The total amount raised through capital offering is $ 47,00,000.
The computation of the amount of capital funding raised through the debt offering is shown below: -
= Debt issued x (1- underwriter spread)
debt issued = $5 million = $50,00,000
and the underwriter's spread is 6% = 0.06
putting these values in the formula,
= $50,00,000 x (1-0.06)
= $50,00,000 x 0.94
= $47,00,000
Hence, the amount raised through debt offering is $47,00,000.
A debt offering of securities entails a 'promise' or commitment from the company to repay the principal investment or pay some type of interest payment. Debt securities are represented by a variety of instruments such as bonds, notes, and debentures. When a company sells debt securities, it must specify the interest rate, maturity date, and timing of interest payments to the investor.
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How can a company hide 2000$ of debts in a double entry journal accounting….. using debits and credits
Who among the following has violated the Fair Labor Standards Act of 1938?
a. Rachel, who pays all her workers a minimum wage of $13.
b. Sally, who does not consider time her employees spend travelling to work as compensable time.
c. Jeremy, who employs his 16-year-old cousin in his meat-packing plant.
d. Randy, who employs his 17-year-old son in his stationery store as a cashier.
The person who has violated the Fair Labor Standards Act of 1938 is (option) b. Sally, who does not consider time her employees spend traveling to work as compensable time.
Sally's failure to consider the time her employees spend traveling to work as compensable time violates the Fair Labor Standards Act (FLSA). According to the FLSA, employers must compensate employees for all hours worked, including travel time that is an integral part of their job duties. By not considering travel time as compensable, Sally is not providing her employees with the wages they are entitled to under the law.
The FLSA sets standards for minimum wage, overtime pay, and child labor, among other provisions, to ensure fair treatment and compensation for workers. In this case, Rachel, who pays all her workers a minimum wage of $13, is complying with the minimum wage requirement, and Jeremy, who employs his 16-year-old cousin in his meat-packing plant, may not be in violation if he adheres to the appropriate child labor restrictions. Similarly, Randy, who employs his 17-year-old son as a cashier, may not be in violation as long as he meets the requirements for employing minors. However, Sally's failure to consider travel time as compensable is a violation of the FLSA.
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how do individual biases influence business communication? (for example, xenophobia and ethnocentrism)
Individual prejudices affect business communication because a speaker could accidentally convey his or her ethnocentric or xenophobic notions and alienate listeners from various cultures.
Give a brief account on business communication.By sharing information with both employees and those outside the company, business communication aims to assist an organization in achieving a key objective. It involves the creation, exchange, listening to, and comprehension of written and vocal messages amongst various groups of individuals. How employees interact and do business within a company has a significant impact on how successful the company will be in the marketplace. Internal business communication—between coworkers—or external business communication—between businesses or consumers—takes place both ways. Using verbal or nonverbal communication techniques, this internal and outward communication can take place. Various limitations can make it difficult for the recipient to comprehend the information being sent by the sender in these internal and external forms of communication.
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the purchase of government securities by someone other than the fed results in group of answer choices an overall increase in funds among commercial banks. an overall decrease in funds among commercial banks. offsetting changes in funds at commercial banks. an increase in securities maintained by the fed.
The purchases of government securities by someone other than the Fed result in (C) offsetting changes in funds at commercial banks.
What are government securities?Government debt is issued in the form of government securities, which are then used to pay for military and infrastructure projects as well as ongoing operations. They frequently make periodic coupon or interest payments and guarantee the complete repayment of invested principal at security maturity.Changes in money at commercial banks are offset when someone other than the Fed buys government securities.Treasury bills, Treasury notes, Treasury Bonds, TIPS, I Savings Bonds, and EE/E Savings Bonds are a few examples of securities issued by the federal government. Municipal bonds are debt obligations issued by state and local governments. They are frequently tax-exempt and are typically issued to fund specific projects.Therefore, the purchase of government securities by someone other than the Fed results in (C) offsetting changes in funds at commercial banks.
