indicate the effect each separate transaction has on investing cash flows. note: amounts to be deducted should be indicated with a minus sign. sold a truck costing $44,500, with $23,800 of accumulated depreciation, for $9,800 cash. the sale results in a $10,900 loss. sold a machine costing $12,400, with $8,900 of accumulated depreciation, for $6,800 cash. the sale results in a $3,300 gain. purchased stock investments for $20,500 cash. the purchaser believes the stock is worth at least $31,800.

Answers

Answer 1

The purchaser believes the stock is worth at least $31,800 is $1,800.

The Cash Flow Statement was created to ensure that businesses would know just how much hard cash they actually have. This Statement is therefore different from others in that in only records cash when it has been received and/or disbursed thus making it easier for a company to know how much cash it has.

The Investing Section of the Cashflow statement deals with fixed assets as well as transactions involving securities and bonds of other entities as those are investments.

When cash is spent on these transactions it is a Cash Outflow and is therefore subtracted.

When cash is received from such transactions it is considered a cash inflow and is added.

Effects of Above Transactions.

Sold a Truck for $11,200. This will INCREASE the Investing Cash Flow by $11,200.

Sold a Machine for $8,200. This will INCREASE the Investing Cash Flow by $8,200.

Purchased stock investments for $17,600 cash. This will DECREASE the Investing Cash Flow by -$17,600 as it was a cash Outflow.

The Investing Section of the Cash Flow Statement will look like,

Sold a Truck $11,200

Sold a Machine $8,200

Purchased stock investments -$17,600

Net Cashflow from Investing Activities $1,800

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Related Questions

which of the following are the least appropriate items for which to use long term credit? which of the following are the least appropriate items for which to use long term credit? mortgages automobile loans consumable goods such pizzas, restaurant meals, travel durable goods such as refrigerators and washing machines

Answers

The least appropriate items for which to use long-term credit are consumable goods such as pizzas, restaurant meals, and travel.

These items are not considered to be investments and will not increase in value over time. Luxury items, such as vacations, jewelry, and designer clothes are also included. Additionally, they do not provide any tangible return on the money invested. For this reason, it is not advisable to use long-term credit to purchase consumable goods.

Long-term credit is a loan that is taken out for a period of more than one year, usually for five years or more. It is typically used for large purchases such as real estate or business expansion. Long-term credit is typically taken out from a bank or other financial institution, and the terms of the loan are negotiated between the borrower and the lender.

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perform a horizontal analysis providing both the amount and percentage change. (round percentage answers to 1 decimal place. decreases should be indicated by a minus sign.) year 2021 2020 cash $ 272,640 $ 710,000 accounts receivable 274,010 110,000 inventory 691,740 610,000 long-term assets 3,246,490 2,210,000 total assets $ 4,484,880 $ 3,640,000

Answers

Financial data is compared horizontally over time, generally from previous quarters or years. When performing a horizontal analysis, financial information from a previous statement,

like the income statement, is compared. One should search for variances, such as higher or lower earnings, while comparing this prior data.A  horizontal analysis of financial accounts is known as vertical analysis. In the financial statement, each line item is represented as a percentage of another line item. As an illustration, each line item on an income statement will be listed as a percentage of gross sales. Other names for this method include normalization[6] and common-sizing

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Indicate where each item would appear on a statement of cash flows using the indirect method by placing an X in the appropriate column(s). (More than one column may be used.) Statement of Cash Flows Noncash Investing & Financing Activities Not Reported on Statement or In Notes Operating Activities Investing Activities Financing Activities a. Declared and paid a cash dividend b. Recorded depreciation expense c. Paid cash to settle long-term note payable d. Prepaid expenses increased in the year e. Accounts receivable decreased in the year
f. Purchased land by issuing common stock 9. Inventory increased in the year h. Sold equipment for cash, yielding a loss
i. Accounts payable decreased in the year j. Income taxes payable increased in the year

Answers

The identification of where each item would appear on a statement of cash flows goes as:

a. Declared and paid a cash dividend - Financing activity

b. Recorded depreciation expense - Operating activity

c. Paid cash to settle long-term note payable - Financing activity

d. Prepaid expenses increased in the year - Noncash Investing & Financing Activities

e. Accounts receivable decreased in the year - Operating activity

f. Purchased land by issuing common stock - Financing activity

g. Inventory increased in the year - Operating activities.

h. Sold equipment for cash, yielding a loss - Investing activities

i. Accounts payable decreased in the year - Operating activity

j. Income taxes payable increased in the year - Operating activities.

