the following information was taken from the accounting records of bbb corporation. work in process inventory, beginning of the year $50,000 cost of direct materials used $260,000 direct labor cost applied to production $140,000 cost of finished goods manufactured $750,000 overhead assigned to production $500,000. compute the amount of total manufacturing cost and the work in process inventory on hand at year-end.

Answers

Answer 1

Work in Process Inventory on hand at year-end = $50,000 + $900,000 - $750,000 = $200,000

Total manufacturing cost = Cost of Direct Materials Used + Direct Labor Cost Applied to Production + Overhead Assigned to Production

Total manufacturing cost = $260,000 + $140,000 + $500,000 = $900,000

Work in Process Inventory on hand at year-end = Beginning of the Year Work in Process Inventory + Total Manufacturing Cost - Cost of Finished Goods Manufactured

Work in Process Inventory on hand at year-end = $50,000 + $900,000 - $750,000 = $200,000

To know more about Work , click here:

https://brainly.com/question/31050706

#SPJ4


Related Questions

which of the following is the first stage in aligning the organization with the market? aligning customer-based units with customers using integrating mechanisms such as segment managers improving alignment through informal lateral integration integrating functions like global account coordinators and market segment specialists

Answers

The improving alignment through informal lateral integration.

This is because informal lateral integration involves breaking down silos within the organization and encouraging communication and collaboration across different departments and teams.

Aligning the organization with the market involves several stages. The first stage is to align customer-based units with customers, which means structuring the organization in such a way that it directly addresses the needs and preferences of its target customer segments.

To know more about  Alignment visit:-

https://brainly.com/question/28240071

#SPJ11

A quantitative stock factor/signal is an unequivocally quantifiable stock characteristic that historically has been able to identify stocks tending to relatively higher future returns and stocks tending to relatively lower future returns.
A. True
B. False

Answers

A. True A quantitative stock factor or signal is a quantifiable characteristic of a stock that has historically been associated with higher or lower future returns. These factors can include things like a company's market capitalization, price-to-earnings ratio, dividend yield, or momentum.

Quantitative analysts use statistical methods to identify and analyze these factors to determine which ones are most predictive of future returns. By incorporating these factors into their investment strategies, investors can potentially generate excess returns above the market benchmark. Therefore, the statement "A quantitative stock factor/signal is an unequivocally quantifiable stock characteristic that historically has been able to identify stocks tending to relatively higher future returns and stocks tending to relatively lower future returns" is true.

Learn More about market capitalization here :-

https://brainly.com/question/31370032

#SPJ11

for many salespeople, the core products that they are selling provide the same features and benefits as those of their competitors. which of the following statements is true regarding this sort of competitive environment?

Answers

Answer:

Explanation:

For many salespeople, the core products that they're selling provide the same features and benefits as those of their competitors. Which of the following statements is true regarding this sort of competitive environment? - The best way to build long-term relationships is to offer superior service quality.

-Thank You By MrIshaan

In a cutthroat climate where salesmen are selling center items with comparative elements and advantages as their rivals, the accompanying assertion is valid:

Separating factors become vital in impacting clients' purchasing choices.

Since the items offer comparable elements and advantages, clients are probably going to put together their buying choices with respect to different variables. These elements could incorporate cost, notoriety, client support, brand steadfastness, comfort, extra administrations, or one of a kind selling suggestions.

Salesmen should stress and feature these separating elements to stand apart from their rivals and persuade clients to pick their item over others.

Learn more about salesmen, from:

brainly.com/question/32444942

#SPJ6

Suppose that the first comic book of a classic series was sold in 1954. In 2000, the estimated price for this comic book in good condition was about $340,000. This represented a return of 27 percent per year. For this to be true, what was the original price of the comic book in 1954?.

Answers

The original price of the comic book in 1954 was $230.43. To find the original price of the comic book in 1954, we can use the formula for compound interest:

Final value = initial value x (1 + interest rate) number of years
In this case, the final value is $340,000, the interest rate is 27% per year, and the number of years is 46 (2000–1954). Let's use P to represent the initial price:
$340,000 = P x (1 + 0.27)^46
Simplifying the equation
$340,000 = P x 1477.98
Dividing both sides by 1477.98:
P = $230.43

Therefore, the original price of the comic book in 1954 was $230.43.

To know more about original price visit:

https://brainly.com/question/14662558

#SPJ11

which of the following factors is unique to b2b markets and is not typically found in b2c markets? a. the use of professional purchasers b. the element of derived demand c. having more buyers for the product d. having a more complicated purchasing process e. having the requirement of standardized procedures

Answers

The factor that is unique to B2B markets and not typically found in B2C markets is the use of professional purchasers. In B2B markets, companies often have dedicated purchasing departments that are responsible for selecting and buying products or services. These purchasers are typically trained professionals who have a deep understanding of the market, the product or service they are buying, and the specific needs of their organization.

