Earnings per share are not reported for changes in accounting principles.
Earnings per share, a financial indicator of a company's success, shows how much of its profits are allotted to each outstanding share of common stock. Investors, analysts, and shareholders frequently use it to assess a business's financial performance as it offers insight into the earnings produced by the company on a per-share basis.
EPS is a crucial metric for comparing the profitability of various businesses operating in the same sector or evaluating an organization's performance over time. As it aids in calculating the price-earnings ratio and other financial ratios used in equity valuation, it is also a crucial element in valuation models and investment analysis.
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This has led to a reduction in the number of people who were required, as well as a reduction in the quantity of fuel and other resources that were utilized." Salaries are normally considered a fixed cost. So when addressing the impact that COVID had on companies, fixed costs are difficult costs to manage. So one thing to note is that fixed costs can be broken down into committed fixed costs and discretionary fixed costs. So knowing this information how would the airline address fixed costs?
To address fixed costs during the impact of COVID-19, airlines can renegotiate contracts, adjust their workforce, optimize fleet utilization, rationalize facilities, leverage technology, review service offerings.
How can airlines address fixed costs during the impact of COVID-19?In order to address fixed costs, particularly during the impact of COVID-19 on the airline industry, airlines could consider the following strategies:
Renegotiating Contracts: Airlines can attempt to renegotiate contracts with suppliers, such as aircraft lessors and maintenance providers, to reduce fixed costs associated with these agreements. This may involve seeking temporary discounts, deferred payments, or revised terms that align with the reduced demand.
Workforce Adjustments: While salaries are generally considered fixed costs, airlines can still make adjustments by implementing measures such as voluntary unpaid leave, early retirements, or negotiated salary reductions with employees. This allows the airline to temporarily reduce its personnel-related fixed costs.
Efficient Fleet Management: Airlines can review and optimize their fleet utilization to match the reduced demand. By temporarily grounding or retiring less efficient aircraft, airlines can reduce fixed costs associated with their fleet, such as leasing, maintenance, and fuel expenses.
Facility Rationalization: Airlines can evaluate their facilities, such as airport offices and maintenance hangars, to identify opportunities for cost reduction. This may involve consolidating operations, renegotiating lease agreements, or temporarily closing certain facilities that are not essential during the downturn.
Technology and Process Optimization: Leveraging technology and streamlining operational processes can help airlines reduce fixed costs. This can include implementing digital solutions for ticketing, baggage handling, and customer service, as well as automating administrative tasks to minimize labor requirements.
Reviewing Service Offerings: Airlines may need to reassess their service offerings and make adjustments to align with reduced demand. This could involve reducing flight frequencies, consolidating routes, or temporarily suspending certain services that are not financially viable in the current circumstances.
Government Support: Airlines can explore options for government assistance or industry-specific relief programs aimed at reducing the financial burden of fixed costs. This could include subsidies, grants, or loans with favorable terms to help mitigate the impact of the crisis.
It's important to note that the specific strategies adopted by each airline will depend on their individual circumstances, financial position, and the prevailing market conditions. Flexibility, adaptability, and cost-conscious decision-making are key during challenging times like the COVID-19 pandemic.
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when is the acceptance risk treatment strategy not an acceptable approach?
The acceptance risk treatment strategy may not be an acceptable approach in certain situations, including: High-impact risks
If the identified risk has the potential to cause severe damage or significant negative consequences to the organization, accepting the risk without implementing any mitigation measures may not be advisable. In such cases, it is generally recommended to adopt risk mitigation strategies to reduce the likelihood or impact of the risk. Legal or regulatory requirements: If accepting the risk would result in non-compliance with applicable laws, regulations, or industry standards, it is not an acceptable approach. Organizations have a responsibility to adhere to legal and regulatory requirements, and simply accepting the risk without addressing compliance issues could lead to legal consequences or reputational damage.
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Explain why companies and citizens continue to pollute even though they are aware of its harmful effects? Describe four or more ways in which a global m al manufacturer can lead sustainability efforts of its supply chain.
Companies and citizens continue to pollute even though they are aware of its harmful effects because of several reasons. Firstly, many companies put their profits ahead of the environment, and they are willing to cut corners to achieve their financial goals.
Secondly, many people believe that their individual actions have no significant impact on the environment, and they think it is not their responsibility to take care of the environment. Lastly, the lack of strong policies and regulations that enforce environmental protection contributes to the continuous pollution.
Therefore, companies and citizens need to change their mindset and prioritize the environment over their profits or convenience to reduce pollution.
A global manufacturer can lead sustainability efforts of its supply chain in several ways. Firstly, they can set up their standards and guidelines for the suppliers to follow.
By setting up environmental standards and ensuring that all suppliers comply with these standards, a global manufacturer can reduce environmental damage. Secondly, they can work with the suppliers to help them reduce their environmental impact. A global manufacturer can provide technical assistance, training, and resources to help their suppliers adopt environmentally friendly practices.
Thirdly, they can collaborate with stakeholders, including governments and NGOs, to develop new policies and regulations that promote environmental protection and sustainability. Lastly, a global manufacturer can invest in research and development to develop new technologies and processes that are environmentally friendly and sustainable.
In conclusion, companies and citizens continue to pollute even though they are aware of its harmful effects due to several reasons, including prioritizing profits over the environment and the lack of strong policies. To address this problem, companies and citizens need to prioritize the environment over financial gains or convenience. Additionally, a global manufacturer can lead sustainability efforts of its supply chain by setting environmental standards, providing resources and training, collaborating with stakeholders, and investing in research and development to develop sustainable practices.
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The United States and China are two large open economies.
• If the Americans decided to save more at every real interest rate, what would happen to the national saving, Investment, the current account balance, and the real interest rate in China? Explain by using the graphs to illustrate. (2) If the Chinese decided to save more at every real interest rate, what would happen to the national saving. Investment, the current account balance, and the real interest rate in China? Explain by using the graphs to illustrate. (2) If the American government decided to increase its purchases of goods and services (with no changes in taxes and transfers), what would happen to the national saving, investment, the current account balance, and the real interest rate in China? Explain by using the graphs to illustrate.