What is the statement of cash flows?

In accounting, the purpose of cash flow statement is to provide detailed picture of what happened to a business's cash during a specified period known as the accounting period. Its also tells about an organization's ability to operate in the short and long term based on how much cash is flowing into and out of the business.

In this context, the statement of cash flows are designed to show the relationship of net income to changes in the company's cash, evaluate management decisions and help predict future cash flows.

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True or False
At Mattel, a marketing information system stores data on regional sales activities, promotional costs, and international inventory levels. These data are examples of external sources.
false

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False. At Mattel, a marketing information system stores data on regional sales activities, promotional costs, and international inventory levels. These data are not examples of external sources.

The utilization of data released by external organizations is referred to as using external sources of data collecting. Externally obtained information cannot be used in its current state. Changes must be made in accordance with the nature of the study project.

Trade journals, company annual reports, press surveys, census reports, etc. are a few examples of external sources used to gather data. Data from external sources might not be correct. Undoubtedly, data must be verified before being used. It's difficult to find external sources. They require financial investment.

So, at Mattel, a marketing information system stores data on regional sales activities, promotional costs, and international inventory levels. These data are not examples of external sources.

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recapitalization tartan industries currently has total capital equal to $4 million, has zero debt, is in the 25% federal-plus-state tax bracket, has a net income of $1 million, and distributes 40% of its earnings as dividends. net income is expected to grow at a constant rate of 3% per year, 200,000 shares of stock are outstanding, and the current wacc is 12.30%.

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Recapitalization tartan industries currently the current stock price is $16.99, stock price = current dividend per share *(1 + dividend growth rate) / (required return - dividend growth rate).

Recapitalization is the process of restructuring a corporation's debt and equity mixture, typically to stabilize a company's capital structure. the method in the main involves the exchange of 1 sort of finance for another, corresponding to removing preferred shares from the corporate's capital structure and replacing them with bonds.

Recapitalization may be a strategy a company will use to boost its money stability or overhaul its financial structure. To accomplish this, the company should change its debt-to-equity ratio by adding additional debt or more equity to its capital. When a company's debt decreases in proportion to its equity, it's less leverage. Its earnings per share (EPS) ought to decrease following the change.

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Edward asked her firm's advertising agency to estimate how often consumers saw her firm's IMC message and what percentage of the target audience was exposed to the message. Edward is asking for __________ data.frequency and reach

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Edward asked her firm's advertising agency to estimate firm's IMC message and what percentage of the target audience was exposed to the message. Edward is asking for frequency and reach data.

The distinct reach and frequency metrics keep track of both the overall number of viewers and the frequency of exposure to an advertisement.

These statistics reflect the number of times an advertisement was viewed by individuals across formats, various devices, and networks, going beyond mere cookie analytics.

As a result, Edward is using frequency and reach data in this instance by asking her company's advertising agency to determine the frequency of consumer exposure to the message and the proportion of the target population that was exposed to it.

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Facility location analysis considers the competitive imperative of locating near the appropriate labor pool to take advantage of low wage costs and/or skill levels.True

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The competitive necessity to locate close to the right labor pool to benefit from low wage costs and/or skill levels is taken into account in facility location analysis. The statement is True.

Define Facility location analysis.

Facility location analysis, also known as location-allocation analysis, distributes consumer demand to retail sites or distribution hubs while also identifying the ideal locations for a specified number of facilities based on a set of potential locations.

Facilities, competitiveness, logistics, labor, community and site, political risk, and incentives are the seven factors that affect a location decision in operations management, according to Reference for Business.

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Think of an idea you are passionate about. How would you sell your idea to a high content versus low content culture? How about a low power distance versus high power distance culture?

