abc company has completed the basic format to be used in preparing the statement of cash flows (indirect method). listed below in random order are line items to be included in the statement of cash flows. purchase of equipment $ 2,300 decrease in inventory 273 increase in prepaid rent 100 payment of dividends 340 depreciation expense 134 increase in accounts receivable 500 increase in accounts payable 210 gain on sale of land 101 net income 1,060 repayment of notes payable 503 cash received from the sale of land 37 issuance of common stock 2,420

Answers

Answer 1

The cash flow for the ABC company from financing activities is $1587.

What is cash flow?

The total net cash inflow and outflow for a specific time period make up a company's cash flow. A positive cash flow is necessary for a business to stay in business. For investors to receive value, positive cash flows are also required. The standard reporting period used to track cash flow is often a month, quarter, or year. The total net cash inflow and outflow for a specific time period make up a company's cash flow. A positive cash flow is necessary for a business to stay in business. For investors to receive value, positive cash flows are also required.

Cash flow from Financing Activities

Payment of dividends                             (360)

Issuance of common stock                    2,440

Repayment of notes payable                  (493)

Net cash flow by financing activities      1,587

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Related Questions

you are recalculating the risk of a specific stock in relation to the market index, and you find that the ratio of the systematic variance to the total variance has fallen. you must also find that the .

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You are re-calculating the risk of a specific stock in re-lation to the market index, and you find that the ratio of the system-atic variance to the total variance has fallen. You must also find that the cor-relation coefficient bet-ween the specific stock and the mark-et has risen.

What Is a Market Index?

A mark-et index is a hypothetical port-folio of investment holdings that represents a seg-ment of the financial market. The calculation of the index va-lue comes from the prices of the under-lying holdings. Some ind-exes have values bas-ed on market-cap weight-ing, revenue-weighting, float-weighting, and fund-amental-weighting. Weighting is a method of adjust-ing the indivi-dual impact of ite-ms in an index.

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Which of the following is the value of a country's external wealth at the end of 2016 if its external wealth was –$1 billion at the end of 2015 and its trade balance was $500 million in 2016? Assume the world interest rate is 10% per annum.
A) –$1.5 billion B) –$1.6 billion C) –$0.6 billion D) –$0.4 billion
Please show your work. Thanks

Answers

B) –$1.6 billion

The value of a country's international investment position at the end of 2016 can be calculated by considering the international investment position at the end of 2015, the trade balance in 2016 and the interest rate at the end of 2015 on the international investment position. The calculation is made by adding the end-2015 international investment position to the 2016 trade balance and the interest rate of the end-2015 international investment position. In this case, the value of overseas assets at the end of 2015 was minus $1 billion, the trade balance in 2016 was $500 million, and the global interest rate was 10% per annum. Therefore, the value of the country's external assets at the end of 2016 is -1.6 billion USD.

Calculation:

2016 year-end foreign assets = 2015 year-end foreign assets + 2016 trade balance + 2015 year-end foreign assets interest

= -$1 billion + $500 million + (-$1 billion * annual rate 10%)

= -$1.6 billion

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the following is a partial trial balance for the green star corporation as of december 31, 2024: account title debits credits sales revenue $ 1,300,000 interest revenue 33,000 gain on sale of investments 53,000 cost of goods sold $ 720,000 selling expenses 175,000 general and administrative expenses 78,000 interest expense 43,000 income tax expense 133,000 required: prepare a single-step income stat 1. Prepare a single-step income statement for 2024, including EPS disclosures 2. Prepare a multiple-step income statement for 2024, including EPS disclosures Complete this question by entering your answers in the tabs below. Required 1 Required 2 Pracare a single-step income statement for 202. Including EPS disclosures. Round ERS answer to z decimalla

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a)To see the table of Preparation of a single-step income statement

b) To see the table of Preparation of a multi-step income statement

EPS Disclosure:

EPS disclosure refers to a requirement of a business entity to furnish the amount it is generating on each stock it has issued. If an entity discontinues its operation, a distinct disclosure is required for the same.

