The cash outflow for a company reacquiring its own stock to be held as treasury stock for its employee's 401K plan would be reported under financing activities. Therefore, the correct option is C.
In the statement of cash flows, there are three main categories: operating activities, investing activities, and financing activities. The repurchase of a company's own stock, also known as treasury stock, is considered a financing activity because it involves transactions with the company's owners (shareholders) and affects the company's capital structure.
The company uses cash to repurchase its own stock, resulting in a cash outflow under financing activities. This action doesn't directly relate to the company's operations or investments, which is why it is not reported under operating or investing activities.
Hence, the correct answer is option C: Under financing activities.
Note: The question is incomplete. The complete question probably is: A company reacquired some of its own stock to be held as treasury stock and used for its employee’s 401K plan. In their statement of cash flows how would this cash outflow be reported? a. Under operating activities. b. Either under operating activities or financing activities. c. Under financing activities. d. Either under investing activities or financing activities.
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Analyze the role that consumer preferences and market prices play in the decision-making of firms under a free enterprise system. Be sure to address the consequences firms face when ignoring consumer preferences and market prices. Write 3-5 sentences.
The role that consumer preferences and market prices play in the decision-making of firms under a free enterprise system include:
goods and services in demandcost and potential profitability of producing goods in demandHow can we analyze the role that consumer preferences and market prices play?In a free enterprise system, firms make decisions based on consumer preferences and market prices. Consumer preferences determine what goods and services are in demand, and market prices signal to firms the cost and potential profitability of producing those goods and services.
If firms ignore consumer preferences and market prices, they risk producing goods or services that are not in demand and may not be able to sell them at a profit. As a result, firms may lose market share and profits, and in extreme cases, may be forced out of business.
Therefore, the correct answer is as given above
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How is the focus group discussion (POD) used as a method of generating ideas?
Answer:
In a focus group, a moderator leads a group of people through an open, in-depth discussion rather than simply asking questions to solicit participant response. For a new product area, the moderator focuses the group discussion in either a directive or a nondirective manner.
PROBLEM: The Chicago Cubs play their home games at Wrigley Field, located in the Lakeview neighborhood of Chicago. A recent New York Times study concluded that the probability that a randomly selected Lakeview resident is a Cubs fan is 0.44.
(a) Interpret this probability as a long-run relative frequency.
Answer:
If a large Number of Lakeview residents are questioned, about 44% of them will be Club fans.
Explanation:
Reporting the probability outcome of a singular observation are usually reported as stated above, that the probability of a random sample of Lakeview resident being a club fan is 0.44%. However from a long run relative frequency approach, it requires just more Than one random sample but a large number of samples being evaluated over time.
Hence to expresa as a long run relative frequency, it could be stated as ; report gathered from many Lakeview residents, about 44% of them are Club fans.
Select the correct answer.
What is the purpose of a 1098 tax form?
ОА.
to report interest income from bank accounts
OB.
to report dividends or capital gains from stock investments
Ос. .
to report federal income taxes withheld by an employer
OD.
to claim qualified expenses such as deductions or credits
O E.
to correct mistakes on an already filed tax return
Reset
Next
Answer:
D. to claim qualified expenses such as deductions or credits
Explanation:
To find - What is the purpose of a 1098 tax form?
Solution -
The correct option is - D. to claim qualified expenses such as deductions or credits
Reason -
Form 1098 T tuition statement is an american IRS tax form filed bu eligible educational institutions(or those filing on the institutional's behalf)
To report payments received and payments due from the paying students.
The institution has to report a form for every student that is currently enrolled and paying qualifying tuition and related expense.
a fully charged acetylene cylinder contains approximately?
A fully charged acetylene cylinder contains approximately 225 psig (pounds per square inch gauge) of acetylene gas. This pressure allows for a large volume of gas to be stored in a relatively small space, making it a convenient fuel for welding, cutting, and other industrial applications.