In contrast, in B2C markets, consumers typically do not have the same level of training or expertise when it comes to purchasing decisions. While some consumers may have a general understanding of the products they are buying, they are not typically trained professionals who are responsible for making purchasing decisions on behalf of an organization.
The element of derived demand is another factor that is unique to B2B markets. This refers to the fact that the demand for a product or service in B2B markets is often derived from the demand for the final product or service that the company is producing. For example, if a company is producing cars, the demand for the tires, engines, and other components used in the production process is derived from the demand for the cars themselves.
Having a more complicated purchasing process is also common in B2B markets. This is because B2B purchases often involve more complex products and services, higher levels of customization, and longer sales cycles. B2B purchases also typically involve more stakeholders and decision-makers, which can make the purchasing process more complicated and time-consuming.
Finally, B2B markets often have the requirement of standardized procedures. This is because B2B purchases typically involve larger sums of money and greater levels of risk than B2C purchases. As a result, B2B companies often have standardized procedures in place to ensure that the purchasing process is transparent, fair, and efficient. These procedures may include things like formal requests for proposals (RFPs), vendor evaluations, and contract negotiations.
In summary, while there are some similarities between B2B and B2C markets, there are also several factors that are unique to B2B markets. These include the use of professional purchasers, derived demand, a more complicated purchasing process, and the requirement of standardized procedures.

for more such questions on  products

https://brainly.com/question/25922327

#SPJ11

according to the graph of the production possibilities frontier, what is the opportunity cost of the second widget?

Answers

The production possibilities frontier graph represents the various combinations of two goods that a producer can produce using their available resources efficiently.

Along the production possibilities frontier, each point on the curve represents the maximum production level of one good given a certain level of production of the other good. Therefore, the opportunity cost of producing the second widget can be determined by examining the slope of the production possibilities frontier at that point.To calculate the opportunity cost of the second widget, we need to look at the slope of the production possibilities frontier at the point where the production of the second widget occurs. The slope of the production possibilities frontier represents the rate at which one good can be exchanged for another good. Specifically, the opportunity cost of the second widget is the amount of the first widget that must be given up to produce one more unit of the second widget.

we can say that the opportunity cost of the second widget can be found by calculating the slope of the production possibilities frontier at the point where the production of the second widget occurs. This represents the rate at which the two goods can be exchanged, and the opportunity cost of the second widget is the amount of the first widget that must be given up to produce one more unit of the second widget.

To know more  about production possibilities visit:-

https://brainly.com/question/13445534

#SPJ11

in a tight labor market, demand by employers exceeds the available supply of workers, which tends to exert upward pressure on wages

Answers

In a tight labor market, employers are faced with a situation where there are more job vacancies than available workers to fill them. This leads to increased competition among employers for the limited pool of qualified workers, and therefore exerts upward pressure on wages.

When demand for workers exceeds supply, workers are in a better position to negotiate for higher wages and better benefits, since employers need to attract and retain talent in order to remain competitive. This dynamic can result in a virtuous cycle, as higher wages lead to increased consumer spending, which in turn creates more job opportunities and further tightens the labor market. Therefore, in a tight labor market, employers must be prepared to offer competitive wages and benefits in order to attract and retain the best talent. This can be challenging for employers, but it ultimately benefits the economy as a whole by supporting consumer spending and reducing income inequality. In summary, a tight labor market can lead to upward pressure on wages, which benefits both workers and the broader economy.

To know more about Employers visit :

https://brainly.com/question/7979157

#SPJ11

during the heavy christmas shopping season, sales of retail stores, online sales firms, and other merchants rise significantly. a. what would you expect to happen to the market for money during the christmas season? instructions: in each graph, click and drag the appropriate line or lines to answer the questions. b. if the fed took no action, what would happen to nominal interest rates around christmas? nominal interest rates would (click to select) . c. in reality, nominal interest rates do not change significantly in the fourth quarter of the year, due to deliberate fed policy. explain how the fed can ensure that nominal interest rates remain stable around christmas. the fed can ensure that nominal interest rates remain stable by (click to select) .

Answers

During the heavy Christmas shopping season, sales of retail stores, online sales firms, and other merchants rise significantly. This increase in sales means that consumers are spending more money, which ultimately leads to an increase in demand for money. As a result, we would expect to see an increase in the market for money during the Christmas season.