(1): Preparation of a single-step income statement:

Particulars                                 Amount ($)                         Amount ($)

Sales revenue                          $1,300,000

Interest revenue                          $33,000

Gain on sale of investments          $53,000

Total revenue and gains                                          $1,386,000

Deduct: Expenses and losses:  

Cost of goods sold                   $720,000

Selling expenses                            $175,000

General and administrative expenses $78,000

Interest expense                               $43,000

Income tax expense                      $133,000

Total expenses and losses                                        $(1,149,000)

Net income                                                                 $237,000

EPS ($237,000/100,000)                                        $2.37

(2): Preparation of a multi-step income statement:

Particulars                                        Amount ($)                  Amount ($)

Sales revenue                                                                $1,300,000

Deduct: Cost of goods sold                                                $(720,000)

Gross profit                                                                         $580,000

Deduct: Operating expenses:  

Selling expenses                                $175,000

General and administrative expenses $78,000

Total operating expenses                                                  $(253,000)

Operating income                                                                   $327,000

Other income/expenses:  

Interest revenue                                 $33,000  

Gain on sale of investments               $53,000

Interest expense                              $(43,000)

Total other income/expenses                                         $43,000

Income before income tax                                                 $370,000

Deduct: Income tax                                                        $(133,000)

Net income                                                                        $237,000

EPS ($237,000/100,000)                                                $2.37

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operations managers: control about three-fourths of firm's assets work closely with people in marketing, finance, accounting, and human resources departments help to decide which products the company should produce face the challenge of combining people and other resources to produce high-quality products are accurately described by all of the above

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Celebrities typically do or say things that cause them to lose quality or that may injure the image of the whole the celebrities square measure endorsing.

Market segmentation will assist you to outline and higher perceive your target audiences and ideal customers. If you are a merchandiser, this permits you to spot the correct marketplace for your product and so target your promotion effectively.

Segmenting your target market will assist you discover opportunities to form customized campaigns. The information permits you to know the requirements, preferences, and reasons for client behavior. this manner you'll build methods that market towards the necessity of various segments rather than a one-size-fits-all.

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Collusion happens when suppliers come together to fix prices and output in order to manipulate the marketplace. This activity is perfectly legal in the United States.
true or false

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Collusion is an act of suppliers coming together fixing prices and output in order to manipulate the marketplace. This activity is legal in the United States. This statement is false.

Collusion is defined as a practice of conspiracy or illegal formal or informal agreement between corporations, suppliers, or manufacturers to manipulate their customers either by controlling output or fixing prices of certain goods and services in order to increase their profits. Collusion is an illegal act in the United States and will result in criminal prosecution by the United States Department of Justice under the antitrust law.

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Randolph and Tammy own a second home. They spent 45 days there and rented it for 88 days at $159 per day during the year. The total costs relating to the home include the following: (Round your intermediate computations to 5 decimal places and final answers to nearest whole dollar value).
Mortgage interest $ 4,680
Property taxes 1,290
Insurance 1,935
Utilities 2,435
Repairs 1,545
Depreciation 6,680
a)What is the tax treatment of these items relating to second home under Tax Court allocation method?
b) What is the tax treatment of these items relating to second home under IRS allocation method?
c) Which of the methods is preferred?

Answers

A- compute the net income under tax court allocation as follows

Total deductions is $6,532, Net rental income is $4,219  

Note: Total days = 133 days (88 rental days + 45 personal use days)

B:  the net income under IRS allocation as follows Total deductions is $4,021,Net income is $1,708  

C: In this situation, the IRS allocation technique methods is preferred . A deduction is allocated (or attributed, matched, etc.) to the class or classes of gross income to which it is unquestionably related after first identifying the relevant class of gross revenue. The standards applied to decide whether a deduction is. The IRS technique divides the total number of days used (rental days plus personal days) by the number of days rented.