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Answer:

Selling an idea to a high-content versus low-content culture would involve emphasizing the substance and details of the idea in a high-content culture, while in a low-content culture the emphasis would be on the benefits and practical applications of the idea. In a high power distance culture, the emphasis would be on the expertise and authority of the person presenting the idea, while in a low power distance culture the emphasis would be on the idea itself and its potential benefits to the audience.

For example, if I were passionate about the idea of creating a community garden in my neighborhood, I might present the idea to a high-content culture by focusing on the specific plants and techniques that would be used in the garden, and how they would benefit the local ecosystem. In a low-content culture, I might focus on the potential health benefits of having access to fresh produce, and the potential for creating a sense of community among neighbors.

In a high power distance culture, I might present myself as an expert on gardening and emphasize my qualifications and experience, while in a low power distance culture I might focus on the idea itself and invite discussion and feedback from the audience.

Dozier Corporation is a fast-growing supplier of office products. Analysts project the following free cash flows (FCFs) during the next 3 years, after which FCF is expected to grow at a constant 9% rate. Dozier's weighted average cost of capital is WACC = 15%. Year 1 2 3 Free cash flow ($ millions) -$20 $30 $40 What is Dozier's horizon value? (Hint: Find the value of all free cash flows beyond Year 3 discounted back to Year 3.) Round your answer to two decimal places. Enter your answer in millions of dollars. $ million What is the current value of operations for Dozier? Round your answer to two decimal places. Round intermediate calculations to two decimal places. Enter your answer in millions of dollars. $ million Suppose Dozier has $10 million in marketable securities, $100 million in debt, and 10 million shares of stock. What is the intrinsic price per share? Round your answer to the nearest cent. Round intermediate calculations to two decimal places. $

Answers

Dozier's Horizon value is $60 million. The expected worth of a security or investment at some point in the future is known as a horizon value.

The worth of a security or asset at a specific future time is referred to as the horizon value or terminal value. For analysis and cash flow models, the horizon value is employed. Divide the annual cash flow by the discrepancy between the needed rate of return and the growth rate to determine the horizon value. The value of future cash flows that occur after a projection period of several years can be included, and many of the issues associated with valuing such cash flows are adequately resolved, thanks to the terminal value. In discounted cash flow analysis, the terminal value is determined using a stream of anticipated future free cash flows. There are two methods for determining the Terminal Value for whole-company valuation.

Horizon value = (Free cash flow for last year × Growth rate) ÷

(WACC - Growth rate)

It is given that free cash flow for last year = $40

Growth rate = 9% = 0.09

WACC = 15% = 0.15

Thus, Horizon value = (40 × 0.09) ÷ (0.15 - 0.09)

= 3.6 ÷ 0.06

= 60 million

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Anna is seeking a Medicare Supplement Policy. An agent has explained that all supplements must contain some of the same items. Which of the following is false?
A) The insurer may provide a Buyer's Guide and an Outline of Coverage.
B) The policy must contain an Outline of Coverage.
C) A question about replacement must appear on the application.
D) The policy must contain a 30-day free look provision on the first page.

Answers

The insurer has the option to provide a Buyer's Guide and an Outline of Coverage. It is a false statement when an agent has explained that all supplements must contain some of the same items.

What is an insurer ?An insurer refers to a person that sells insurance. The insurer pays the insured the cash value accrued by the policy when the policy is canceled.Insurance companies are obliged to provide their customers with a prospectus containing all essential features of the insurance contract. An insurance company is a company that sells insurance. An insurer is a party to an insurance contract that promises coverage. An insurance company is a legal entity that underwrites the risks of an insured person, usually an insurance company. In contrast, an insured is an individual or entity whose life, health, or property is covered by an insurance policy. Insurers are generally obligated to defend or pay legal costs of insured persons who are the subject of litigation relating to insurance risks.

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The following table shows estimates of activity times (weeks) for a project:Activity Optimistic Most Probable PessimisticTime Time Time A 5 5.5 9B 1 3 5C 4 5 6D 5 5.5 9E 6 7 8F 2.5 3 3.5G 7.5 8.5 12.5Suppose that the critical path is A-C-D-E-G. Use Appendix A to answer the questions. Do not round intermediate calculations. Round your answers to three decimal places.What is the probability that the project will be completed within 34 weeks?What is the probability that the project will be completed within 31 weeks?What is the probability that the project will be completed within 36 weeks?What is the probability that the project will be completed in 33 weeks?There is no additional information available. The Appendix A that is referred to is the Z tables.