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Complete question:
The purchase of government securities by someone other than the Fed results in
a. an overall increase in funds among commercial banks.
b. an overall decrease in funds among commercial banks.
c. offsetting changes in funds at commercial banks.
d. an increase in securities maintained by the Fed.
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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In which type of economy is a business owner most likely to benefit from free enterprise?
Answer:
Sole proprietorship
Explanation:
I’m not 100% sure but it’s a sole individual business
which of the following is an example of an adjusting entry
I believe the answer is C.
Explanation:I was looking at examples of adjusting entry and C was the closest one that made more sense. If I am incorrect please correct me. Hope this somehow helped and have a good one!
✍(◔◡◔)An example of an adjusting entry is revenue which has been billed but not paid yet. (A)
What is an adjusting entry?
In accounting/accountancy, adjusting entries are journal entries usually made at the end of an accounting period to allocate income and expenditure to the period in which they actually occurred.
What is revenue?Revenue is the income of an organization and a substantial nature.
What is a bill?Bill is an invoice that a commercial document issued by a seller to a buyer relating to a sale transaction and indicating the products
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15 $ x 140 hours a month
15 × 140 × 12
= $ 25200
IT IS 15 TIMES THE HOURS TIMES THE MONTHS SINCE THERE ARE TWELVE MONTHS
explain how cost, quality, time, and agility form a basis for competitive advantage in manufacturing and the service industries.
Cost, quality, time, and agility are key factors that form a basis for competitive advantage in both manufacturing and service industries.
Cost: In both manufacturing and service industries, companies that can produce products or provide services at a lower cost than their competitors have a competitive advantage. Quality: High-quality products or services are essential for attracting and retaining customers. Companies that consistently deliver high-quality products or services are more likely to establish a reputation Time: Speed is often a critical factor in both manufacturing and service industries. Companies that can deliver products or services faster than their competitors can gain a significant advantage.orders can increase customer satisfaction and loyalty.
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E16-4. On January 1.2013, when its $30 par value common stock was selling for $80 per share, Plato Corp. issued $10,000,000 of 8% convertible debentures due in 20 years. The conversion option allowed the holder of each $1000 bond to convert the bond into five shares of the coporation's common stock. The debentures were issued for $10,800,000. The present value of the bond payments at the time of issuance was $8,500,000, and the corporation believe the differnece between the present value and the amount paid is attributable to the conversion feature. On January 1, 2014, the corporation's $30 par value common stock was split 2 for 1, and conversion rate for the bonds was adjusted accordingly. On January 1, 2015, when the corporation's $15 par value common stock was selling for $135 per share, holders of 30% of the convertible debentures exercised their conversion options. The corporation uses a straight line method for amortizating any discounts or premiums.Instructions(a) Prepare in general journal form the entry to record the original issuance of the convertible debentures(b) Prepare in general journal form the entry to record the exercise of the conversion option, using the book value method. Show supporting computation in good form.