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The original plan for the project was for it to last one year at a cost of $100,000. Using the following information, calculate SPI, ETC, and EAC:
Planned Value: $45,000
Earned Value: $37,000
Cost variance: $12,000

Answers

Estimated at Completion (EAC) = (Total Project Budget)/CPI, which equals $100,000 divided by 1.11, or $90,000.

$45,000 is the planned value (PV).

(AC) Actual Cost = $45,000

Earned Value (EV) is equal to $50,000 ($100,000 * 0.5).

Schedule Variance (SV) = EV-PV = $50,000 - $55,000 = -$5,000 (unfavorable since 0)

Schedule Performance Index (SPI) = EV/PV = $50,000/$55,000 = 0.91 (unsatisfactory due to 1)

Cost Variance (CV) equals EV – AC, or $50,000 – $45,000, or $5,000 (good because >0).

EV/AC = $50,000/$45,000 = 1.11 (excellent because >1) is the Cost Performance Index (CPI).

Estimated at Completion (EAC) = (Total Project Budget)/CPI, which equals $100,000 divided by 1.11, or $90,000.

The project is seen as being behind time because SV is negative and SPI is 1. Although the project is only 50% complete, we have budgeted for 55% of the costs to be incurred. The second half of the project will need to play catch-up.

The project is regarded as being under budget because the CV is positive and the CPI is greater than 1. We have completed 50% of the project, but only 45% of our budget has been used up to this point. The project's total cost (EAC), as opposed to our initial budget of $100,000, will only be $90,000 if it proceeds at this rate.

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Suppose economists found that in 2006 factories were at 80% capacity, in 2007 at 70% capacity, and in 2008 at 60% capacity, what would happen when this information became publicly available?Aggregate demand would shift left

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If economists discover that factories operated at 80% capacity in 2006, 70% in 2007, and 60% in 2008, the aggregate demand will move to the left if this knowledge is made accessible to the general public.

The aggregate demand curve frequently shifts to the left when total consumer spending decreases. Consumers may spend less as a result of rising living costs or increased taxes.

The equilibrium production quantity and price level will decrease if the aggregate demand curve changes to the left. Where the AD curve meets the AS curve determines whether equilibrium output varies comparatively more than the price level or if the price level changes relatively more than output.

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maria, who owns a 50% interest in a restaurant, has been a material participant in the restaurant activity for the last 20 years. she retired from the restaurant at the end of last year and will not participate in the restaurant activity in the future. however, she continues to be a material participant in a retail store in which she is a 50% partner. the restaurant operations produce a loss for the current year, and maria's share of the loss is $80,000. her share of the income from the retail store is $150,000. she does not own interests in any other activities.

Answers

Maria might compare the $150,000 in revenue from the retail store versus the $80,000 loss.

Maria has worked for the restaurant company for more than 5 years as of the present. She participates actively as a result. She can therefore use the $150,000 in revenue from the retail business to offset her active loss in her active activity, which is the restaurant.

Customers of retail enterprises purchase goods or services for their own use, enjoyment, or consumption. However, some products may be sold online as well as over the phone as well as then shipped to the consumer. They typically sell goods and services in person.

A retail business sells goods and services to customers in modest quantities, either in-person or online. Main types of retail include grocery, clothes, and medicine stores.

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Answer the question on the basis of the following table in which columns 1 & 2 indicate the transactions demand (Dt) for money and columns 1 & 3 show the asset demand (Da) for money:
(1)Interest Rate (2)Dt (3)Da
12% $100 $0
10 100 20
8 100 40
6 100 60
4 100 80
2 100 100
The given data suggests that the amount of money that society wishes to hold as an asset:
A.) Varies directly with the interest rate
B.) Varies inversely with the interest rate
C.) Varies inversely with Nominal GDP
D.) is independent of the interest rare

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the correct answer of the given question is option D which is 'is independent of the interest rate'

An interest rate is the amount of interest that is payable each period stated as a proportion of the amount lent, deposited, or borrowed (called the principal sum). The principal amount, interest rate, frequency of compounding, and duration of the loan, deposit, or borrowing determine the total amount of interest on a sum that was lent or borrowed.