1) If Americans decided to save more at every real interest rate, it would lead to an increase in national saving in the United States. This increase in saving would result in a decrease in domestic consumption and investment. As a result, the current account balance in the United States would improve (i.e., the current account deficit would decrease).
The increased saving in the United States would also lead to a decrease in the world interest rate. In China, the decrease in the world interest rate would result in a decrease in the real interest rate, as shown in the graph. This decrease in the real interest rate in China would stimulate investment and potentially lead to an increase in national saving in China as well.
2) If the Chinese decided to save more at every real interest rate, it would lead to an increase in national saving in China. Similar to the previous scenario, the increased saving would result in a decrease in domestic consumption and investment in China. Consequently, the current account balance in China would improve (i.e., the current account surplus would increase). In terms of the real interest rate, an increase in saving in China would cause an increase in the supply of loanable funds, leading to a decrease in the real interest rate, as shown in the graph.
3) If the American government decided to increase its purchases of goods and services (with no changes in taxes and transfers), it would lead to an increase in domestic consumption in the United States. This increase in consumption would result in a decrease in national saving in the United States. As a consequence, the current account balance in the United States would worsen (i.e., the current account deficit would increase). The decrease in national saving in the United States would also lead to an increase in the world interest rate. In China, the increase in the world interest rate would cause an increase in the real interest rate, as shown in the graph. This increase in the real interest rate in China would reduce investment and potentially lead to a decrease in national saving in China as well.
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what are the disadvantages of alloys
Which of the following examples corresponds to a command economy? a.) The taxpayers and businesses decide what should be produced in their cities. b.) Citizens are to provide their own protection, leading to an increase in small-town militia. c.) Government-produced movies pit political party heroes against one another. d.) For-profit schools are run by several competing companies.
Government-produced movies pit political party heroes against one another is example of command economy. Option C is correct.
A nation's central government must own and control the means of production in the command economy, also known as a planned economy. Private ownership of capital and land is either severely restricted or nonexistent.
A command economy, which is also known as a planned economy, is one in which the central government plans, organizes, and controls every aspect of the economy to ensure that as many people as possible benefit from it. Order economies, instead of unrestricted economy economies, don't permit market influences like market interest to decide creation or costs.
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(Figure: A Tariff on Imports) Refer to the figure. Suppose the government intervenes with a $2 tariff; the total value of deadweight loss as a result of the tariff is:
The total value of deadweight loss as a result of the $2 tariff cannot be determined from the information given in the question.
To determine the total value of deadweight loss resulting from a tariff, we need additional information about the supply and demand curves in the market. The deadweight loss represents the economic efficiency loss caused by the tariff, measured by the reduction in total surplus (consumer surplus plus producer surplus).
In general, a tariff leads to a decrease in imports and higher domestic prices. This reduces consumer surplus as consumers pay higher prices and consume less. Additionally, there may be a decrease in producer surplus if the higher prices do not fully compensate for the decrease in quantity demanded.
The deadweight loss is generated by the inefficiency of the tariff, as it distorts the natural equilibrium in the market. It occurs when the quantity of goods traded decreases due to the tariff, resulting in a loss of potential gains from trade.
Without specific information about the supply and demand curves and the elasticity of demand and supply, we cannot determine the total value of deadweight loss resulting from the $2 tariff in this case.
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Which of the following functions is unaffected by the price level?
Question 5 options:
Aggregate Demand
Short-Run Aggregate Supply
Long-Run Aggregate Supply
None of the above
The correct option is unaffected by the price level is Long-Run Aggregate Supply. Thus, option C is correct.
Aggregate supply is also known as real GDP. It is the entire amount of product that businesses will generate and sell. The aggregate supply curve with an upward slope, often called the short term aggregate supply curve.
It demonstrates the favorable short-term correlation between price level and real GDP. The Long-Run Aggregate Supply (LRAS) is the function that is unaffected by price level.
When all inputs, including labor and capital, are completely used and there is no market friction, an economy can produce at a level known as LRAS.
Technology, available resources, and the level of long-term productivity are all factors that affect LRAS. It does not fluctuate with changes in the price level and is stable over time.
Therefore, option C is correct.
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More on insurance An insurance company claims that in the entire population of homeowners, the mean annual loss from fire is u = $250 and the standard deviation of the loss is o = $1000. The distribution of losses is strongly right-skewed: many policies have $0 loss, but a few have large losses. An auditor examines a random sample of 10,000 of the company's policies. If the company's claim is correct, what's the probability that the average loss from fire in the sample is no greater than $275? Show your work.
The likelihood that the sample's average fire loss will not exceed $275, according to the Central Limit Theorem, is approximately 0.7734 or 77.34%.
Regardless of the form of the population distribution, the sample mean, according to the CLT, follows a roughly normal distribution as sample size grows we need to calculate the z-score and then find the corresponding probability from the standard normal distribution.
z = (x - μ) / (σ / sqrt(n))
Assuming we have a sample size of n = 30, we can now calculate the z-score:
z = ($275 - $250) / ($1000 / sqrt(30))
z ≈ 25 / (182.57 / 5.48)
z ≈ 25 / 33.41
z ≈ 0.748
Next, we need to find the corresponding probability from the standard normal distribution using the z-score. We want to find the probability that the sample mean is less than or equal to $275. We can look up this probability in a standard normal distribution table or use a calculator. For example, using a standard normal distribution calculator, we find that the probability corresponding to a z-score of 0.748 is approximately 0.7734.
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The following is a brief case of the three negotiable instruments.
A in New York imports a batch of chairs from B in Paris, with the total value: 10,000 dollars, order number: 95E03LC001, shipment date: July 10th, 2013, and it is stipulated in the contract that payment should be effected within 30 days after shipment; C in Paris buys desks from D in New York with t he total value of 10,000 dollars. Meanwhile C offers furniture to B which costs 10,000 dollars. How to issue a negotiable instrument we have learned this semester to clear the credit and debt relation among the four parties?