If the Fed took no action, we would expect to see nominal interest rates rise during the Christmas season. This is because an increase in demand for money would lead to a decrease in the supply of money, which would push up interest rates.
However, in reality, nominal interest rates do not change significantly in the fourth quarter of the year due to deliberate Fed policy. The Fed can ensure that nominal interest rates remain stable around Christmas by adjusting the money supply to meet the increased demand for money. This can be done by open market operations, where the Fed buys or sells government securities to adjust the money supply. By increasing the money supply, the Fed can ensure that there is enough money to meet the increased demand, which in turn keeps interest rates stable.
In addition, the Fed can also use other tools such as adjusting the discount rate and reserve requirements to influence the money supply and keep interest rates stable. By carefully managing the money supply, the Fed can ensure that the economy remains stable during the Christmas shopping season and beyond.

for more such questions on  money

https://brainly.com/question/29498634

#SPJ11

a decrease in the sales of a current project because of the launching of a new project is question content area bottom part 1 a. a sunk cost. b. an overhead expense. c. irrelevant to the investment decision. d. cannibalization.

Answers

A decrease in the sales of a current project because of the launching of a new project is cannibalization. The correct answer is d.

Cannibalization refers to the negative impact that a new product has on the sales of an existing product. When a new project is launched, it may take away sales from an existing project, leading to a decrease in revenue and profits for the company. This decrease in sales is relevant to the investment decision as it impacts the cash flows of the project and can affect the overall profitability of the company. Therefore, it is important to consider cannibalization when making investment decisions, especially when launching new projects. Option d is correct.

To know more about sunk costs, here

brainly.com/question/18800447

#SPJ4

--The complete question is, A decrease in the sales of a current project because of the launching of a new project is
a. a sunk cost.
b. an overhead expense.
c. irrelevant to the investment decision.
d. cannibalization.--

suppose that there is only one provider of electrical services in a state. because this provider experiences economies of scale, the government does not want to break it into smaller pieces, but it does want the provider to supply the efficient quantity. which of the following policy options might most effectively enable the government to achieve its objectives in this situation? regulate the pricing behavior of the firm. take no action. turn the company into a public enterprise. enact antitrust laws to increase competition.

Answers

The most effective policy option would be to regulate the pricing behavior of the firm. Regulating the pricing behavior of the firm would allow the government to control the prices charged by the provider and ensure that they are not excessive or anti-competitive.

In a situation where there is only one provider of electrical services in a state, the government may face challenges in ensuring that the provider supplies the efficient quantity without breaking it into smaller pieces. To achieve this objective, the most effective policy option would be to regulate the pricing behavior of the firm. Regulating the pricing behavior of the firm would allow the government to control the prices charged by the provider and ensure that they are not excessive or anti-competitive. This would prevent the provider from exploiting its monopoly power and charging prices that are higher than the efficient level. Additionally, regulating the pricing behavior of the firm would provide incentives for the provider to reduce costs and improve efficiency, which would ultimately benefit consumers in terms of lower prices and higher quality services. Taking no action would not be an effective policy option as it would allow the provider to continue operating as a monopoly, which could result in higher prices and lower quality services. Turning the company into a public enterprise may not be the best solution as it could lead to issues related to bureaucracy and political interference. Enacting antitrust laws to increase competition could be a viable option, but it may not be effective in the short run as it takes time for new firms to enter the market and compete with the existing provider. In conclusion, regulating the pricing behavior of the firm is the most effective policy option for the government to achieve its objectives in a situation where there is only one provider of electrical services in a state. By doing so, the government can ensure that the provider supplies the efficient quantity and prevent it from exploiting its monopoly power.

For more such questions on policy option

https://brainly.com/question/30116585

#SPJ11

Gantner company is considering a capital investment of $300,000 in additional productive facilities. The new machinery is expected to have a useful life of 5 years with no salvage value. Depreciation is computed by the straight-line method. During the life of the investment, annual net income and cash inflows are expected to be $27,000 and $87,000, respectively. Gantner has a 12% cost of capital rate, which is the minimum acceptable rate of return on the investment.

Answers

Gantner company is considering investing $300,000 in additional productive facilities which will consist of new machinery. The machinery is expected to have a useful life of 5 years with no salvage value, and the depreciation will be computed by the straight-line method.


During the life of the investment, Gantner expects to earn an annual net income of $27,000 and cash inflows of $87,000. These figures suggest that the investment is expected to generate a positive return for the  company.
However, in order for the investment to be worthwhile, it must meet Gantner's minimum acceptable rate of return, which is 12%. This means that the investment must generate a return of at least 12% annually to be considered a viable option for Gantner.


Gantner must evaluate the potential return on investment of the new machinery and compare it to their minimum acceptable rate of return of 12%. If the potential return on investment is greater than or equal to 12%, then the investment is viable and Gantner should move forward with the investment.