The annual interest rate is the rate of interest that is calculated over a year. Other interest rates, which are often annualized, are applicable over shorter time periods, such a day or a month.

The interest rate "is an indication of the preference for a dollar of present [income] over a dollar of future [income]," according to one definition.

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Question:
If the MARR is 12%, compute the value of X that makes the two alternatives equally desirable.
A B
Cost $800 $1000
Uniform annual benefit 230 230
Useful life, in years 5 X
Definition Of Useful Life:
An asset's useful life is the period of time in years or the total amount of activity for which the asset will be economically feasible for use in a business operation. Useful life can be used to estimate the depreciation of an asset.

Answers

The value of X is 6.9 (in years).

The useful life of an asset is the estimating number of years it can remain in service for the purpose of generating cost-effective income. The Internal Revenue Service (IRS) uses a number of useful calculations to determine the amount of time an asset can be depreciated. There are many factors that can affect useful life estimates, including usage patterns, the age of the asset at the time of purchase and technological advances.

As per the given data,

we need to find out the value of 5X

According to question,

it is given that,

If the MARR is 12%, the two alternatives equally desirable.

                             A        B

Cost                   800       1000

Uniform

annual benefit  230        230

Useful life             5            X

We know that,

(EUAB - EUAC) A

Where, EUAB= Equivalent Uniform Annual Benefit.

           EUAC=Equivalent Uniform Annual Cost.

= 230 - 800 (A/P, 12%, 5) = 8.08

Putting,

(EUAB -EUAC) B = 8.08 to find the value of x, we have

(EUAB - EUAC) B = 230 - 1,000 (A/P, 12%, x) = 8.08

(A/P, 12%, x) = (230 - 8.08)/1,000 = 0.2219

From the compound interest table, the value of x at 12% will be = 6.9 yrs

Hence, the value of X is 6.9 years.

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________ policy is when a central bank acts to decrease the money supply in an effort to control an economy that is expanding too quickly.
Expansionary monetary
Expansionary fiscal
Countercyclical monetary
Contractionary monetary
Contractionary fiscal

Answers

Contractionary monetary policy is when a central bank acts to decrease the money supply in an effort to control an economy that is expanding too quickly. Thus, option (d) is correct.

What is economy?

The mechanism through which a nation or region organizes its money, industry, and trade is concerned to as its “economy.” The economy is the important part of the country. The primary sector of the economy is the industrial sector and agriculture sector. The family (consumption) and company (product sales) are both parts of the economy.

Contractionary monetary policy reduces a country's supply of money in order to control inflation and maintain the economy in balanced. A central bank will almost certainly raise interests rates in an attempt to curb the expansion of currency and prices.

Therefore, option (d) is correct.

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a fire completely destroyed a warehouse owned by della company and used for nine years in its shipping business. della's adjusted basis in the warehouse was $748,200, and its replacement value was $1 million. unfortunately, the warehouse was uninsured. as a result of the destruction, della recognizes:

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If a warehouse owned by Della Company and used for nine years in its shipping business was destroyed by fire and was uninsured, Della would recognize a loss on the destruction of the warehouse.

The loss would be equal to the difference between the adjusted basis of the warehouse (which is $748,200) and its replacement value (which is $1 million). Therefore, Della would recognize a loss of $251,800 ($1 million - $748,200) as a result of the destruction of the warehouse. It's worth noting that this loss may be tax-deductible, depending on the circumstances of the destruction and Della's tax situation. Della should consult with a tax professional or refer to relevant tax laws to determine whether the loss is tax-deductible.

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the two distinctly different types of franchise systems are_____ franchise and______ franchise.

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The two distinctly different types of franchise systems are product trademark franchise and business format franchise.

Give a brief account on Franchise systems.

A franchise (or franchising) is a method of selling goods or services that includes a franchisor who develops the brand's trade name and business model and a franchisee who pays a royalty and frequently an upfront fee to use the franchisor's name and system. The "franchise," though technically the agreement that binds the two parties, most frequently refers to the enterprise that the franchisee runs. The term "franchising" most frequently refers to the process of developing and disseminating a brand and franchise system.