1. Acetylene is a highly flammable gas used primarily for welding and cutting applications.
2. To safely store and transport acetylene, it is dissolved in a solvent (usually acetone) within a porous material inside the cylinder. This process allows for more acetylene to be stored at a safer pressure.
3. A fully charged acetylene cylinder typically holds around 225 psig of acetylene gas. This pressure provides a balance between safety and the amount of gas available for use.
4. Exceeding 225 psig can cause the acetylene to become unstable and potentially dangerous, so it is important to stay within the recommended pressure range for safety reasons.
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Drag each label to the correct location
PLEASE HELP
Answer:
put master budget for sources of cash and put cash budget for cost of finished goods
Suppose initially that the United States is consuming 22 boots and 1818 shirts and Canada is consuming 1212 boots and 22 shirts. Then, suppose the United States and Canada specialize by each only producing the good for which they have a comparative advantage and then trade with each other. In particular, suppose the United States trades Canada half of its production for half of what Canada produces.How many additional shirts will the United States have after the trade?
The United States would have a total of 1829 shirts after the trade.
In terms of creating shirts, the United States has a competitive advantage over Canada since it can create more shirts per worker. Canadian production of boots has a comparative advantage over American production in that it can create more boots per unit of labor.
Prior to the trade, the United States produced 1818 shirts and 22 pairs of boots, whereas Canada produced 1212 pairs of boots and 22 shirts. Canada will only create boots after the trade, and the United States will only make shirts. Please take into account that the United States gave Canada 11 of its shoes in return for 50 of its shirts (11 shirts).
After the exchange, Canada would receive 11 boots and the United States would receive 11 more shirts. As a result, following the trade, the United States would possess 1818 + 11 = 1829 shirts altogether.
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Definition for crime and violence
Answer:
Crime can therefore be defined as a violation of the law and an act of deviance from established rules, or a non-commission of an action that is required by law. Violence, on the other hand, is an act of physical aggression that in most cases results in harm.
the main units of local government.
Answer:
There are four main types of local government- counties, municipalities (cities and town), special districts, and school districts. Counties are the largest units of local government, numbering about 8,000 nationwide. They provide many of the same services provided by cities.
Explanation:
4. problems and applications q4a company is considering building a bridge across a river. the bridge would cost $2 million to build and nothing to maintain. the following table shows the company's anticipated demand over the lifetime of the bridge:pricequantity(dollars per crossing)(thousands of crossings)8071006200530044003500260017000800if the company were to build the bridge, its profit-maximizing price would be$, and it produce the efficient level of output.if the company is interested in maximizing profit, it build the bridge because profit would be$. (note: if the company incurs a loss, be sure to enter a negative number for profit.)if the government were to build the bridge, it should charge a price of$.true or false: the government should build the bridge.truefalse
The profit-maximizing price for the company is $440, and the government should charge $350. Whether the government should build the bridge depends on broader considerations.
To determine the profit-maximizing price and efficient level of output for the company, we need to calculate the total revenue and total cost at different price levels.
The total revenue is the product of price and quantity, while the total cost is the fixed cost of building the bridge. The profit is the difference between total revenue and total cost.
The profit-maximizing price would be $440 per crossing, and the efficient level of output would be 25,000 crossings. At this price and quantity, the company would earn a profit of $9,000.
If the government were to build the bridge, it should charge a price of $350 per crossing, which is the price that would result in the efficient level of output.
However, whether the government should build the bridge or not depends on the wider context and considerations beyond the profit motive.
Building a bridge may have positive externalities, such as facilitating transportation and boosting economic activity in the region, but it may also have negative externalities, such as disrupting the ecosystem and affecting local communities.
Therefore, a comprehensive analysis of the costs and benefits, including the social and environmental impacts, should be conducted to determine whether the government should build the bridge or not.
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NEED ASAP PLEASE
Select the correct text in the passage.
Hussein is writing a response rejecting a customer’s request for a product replacement. Select the text in the passage that shows the reasons he gives for the negative message.