To know more about Gantner company visit:-

https://brainly.com/question/24214606

#SPJ11

if an activity on the critical path takes longer than planned and falls behind schedule, what effect will this have on the entire project?

Answers

If an activity on the critical path takes longer than planned and falls behind schedule, it will have a significant impact on the entire project. The critical path is the sequence of activities that must be completed on time to ensure the project is completed within the planned timeframe.

Any delay on the critical path will result in the overall project being delayed as well. This delay will also affect the project's cost, as additional resources may be required to catch up on the time lost. Therefore, it's important to closely monitor the critical path and take proactive measures to prevent delays. This includes identifying potential risks and having contingency plans in place to minimize their impact. In summary, any deviation from the planned timeline on the critical path will have a domino effect on the entire project.
If an activity on the critical path takes longer than planned and falls behind schedule, it will have a negative impact on the entire project. The critical path represents the sequence of tasks with the longest duration, and any delay in these tasks will directly affect the project's completion time. This is because the critical path determines the project's minimum duration. Therefore, it is crucial to closely monitor and manage activities on the critical path to ensure the project stays on schedule.

For more information on timeframe visit:

brainly.com/question/4039343

#SPJ11

the government has adopted an emissions tax if it: group of answer choices transfers the ownership of city traffic to a private firm that charges automobile drivers a profit-maximizing price to enter the city center, based in part on the pollution capacity of the atmosphere. charges drivers $0.20 for each unit of automobile emissions. pays drivers $0.20 for each 10% reduction in automobile emissions. specifies the type of catalytic converter to be installed on motorized vehicles to reduce automobile emissions.

Answers

The government has adopted an emissions tax if it, charges drivers $0.20 for each unit of automobile emissions. The correct answer is B).

An emissions tax is a type of environmental tax that aims to reduce pollution by making it more expensive to emit pollutants. By imposing a tax on each unit of emissions, the government creates an incentive for polluters to reduce their emissions in order to avoid paying the tax.

This is an example of a market-based policy that uses economic incentives to encourage environmentally responsible behavior.

Option A is not an emissions tax but rather a congestion pricing scheme. Option C is a subsidy for reducing emissions, which could be considered a type of environmental policy but not an emissions tax. Option D is a regulatory approach that specifies the use of a particular technology to reduce emissions, but it is not an emissions tax.

In contrast, option B directly targets the emissions of automobiles by imposing a tax on each unit of emissions. This tax creates an economic incentive for drivers to reduce their emissions, either by driving less or by using more fuel-efficient or cleaner vehicles.

By doing so, the emissions tax can help reduce air pollution and its associated environmental and health impacts.

The correct answer is B).

To learn more about emissions tax click on,

https://brainly.com/question/24233462

#SPJ4

Complete question is:

the government has adopted an emissions tax if it: group of answer choices

A) transfers the ownership of city traffic to a private firm that charges automobile drivers a profit-maximizing price to enter the city center, based in part on the pollution capacity of the atmosphere.

B) charges drivers $0.20 for each unit of automobile emissions.

C) pays drivers $0.20 for each 10% reduction in automobile emissions.

D) specifies the type of catalytic converter to be installed on motorized vehicles to reduce automobile emissions.

which of the following is not one of the six questions that comprise the task of evaluating a company's resources and competitive position?

Answers

The task of evaluating a company's resources and competitive position is crucial for any organization to survive in a competitive marketplace.

It involves analyzing the company's internal and external environment and identifying the strengths and weaknesses of the organization. The six questions that comprise this task are as follows:
1. What are the company's resources and capabilities?
2. What is the company's competitive advantage?
3. What is the company's value chain?
4. Who are the company's competitors, and what are their strengths and weaknesses?
5. What is the company's industry structure?
6. What is the company's position in the industry?

Out of these six questions, none of them can be excluded from the task of evaluating a company's resources and competitive position. Each question plays a vital role in providing insights into the company's strengths and weaknesses, identifying opportunities for growth, and developing strategies to maintain a competitive advantage.

In conclusion, evaluating a company's resources and competitive position is a complex task that requires a thorough analysis of the organization's internal and external environment. By answering the six questions mentioned above, a company can gain a better understanding of its strengths and weaknesses, identify areas for improvement, and develop strategies to maintain its competitive advantage in the marketplace.

To know more about Company visit :

https://brainly.com/question/29772643

#SPJ11

a taxpayer purchased a home for $450,000. one year later, the taxpayer's employer relocated the taxpayer to a city 100 miles away. the taxpayer sold the home for $525,000. what amount of gain, if any, will the taxpayer recognize for federal tax purposes?

Answers

The taxpayer may be able to exclude the gain from the sale of their home if they meet certain criteria.