1. Describe the procedures of using a negotiable instrument to solve this problem. (You can choose any ONE kind of the three negotiable instruments) (10 points)
2. ISSUE the negotiable instrument you have chosen according to the case.
An assignment needs a written document that has been signed by the transferor, whereas negotiation merely requires delivery.
In the event of a negotiation-based transfer, consideration is always assumed; but, in the case of an assignment, consideration must be proven. In a negotiation-based transfer, a notice of transfer is not required; nevertheless, in an assignment, notice of transfer must be provided by the assignee to the debtor.
The instrument is transferred to the assignee with all of the transferor's title flaws present. If the assignor's title was flawed, the assignee's title is similarly flawed. However, in a negotiation, the transferee receives the instrument free of all flaws in the transferor's title as long as a holder in due process is present.
In the event of negotiation, the transferee may bring a claim against the third party on his own behalf. However, an assignee cannot accomplish this. Depending on its intended use and from whom it is obtained, one negotiable instrument may be preferred over another. For instance, a bill of exchange can be drawn on anybody, including a banker, but a cheque can only be drawn on a banker.
Response: 2 Written contracts known as "negotiable instruments" are those whose advantages may be transferred from the original holder to a new holder. Alternatively said, negotiable instruments are legal contracts that guarantee payments to the assignee (the person to whom they are delivered or assigned) or another specific person.
These are transferrable, signed agreements that guarantee payment of the agreed-upon amount to the bearer or holder upon demand or at any later date. These instruments can be transferred, as was already explained. The ultimate holder receives the cash and is free to put them to his own use. That implies that, after a transfer, the new owner of an instrument acquires complete legal ownership of it.
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A group of private investors borrowed $28 million to build 320 new luxury apartments near a large university. The money was borrowed at 5% annual interest, and the loan is to be repaid in equal annual amounts (principal and interest) over a 30-year period. Annual operating, maintenance, and insurance expenses are estimated to be $4,500 per apartment, and these expenses are incurred independently of the occupancy rate for the apartments. The rental fee for each apartment will be $12,000 per year, and the worst-case occupancy rate is projected to be 75%.
a. How much profit (or loss) will the investors make each year with 75% occupancy?
b. Repeat Part (a) when the occupancy rate is 95%. Click the icon to view the interest and annuity table for discrete compounding when the MARR is 5% per year.
The investors will make a profit of $206,844 per year with 75% occupancy. The investors will make $974,844 per year with 95% occupancy when the MARR is 5% per year.
a. The occupancy rate is given as 75%.
We can calculate the number of apartments that will be rented using the following formula:
Number of apartments rented
= (occupancy rate / 100) × Total number of apartments
= (75/100) × 320
= 240
Thus, the total revenue will be $12,000 × 240 = $2,880,000 per year.
The annual operating, maintenance, and insurance expenses will be 320 × $4,500 = $1,440,000 per year.
Therefore, the annual profit the investors will make with 75% occupancy is:
Profit
= Total revenue - Annual operating, maintenance and insurance expenses - Annual payment of principal and interest
= $2,880,000 - $1,440,000 - $1,233,156
= $206,844.
Therefore, the investors will make $206,844 per year with 75% occupancy.
b. The occupancy rate is given as 95%.
We can calculate the number of apartments that will be rented using the following formula:
Number of apartments rented
= (occupancy rate / 100) × Total number of apartments
= (95/100) × 320
= 304
Thus, the total revenue will be $12,000 × 304 = $3,648,000 per year.
The annual operating, maintenance, and insurance expenses will be 320 × $4,500 = $1,440,000 per year.
Therefore, the annual profit the investors will make with 95% occupancy is:
Profit
= Total revenue - Annual operating, maintenance and insurance expenses - Annual payment of principal and interest
= $3,648,000 - $1,440,000 - $1,233,156
= $974,844.
Therefore, the investors will make $974,844 per year with 95% occupancy.
You can check the values for the annual payment of principal and interest for a loan of $28 million at 5% interest over 30 years using the annuity and interest table provided for discrete compounding. For the MARR (minimum acceptable rate of return) of 5%, the value is $1,233,156.
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Why are accounting transactions for governmental activities at
the governmental-wide level reported differently than transactions
at the General Fund level? Please provide specific examples to
support
Accounting transactions for governmental activities at the governmental-wide level are reported differently from transactions at the General Fund level because the two are related to different accounting bases.
The governmental fund accounting base is a short-term focus, while the governmental-wide accounting base is a long-term focus.
The governmental funds are intended to represent short-term events that are used to finance ongoing governmental functions like financing general public services, public safety, or maintaining infrastructures.
On the other hand, the government-wide basis reports on an organization's entire financial activities and follows the full accounting cycle.
As a result, it requires all transactions to be reported on an accrual basis rather than a cash basis.
Here are specific examples to support the above statement:
1. Depreciation: Depreciation is not recorded in governmental funds; however, it is recorded on the government-wide level. Depreciation is recorded as an expense on the statement of activities and increases the assets of the government.
2. Long-Term Debt: The government-wide accounting system reports all long-term debt and interest payable regardless of the fund used to pay off the debt. On the other hand, the General Fund accounting records the principal and interest payments on long-term debt. It does not record the outstanding debt that the fund has accumulated.
3. Capital Assets: Governmental funds do not report capital assets. In contrast, the government-wide system reports all of the capital assets that the organization has purchased or acquired over the years. It then records depreciation on the capital assets, as mentioned above.
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an investor gathers the data for disney inc., (dis) presented in the following table: net income $5,235 shareholder's equity $51,300 earnings per share $4.37 dividend per share $3.11 beta 1.25 assuming that the market return is 7% and the risk free rate is 3%, disney's roe is closest to:
Disney's ROE is approximately 10.19%.
To calculate Disney's Return on Equity (ROE), we need to divide the net income by the shareholder's equity. Given the data provided, we can use the formula:
ROE = Net Income / Shareholder's Equity
Substituting the values:
ROE = $5,235 / $51,300
ROE = 0.1019 or 10.19%
ROE is a financial ratio that measures a company's profitability by indicating how efficiently it utilizes its shareholders' equity to generate earnings. In this case, Disney's ROE suggests that for every dollar of shareholder's equity invested in the company, it generates a return of approximately 10.19 cents.