Answer:
A. Dr Cash Account $10,800,000
Cr To Bonds Payable $10,000,000
Cr To Premium Payable $800,000
B.Dr Bonds Payable account $3,000,000
Dr Premium on bonds payable Debited $2,700,000
Cr To Common Stock $7,500
Cr Additional paid in capital $5,692,500
Explanation:
(a) Preparation of the journal entry to record the original issuance of the convertible debentures
Dr Cash Account $10,800,000
Cr To Bonds Payable $10,000,000
Cr To Premium Payable $800,000
($10,000,000*8/100=$800,000)
(Being issue of share on convertible debenture)
b.Preparation of the journal entry to record the exercise of the conversion option, using the book value method
Dr Bonds Payable account $3,000,000
Dr Premium on bonds payable Debited $2,700,000
Cr To Common Stock $7,500
Cr Additional paid in capital$5,692,500
($3,000,000+$2,700,000-$7,500)
(Being maintain the record of outstanding conversation of debenture)
Calculation for for BONDS CONVERTED
First step is to calculate the amortization for 2013
Amortization for 2013=$10,000,000/20
Amortization for 2013=$500,000
Second step is to calculate the amortization for 2014
Amortization for 2014=$10,000,000/20
Amortization for 2014=$500,000
Third step is to Calculate the premium on bonds payable
Premium on bonds payable=$10,000,000−($500,000+$500,000)
Premium on bonds payable=$9,000,000
Now let calculate the bonds converted
Bonds converted=$9,000,000×30/100
Bonds converted=$2,700,000
Calculation for COMMON STOCK
First step is to calculate the number of bonds
Number of bonds=$10,000,000/1000
Number of bonds=10,000
Second step is to calculate Price for the bond
Price for the bond=10,000×5
Price for the bond=50,000
Third step is to Calculate for Stock Split
Stock Split=50,000/2
Stock Split=25,000
Now let calculate the common stock
Common stock=25,000×30/100
Common stock=7,500
Calculation for BONDS PAYABLE
Bonds Payable=10,000,000×30/100
Bonds Payable=3,000,000
Answer:
my own answer is 7500x30=225000
a portfolio manager is constructing a new equity portfolio consisting of a large number of randomly chosen domestic stocks. as the number of stocks in the portfolio increases, what happens to the expected levels of systematic and unsystematic risk? question 25 options:
As the number of stocks in the portfolio increases, the expected levels of systematic risk will decrease.
This is because the systematic risk is linked to the overall movements of the market, and as the portfolio becomes more diversified, it becomes less exposed to movements of the overall market.
On the other hand, as the number of stocks in the portfolio increases, the expected levels of unsystematic risk will also decrease. Unsystematic risk is also known as idiosyncratic risk and is related to the individual characteristics of a specific stock such as its profitability, competitive position, and other factors. As the portfolio becomes more diversified, it becomes less exposed to the idiosyncratic risk of any one stock.
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the central bank can reduce the level of credit by
Answer:it can increase the reserve requirements
Explanation:
In Year 1, Orange Company determines that it will depreciate its equipment using the group method. The cost of equipment purchased, along with its residual values and estimated lives by type of equipment are as follows:
Asset
Cost
Residual
Value
Depreciable
Base
Estimated
Life
Mowers
$ 55,000
$ 5,000
$ 50,000
5
Planters
190,000
10,000
180,000
6
Loaders
75,000
15,000
60,000
4
Total
$ 320,000
$ 30,000
$ 290,000
Over what term will the group be depreciated?
The total depreciation expense for the group in Year 1 will be $17,241 for the mowers, $32,759 for the planters, and $10,000 for the loaders.
The group will be depreciated over the longest estimated life of the assets, which is 6 years. Therefore, the total cost of the assets ($320,000) will be depreciated over 6 years. This can be done using the Straight-Line Method.
The annual depreciation expense for the group will be calculated as follows:
Depreciation expense = (Cost – Residual Value) / Estimated Life
Depreciation expense = (320,000 – 30,000) / 6
Depreciation expense = $50,000
The annual depreciation expense for each asset will be allocated based on its proportion of the total depreciable base:
Mowers:
Depreciation expense = (50,000 x 50,000) / 290,000
Depreciation expense = $17,241
Planters:
Depreciation expense = (50,000 x 180,000) / 290,000
Depreciation expense = $32,759
Loaders:
Depreciation expense = (50,000 x 60,000) / 290,000
Depreciation expense = $10,000
Therefore, the total depreciation expense for the group in Year 1 will be $17,241 for the mowers, $32,759 for the planters, and $10,000 for the loaders.
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Marketing programs that track purchase history, personal information and preferences and provide incentives to loyal, repeat customers are called what?