If the taxpayer meets the ownership and use tests, they may be able to exclude up to $250,000 ($500,000 if married filing jointly) of the gain from the sale of their primary residence. The ownership test requires that the taxpayer owned the home for at least two out of the five years prior to the sale, and the use test requires that the taxpayer lived in the home as their primary residence for at least two out of the five years prior to the sale.

Assuming the taxpayer meets these tests, they would not have to recognize any gain for federal tax purposes. However, if they do not meet these tests, they would need to calculate their gain by subtracting their adjusted basis in the home (which includes the purchase price, any improvements, and certain other expenses) from the selling price. The resulting gain would be subject to capital gains tax.

Learn more about capital gains tax: https://brainly.com/question/28180097

#SPJ11

true or false: because swaps are private agreements between parties, they can be highly customized. true false

Answers

The given statement "Swaps are private agreements between parties, which allows for a high level of customization" is true because a swap is a financial derivative contract in which two parties agree to exchange a series of cash flows, typically over a specified period.

The customization aspect of swaps is a key advantage, as it enables the parties involved to tailor the contract to their specific needs and risk preferences. For example, interest rate swaps are a common type of swap where one party agrees to pay a fixed interest rate on a specified amount, while the other party agrees to pay a floating interest rate on the same amount.

The terms, such as notional principal amount, payment dates, and interest rate calculations, can be adjusted according to the parties' requirements. Similarly, currency swaps involve the exchange of cash flows in different currencies, and the parties can customize the exchange rates, payment dates, and other terms to suit their needs.

In conclusion, the private and customizable nature of swaps enables parties to manage their financial risks more effectively, catering to their specific needs and preferences.

For more about private agreements:

https://brainly.com/question/31261182

#SPJ4

given the following balance sheet and income statement data for the year ended december 31, what is the final figure for the numerator in the formula for the days' cash on hand? line item description amount cash $300,000 short-term investments 430,000 accounts receivable 830,000 total operating expenses 640,000 depreciation expense 120,000

Answers

final figure for the numerator in the formula for the days' cash on hand is $1,560,000.

To calculate the days' cash on hand, we need to use the following formula:
Days' Cash on Hand = (Cash + Short-term Investments + Accounts Receivable) / (Total Operating Expenses / 365)
Given the balance sheet and income statement data provided, we have the following amounts:
- Cash = $300,000
- Short-term Investments = $430,000
- Accounts Receivable = $830,000
- Total Operating Expenses = $640,000
- Depreciation Expense = $120,000
To find the final figure for the numerator in the days' cash on hand formula, we need to add up the cash, short-term investments, and accounts receivable. So, the numerator is:
Numerator = Cash + Short-term Investments + Accounts Receivable
Numerator = $300,000 + $430,000 + $830,000
Numerator = $1,560,000

To know more about cash visit:

brainly.com/question/19538076

#SPJ11

laura owns and operates meditation center without creating a separate business organization. she receives all the profits from the fees for the classes and the sales of the center's merchandise. this is most likely

Answers

It seems like Laura owns and operates a meditation center without creating a separate business organization. In this scenario, Laura receives all the profits from the fees for the classes and the sales of the center's merchandise. This is most likely a sole proprietorship.

A sole proprietorship is the simplest and most common type of business organization. In this structure, the owner (in this case, Laura) has full control over the operations and decision-making processes of the business. Laura is also personally responsible for any debts or liabilities the meditation center may incur.

As a sole proprietor, Laura would report her income from the meditation center, including profits from both the class fees and merchandise sales, on her personal income tax return. This simplifies the tax filing process compared to other business structures.

In summary, Laura's meditation center is likely operating as a sole proprietorship since she has not created a separate business organization and retains all profits from the center's operations. This structure provides Laura with complete control over her business while simplifying tax reporting.

For more information on sole proprietorship visit:

brainly.com/question/1428023

#SPJ11

Which of the following would be classified as a differentiated product produced by a monopolistic competitor? A. natural gas B. pizza C. electricity D. tap water

Answers

Out of the given options, pizza would be classified as a differentiated product produced by a Monopolistic competition

Pizza can be produced with a variety of toppings and crust styles, which allows for product differentiation and provides consumers with different options to choose from. In contrast, natural gas, electricity, and tap water are typically not differentiated and are considered commodities.

Monopolistic competition is a market structure in which many firms sell products that are similar but not identical. In this market structure, firms have some degree of market power, meaning they can raise their prices without losing all their customers. To differentiate their products from those of their competitors, firms engage in non-price competition, such as advertising, product design, and packaging.

To learn more about Monopolistic competition, visit here

https://brainly.com/question/29407851

#SPJ4

Answer:

The correct answer for those question is pizza

Explanation:

if there is an answer option for Channel No.5 that is the correct

____is an organizational structure in which an organization is organized more as a network than as a hierarchy.

Answers

A flat organisation

A flat organisation is one that is more network-based than hierarchical in its organisational structure.