Answers

The probability that the project will be completed within 34, 31, 36 and 33 weeks is 0.7734, 0.0681, 0.9875 and 0.50 respectively.

How to calculate the probability of project completion within a particular period?

When critical path is ACDEG,

Expected duration of critical path = Sum of expected times of ACDEG

= 6 + 5+ 6 + 7 + 9

=33 weeks

Variance of critical path = Sum of Variances of ACDE

= 0.44 + 0.11 + 0.44 + 0.11 + 0.69

=1.79 weeks

Hence, the standard deviation (SD) of critical path,

                SD = [tex]\sqrt{Variance of Critical path (1.79)}[/tex]

                SD = 1.337 (rounded to 3 decimal places)

A. The probability that the project will be completed within 34 weeks is,

let Z1 be probability of project completion in 34 weeks, therefore

Expected duration of critical path (ACDEG) + (SD of ACDEG x Probability of project completion in 34 weeks) = 34

33 + (1.34 x Z1) = 34

1.34 x Z1 = 34 – 33

1.34 x Z1 = 1

Z1 = 1/1.34

Calculated Z1 = 0.746

From the Standard distribution table,

Table Z1 = 0.7734

Therefore, the probability of completion of the project in 34 weeks is 0.7734

B. The probability that the project will be completed within 31 weeks is,

let Z2 be probability of project completion in 31 weeks, therefore

33 + (1.34 x Z1) = 31

1.34 x Z2= 31– 33

1.34 x Z2 = -2

Z2 = -2/1.34

Calculated Z1 = - 1.493

From the Standard distribution table,

Table Z1 = 0.0681

Therefore, the probability of completion of the project in 31 weeks is 0.0681

C. the probability that the project will be completed within 36 weeks is,

let Z3 be probability of project completion in 36 weeks, therefore

33 + (1.34 x Z3) = 36

1.34 x Z1 = 36 – 33

1.34 x Z1 = 3

Z3 = 3/1.34

Calculated Z3 = 2.239

From the Standard distribution table,

Table Z3 = 0.9875

Therefore, the probability of completion of the project in 36 weeks is 0.9875

D. the probability that the project will be completed in 33 weeks is,

let Z4 be probability of project completion in 33 weeks, therefore

33 + (1.34 x Z4) = 33

1.34 x Z4 = 33 – 33

1.34 x Z4 = 0

Z4 = 0/1.34

Calculated Z4 = 0

From the Standard distribution table,

Table Z4 = 0.50

Therefore, the probability of completion of the project in 33 weeks is 0.50

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meg o'brien received a gift of some small-scale jewelry manufacturing equipment that her father had used for personal purposes for many years. her father originally purchased the equipment for $1,500. because the equipment is out of production and no longer available, the property is currently worth $4,000. meg has decided to begin a new jewelry manufacturing trade or business. points What is her depreciable basis for depreciating the equipment?

Answers

Because the cost basis, $1,500, is less than the fair market value, $4,000. As a result, M's depreciable basis for jewelry equipment is $1,500.

The depreciation basis is the portion of the cost of a fixed asset that can be depreciated over time. Less the asset's expected salvage value at the end of its useful life, this is the asset's acquisition cost.

The acquisition cost of an asset is the purchase price plus the cost of putting the asset into service. As a result, in-person improvements (such as wiring or a concrete pad for the asset), installation fees, and testing costs can all be included in the acquisition cost.

Many businesses intend to use an asset once and then discard it. If this is the case, they assume that there will be no salvage value, in which case an asset's depreciation basis is the same as its cost. The standard approach is to use no salvage value in the derivation of the depreciation basis because it reduces the complexity of the depreciation calculation.