The beta value provided (1.25) is not directly used to calculate ROE. Beta measures the volatility of a stock relative to the overall market. It is used in determining the cost of equity capital using the Capital Asset Pricing Model (CAPM). However, it is not necessary for calculating ROE, which focuses on the relationship between net income and shareholder's equity.
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The DRK Corporation recently developed a dividend reinvestment plan (DRIP). The plan allows investors to reinvest cash dividends automatically in DRK in exchange for new shares of stock. Over time, investors in DRK will be able to build their holdings by reinvesting dividends to purchase additional shares of the company. Over 1,000 companies offer dividend reinvestment plans. Most companies with DRIPs charge no brokerage or service fees. In fact, the shares of DRK will be purchased at a 10 percent discount from the market price. A consultant for DRK estimates that about 75 percent of DRK's shareholders will take part in this plan. This is somewhat higher than the average. Evaluate DRK's dividend reinvestment plan Will it increase shareholder wealth? Discuss the advantages and disadvantages involved here.
DRK Corporation has recently developed a dividend reinvestment plan (DRIP), which allows investors to automatically reinvest cash dividends in DRK in exchange for new shares of stock. Investors in DRK can build their holdings over time by reinvesting dividends to purchase additional shares of the company.
The company shares will be purchased at a 10 percent discount from the market price and the majority of companies that have DRIPs charge no brokerage or service fees. The DRK Corporation's dividend reinvestment plan (DRIP) is a good way to increase shareholder wealth for the company's shareholders.
Here are the advantages and disadvantages of DRK's dividend reinvestment plan:
Advantages of DRK's dividend reinvestment plan (DRIP)
1. Reducing Costs: DRIP eliminates the broker's commission, which can save shareholders money.
2. Fractional Shares: This option allows you to own partial shares of a company that you would otherwise be unable to purchase.
3. Compound Growth: With DRIP, you can reinvest dividends and compound growth over time.
4. Lower Prices: DRIP allows shareholders to purchase additional shares of the company at a lower cost.
Disadvantages of DRK's dividend reinvestment plan (DRIP)
1. Tax implications: Dividends earned through DRIPs are subject to taxes.
2. No control: You have no say in when your dividends are reinvested.
3. Limited investment options: DRIP may not provide a wide range of investment options.4. Lack of diversification: Over-investing in a single stock can be risky, and it's important to diversify one's investments.
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Tea and coffee are substitutes. If the price of tea falls what would change?
Group of answer choices
a.The demand curve for coffee will shift right
b.The demand curve for tea will shift left
c.The demand curve for tea will shift right
d.The demand curve for coffee will shift left.
If the price of tea falls, then the demand for tea will increase and the demand for coffee will decrease. Therefore, the correct answer is option (d) The demand curve for coffee will shift left.
Here's a detailed explanation: Tea and coffee are considered substitute goods, meaning that they can be used in place of each other. Therefore, when the price of tea decreases, the demand for tea will increase because more people will start buying tea as an alternative to coffee, leading to a shift in the demand curve for tea to the right. However, the decrease in the price of tea will also cause the price of tea to be relatively cheaper than that of coffee, making coffee a less attractive option for consumers.
As a result, the demand for coffee will decrease, leading to a shift in the demand curve for coffee to the left. This is because the quantity demanded of coffee will be lower at any given price as consumers shift their preference to tea. In conclusion, the decrease in the price of tea will lead to a shift in the demand curve for tea to the right and a shift in the demand curve for coffee to the left as consumers switch from coffee to tea due to the change in relative prices.
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relentless imitation often results in all the following except: a. leads to competitive parity. b. replication of least important practices of winning firms. c. development of new innovative capabilities. d. mimicking of the most visible and most obvious practices of winning firms.
Relentless imitation often results in all the following except c. development of new innovative capabilities.
What is relentless imitation ?Relentlessly imitating winning firms can lead to achieving similar levels of competitiveness, resulting in competitive parity. When imitating winning firms, there is a tendency to replicate practices that may not necessarily be the most critical or impactful. This can result in the replication of less important practices.
Rather than identifying and replicating the core innovative capabilities of winning firms, relentless imitation often focuses on mimicking the most visible and obvious practices.
However, relentless imitation is unlikely to lead to the development of new innovative capabilities. It primarily involves copying or imitating existing practices rather than fostering new and original ideas or capabilities.
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Hessa has the power that is generated from subordinates' and coworkers' respect for her personal characteristics as a leader which earned her their loyalty and admiration. Specify Hessa's type of power that is illustrated in this statement.
In this statement, Hessa is shown to have the type of power that is based on personal characteristics that inspire admiration and loyalty from subordinates and coworkers. This type of power is referred to as referent power.
Referent power is the capacity of a leader to inspire respect, admiration, loyalty, and a desire to emulate among subordinates and coworkers by their personal characteristics. In the case of Hessa, her personal characteristics have earned her the respect and admiration of her subordinates and coworkers, and she can use this referent power to influence their behavior and decisions. This power is based on the belief that the leader possesses qualities such as charisma, personality, and trustworthiness that are desirable in and of themselves. Leadership is the capacity to influence others' behavior and decisions, and it is commonly divided into different types of power that a leader can wield to accomplish their objectives. One of these types of power is referent power, which is based on personal characteristics that inspire respect, admiration, loyalty, and a desire to emulate among subordinates and coworkers. Referent power is the power of attraction that a leader possesses due to their personality, charisma, and trustworthiness. In the case of Hessa, her personal characteristics have earned her the respect and admiration of her subordinates and coworkers, and she can use this referent power to influence their behavior and decisions. Hessa's referent power is based on her personal qualities such as honesty, integrity, fairness, and empathy. By being honest, fair, and empathetic, Hessa has created a sense of trust and respect among her subordinates and coworkers. Moreover, by being trustworthy, Hessa has built strong relationships with her subordinates and coworkers, who value her reliability and dependability.