In a flat organisation, there are fewer levels of management and more autonomy and decision-making power given to employees. This structure is often associated with more agile, innovative, and collaborative organisations. In a flat organisation, employees have more freedom to make decisions and take action without needing to go through multiple levels of management for approval. This can lead to quicker decision-making, more flexibility, and increased creativity and innovation. However, a flat organisation may also lead to a lack of clarity and direction, as well as difficulty in maintaining consistent policies and procedures across the organisation. It may also be more challenging to ensure accountability and monitor performance in a flat organisation. Overall, the choice of organisational structure depends on the goals and values of the organisation, as well as the nature of the industry and market in which it operates.

To learn more about flat organisation visit:

https://brainly.com/question/30999739?referrer=searchResults

#SPJ4

when an externality is present, the market equilibrium isa. inefficient, and the equilibrium does not maximize the total benefit to society as a wholeintained yard best conveys the general nature of the externality?

Answers

An externality is a cost or benefit that affects a party who did not choose to incur that cost or benefit. When an externality is present, the market equilibrium is typically inefficient.

This is because the price and quantity determined by the market do not reflect the full social cost or benefit of the good or service. In other words, the equilibrium does not maximize the total benefit to society as a whole. For example, if a factory pollutes the air, the market price of the goods it produces does not reflect the cost of the pollution. As a result, the quantity of the goods produced will be too high and the pollution will be too high as well. To address this, policymakers can use various tools to internalize the externality, such as imposing a tax on the polluter or providing subsidies to those who reduce pollution. Maintained yard is not a relevant term in this context, as it does not convey the general nature of the externality.

To know more about externality visit:

https://brainly.com/question/24233609

#SPJ11

question content areaa 10-year bond was issued at par for $250,000 cash. this transaction should be shown on a statement of cash flows as a(n)

Answers

The issuance of a 10-year bond at par for $250,000 cash should be reported in the financing activities section of the statement of cash flows as a cash inflow.

The transaction of issuing a 10-year bond at par for $250,000 cash should be shown on a statement of cash flows as a financing activity. This is because issuing bonds is a common financing activity that involves raising capital through debt instruments. When a company issues bonds, it receives cash from investors who buy the bonds, which is recorded as an inflow of cash.  The statement of cash flows is a financial statement that shows how a company generated and used its cash during a specific period. It is divided into three sections: operating activities, investing activities, and financing activities. The financing activities section reports cash inflows and outflows related to the company's financing activities, such as issuing bonds, repaying debt, and paying dividends. It is important for investors and stakeholders to understand how a company is financing its operations and growth, and the statement of cash flows provides valuable information on the company's cash flow activities.

to know about  financing activities visit:

https://brainly.com/question/16377227

#SPJ11

in the context of goods contracts, when an individual tenders performance, it means that the individual is

Answers

In the context of goods contracts, when an individual tenders performance, it means that the individual is willing to complete the promise as conferred in the contract.

When someone tenders performance in the context of a goods contract they are expressing their willingness to carry out their contractual obligations, usually by delivering the promised goods. In other words offering or attempting to carry out a contractual obligation is known as "tendering performance."

The other party has the option to accept or reject the offer once performance has been tendered. If the offer is accepted, the deal is done, and the parties are released from any further contractual obligations. The party who tendered performance may be in breach of the agreement and be subject to repercussions if the offer is rejected.

Learn more about contract at:

brainly.com/question/984979

#SPJ4

Olivia, a 9-year-old girl, has no record of ever receiving an influenza vaccination. She has a fear of needles. The only medication she receives on a regular basis is albuterol. Which of the following would be an appropriate recommendation for an influenza vaccination for olivia?.

Answers

Influenza vaccination is highly recommended for children aged 6 months and above to protect them from getting infected with the flu virus.

Olivia, a 9-year-old girl, has not received an influenza vaccination before and is afraid of needles. It is important to note that the influenza vaccine can be administered as a nasal spray, which may be a better option for Olivia if available. It is also important to address Olivia's fear of needles by providing her with support and reassurance. Additionally, since Olivia is receiving albuterol, a medication used to treat asthma, she may be at higher risk of complications from influenza.

Therefore, getting vaccinated is important for her overall health and well-being. It is recommended that Olivia receive an influenza vaccination as soon as possible, preferably before the start of the flu season.

To know more about Influenza visit

https://brainly.com/question/29386358

#SPJ11

All the following are outputs of the Create WBS process except: A. Updates to the requirements documentation. B. Scope baseline. C. WBS dictionary. D. Change requests

Answers

With the exception of updates to the requirements documentation, all of the following are products of the Create WBS process. Here option A is the correct answer.