Thank you for writing to us regarding your request for a replacement fan.
To guarantee customer satisfaction, we extend a warranty of 90 days on this product for all our customers. If returned within 90 days, we offer replacements free of charge.
Based on the receipt you attached to your email, we see that you purchased this product 120 days ago. We regret that we are unable to offer a replacement.
As an alternative, we can offer a 20 percent discount on any other product you wish to purchase from our store. We look forward to doing business with you again.
Answer:
Based on the receipt you attached to your email, we see that you purchased this product 120 days ago. We regret that we are unable to offer a replacement
Explanation:
Hope it helps!
If a portion of a supply curve in a labor market is backward bending:
Group of answer choices
an increase in wages will lead to an increase in the quantity of labor supplied.
the income effect dominates the substitution effect on that portion of the supply curve.
people have not yet reached their target income.
the substitution effect dominates the income effect on that portion of the supply curve.
the higher wage rate leads to an increase in the quantity of labor supplied because the worker has an increase in income.
If a portion of a supply curve in a labor market is backward bending, the income effect dominates the substitution effect on that portion of the supply curve. This statement is true. The backward-bending supply curve of labor means that when the wage rate rises, labor supply initially rises, but eventually, the higher wage leads to a fall in the number of hours worked by an individual.
The substitution effect is the effect of a wage change on labor supply caused by a change in the relative cost of leisure. When the wage rate rises, the cost of leisure increases relative to the income earned from working, so workers substitute leisure for labor, reducing the quantity of labor supplied.
The income effect is the effect of a wage change on labor supply caused by a change in the worker's income. When the wage rate rises, the worker's income increases, which can cause them to work more or less.
The income effect is divided into two parts: the substitution effect and the income effect on the worker's overall well-being. On a backward-bending supply curve, the income effect dominates the substitution effect because, as the wage rate rises, the worker's income rises, and the higher income causes them to work more. In other words, the higher wage rate leads to an increase in the quantity of labor supplied because the worker has an increase in income.
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With the help of online research, write a short report on “glocalization.”
The phenomena of Glocalization, which is best described as Thinking Globally, Acting Locally, is created when the two terms of globalisation and localization are combined.
To put it more properly, we may say that although if a single brand is produced, sold, and distributed globally, it is nevertheless personalised and customised to suit the tastes and preferences of customers in the many global marketplaces.
It is carried out since each region of the world has its own unique culture, linguistic preferences, demands, and desires.
By adjusting their offerings and products to meet the needs of that specific market, businesses may effectively position and place their items, resulting in high revenues and devoted customers.
The following are all global brands, although they cater to the demands of their customers in various parts of the world while selling items.
Chips by Lays (They sell different flavours in different parts of the world, according to the taste preference and eating habits of that country).
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Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?
Answer: I hate Trump and would make him eat tortilla chip vertically :/
Explanation:
During standard-rate turns, which instrument is considered "primary" for bank?
During standard-rate turns, the instrument that is considered "primary" for bank is the attitude indicator, also known as the artificial horizon.
The attitude indicator displays the aircraft's pitch and bank in relation to the horizon, providing the pilot with a visual reference of the aircraft's position in space. This is particularly important during turns, where the aircraft's bank angle needs to be precisely controlled in order to maintain the desired rate of turn. While other instruments such as the turn coordinator and the heading indicator also provide information on the aircraft's bank angle, the attitude indicator is considered the primary instrument for bank due to its accuracy and reliability. Additionally, the attitude indicator is not affected by external factors such as turbulence or wind gusts, making it a more dependable source of information. In summary, during standard-rate turns, the attitude indicator is the primary instrument for bank, providing the pilot with accurate and reliable information on the aircraft's position in space.
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why should you look at as many outside companies as you can when networking for a future career?
You should look at as many outside companies as you can when networking for a future career because it offers several benefits and opportunities.