Franchise connections can be divided into two categories. The most recognizable variety is business format franchising. In a franchise, the franchisor provides the franchisee not only with access to its name, products, and services, but also with a complete system for managing the firm. Typically, the franchisor will assist the franchisee with site selection and development, operating manuals, training, brand standards, quality control, a marketing strategy, and business consulting help. Despite being less commonly associated with franchising, traditional or product distribution franchising generates more revenue overall than business model franchising.

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the text cites studies that report firms committed to international marketing gain competitive advantages from_____ .

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the text cites studies that report firms committed to international marketing gain competitive advantages from clustering operations in specific regions.

International marketing has two advantages. International marketing not only supports the economic diversification of a business, but also helps a business reach a global audience by expanding its audience reach into previously untapped areas.

International marketing aims to direct brands, products and services to potential buyers in other countries. Therefore, companies should pursue a global marketing strategy using market research on foreign territorial cultures and target audiences.

Just know what your customers want and who your customers are is not enough. When it comes to international marketing, factors such as cultural differences, languages, local events, holidays and seasons are critical to success. The

international marketing practice uses his seven key elements of research, product localization, infrastructure, communications, market localization, outbound marketing and inbound marketing to reach different audiences around the world. It is intended to be well adapted to.

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When two countries go to war with each other, they are less likely to trade with each other. Assuming that their trade with other countries is unaffected, such a situation will decrease the following for both the warring countries:
Group of answer choices
All of the listed options
Price paid by local consumers
Comparative advantage
Rate of inflation

Answers

Trade between two nations is less likely to occur when they are at war with one another. Such a circumstance will lessen the following for both of the warring nations, assuming that their trade with other nations is unaffected: Comparative advantage.

How can trade between nations help both parties?

A larger overall output and level of consumption than would have been feasible domestically is made possible through trade between two actors or countries. Canada and Mexico can both focus on the good in which they have a comparative advantage and trade with one another in that area.

What impact does comparative advantage have on international trade?

The law of comparative advantage is frequently employed in international trade to support globalization because countries can achieve better material results by manufacturing just the goods in which they have a comparative advantage and trading those goods with other nations.

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jason is an information systems technician in a town in north carolina with a population of 100,000. he receives an annual salary of $35,000. he recently found out that a nearby town with a similar population pays people in the same position $40,000 annually. with which of the following is jason most concerned?

Answers

Option d. external is the correct answer. Jason is an information systems technician in a town in North Carolina with a population of 100,000. He earns $35,000/year. He recently found out that a nearby town with a similar population pays people in the same position $40,000/year. Jason is concerned with the external form of equity.

Compensation is represented as an act of rewarding an employee with monetary value within the organization for their work. It varies for every job position in the organization. Commission, hourly, bonus, and salary are the sorts of compensation.

External equity is one of the classifications of equity in which an individual compares its pay level with another organization's pay level. Various employers utilize external equity by analyzing market pay levels and setting their pay levels high compared to other organizations in the marketplace. It is typically used to attract employees by paying high.

In the above case, Jason compares his pay with another organization in another town. Hence, Jason is concerned with external equity.

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For regular income tax purposes, Yolanda, who is single, is in the 32% tax bracket. Her AMT base is $420,000. Her tentative AMT is: a.$109,200. b.$51,454. c.$113,642. d.$117,600.

Answers

Yolanda AMT base is $420,000 and  his tentative minimum tax (TMT) is: $134400.

The alternative minimum tax (AMT) is what, exactly?

Alternative Minimum Tax (AMT) is another way to calculate the minimum amount that a person owes in taxes based on their income. It was designed to create fairness in the Canadian taxation system, meaning that higher income earners should pay their fair share of taxes net of the special medical care they receive will be eligible.

The formula for the tentative minimum tax is given as :

Tentative minimum tax= minimum tax base * rate

where the AMT tax base is  $420,000.