Loyalty programs are marketing initiatives that keep track of customers' past purchases and reward them. Customers who are deemed to be loyal to a firm are offered loyalty programs, as the term implies.
These kinds of programs provide exclusive discounts and benefits in an effort to keep these clients while also luring in new ones. These initiatives are put in place to promote repeat business.
Customer loyalty is a continuing emotional bond between you and your customers that shows in their willingness to interact with you and make repeat purchases from you as opposed to your competition. When a customer has a good experience with you, loyalty develops naturally and helps to build trust.
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Assume the Environmental Protection Agency imposes an excise tax on polluting firms. In which of the following situations would we expect the additional costs to be borne most heavily by consumers?a. demand is highly elastic and supply is highly inelasticb. demand and supply are both highly inelasticc. demand is highly inelastic and supply is highly elasticd. demand and supply are both highly elastic
If demand is highly inelastic and supply is highly elastic, we would expect the additional costs from the excise tax to be borne most heavily by consumers.
In this situation, the polluting firms are able to shift most of the burden of the tax onto consumers because they have little incentive to reduce their pollution levels in response to the tax. The firms' supply of the polluting goods is relatively unaffected by the tax, as they are able to pass on the higher costs to consumers without reducing their production levels. Meanwhile, consumers have few substitutes for the polluting goods and are therefore more likely to continue buying them despite the higher prices resulting from the tax. As a result, the tax burden falls mainly on consumers in the form of higher prices.
Demand and supply are both highly inelastic, the burden of the excise tax would be shared more equally between the polluting firms and consumers, as neither party has much flexibility in adjusting their behavior in response to the tax. If demand is highly inelastic and supply is highly elastic, the burden of the excise tax would be borne mainly by the polluting firms, as they would be forced to reduce their production levels in response to the tax, leading to a reduction in supply. Consumers would still bear some of the burden in the form of higher prices, but the overall impact on them would be less severe than in the first scenario.
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in a kanban pull production system, the kanban card is used to communicate demand for work or materials. who communicates that demand from the preceding work station?
JIT manufacturing monitors manufacturing and places orders for fresh consignments of sections using the inventory method of control known as Kanban.
Is Kanban push or pull?Because Kanban is a pull-based process, team members only take on work when they have the capacity to do so rather than being pushed or given assignments. What a distinction a year makes. By coordinating the information and material flow of disparate processes, the Kanban pull system allows Just in Time production. The management of resource flow through a system is referred to as a "pull system."
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bsg - how can companies avoid significant exchange rate cost adjustments of shipping to latin america?
By transporting all of the product from a North American factory to Latin America, businesses can avoid large exchange rate cost changes for shipping there.
What are exchange rates?Simply put, the rate at which one currency can be exchanged for another is known as the exchange rate between two currencies. For instance, if the exchange rate between the U.S. dollar and the Japanese yen is 80, then 1 U.S. dollar will get you 80 Japanese yen, and it is obvious that it will cost 80 Japanese yen to buy 1 U.S. dollar.The rate of economic activity, the level of market interest rates, the gross domestic product, and the unemployment rate in each of the countries involved all have a role in determining the level of the exchange rate between any two currencies. In the global financial market, where banks and other financial institutions trade currencies round-the-clock based on their opinions on the aforementioned elements as well as their own financing requirements and investment objectives, exchange rates are set.Exchange rates are continually changing from day to day, and often even from minute to minute, due to the 24-hour nature of the world's currency exchanges. Changes can be subtle or rather spectacular.Changes in exchange rates have an impact on businesses in two ways: first, by altering the price of goods imported from other nations and, second, by altering how desirable their products are to customers abroad.Hence, By transporting all of the product from a North American factory to Latin America, businesses can avoid large exchange rate cost changes for shipping there.
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Which type of consumer products and services are purchased less frequently, with consumers carefully comparing competing products in terms of suitability, quality, price, and style?.