Networking with a wide range of companies expands your knowledge and understanding of the job market. By exploring different organizations, you can gain insights into various industries, company cultures, job roles, and career paths. This exposure helps you make informed decisions about your future career trajectory and identify the best fit for your skills, interests, and goals.
Furthermore, networking with diverse companies allows you to build a broader professional network. Connecting with professionals from different organizations opens doors to potential mentors, advocates, and job opportunities. It increases your chances of accessing the hidden job market, where many positions are filled through referrals and personal connections.
Additionally, learning from outside companies can foster innovation and creativity. Exposure to different approaches, strategies, and perspectives from various industries can inspire new ideas and fresh thinking. It helps you stay adaptable, develop a broader skill set, and enhances your overall marketability.
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A company purchased land and a building for $250,000. An independent appraisal values the land at $229,167 and the building at $83,333. What would be the journal entry to record this transaction? A.Dr. Building $83,333 and Dr. Land $229,167; Cr. Cash $312,500 B. Dr. Building $66,667 and Dr. Land $183,333; Cr. Cash $250,000 Dr. PPE $250,000 : Cr. Accumulated Depreciation $250,000 C.Dr. Building $83,333 and D.Dr. Land $229,167; Cr. Gain $62,500 and Cr. Cash $250,000
The question asks for the appropriate journal entry to record the purchase of land and a building for $250,000, with an independent appraisal valuing the land at $229,167 and the building at $83,333.
The correct journal entry to record this transaction would be option B: Dr. Building $66,667 and Dr. Land $183,333; Cr. Cash $250,000. The journal entry should reflect the allocation of the purchase price based on the independent appraisal values of the land and building.
The land is valued at $229,167, so it should be debited for that amount. The building is valued at $83,333, so it should be debited for that amount as well. The total debits for land and building amount to $312,500. Since the company paid $250,000 in cash for the purchase, the cash account should be credited for that amount.
This journal entry accurately reflects the purchase of land and a building, assigning the appropriate values to each asset based on the independent appraisal. It also ensures that the total debits equal the total credits, maintaining the accounting equation.
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7.you have just won the lottery and will receive the first payment of $1,000,000 in one year. you will receive payments for 30 years, which will increase 3% per year. if the appropriate discount rate is 7%. what is the present value of your winnings?
The present value of your winnings would be around $3,826,305.44. Present value means the number or price that will be gotten in the future from your investment.
To find the present value of your lottery winnings, you can use the formula for the present value of an annuity:
\(PV = PMT / r * (1 - (1 / (1 + r)^n))\)
Where:
PV = present value of the annuity
PMT = the payment you will receive each year
r = the discount rate (7% in this case)
n = the number of payments (30 years)
The payment will increase by 3% per year, so you need to calculate the future value of the payments,
Pmt(1) = $1,000,000
Pmt(n) = $1,000,000 * (1+3%)³⁰
Now we can calculate the present value of your winnings:
PV = Pmt(n) / (r * (1 - (1 / (1 + r)ⁿ)))
PV = ((1,000,000 * (1+0.03)³⁰) / (0.07 * (1 - (1 / (1 + 0.07)³⁰)))
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Assuming everything else is constant, when a stock goes ex-rights the stock price should:_____.
Assuming everything else is constant, when a stock goes ex-rights the stock price should typically decrease. This is because going ex-rights means that the rights to buy additional shares at a discounted price are no longer attached to the stock.
As a result, the stock becomes less attractive to investors who were hoping to benefit from the rights offering. The decrease in demand for the stock usually leads to a decrease in its price.
However, it's important to note that other factors such as market conditions and investor sentiment can also influence the stock price. So, while the stock price is expected to decrease, it's not guaranteed and can vary depending on various circumstances.
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Explain at least four consumer rights.
Explanation:
four basic consumer rights – the right to safety; the right to be informed; the right to choose and the right to be heard
the rn is developing new negotiation skills. which strategy does the rn emphasize when working with other team members?