The rate is given as 32%

The tentative minimum tax =  $420,000 * 32%

                                             = $134400

The tentative minimum tax that Yolanda would have is given as $134400

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nora loaned money to susan and received a signed security agreement from susan. to make sure she has priority as a creditor, nora could:

Answers

C. To make sure she has priority as a creditor, Nora could take possession of the collateral.

The best option for Nora to make sure she has priority as a creditor is to take possession of the collateral. This will ensure that Nora has priority over the other creditors and that she can get her loan back if Susan defaults. It is important that Nora has a valid security agreement in place, as this will provide her with legal protection and ensure that her loan is secured.

If Nora chooses to take possession of the collateral, she may also need to register it in the public land registry. Additionally, Nora should keep a copy of the security agreement with her attorney to ensure that it is properly documented and to provide proof of ownership.

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The complete question is here:

nora loaned money to susan and received a signed security agreement from susan. to make sure she has priority as a creditor, nora could:

A.

give the security agreement to her attorney.

B.

do nothing—the date of signing gives Nora priority.

C.

file the security agreement in a security deposit box.

D.

take possession of the collateral.

In calculating cost per equivalent unit under the weighted-average method, prior period costs are not combined with current period costs. True False.

Answers

The correct answer is False. The weighted-average technique does not add prior period costs to current period costs when determining cost per equivalent unit.

The weighted-average technique does not add prior period costs to current period costs when determining cost per equivalent unit. When calculating unit costs, the weighted-average method of process costing averages costs from the previous and current periods.

When applying the weighted average approach, you compute the weighted-average cost per unit by dividing the cost of the goods that are on the market by the quantity of units that are for sale. The cost of products available for sale in this calculation is equal to the sum of beginning inventory and net purchases.

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FILL IN THE BLANK. Figure 5-2 Figure 5-2 above shows the recent ratings from an independent rating agency for selected smartphone brands and models. Each column shows a brand like Apple, HTC, LG, Motorola, and Samsung. These brands are referred to as the ____ when consumers use these smartphone ratings to evaluate the products

Answers

These brands are referred to as the consideration sets when consumers use these smartphone ratings to evaluate the products.

What do you mean by consideration sets?

The brands and goods a buyer consider before making a final purchasing choice are all represented by the consideration set, a model used in consumer behavior. In 1977, Peter Wright and Fredrick Barbour coined the phrase "consideration set."

The awareness set, which includes all of the brands and goods a customer initially considers when presented with a purchase choice, is a subset of the consideration set. The consumer's unique ideas, preferences, and feelings—such as price, mood, prior experiences, and heuristics—are used to filter the awareness set into the consideration set.

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Suppose an investor buys a Taiwanese bond with a face value of NT20,000, which is priced at NT$19,500 and bears a coupon of NT$1,700. At the end of the year, the investor sells the bond at a price of NT$18,030. During the year, the exchange rate goes from NT$1 = U.S.$0.0375 to NT$1 = U.S.$0.0425. What was the investor's U.S. dollar return on this bond?
Question 13 options:
1) 33%
2) 4.23%
3) 14.67%
14.67%

Answers

The investor's U.S. dollar return on this bond on the investment is 14.67%.

What is a bond?

In finance, a bond is a type of instrument where the issuer (debtor) owes the holder (creditor) a debt and is obligated, depending on the terms, to repay the bond's principal and interest over a specific period of time at the bond's maturity date. The interest is normally due at set periods, such as semiannually, annually, and occasionally less frequently. Bond and stock holders hold a creditor interest in the company, whilst stockholders own a piece of the equity. Bonds and stocks are both regarded as securities. Regarding debt, owners are subordinate to bondholders. In the event of bankruptcy, they will be paid after secured creditors but before investors.

Return on bond=24939/1700=14.67%.