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The cost of controlling emissions at a firm rises rapidly as the amount of emissions reduced increases. Here is a possible model:
$$C(q)=4,000+100 q^{2}
$
where $q$ is the reduction in emissions (in pounds of pollutant per day) and $C$ is the daily cost to the firm (in dollars) of this reduction. What level of reduction corresponds to the lowest average cost per pound of pollutant, and what would be the resulting average cost to the nearest dollar?

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This is often a pound of lead and a half Sulphur. In order to induce the maxima and minima, we have a tendency to initial reason the primary by-product then we have a tendency to ensure with the assistance of second by-product whether or not the second by-product is positive, negative or zero for the values at that computation is zero.

For minimum price, the worth of second by-product ought to be quite zero. We have a value operate c of x y for the value of removing x pounds of sulphur and y of lead, that is outlined by a thousand and 600 x, square and 400y square.

The govt. can subsidize firms that take away some amounts of the sulphur and lead. The question is what number pounds ought to be removed to maximize their profits, that the profit goes to be c- s, thus one hundred suggests that or a thousand and 600 x, square and four hundred y square Minus. 900x- 400y purpose is however we wish to maximize this operate.

We have a tendency to take the differential with relevancy x and y and set them adequate zero. We have a tendency to get 1200 x - 900, and for y we have a tendency to get 800 x, minus 400. From the primary one we have a tendency to get x, that is adequate 900 over twelve or 912, and for y we have a tendency to get 400 over 800, that is one 0.5. 912 ought to be removed.

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Assume that the supply of corn is relatively price inelastic, while the demand for corn is relatively price elastic. If the government imposes a per-unit excise tax on the production of corn, the incidence of the tax will fall
more on sellers than on buyers

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E) Terms in this set If supply is more inelastic than demand, sellers bear the majority of the tax burden, and demand is more inelastic than supply.

Customers are more likely to reduce their demand rather than increase prices if the demand curve is more elastic.

What will happen to total revenue if there is an inelastic price elasticity of demand?

A decrease in price will result in a decrease in total revenue if demand is inelastic, whereas a rise in price will result in an increase in total revenue. When prices rise or fall, total revenue stays the same if demand is unit elastic. measures how well sellers respond to changes in a product's price.

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Full Question Attached with image

The difference between the actual labor hours and the standard labor hours, multiplied by the standard labor rate is the:
direct labor efficiency variance.
direct labor rate variance.
direct labor spending variance.
direct labor volume variance.

Answers

The Direct Labor Efficiency Variance is calculated by multiplying the Actual Labor Hours by the Standard Labor Hours and the Standard Labor Rate. Thus (A) is correct.

The cost of the discrepancy between the anticipated number of labour hours needed for operations and the actual number of labour hours needed for operations is known as the direct labour efficiency variance.

A decrease in labour productivity is indicated by a negative variance, whereas an increase is shown by a positive variance.

Only recurring processes benefit from tracking this variance; in cases when commodities are produced infrequently or over a lengthy period, tracking this variance serves little purpose.

The labour efficiency variance is also referred to as the direct labour efficiency variance, albeit the latter term is less precise.

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the traditional approach to strategic control is sequential. which of the following is not one of the steps in the sequence?

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lower and middle management set strategic corporate goals is not one of the steps in the sequence.

The purpose of strategic controls is to direct the organisation in the direction of its long-term strategic goals.

After a strategy has been chosen, it is gradually put into practise to help a company navigate a quickly changing environment.

The assumptions made by management regarding a variety of yet-to-happen events form the basis of strategies, which are forward-looking.

A standard is used as a benchmark in traditional techniques to control. After finishing the task at hand, the manager assesses it and makes use of the results to guide subsequent efforts. Although not worthless, this tactic is not the best way to keep a strategy under control.

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the main goal of financial managers who focus on current assets and liabilities is to maximize the return to the business on cash, temporary investments of idle cash, accounts receivable, and inventory.

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The essential goal of monetary administration is to maximize the contemporary fee of the existing stock. Any administration action that is opposite to this purpose would be an suited answer.

List three decisions that a economic supervisor makes that would fall below the category of working capital management.

What is referred to as financial management?

In easy terms, economic management is the business characteristic that deals with investing the on hand financial resources in a way that larger commercial enterprise success and return-on-investment (ROI) is achieved. Financial management specialists plan, organize and control all transactions in a business.