Consumers closely compare rival products in terms of compatibility, quality, price, and style when making less frequent purchases of goods and services.
A product is anything that can be supplied to a market in order to satiate a customer's need or desire. In marketing, a product is an item, system, or service that is made accessible for consumer usage in response to consumer demand. Products are sometimes referred to as merchandise in the retail sector, and they are purchased as raw materials in the manufacturing sector before being sold as finished goods. A form of product that is also considered is a service. In project management, products are the formally defined project deliverables that include or assist in achieving the project's goals.
Although raw materials like metals and agricultural products are typically considered commodities, anything that is readily available on the open market can also be considered a commodity.
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What are the effects of trade protectionism?.
Trade protectionism leads to a better balance of trade and the protection of industries, but it also leads to a lack of choice
Trade protectionism is the economic practice of limiting imports from other nations using tools like import tariffs, import quotas, and a number of other governmental regulations. Protecting domestic industry from unfair foreign competition is the goal of trade protectionism. The possibility of an improved trade balance and the protection of homegrown growing sectors are benefits of trade protectionism.
However, protectionism also has its drawbacks. Inefficiencies in the economy and a lack of consumer choice are drawbacks. Other nations' retribution is another concern for countries. From an economic sense, trade protectionism is ineffective. According to the theory of comparative advantage, it is more effective for a nation to concentrate its production on the items for which it has a production advantage and import the ones for which it does not.
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If the risk-free rate is 2.2 percent, the inflation rate is 1.9 percent, and the market rate of return is 6.8 percent, what is the amount of the risk premium on a u.s. treasury bill? multiple choice 0% 2.8% .5% 1.7% 4.3%
In this case, the risk-free rate is 2.2 percent and the market rate of return is 6.8 percent. The risk premium is therefore 4.3 percent. The risk premium on a US Treasury bill is the difference between the market rate of return and the risk-free rate.
This means that investors are willing to accept a higher yield on a US Treasury bill to compensate them for taking on the risk associated with investing in the market. The risk premium is calculated by subtracting the risk-free rate from the market rate of return, which in this case is 6.8 percent - 2.2 percent = 4.3 percent. This means that if an investor wants to buy a US Treasury bill, they will have to accept a yield of 6.8 percent, which is 4.3 percent higher than the risk-free rate of 2.2 percent.
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consider a market that can follow just two scenarios, boom or recession. the current share price of a certain stock is $10, which may rise to $12 after one year if there is a boom or come down to $7 in the case of recession. the market currently estimates the probability of recession at 5%. what is the expected return of the stock? the variance of the return? what if the probability of recession increases to 40%
The expected return of the stock over one year is $0.65 or 6.5% of the current stock price.
Assuming that the probability of a boom is 1 - 0.05 = 0.95, the expected return of the stock can be calculated as follows:
Expected return = (0.95 x $12) + (0.05 x $7) - $10 = $0.65
This means that the expected return of the stock over one year is $0.65 or 6.5% of the current stock price.
To calculate the variance of the return, we need to calculate the squared deviation of the return from its expected value, weighted by their respective probabilities, and sum them up. Using the same probabilities, we can calculate the variance as follows:
Variance = (0.95 x ($12 - $10.65)^2) + (0.05 x ($7 - $10.65)^2) = $3.253
If the probability of recession increases to 40%, the expected return and variance of the stock will change as follows:
Expected return = (0.6 x $7) + (0.4 x $12) - $10 = $0.2
Variance = (0.6 x ($7 - $0.2)^2) + (0.4 x ($12 - $0.2)^2) = $8.16
As we can see, when the probability of recession increases, the expected return of the stock decreases and the variance increases, making it a riskier investment.