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which of the following is correct? question 2 options: the transactions demand for money is downsloping because the opportunity cost of holding money varies inversely with the interest rate. the asset demand for money is downsloping because the opportunity cost of holding money declines as the interest rate rises. the asset demand for money is downsloping because the opportunity cost of holding money increases as the interest rate rises. the asset demand for money is downsloping because bond prices and the interest rate are directly related. next page

Answers

The correct statement is the asset demand for money is down-sloping because the opportunity cost of holding money declines as the interest rate rises.

The asset is a term which refers to the resources which is owned and controlled  by an organization or a business. The asset is also refers to the investment on the things that price will be increase with the time.

The asset mainly are of two types, tangible asset and intangible asset. Other asset like operating asset and non-operating asset.

When the investor buys asset according to the market-price, investor have to pay tax according to the asset holding and  the opportunity cost of holding money declines as the interest rate rises.

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assume office depot processes 2,500,000 photocopies per month at its service center. approximately 50% of the photocopies require collating. collating is currently performed by high school and college students who are paid $10 per hour. each student collates an average of 5,000 copies per hour. management is contemplating the lease of an automatic collating machine that has a monthly capacity of 6,000,000 photocopies, with lease and operating costs totaling $3,000, plus $0.05 per 1,000 units collated

Answers

The cost of collating with student's help is $2,000 and $4,000 and with the collating machine is $3,050 and $3,100. The monthly volume at which the automatic process becomes preferable to the manual process is $1,538,461.54

A lease is a legal agreement that specifies the conditions under which one party consents to rent an asset—in this case, property—owned by another party. In exchange, it assures the lessor (the property owner or landlord) of monthly payments for a predetermined period while guaranteeing the lessee, often known as the tenant, usage of the property. If any party violates the contract provisions, there will be repercussions for both the lessee and the lessor. A type of incorporeal right is a lease.

In the given questions,

a. 1) Cost of collating  1,000,000 copies

                  =( 1,000,000/5000)*$10

                  = $2000

      Cost of collating 2,000,000 copies

                  = (2,000,000/5000)*$10

                  = $4000

  2) Cost of collating 1,000,000 copies

                   =$ 3000+( (1,000,000/1000)*$0.05)

                   = $3000+ $50

                   =$ 3050

      Cost of collating 2,000,000 copies

                   = $3000+((2,000,000/1000)*$0.05)

                   =$3000+$ 100

                   = $3100

b. Let the required monthly volume be x

  Student's help cost = Collating machine cost

  (x/5000)$10 = $3000 + {(x/1000)*$0.05}

  10x/5000 = 3000 + (0.05x/1000)

  10x = 3000*5000 + (0.05x*5000)/1000

  10x = 15,000,000 + 250x/1000

  10000x =1 5,000,000,000 + 250x

  10000x - 250x = 15,000,000,000

  9750x = 15,000,000,000

  x = 15,000,000,000/9750

    = $ 1,538,461.538

Therefore, $ 1,538,461.538 is the required monthly volume.

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Complete question:

Assume Office Depot processes 2,500,000 photocopies per month at its service center. Approximately 50% of the photocopies require collating. Collating is currently performed by high school and college students who are paid $10 per hour. Each student collates an average of 5,000 copies per hour. Management is contemplating the lease of an automatic collating machine that has a monthly capacity of 6,000,000 photocopies, with lease and operating costs totaling $3,000, plus $0.05 per 1,000 units collated.

a. Determine the total costs of collating 1,000,000 and 2,000,000 per month:

1. With student help.

2. With the collating machine.

b. Determine the monthly volume at which the automatic process becomes preferable to (costs less than) the manual process.

over the years management has encountered many problems in the course of supervising a sales force. which of the following supervisory problems is hardly ever encountered today by sales manager

Answers

The following supervisory problems is hardly ever encountered today by sales manager is finding suitable leads, establishing trust electronically, and approaching decision-makers are all difficulties that salespeople encounter.

As managers, sales managers are often in charge of recruiting and firing personnel, identifying the need for training and implementing it, teaching sales reps, and defining sales areas. They are also accountable for creating sales strategies and carrying out data analysis so that they may make informed decisions.