What is financial administration example?

Financial administration instance for enterprise or corporation consists of managing smartphone cost, hiring a new employee, purchasing of facilities, undertaking budgets, etc. Financial management instance for folks consists of managing month-to-month budgets, expenses, shopping, etc.

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It was the third meeting, but the group had finally agreed on the roles for each member. Cathy felt good about how things were progressing. It seemed that the conflicts had been resolved; Bella and Lewis had actually arrived on time with their tasks completed. Cathy felt they were now a team. They were now in the stage. performing adjourning forming norming storming Question 27 2 pts During the stage of team development, close relationships develop as unity and harmony emerge. performing adjouming forming storming norming

Answers

It was the third meeting, but the group had finally agreed on the roles for each member. Cathy felt good about how things were progressing. It seemed that the conflicts had been resolved; Bella and Lewis had actually arrived on time with their tasks completed. Cathy felt they were now a team. They were now in the norming stage.

Bruce Tuckman, an American psychologist who lived from 1938 to 2016, proposed that a group goes through five stages of integration: Forming, Storming, Norming, Performing and Adjourning. The group members begin to show concern for one another during the third phase of the group's development when they begin to appreciate the authority of their leader.

Members become more focused on the team's objectives during the Norming stage, increasing their productivity in both individual and group work. The team may decide that now is the right moment to assess the effectiveness of their working methods.

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international public relations, sales promotion, and other imc efforts work best when coordinated and reinforced with:

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international public relations, sales promotion, and other imc efforts work best when coordinated and reinforced with:  a consistent advertising campaign.

Through consistent messaging across all platforms, it's all about conveying a particular mood or tone to your customers. Customers will be able to recognise you more easily if your brand is consistent. You are probably thinking right now, "Yeah, consistency is key, but how do I achieve this?" I'm glad you asked, then! Executing a planned marketing campaign is one approach. They just make sense, which is why we love them. They are a planned and calculated effort to advance a company's specific objectives. Customized marketing tools like media, print advertising, radio advertising, social media, and many others are typically combined in marketing campaigns. Genuine promoting efforts are something beyond notices. Multiple approaches are required to carry out an efficient campaign. Be that as it may, regardless of what strategy, all informing and subjects ought to stay Predictable, and ought to help your situation, and characterize the purchaser experience. This will help you captivate your audience and increase brand recognition.

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database reports are useful in many ways; one way a report is used is to provide details about individual records and to create .

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Database reports are useful in many ways; one way a report is used is to provide details about individual records and to create labels.

A database report is the prepared output of a database query and includes information that may be used for analysis and decision-making. A reporting tool is typically included in good business applications; it consists of a front-end interface that calls or executes back-end database queries that have been structured for user-friendly application operation.

A database report can be divided into the following 3 categories:

Reports of all types, including detail, group, crosstab, column, query, data entry, etc.Aggregate reports: a variety of erroneous reports, such as complicated billsDashboard reports: A multi-dimensionally analyzed visual report based on the display of business indicators

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fill in the blank: return on investment compares the of an investment to the net profit gained from that investment.

Answers

Return on Investment (ROI) compares the cost of an investment to the net profit gained from that investment.

It is typically expressed as a percentage and is calculated by dividing the net profit by the total cost of the investment and multiplying by 100. For example, if an investor invests $100 in a stock, and that stock increases in value to $150, the investor will have a return on investment of 50% ($50/$100 x 100).

Return on investment (ROI) is a measure of the profit earned from an investment relative to the amount of money invested. It is typically expressed as a percentage and is used to measure the efficiency of an investment or to compare the efficiency of a number of different investments.

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duski, a very expensive brand of clothing and accessories, promotes its products by using advertisements that feature beautiful women clothed in its brands. given this information, which of the following advertising appeals is used by duski?

Answers

Vanity and egoism is the advertising appeal used by duski to advertise its expensive brand.

Vanity and Egoism advert is a type of advertisement used for highly expensive and conspicuous goods so that it can appeal to peoples vanities and ego.

Some of those products are purchased to show class and societal status as well as to display flamboyant life style. Such product could be an identity, so the logo or brand name of such products are placed where it will be clearly visible. For example a polo with a Gucci logo placed on the chest.