In conclusion, Hessa's type of power that is illustrated in this statement is referent power. Hessa has the ability to influence her subordinates and coworkers by inspiring their respect, admiration, loyalty, and a desire to emulate through her personal characteristics. Hessa's referent power is based on her honesty, integrity, fairness, and empathy, which have earned her the trust and respect of her subordinates and coworkers. Hessa can use this referent power to influence the behavior and decisions of her subordinates and coworkers and achieve her objectives.
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If Hessa has the power that is generated from subordinates' and coworkers. Hessa's type of power that is illustrated in this statement is: referent power..
What is referent power?Referent power is a type of control that depends on the loyalty, respect, and admiration of others for a particular person. It comes from the leader's personality, skills, and charisma, which others find endearing and influencing.
Referent power is frequently linked to a leader's capacity to forge close bonds with followers, win their confidence, and motivate them with their example and demeanor. It is determined by the leader's interpersonal abilities, personality attributes, and capacity to connect with people on a deeper level rather than by formal authority or position within the organizational structure.
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a. You have been offered an investment that will pay you 9% per year. If you invest $15,000, how long until you have $45,000?
b. Which do you prefer $5,500 cash now, or $1200 each year for 5 years? Assume a discount rate of 10%.
a) It will take approximately 11.18 years for the investment to grow from $15,000 to $45,000.
b) Comparing the present values, we see that $5,500 cash now is greater than the present value of receiving $1,200 each year for 5 years, which is approximately $4,111.57.
a. To calculate the time it will take to grow an investment from $15,000 to $45,000 at an interest rate of 9% per year, we can use the formula for compound interest:
Future Value = Present Value * (1 + Interest Rate)^Time
Rearranging the formula to solve for Time:
Time = log(Future Value / Present Value) / log(1 + Interest Rate)
Time = log(45,000 / 15,000) / log(1 + 0.09)
Time ≈ log(3) / log(1.09)
Using a calculator, we find:
Time ≈ 11.18 years
Therefore,
b. To determine which option is more favorable, we need to compare the present value of the $5,500 cash now to the present value of receiving $1,200 each year for 5 years, considering a discount rate of 10%.
Present Value of $5,500 cash now:
The present value can be calculated using the formula:
Present Value = Future Value / (1 + Discount Rate)^Time
Present Value = $5,500 / (1 + 0.10)^0
Present Value = $5,500
Present Value of $1,200 each year for 5 years:
The present value of an annuity formula can be used to calculate the present value of receiving $1,200 each year for 5 years:
[tex]Present Value = Cash Flow / (1 + Discount Rate)^Time + Cash Flow / (1 + Discount Rate)^(Time+1) + ... + Cash Flow / (1 + Discount Rate)^(Time+n)[/tex]
[tex]Present Value = $1,200 / (1 + 0.10)^1 + $1,200 / (1 + 0.10)^2 + $1,200 / (1 + 0.10)^3 + $1,200 / (1 + 0.10)^4 + $1,200 / (1 + 0.10)^5[/tex]
Using a calculator, we find:
Present Value ≈ $4,111.57
Comparing the present values, we see that $5,500 cash now is greater than the present value of receiving $1,200 each year for 5 years, which is approximately $4,111.57. Therefore, choosing $5,500 cash now would be more favorable in this case.
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During the gold rush, white miners used nativism and racism to justify their violence against Native populations. This violence was reflected in which foundational document?
1849 Constitution
Compromise of 1850
1879 Constitution
Treaty of Guadalupe Hidalgo
The violence perpetrated by white miners against Native populations during the gold rush era was reflected in the 1849 Constitution of California. This foundational document, which was drafted during the height of the California Gold Rush, was marked by nativism and racism that aimed to exclude and marginalize Native Americans.
The 1849 Constitution contained provisions that explicitly targeted Native populations. It denied Native Americans the right to vote and prohibited them from giving evidence in court against white individuals. These discriminatory measures reflected a broader sentiment of racial superiority and exclusion prevalent among the white miners.
The violence against Native populations was justified through the legal framework provided by the 1849 Constitution. The document, while claiming to establish a government for the state of California, effectively perpetuated the oppression and marginalization of Native Americans. This violence not only resulted in the dispossession of Native lands but also led to the displacement and subjugation of indigenous communities.
In conclusion, the violence against Native populations during the gold rush era was reflected in the 1849 Constitution of California. The nativism and racism embedded within this foundational document served to justify and perpetuate the violent actions of white miners against Native Americans, contributing to their marginalization and exclusion from the benefits of the gold rush.
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You know Robin Rihanna Fenty by her middle name, Rihanna. Since
releasing her first studio album in 2005, the singer/songwriter has
been one to watch. Known for her unique voice and respected for her
Robin Rihanna Fenty is commonly known as Rihanna and is an incredibly talented singer/songwriter. Born on February 20, 1988, in Barbados, Rihanna grew up listening to reggae music.
She moved to the United States when she was 16 to pursue her music career. Her debut album, Music of the Sun, was released in 2005 and introduced her unique voice to the world. Rihanna quickly rose to fame with her hit single, “Pon de Replay.”
Over the years, Rihanna has continued to release chart-topping music, including hits like “Umbrella,” “Diamonds,” and “Work.” She has also received numerous awards for her music, including nine Grammy Awards. Rihanna has also been recognized for her fashion and beauty endeavors. She launched her own makeup line, Fenty Beauty, in 2017, which received praise for its inclusivity.
Aside from her music and fashion career, Rihanna is also known for her philanthropic work. In 2012, she founded the Clara Lionel Foundation, which supports education and emergency response programs around the world. Rihanna’s talent, determination, and philanthropy have earned her the respect and admiration of many.
In conclusion, Robin Rihanna Fenty is an incredibly talented singer/songwriter who has made a significant impact in the music and fashion industry. Her unique voice and innovative style have set her apart from her peers. Additionally, her philanthropic efforts have shown her dedication to making the world a better place. Rihanna is undoubtedly one to watch and will continue to inspire others with her music and passion for helping others.