Involving the team in the sales process and philosophy is essential for an effective sales manager. Open to new ideas, the sales manager must be able to make each salesperson feel like a vital member of the group and an integral component of the customer solutions they offer.

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FILL IN THE BLANK. one method of transferring risk outside the business is___, through forward/futures contracts for commodities or farm inputs. group of answer choices

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One method of transferring risk outside the business is Hedging, through forward/futures contracts for commodities or farm inputs.

Hedging is referred to as the method by which risks are reduced in the business. This method of risk limiting uses certain techniques and strategies in order to limit the risks occurring in any business. For example, If any investor invests any money to one business, he tries to make profit from that business by limiting the risks of loss and investing in any other business so that if any loss occurs in the first business, the profit from second business covers that loss. This method is known as Hedging of Risk. Purchasing insurances on business is another method of reducing or limiting the risk and it comes under Hedging.

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An increase in a company's revenue and expense accounts will automatically cause an increase in net income for the period.
False

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False, An increase in a company's revenue and expense accounts will not  cause any increase in net income for the period.

On their income statements, most businesses list such items as revenues, gains, expenses, and losses. Although some of the concepts may sound identical, gains, losses, revenues, and expenses all have diverse practical applications.

The term "expense" refers to a cost incurred in the course of producing or providing a primary business operation, whereas "revenue" refers to income made via the provision of a business' primary goods or services. Analysts and investors will often place much more emphasis on these measurements than on gains or losses.

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in san diego, 150 people are willing to work an hour as secretaries if the wage is $20 per hour. for each additional $5 that the wage rises above $20, an additional 50 people are willing to work an hour as secretaries. for wages of $20, $25, $30, $35, and $40 per hour, use the orange points (square symbol) to plot the daily labor supply curve for secretaries on the following graph. supply 0 50 100 150 200 250 300 350 400 450 500 50 45 40 35 30 25 20 15 10 5 0 wage (dollars per hour) labor (number of workers) continue without saving

Answers

The opportunity cost of leisure decreases when wages fall. In reaction to shifts in pay rates, the cost of recreation varies. Every increase or decrease in price has two effects.

The replacement effect contends that when wages grow, the expense of leisure time increases, leading to longer workdays. The income effect: As money rises, fewer people work because they have more leisure time.

In other words, an upward sloping labor supply curve represents a situation where the income benefit is outweighed by the substitution impact of rising salaries. The link between the cost of an item or service and the volume delivered over a certain period of time is represented visually by the supply curve.

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A _____ tax is one by which the government takes a greater share of the income of the rich than of the poor.
a. progressive
b. proportional
c. regressive
d. transfer

Answers

A progressive tax is one by which the government takes a greater share of the income of the rich than of the poor.

What are the Advantages of a Progressive Tax?

On the plus side, a progressive tax structure lessens the tax burden on those with the lowest incomes. That puts more money in the hands of low-wage workers, who are more inclined to spend it on necessities and boost the economy as a result. Since the majority of taxes are levied on people with the greatest incomes, progressive tax systems tend to raise more revenue than flat or regressive tax systems. A progressive tax also causes those with the most wealth to fund a larger percentage of the essential services that all people and companies depend on, such road upkeep and public safety.

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an increase in income tax rates will affect a labor market in which of the following ways? the equilibrium quantity of workers will and the equilibrium wage will .

Answers

The equilibrium quantity of workers will Decrease and the equilibrium wage will increase.

stability in biomechanics is an capacity to maintain the road of gravity (vertical line from centre of mass) of a frame in the base of assist with minimum postural sway.[1] Sway is the horizontal movement of the centre of gravity even if a person is standing still. A sure amount of sway is essential and inevitable due to small perturbations within the body (e.g., respiration, shifting body weight from one foot to the other or from forefoot to rearfoot) or from outside triggers (e.g., visual distortions, ground translations). An boom in sway isn't always always an indicator of dysfunctional balance so much as it's miles an indicator of reduced sensorimotor manipulation.

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