Therefore, duski using Vanity and egoism advertisement appeal.

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Kate dies owning a passive activity with an adjusted basis of $100,000. Its fair market value at that date is $130,000. Suspended losses relating to the property were $45,000. a. The heir's adjusted basis is $130,000, and Kate's final deduction is $15,000. b. The heir's adjusted basis is $130,000, and Kate's final deduction is $45,000. c. The heir's adjusted basis is $100,000, and Kate's final deduction is $45,000. d. The heir's adjusted basis is $175,000, and Kate has no final deduction. e. None of the above.

Answers

Option A is correct. The heir's adjusted basis is $130,000, and Kate's final deduction is $15,000

The heir receives a $30,000 step-up in basis ($130,000 FMV - $100,000 decedent's basis). A $15,000 passive activity loss deduction is allowed on the decedent's final return ($45,000 suspended loss - $30,000 step-up in basis)

At the point when a resource or security's accounted for unique expense changes fundamentally after it has previously been gained, the expression "adjusted basis" is utilized. For charge purposes, the capital increase or misfortune on a deal is for the still up in the air by refreshing the underlying buy cost to mirror any additions or decreases in its worth. An ascent in cost premise will frequently bring about a decrease in charge obligation.

A venture's or alternately resource's expense premise is the primary recorded cost paid for it, alongside any connected assessments, charges, and other buy related costs. Occasions that occur during the proprietorship term, from the time it is bought until it is sold, may then raise or reduction this base, for example, paying for remodels, capital consumptions (CAPEX), or typical mileage.

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for some products, such as snow skis, it is essential that the customer buy the proper size. when size is an important factor, it is acceptable for a salesperson to ask directly for a customer's height or weight.

Answers

No, it is not acceptable for a salesperson to ask directly for a customer's height or weight. They should use measuring tape instead to find a proper size for them.

There is no single formula for interacting with customers as a salesperson. The most important factor is to be genuine and interested in helping the customer find what they need. customers can sense when someone is trying to push a product on them or when they genuinely care about helping them.

There will always be some back-and-forth in any sales interaction, but as long as the salesperson is patient and respectful, they will usually be able to find a happy compromise. Keeping your customer's happy is very important for any business.

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conventional finance theory assumes investors are , and behavioral finance does not assume investors are .

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Conventional theories presume that financial backers are judicious and conduct finance assumes that they may not be reasonable.

Traditional finance expects that a financial backer might be an objective one that can cycle all data fair-mindedly. While conduct finance draws from certifiable experience expressing that a financial backer has predispositions, it's silly, and his feelings play an errand inside the unassuming speculations embraced.

The Traditional or regular money and financial matters worldview states. that protections' costs in monetary business sectors completely mirror their gamble and returns. In light of. their gamble resistance financial backers take positions in such protections by accurately dissecting them. Within social money, it is expected that monetary members are not entirely levelheaded and self-controlled yet rather mentally persuasive with to some degree typical and self-controlling propensities. Monetary direction frequently depends on the financial backer's psychological and actual well-being.

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The final approved report outlining all final individual component, individual function, and integrated system performance tests must be located in the:
building's fire control room
facility managers's desk
local fire department
local system maintainer

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The final approved report outlining all final individual component, individual function, and integrated system performance tests must be located in the: building's fire control room.

A room offered in large buildings, complicated buildings, or buildings that use phased evacuation is known as a fire control room. The room's purpose is to help firefighting efforts.

All buildings intended for phased evacuation, as well as big or complex buildings, should have a fire control center.

The fire control room should either be:A room that is only used for fire control; or a space that also serves as the management central control room.

The fire control room should be close to a point of access for the fire department and easily reachable, ideally from the outside. The path to the fire control room should be secured if this is not practical. The fire control room should be set apart from the rest of the building by 2 hour fire-resisting structure and should include amenities that will allow it to operate normally in an emergency because it may be necessary for it to be operational for a prolonged period of time.

Where available, a dependable firefighter communication system should be implemented throughout the structure and connected to the fire control center.