The Create WBS process is part of the project scope management knowledge area in the Project Management Body of Knowledge (PMBOK) and is used to create a detailed and comprehensive work breakdown structure (WBS) for a project. The WBS is a hierarchical decomposition of the project scope into smaller, more manageable components, and it serves as a key input to many other project management processes.

Updates to the requirements documentation. This is because the Create WBS process is focused on creating the WBS and related WBS dictionary, which are used to organize and define the work required to complete the project scope. The process does not typically result in updates to the requirements documentation.

The Creates WBS process is a critical step in developing a comprehensive project plan and managing the project scope, and it typically results in a WBS, WBS dictionary, scope baseline, and potentially change requests, but not updates to the requirements documentation.

To learn more about Project Management

https://brainly.com/question/31167082

#SPJ4

- the value of the hotel, should the city be awarded the franchise, is not $8 million but instead is $5.95 million. using this new value of the hotel, what is the npv of the project assuming that the probability of the city being awarded the franchise is 30%?

Answers

The NPV of the project, using the new value of the hotel at $5.95 million and assuming a 30% probability of the city being awarded the franchise, is negative.

NPV stands for Net Present Value, which is a financial metric used to determine the profitability of a project by comparing the present value of its expected cash inflows and outflows. A positive NPV indicates that the project is expected to generate a profit, while a negative NPV suggests that the project will result in a loss.

Without knowing the expected cash inflows and outflows, it's not possible to calculate the exact NPV. However, given the lower value of the hotel and the uncertain probability of the city being awarded the franchise, it's likely that the NPV would be negative.

To know more about franchise visit:-

https://brainly.com/question/29376853

#SPJ11

What type of insurance does a nonprofit organization need.

Answers

A nonprofit organization typically needs several types of insurance coverage to protect its assets and operations.

What does it have?

The most essential insurance policies for nonprofits include general liability insurance, property insurance, and directors and officers (D&O) insurance.

General liability insurance covers bodily injury and property damage caused by the nonprofit's operations or activities. Property insurance covers damage to the organization's property caused by fire, theft, or other perils. D&O insurance protects board members and officers from personal liability for decisions made on behalf of the nonprofit.

Nonprofits may also need other types of insurance coverage, such as workers' compensation insurance for employees and event cancellation insurance for special events.

Hence,  It's important for nonprofit organizations to work with an experienced insurance agent to determine the specific types and amounts of insurance coverage they need.

To know more about insurance visit:

https://brainly.com/question/27822778

#SPJ11

you have decided to save $1,000 per year toward your retirement. you estimate you will retire in 20 years. if you invest in the vanguard total stock market index fund (vtsax) you can expect to earn a return of 10% each year for the next 20 years. assume annual compounding of returns. estimate how much money you will have in 20 years if all returns are reinvested into more shares of the fund. (hint: the reinvested returns are part of the compounding)

Answers

If you save $1,000 per year and earn a 10% annual return for retirement by investing in the Vanguard Total Stock Market Index Fund, you can expect to have approximately $67,275 in 20 years, assuming all returns are reinvested.

The future value of the investment, we can use the formula for the future value of an annuity with regular contributions and compound interest:

FV = [tex]PMT x [(1 + r)^n - 1] / r[/tex]

here:

PMT = the regular contribution (in this case, $1,000 per year)

r = the annual interest rate (10% in this case)

n = the number of years (20 in this case)

FV = [tex]$1,000 x [(1 + 0.10)^20 - 1] / 0.10[/tex]

FV = $1,000 x [6.7275] / 0.10

FV = $67,275

Therefore, if you save $1,000 per year and earn a 10% annual return by investing in the Vanguard Total Stock Market Index Fund, you can expect to have approximately $67,275 in 20 years, assuming all returns are reinvested.

Learn more about retirement Visit: brainly.com/question/28128413

#SPJ4

Johnston, Inc., engaged in the following transactions involving treasury stock. Feb. 10 Purchased for cash 17,000 shares of treasury stock at a price of $30 per share. June 4 Reissued 6,000 shares of treasury stock at a price of $41 per share. Dec. 22 Reissued 4,000 shares of treasury stock at a price of $22 per share. a. Prepare general journal entries to record these transactions. b. Compute the amount of retained earnings that should be restricted because of the treasury stock still owned at December 31.