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The No Doze Cafe coffee shop sells 50 different types of coffee to its patrons. It costs $4 for a cup of coffee. Each day it sells on average 500 cups of coffee. On the weekends it sells closer to 1000 cups of coffee. Here is a breakdown of the shop’s expenses per cup of coffee: Variable Costs Item Amount Coffee/Water $1.50 Paper Cup $0.30 Sweetener $0.20 Fixed Costs Item Amount Labor $100/day per employee Store Space Rent $800/month If the shop sells 1000 cups on Saturday and there are 3 employees working, what is Saturday’s contribution margin?
Answer:
The right response is "$2". A further explanation is given below.
Explanation:
Here Price per cup will be:
= $4 and Variable cost per cup
= cost of coffee + cost of sweetener + cost of paper cup
= \(1.5 + 0.3 + 0.2\)
= \(2\) ($)
The contribution of margin will be:
⇒ \(Contribution \ margin = Price - Variable \ cost\)
On putting the values, we get
⇒ \(=4-2\)
⇒ \(=2\) ($)
Sheridan, Inc. has 2100 shares of 4%,$50 par value, cumulative preferred stock and 42000 shares of $1 par value common stock outstanding at December 31, 2019. The board of directors declared and paid a $3000 dividend in 2019 . In 2020, $29800 of dividends are declared and paid. What are the dividends received by the preferred and common shareholders in 2020 ? Common $5400 $24400 $4200$25600 $149
The preferred shareholders received $5400 in dividends, while the common shareholders received $24400 in dividends in 2020.
To calculate the dividends received by the preferred and common shareholders, we need to consider the dividend distribution based on the number of shares and the dividend rate.
In 2019, the total dividend paid was $3000. Since the preferred stock is cumulative, any unpaid dividends from previous years need to be accounted for before common stockholders can receive dividends. Therefore, all $3000 was paid to the preferred shareholders.
In 2020, the total dividend paid was $29800. The preferred stock has a fixed dividend rate of 4%, and there are 2100 shares. So the total dividend for preferred shareholders in 2020 is 4% of $50 multiplied by 2100, which equals $4200.
The remaining dividend of $29800 - $4200 = $25600 is available for distribution to common shareholders. Since there are 42000 shares of common stock, the dividend per share for common shareholders is $25600 divided by 42000, which equals $0.61 per share. Multiplying this by the number of common shares (42000) gives $25600, the total dividend received by common shareholders in 2020.
Therefore, the dividends received by the preferred and common shareholders in 2020 are $5400 and $24400, respectively.
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What is one way in which a business owner’s personal ethics can affect their ability to run their business? Group of answer choices a diagnosed alcoholic can’t get a liquor license (to run a bar) a juvenile record can be used against you in a job application being found responsible for an oil spill would cause the government to shut an oil company down a criminal record can affect your ability to get a loan
Business owner's personal ethics can affect their ability to run their business in the following ways:
A diagnosed alcoholic can’t get a liquor license (to run a bar).
Being found responsible for an oil spill would cause the government to shut an oil company.
Personal ethics can be defined as the behavioral features associated with a person in association with dealing with other people, society, and performing day to day activities. Personal ethics can be related to professional ethics as personal behavioral characteristics help a person while dealing with professional obstacles, professional personalities, handling employees, running a business, and maintaining name and fame of the organization. An habitual alcoholic will not get the liquor license as prolonged alcohol consumption can deteriorate the mental and physical functioning of the person. Such a person will get opportunity to steal liquor from own shop to satisfy his or her addiction will not be able to run the business. Personal ethics associated with addiction will not help the alcoholic to get the liquor license. Being responsible for oil spill will be responsible for shutting down of oil company is also an example of business owner's personal ethics that can affect the ability to run the business. This is because oil spill will contaminate the water of waterways that can kill aquatic organisms that can be important either commercially or for sustaining biodiversity. Moreover, any harm to biodiversity is subjected to prosecution. So, the personal ethics of negligence of oil spill will get compromised with shutting down of oil company.In the following cases business owner's personal ethics cannot affect their abilities to run their business:
A juvenile record will prevent a person from getting job but he or she can run a small scale business. A criminal record will prevent a person from getting loan from a private or government organization but the person can seek loan from relatives, friends, or small scale private lenders.Learn more about business:
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If an organization has an obligation to pay $25,000 to a supplier two years from now, the present value of the obligation:__________
If an organization has an obligation to pay $25,000 to a supplier two years from now, the present value of the obligation is less than $25,000.