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Which of the following has been a negative effect of the SEC requirement that publicly traded companies in the United States are required to file quarterly and annual reports that are audited by an independent, accredited accounting firm?
a.
Stockholders can have complete faith that the information contained in financial statements accurately reflects the state of affairs of a company.
b.
It has encouraged other developed nations to enact similar regulations and requirements.
c.
There have been issues of misrepresentation of the true financial state of companies to investors such as inflating the revenues or earnings to generate higher stock prices to give managers the benefits of stock option grants for personal gain at the expense of stockholders.
d.
The information can enable a stockholder to calculate the profitability (ROIC) of a company in which he or she invests.
e.
It gives consistent, detailed, and accurate information about how efficiently and effectively the agents of stockholders, the managers, are running the company.

Answers

Statement C had a negative effect on the SEC requirement that publicly traded companies in the United States.

The U.S. Securities and Exchange Commission (SEC) is an independent federal agency responsible for protecting investors, maintaining fair, orderly, and efficient markets, and facilitating capital formation. The SEC's mission is to “protect investors, maintain fair, orderly, and efficient markets, and facilitate capital formation.”

There have been issues of misrepresentation of the true financial state of companies to investors such as inflating the revenues or earnings to generate higher stock prices to give managers the benefits of stock option grants for personal gain at the expense of stockholders.

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For control purposes, the quantities of materials ordered may be omitted from the copy of the purchase order that is
a. Forwarded to the accounting department.
b. Retained in the purchasing department’s files.
c. Returned to the requisitioner.
d. Forwarded to the receiving department.

Answers

For control purposes, the quantities of materials ordered may be omitted from the copy of the purchase order that is d) Forwarded to the receiving department.

Purchase Order:

A purchase order is a commercial document, the first official offer from a buyer to a seller specifying the type, quantity and agreed price for products or services. Used to manage purchases of products and services from external suppliers. Orders may be an important part of ordering from your product management system. Orders are not contracts. In the absence of a prior agreement, a contract is formed between Buyer and Seller upon Seller's acceptance of the order.

The documents are Forwarded to the Receiving department and the  Goods receipt notifications are used to document the contents of shipments to our company. The form is completed by the company's receptionist who accepts the delivered goods. The following information is typically included in the receipt report:

The date and time the package was receivedThe name of the carrier that delivered the goodsThe name of each item receivedThe quantity of each item received

The authorization order shipping document or number if provided on the box Condition of goods received. This could be a negative entry showing only damaged goods.

A master copy of each incoming report is kept in the receiving department. Copies are sent to other departments according to company procedures. A copy sent to Accounts Payable to document the receipt.

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regarding executive compensation and governance, group of answer choices it is relatively easy to connect company outcomes with managerial decisions, so executive level compensation is results-based. the goal of executive compensation is to align executive and owner goals. salary is the primary compensation mechanism used for executives. incentive systems guarantee managers make the right decisions.

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regarding executive compensation and governance the goal of executive compensation is to align executive and owner goals.

Modern pay structures may often be broken down into four categories: short-term vs long-term, cash against equity, individual versus collective, and fixed versus variable. The strategic goals of the company, its capacity to draw and keep personnel, ownership structure, culture, corporate governance, and cash flow are all important deciding considerations. Companies in the Russell 3000 Index place a strong emphasis on doing just that—aligning compensation with business success, as stakeholders demand. However, businesses may need to take into consideration additional criteria, such as seniority, especially outside of the United States. The basic wage, which is predetermined and paid in cash, as well as short-term and long-term incentives make up total direct compensation.

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texas's approach to regulation of which of the following policies has historically been less friendly to business?

Answers

Texas's approach to regulation of professional licensing regulations is considered less friendly to business.

Texas has a good regulatory environment and neither a personal nor corporate state income tax. Texas has been named "the #1 state for business" by Chief Executive Magazine for 18 years running. Amazon, Tesla, HP, and Oracle have all relocated to Texas or grown their businesses there.

Texas competes with other states for new corporate initiatives, although Texas has a larger, more talented, and younger labor pool than those places. Texas firms have access to a talent pipeline that will enable them to succeed both now and in the future thanks to the younger average age of the state's workforce.

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