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When companies in the fashion industry seek fashion designers, they usually seek candidates with an associate or bachelor’s degree.
a. true
b. false
The given statement "When companies in the fashion industry seek fashion designers, they usually seek candidates with an associate or bachelor’s degree" is false.
- Companies in the fashion industry may seek candidates with associate or bachelor's degrees, but it is not a universal requirement.
- Many successful fashion designers have built their careers without formal education and have gained recognition through their talent and experience.
- While a degree can provide a foundation in design principles and techniques, it is not the sole determinant of success in the industry.
- Factors such as creativity, skill, portfolio, industry connections, and relevant experience are also highly valued by companies when seeking fashion designers.
- Ultimately, the decision to hire a fashion designer is based on their individual capabilities and potential contribution to the company's goals.
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Capital projects funds account for construction expenditures, not
for the assets that are being constructed.
The wickliffe City Council authorizes the restoration of the city
library. The project i
Capital projects funds are set up to account for the expenses of constructions. They do not consider the assets that are being constructed. The Wickliffe City Council is the authority that has authorized the restoration of the city library. The project of the restoration of the city library is considered a capital project.
And thus the City Council will need to use the capital projects fund to account for the project expenses.The capital projects fund accounting is made for constructing or renovating capital assets like buildings and infrastructure. The wickliffe City Council has decided to authorize the restoration of the city library, which is a construction project that needs to be accounted for in the capital projects fund. The capital projects fund is recorded in a separate accounting book from the general fund, and the expenses are kept separate from the other funds.
The capital projects fund is used to account for funds that are to be spent on projects like construction of a new building or the renovation of existing buildings. The fund is also used for the acquisition of land, rights-of-way, construction of roads, bridges, and other infrastructure projects. The funds in this account cannot be used to pay for day-to-day operating expenses such as salaries, rent, and office supplies.
Instead, the fund is only to be used for capital projects that the city has authorized. This fund is usually created for a specific purpose, and it has a specific end date. The account ends when the project is completed or when the project's expenses are fully paid.
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classify each event either as shifting the aggregate demand curve or as causing movement along the curve.
Shifts the Aggregate Demand Curve :
Causes Movement Along the Aggregate Demand Curve :
- People notice prices going up and their purchasing wer going down as a result - As inflation drops to nearly zero, people save more and therefore more loanable funds are available - State governments cut their budgets for infrastructure maintenance. - Technological advances generate wealth in a broad range of industries.
Shifts the Aggregate Demand Curve: - Technological advances generate wealth in a broad range of industries.
Causes Movement Along the Aggregate Demand Curve:
- People notice prices going up and their purchasing power going down as a result.
- As inflation drops to nearly zero, people save more and therefore more loanable funds are available.
- State governments cut their budgets for infrastructure maintenance.
Shifting the aggregate demand curve refers to factors that change the entire demand curve, leading to a new equilibrium level of real GDP and price level. In this case, technological advances generating wealth in a broad range of industries would shift the aggregate demand curve.
This is because technological advances can increase productivity, lower costs, and stimulate consumer and business spending, leading to an overall increase in aggregate demand.
Causing movement along the aggregate demand curve refers to factors that affect the quantity of goods and services demanded at a given price level, leading to a movement along the existing aggregate demand curve.
In this case, people noticing prices going up and reducing their purchasing power, inflation dropping to nearly zero and increasing saving, and state governments cutting budgets for infrastructure maintenance would cause movement along the aggregate demand curve.
These factors impact consumer spending, saving behavior, and government expenditure, resulting in changes in the quantity of goods and services demanded at the current price level.
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Using the priority list T2, T7, T6, T10, T8, T3, T4, T5, T₁, T9, schedule the project below with three processors. T1 (4) T2 (12) T3 (10) T4 (3) T6 (6) T7 (8) T5 (5) Task 5 is done by Select an answer T8 (7) starting at time Task 8 is done by Select an answer starting at time T9 (11) T10 (2) End ♂
Priority list scheduling is a method of scheduling tasks based on their assigned priorities. The tasks with higher priority are executed first, while tasks with equal priorities are executed on a first come, first served basis. In this case, the priority list is T2, T7, T6, T10, T8, T3, T4, T5, T1, T9.
To schedule the project below with three processors using the priority list, we can follow these steps:
1. At time 0, assign T2 to processor 1, T7 to processor 2 and T6 to processor 3.2. At time 6, processor 3 finishes T6 and assigns T10 to it.3. At time 8, processor 2 finishes T7 and assigns T8 to it.4. At time 10, processor 3 finishes T10 and assigns T3 to it.5. At time 12, processor 1 finishes T2 and assigns T4 to it.6. At time 14, processor 3 finishes T3 and assigns T5 to it.7. At time 15, processor 1 finishes T4 and assigns T1 to it.8. At time 17, processor 2 finishes T8 and assigns T9 to it.9. At time 19, processor 3 finishes T5 and has no more tasks to assign.10. At time 23, processor 1 finishes T1 and has no more tasks to assign.11. At time 28, processor 2 finishes T9 and has no more tasks to assign.The final schedule is shown in the table below:
| Time | Processor 1 | Processor 2 | Processor 3 ||------|-------------|-------------|-------------|| 0 | T2 | T7 | T6 || 6 | T2 | T7 | **T10** || 8 | T2 | **T8** | T10 || 10 | **T4** | T8 | **T3** || 12 | **T1** | **T9** | **T5** || ... | ... | ... | ... || 19 | **T1** | **T9** | || ... | ... | ... | ... || 23 | | **T9** | || ... | ... | ... | ... || 28 | | | |Task 5 is done by processor 3 starting at time 14.
Task 8 is done by processor 2 starting at time 8.
About PrioritiesPriorities is a situation where you determine the urgency of the needs or work that you must prioritize.
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1. Measuring national economic performance helps governments decide on tax policies and spending priorities 2. Population size is a limitation of the GDP as a measure of economic welfare There is a lo
1. True: Measuring a country's economic performance, such as GDP growth and other economic indicators, helps governments assess the health of the economy. It helps government to make tax policy decisions and prioritize their spending.