What is the present value?A future sum of money or stream of cash flows' present value, or PV, is its current value at a particular rate of return. The higher the discount rate, the smaller the present value of the future cash flows are, as future cash flows are discounted at the discount rate. The key to accurately valuing future cash flows, whether they be earnings or debt obligations, is determining the right discount rate.
The temporal value of money's fundamental tenet is straightforward: A dollar spent today is worth more than one you will get later. This is so that the money you have now can be invested and increase over time at a rate of return or interest. The money you receive "tomorrow" can't be invested today, so its potential for appreciation is diminished.
Here's a simple method for examining present value. $1,000 multiplied by 1.02 equals $1,020 if you deposit $1,000 today in a savings account earning 2% interest each year. With a 2% interest rate, $1000 represents the present value of $1,020 in a year.
Thus, the Present value is the actual current value of any asset.
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What is pre instruction assessment?.
Pre-assessment gives instructors a means to gain crucial details about what students know and can perform before teaching, as well as about their interests and learning preferences. Pre-assessments may consist of activities to be completed using paper and pencil or maybe performance-based.
Before starting a learning activity, diagnostic tests, often called pre-assessments, give teachers insight into students' prior knowledge and beliefs. They also offer a starting point for determining how much learning has occurred when the learning activity is over.
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Question 10 of 10
Jake is considered to be a warm, friendly person with a lot of energy. He does
not have many strong technical skills. Which marketing career might be best
for him?
A. Marketing manager
B. Graphic designer
O c. Art director
D. Sales representative
Answer: Sales Representative
Explanation:
People who are Sales Representatives are normally people that are likable, just as James
Jake is considered to be a warm, friendly person with a lot of energy. He does not have many strong technical skills. The marketing career might be best for him as a Sales representative. The correct option is d.
What is a sales representative?A sales representative interacts directly with customers throughout all phases of the sales process. They’re responsible for identifying a customer’s needs, pitching relevant products or services, and ensuring they have a positive experience from start to finish.
In some cases, a sales agent will cold call prospects they find through business directories or client referrals. Other times, “warm” leads that have already expressed interest will be sent to them by their company’s marketing team. Being successful requires a mix of both building and maintaining customer relationships and consistently seeking new business opportunities.
A sales representative is typically expected to reach a particular sales quota each month.
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the heart of operations management is the management of production systems. a production system uses to provide goods and services to the customer.
The heart of operations management is the management of production systems. a production system uses input, transformation and output to provide goods and services to the customer.
What is meant by operations management?This is the term that is used to refer to the way that business is being run in a way that efficiency would be increased for an organization. It tells us of the way that the business would convert materials and labor in a way that we would have goods and services.
We can conclude that the heart of operations management is the management of production systems. a production system uses input, transformation and output to provide goods and services to the customer.
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Who developed the Conceptual Framework of Accounting? And what does this framework include?
Answer:
The Accounting Conceptual Framework is a set of accounting objectives and fundamentals, developed by the International Accounting Standards Board to ensure uniformity in interpretation across various accounting methodologies.
Which of the following government agencies regulates financial markets? a. osha b. the irs c. the faa d. the ots
OTS is an agreement in which a defaulting borrower agrees to pay a portion of their debt, it regulates Financial markets.
What exactly is this OTS?OTS is an agreement in which a defaulting borrower agrees to pay a portion of their debt in order to prevent banks from pursuing legal action against them.
Financial markets are regulated by OTS government agencies.
Therefore, option d. explains the OTS.
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Answer:
D
Explanation: