average amount of working capital during a year.
Explanation:
Please mark me brainliest
Answer:
The ratio is calculated by dividing the net sales by the working capital. The ratio helps you figure out the net annual sales generated by the average amount of working capital during a year.
A project has the following cash flows.
What is the payback period?
Year 0 1 2 3
Cash flow -$8,500 $1,900 $6,200 $8,400
The payback period for this project is 1 year and 0.21 (or approximately 2.5 months) for the given cash flow.
To calculate the payback period, we need to find the year in which the cumulative cash inflows equal the initial investment of $8,500.
Year 0 1 2 3 Cumulative Cash Flow
Cash flow -$8,500 $1,900 $6,200 $8,400 -$6,500
In year 2, the cumulative cash flow becomes positive, meaning that the project has generated enough cash to pay back the initial investment. However, we need to determine the fraction of the year that was required to reach this point.
Fraction of year required = (Initial investment - Cumulative cash flow at the end of year 1) / Cash flow in year 2
Fraction of year required = ($8,500 - $1,900) / $6,200
Fraction of year required = 1.21
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3. Describe two real or made up situations in the workplace when you would need to use
speaking skills. (1-2 sentences. 2.0 points)
In order to reduce conflict, speaking skill, is the skill that helps to settle a disagreement or conflict between two parties, or amount group of people.
Why speaking skills is essential in workplace?
No company has stated in his vision or mission, to keep a zero conflict among staff, because it is believed that every workers and staff of the company is disciplined and should focus on why the company has hired him or her.
But on the other hand, conflict among workers in a company has been on increase. Because people differs so their ideology differs too. Conflict may not only be when a worker yells at a co worker, it can also be an argument between workers.
It is difficult to find a company made of more than 10 workers with out conflict among co workers, the conflict could be envy or side talks.
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Why should you make a personal investment plan?
A. To keep your money as safe as possible
B. To avoid financial risk
C. To meet your personal financial goals
D. To make the most money possible
Answer:
to meet your personal financial goals
Explanation:
What is true about contemporary Indian Economy
Answer:
There is a great scope for its growth in the future.
Hope this helps.