2. True: Population size can be a constraint on GDP as a measure of economic prosperity. GDP measures the total amount of goods and services produced within a country's borders, but does not take into account population size or wealth distribution across the country. It may not accurately reflect income and living standards.
3. False: "Under the table" transactions typically relate to informal or illegal activities that are not reported or recorded for tax or regulatory purposes. These transactions are often cash payments and can be difficult to track and document, resulting in no paper trail.
4. True: Infrastructure refers to physical structures, facilities and systems that support and enable economic activity. It includes transportation networks, utilities, communication systems and public services. It is essential for economic development, trade and the general functioning of society.
5. False: Statistics Canada is a national statistical agency responsible for collecting and disseminating data and statistics on various aspects of economy. However, measuring Canadian inflation is the responsibility of the Bank of Canada, which determines monetary policy and monitors and reports inflation rates.
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The complete question is:
True or False? 1. Measuring national economic performance helps governments decide on tax policies and spending priorities 2. Population size is a limitation of the GDP as a measure of economic welfare 3. There is a long paper trail for “under-the-table” transactions 4. Infrastructure is an important component of how a society operates 5. ‘Statistics Canada’ is the organization responsible for measuring inflation in Canada.
Solve for the Bertrand equilibrium for the firms described below if Firm 1's marginal cost is $15 per unit and Firm 2's marginal cost is $25 per unit. Firm 1 faces a demand function of 9₁ = 50-2p₁
The Bertrand equilibrium price is $65.
Given: Marginal cost of Firm 1 = $15
Marginal cost of Firm 2 = $25
Demand function of Firm 1 = 9₁ = 50-2p₁
To find: Bertrand equilibrium for the given firms
Bertrand Model
The Bertrand Model is a game theory model that describes how firms compete on prices and how prices adjust in equilibrium. It is named after Joseph Bertrand, a French mathematician who proposed it. According to Bertrand's model, firms offer the lowest possible price and they can sell all the units they produce. If two or more firms produce the same product, they will compete on price until the price is equal to their marginal cost. The Bertrand equilibrium price is the same as the marginal cost.
Bertrand Equilibrium
In Bertrand equilibrium, both firms will charge a price equal to their marginal cost. This means that the market price will be equal to the marginal cost of both firms. Since both firms have different marginal costs, they will have different prices.
To find the Bertrand equilibrium price, we need to solve the following equations:
P1 = c1P2 = c2
Where,
P1 = Price charged by Firm 1
c1 = Marginal cost of Firm 1
P2 = Price charged by Firm 2
c2 = Marginal cost of Firm 2
Solving for the Bertrand equilibrium for the given firms
Firm 1's demand function: 9₁ = 50-2p₁⇒ p₁ = (50-9₁)/2⇒ p₁ = 25 - (9₁/2)
Firm 1's Marginal revenue (MR₁) = 9₁
Firm 2's marginal revenue (MR₂) = 9₂P1 = c1 + MR1P2 = c2 + MR2P1 = 15 + 9₁P2 = 25 + 9₂
Equating P1 and P2,
15 + 9₁ = 25 + 9₂⇒ 9₁ - 9₂ = 10⇒ 9₂ - 9₁ = -10
Therefore, the Bertrand equilibrium price is calculated by using the following formula:
P = c + [(MR1 + MR2) / 2]
P1 = c1 + MR1 = 15 + 9₁
P2 = c2 + MR2 = 25 + 9₂P = 20 + [(9₁ + 9₂) / 2]
Since 9₁ = 50-2p₁,⇒ 9₁ = 50 - 2(25 - 9₁/2)⇒ 9₁ = 25 + (9₁/2)⇒ 9₁/2 = 25⇒ 9₁ = 50
Using this value in the above equation, we get:
P = 20 + [(9₁ + 9₂) / 2]
⇒ P = 20 + [(50 + 9₂) / 2]
⇒ P = 45 + (9₂/2)
Now, to get the value of 9₂, substitute P₂ = c₂ + MR₂,
⇒ P₂ = 25 + 9₂
⇒ 45 + (9₂/2) = 25 + 9₂
⇒ 9₂/2 = 20
⇒ 9₂ = 40
Therefore, the Bertrand equilibrium price is:
P = 45 + (9₂/2)⇒ P = 45 + (40/2)⇒ P = 65
Therefore, the Bertrand equilibrium price is $65.
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Tim Smith is shopping for a used luxury car. He has found one priced at $39,000. The dealer has told Tim that he can come up with a down payment of $5,800. The dealer will finance the balance of the price at 6% annual rate over 3 years (36 months). **use four decimal places for the monthly interest rate in all calculations**
a. Assuming that Tim accepts the dealer's offer, what will his monthly (end of month) payment amount be?
b. Use a financial calculator or spreadsheet to help you figure out what Tim's monthly payment would be if the dealer were willing to finance the balance of the car price at an annual rate of 3.2%?
In this scenario, Tim Smith is shopping for a used luxury car priced at $39,000, and the dealer agreed to finance the balance of the price at a 6% annual rate over three years (36 months). He can pay a down payment of $5,800. We can find out the monthly payment that Tim will make for the car using a financial calculator.
We will use four decimal places for the monthly interest rate in all calculations.Calculating Monthly Payment for 6% Interest Rate and 36 Months Financing period .The formula for calculating monthly payment is given by: Monthly Payment = (P × r × (1 + r)^n) / ((1 + r)^n - 1)Where, P = Principal amount (balance of the car price), r = monthly interest rate, and n = number of monthly payments.The first step is to calculate the monthly interest rate (r).r = 6% / 12r = 0.0050Monthly payment, P = $39,000 - $5,800 = $33,200Number of monthly payments, n = 36Therefore, the monthly payment for 6% interest rate and 36 months financing period is:Monthly Payment = (33,200 × 0.0050 × (1 + 0.0050)^36) / ((1 + 0.0050)^36 - 1)Monthly Payment = $998.72Calculating Monthly Payment for 3.2% Interest Rate and 36 Months Financing period.The formula for calculating monthly payment is the same:Monthly Payment = (P × r × (1 + r)^n) / ((1 + r)^n - 1)The only change will be in the monthly interest rate (r).r = 3.2% / 12r = 0.0027Monthly payment, P = $39,000 - $5,800 = $33,200Number of monthly payments, n = 36Therefore, the monthly payment for 3.2% interest rate and 36 months financing period is:Monthly Payment = (33,200 × 0.0027 × (1 + 0.0027)^36) / ((1 + 0.0027)^36 - 1)Monthly Payment = $957.67Therefore, Tim Smith will have to make a monthly payment of $957.67 if the dealer agrees to finance the balance of the car price at an annual rate of 3.2%.For such more question on Interest Rate
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Park Company acquired an 80% interest in the common stock of Southdale Company for $1,540,000 on July 1, 2016. Southdale Company's stockholders' equity on that date consisted of: Common stock Other contributed capital Retained earnings $800,000 400,000 330,000 Required: Compute the total noncontrolling interest to be reported in the consolidated balance sheet assuming the: (1) parent company concept. (2) economic unit concept. Τ Τ Τ Arial 3 (12pt) • T. Save All A Click Save and Submit to save and submit. Click Save All Answers to save all answers SAW
Parent company concept: To compute the total noncontrolling interest (NCI) using the parent company concept, we need to calculate the NCI as a percentage of the subsidiary's equity.
The parent company concept assumes that the parent has full control over the subsidiary. Since Park Company acquired an 80% interest in Southdale Company, the remaining 20% represents the NCI. Total equity of Southdale Company = Common stock + Other contributed capital + Retained earnings = $800,000 + $400,000 + $330,000 = $1,530,000. NCI = 20% of Total equity of Southdale Company = 20% of $1,530,000 = $306,000. Therefore, under the parent company concept, the total noncontrolling interest to be reported in the consolidated balance sheet is $306,000.
Economic unit concept: Under the economic unit concept, the consolidated balance sheet includes 100% of the subsidiary's assets, liabilities, and equity, regardless of the percentage owned by the parent company. Therefore, the total noncontrolling interest to be reported in the consolidated balance sheet under the economic unit concept would be zero since all of Southdale Company's equity is included in the consolidated balance sheet.
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Flint Corporation has been authorized to issue 20,900 shares of $ 100 par value, 7%, noncumulative preferred stock and 1,190,000 shares of no-par common stock.
The corporation assigned a $ 5 stated value to the common stock. At December 31, 2017, the ledger contained the following balances pertaining to stockholders’ equity.
Preferred Stock $ 159,000
Paid-in Capital in Excess of Par Value—Preferred Stock 21,900
Common Stock 2,005,000
Paid-in Capital in Excess of Stated Value—Common Stock 1,600,000
Treasury Stock ( 4,900 common shares) 44,100
Retained Earnings 81,200
Accumulated Other Comprehensive Income 49,900
The preferred stock was issued for $ 180,900 cash. All common stock issued was for cash. In November 4,900 shares of common stock were purchased for the treasury at a per share cost of $ 9. No dividends were declared in 2017.
(a)
Prepare the journal entries for the following. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts.)
(1) Issuance of preferred stock for cash.
(2) Issuance of common stock for cash.
(3) Purchase of common treasury stock for cash.
(1) Issuance of preferred stock for cash:
The journal entry to record the issuance of preferred stock for cash would be as follows:
Preferred Stock $180,900
Paid-in Capital in Excess of Par Value—Preferred Stock $ 21,900
Cash $202,800
Preferred stock is a form of equity financing where the corporation issues shares of preferred stock in exchange for cash. In this case, 20,900 shares of preferred stock were issued at a par value of $100 per share, with a total value of $180,900. The excess amount received above the par value is recorded as "Paid-in Capital in Excess of Par Value—Preferred Stock." Therefore, the journal entry debits the Preferred Stock account for $180,900, credits the Paid-in Capital in Excess of Par Value—Preferred Stock account for $21,900 (the excess amount), and credits the Cash account for $202,800 (the total amount received).
(2) Issuance of common stock for cash:
The journal entry to record the issuance of common stock for cash would be as follows:
Cash $1,190,000
Common Stock (no-par value) $1,190,000
Common stock is also a form of equity financing. In this case, 1,190,000 shares of common stock were issued at a stated value of $5 per share, resulting in a total value of $1,190,000. The journal entry debits the Cash account for $1,190,000 and credits the Common Stock account for the same amount.
(3) Purchase of common treasury stock for cash:
The journal entry to record the purchase of common treasury stock for cash would be as follows:
Treasury Stock $ 44,100
Cash $ 44,100
Treasury stock represents shares of a company's own stock that have been repurchased and are being held by the company. In this case, 4,900 shares of common stock were purchased for the treasury at a cost of $9 per share, resulting in a total cost of $44,100. The journal entry debits the Treasury Stock account for $44,100 and credits the Cash account for the same amount.
The journal entries for the issuance of preferred stock for cash, issuance of common stock for cash, and purchase of common treasury stock for cash have been correctly recorded. These entries reflect the inflow of cash from the issuance of preferred and common stock and the outflow of cash for the repurchase of common treasury stock.
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a. Total assets of Charter Company equal $840,000 and its equity is $490,000. What is the amount of its liabilities? b. Total assets of Martin Marine equal $640,000 and its liabilities and equity amounts are equal to each other. What is the amount of its liabilities? What is the amount of its equity?
Assets = Liabilities + Equity
a. $840,000 = + $490,000
b. $640,000 = +
The amount of liabilities for Charter Company is $350,000. The amount of liabilities for Martin Marine is $320,000, and the amount of equity is also $320,000.
To find the amount of liabilities, we can subtract the equity from the total assets:
Liabilities = Total Assets - Equity
Liabilities = $840,000 - $490,000
Liabilities = $350,000
In this case, the liabilities and equity amounts are equal to each other. Let's assume the liabilities and equity amount as x.
Total Assets = Liabilities + Equity
$640,000 = x + x
$640,000 = 2x
To solve for x, we divide both sides of the equation by 2:
$640,000 / 2 = 2x / 2
$320,000 = x
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