Answers

The amount of retained earnings that should be restricted because of the treasury stock still owned on December 31 is $176,000. The amount of retained earnings that should be restricted is equal to the cost of the treasury stock still owned.

a. The general journal entries to record the treasury stock transactions are as follows:

Feb. 10

Treasury Stock 510,000

Cash 510,000

(To record the purchase of 17,000 shares of treasury stock at $30 per share)

June 4

Cash 246,000

Treasury Stock 246,000

(To record the reissuance of 6,000 shares of treasury stock at $41 per share)

Dec. 22

Cash 88,000

Treasury Stock 88,000

(To record the reissuance of 4,000 shares of treasury stock at $22 per share)

b. The amount of retained earnings that should be restricted because of the treasury stock still owned at December 31 can be computed using the cost method of accounting for treasury stock. The amount of retained earnings that should be restricted is equal to the cost of the treasury stock still owned.

The total cost of the treasury stock purchased on February 10 is $510,000. The total cost of the treasury stock reissued on June 4 and December 22 is $246,000 and $88,000, respectively. Therefore, the total cost of the treasury stock still owned at December 31 is $510,000 - $246,000 - $88,000 = $176,000.

Thus, the amount of retained earnings that should be restricted because of the treasury stock still owned at December 31 is $176,000.

To know more about retained earnings refer here:

https://brainly.com/question/30702029#

#SPJ11

Gopher Excavators produces shovels in a small factory and sells the shovels in a competitive price-taker market. The following table shows the company's production function:

Answers

Shovels are manufactured by Gopher Excavators in a small factory and sold in a cutthroat marketplace. Because competing firms pressure them to accept the market's current equilibrium price, a perfectly competitive firm is referred to as a price taker.

A company will lose all of its sales to rivals if it increases the price of its product by even a penny in a highly competitive market. The agriculture market is an illustration of a market that is completely competitive. Businesses engaged in the agricultural industry are price takers because The products are uniform; a bushel made by one farmer is roughly the same as a bushel made by another. There is no brand loyalty as a result.

To learn more about company, click here.

https://brainly.com/question/30532251

#SPJ4

Other Questions
T/F Recognizing sales returns when merchandise is returned could result in an overstatement of income in the period of the related sale. the outermost layer of a virion fulfills which of the following functions of the virus? which of the following characteristics of a microorganism can be readily determined by directly observing the stained microorganism through a light microscope? If the concentrations of a weak acid and its conjugate base are increased from 0.1 M and 0.05 M, respectively, to 0.2 Mand 0.1 M, the solution's buffer capacity will _________.Select the correct answer below:increasedecreaseincrease and then decreaseremain constant We suspect that automobile insurance premiums (in dollars) may be steadily decreasingwith the driver's driving experience (in years), so we choose a random sample of driverswho have similar automobile insurance coverage and collect data about their ages andinsurance premiums.A. matched pairs t-testB. two-sample t-testC. ANOVAD. chi-squared test for independenceE. inference for regression What kind of business do Carine and her husband operate? A galvanic cell is powered by the following redox reaction:4Fe3+(aq) + N2H4(aq) + 4OH(aq) 4Fe2+(aq) + N2(g) + 4H2O(l)Answer the following questions about this cell. If you need any electrochemical data, be sure you get it from the ALEKS Data tab. Write a balanced equation for the half-reaction that takes place at the cathode. Write a balanced equation for the half-reaction that takes place at the anode. Calculate the cell voltage under standard conditions. Round your answer to 2 decimal places. E^0=VN2 (g) + 4H2O (l) + 4e 4OH (aq) + N2H4 (aq)1. 16Fe3+ (aq) + e Fe2+ (aq)0. 771 Need the right answers please in enders game the book why did the wiggin family move to the country? When Chris corresponded with his sister, what did he confide to her? Why is the aggregate demand curve downward sloping?. 7 root 98 + 3 root 242 divided by 6 root 50 if the spacing between planes of atoms in a nacl crystal is 0.281 nm, what is the predicted angle at which 0.148-nm x-rays are diffracted in a first-order maximum? Two schedules for giving rest were compared--the massed schedule and the spaced schedule. Twenty observations of the spaced schedule produced a mean of 26 errors. On the massed schedule 14 observations resulted in a mean of 36 errors. An a level of .05 was adopted and an F = 4.21 was obtained. What conclusion is appropriate? Which country is home to the city of obama and obama bay?. FILL IN THE BLANK. the term used to describe issues with causes and effects that extend beyond national borders is__________. for which of the following would a diverse team be better than a homogeneous team? multiple choice on tasks requiring a high degree of cooperation in situations where the team must reach the performing stage of team development quickly in finding viable solutions to difficult problems in most organizational activities as they will have fewer conflicts Limb Ischemia (ACUTE ARTERIAL OCCLUSION) can someone please help me what is 11 1/8 + 2 3/4??? please show the red-black trees that result after successively inserting the keys 25; 20; 15; 26 into an initially empty red-black tree. you need to show the results after inserting each node, identify the case of any violation, and describe how it is fixed.