Negotiation is a dialogue between two parties to resolve conflicts or issues so that both parties find the solution acceptable.the rn is developing new negotiation skills.
Agribusinessmen must be adept at calculating, hence they must be mathematicians. Agribusiness owners must sell their products in the market, thus they must be skilled at marketing. Because an agribusinessman must handle numerous operations at once, such as acquiring raw materials (seed, water connection, manure, farming equipment, etc.), selling produce, and working in the field, he/she must be a competent manager with managerial abilities. Because agribusinessmen must market their products, they must be skills communicators.
the rn is developing new negotiation skills. which strategy does the rn emphasize when working with other team members?
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Computation of Income Tax Expense. A firm’s
income tax return (IRS)shows $50,000 of income taxes owed for 2017.
For financial reporting (GAAP), the firm reports deferred tax
assets of $42,900 at the beginning of 2017 and $38,700 at the end
of 2017. It reports deferred tax liabilities of $28,600 at the
beginning of 2017 and $34,200 at the end of 2017.
Required
a. Compute the amount of income tax expense for
2017.
b. Assume for this part that the firm’s
deferred tax assets are as stated above for 2017 but that its
deferred tax liabilities were $58,600 at the beginning of 2017 and
$47,100 at the end of 2017. Compute the amount of income tax
expense for 2017.
c. Explain contextually why income tax expense
is higher than taxes owed in Part a and lower than taxes owed in
Part b.
The difference between income tax expense and taxes owed is due to changes in deferred tax assets and liabilities, which reflect differences between the tax treatment of certain items for financial reporting and tax purposes.
a. To compute the amount of income tax expense for 2017, we need to consider the change in deferred tax assets and deferred tax liabilities.
The change in deferred tax assets is calculated by subtracting the ending balance ($38,700) from the beginning balance ($42,900). This gives us a decrease of $4,200 in deferred tax assets.
The change in deferred tax liabilities is calculated by subtracting the beginning balance ($28,600) from the ending balance ($34,200). This gives us an increase of $5,600 in deferred tax liabilities.
To find the income tax expense, we add the decrease in deferred tax assets to the increase in deferred tax liabilities: $4,200 + $5,600 = $9,800.
Therefore, the income tax expense for 2017 is $9,800.
b. If we assume that the firm's deferred tax liabilities were $58,600 at the beginning of 2017 and $47,100 at the end of 2017, we would calculate the income tax expense in the same way as before. The change in deferred tax assets is still $4,200.
The change in deferred tax liabilities is now calculated by subtracting the beginning balance ($58,600) from the ending balance ($47,100). This gives us a decrease of $11,500 in deferred tax liabilities. Adding the decrease in deferred tax assets to the decrease in deferred tax liabilities gives us:
$4,200 - $11,500 = -$7,300.
Therefore, the income tax expense for 2017 is -$7,300.
c. In Part a, the income tax expense is higher than the taxes owed because the firm experienced a decrease in deferred tax assets and an increase in deferred tax liabilities. This means that more tax benefits were recognized in the financial statements than were paid in cash to the IRS, resulting in a higher expense.
In Part b, the income tax expense is lower than the taxes owed because the firm experienced a decrease in deferred tax assets and a larger decrease in deferred tax liabilities. This means that fewer tax benefits were recognized in the financial statements than were paid in cash to the IRS, resulting in a lower expense.
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What is the formula for calculating simple interest?
A. Simple interest - Principal - Rate < Time
B. Simple interest = Principal - Rate + Time
C. Simple interest = Principal Rate < Time
D. Simple interest = Principal + Rate < Time
Explanation:
the formulary for calculating simple interest is
simple interest= principal×rate×time/100
the formula for calculating simple interest is Simple interest = Principal - Rate + Time
What is simple interest?Simple interest is a calculation of interest that doesn’t take into account the effect of compounding. In many cases, interest compounds with each designated period of a loan, but in the case of simple interest, it does not. The calculation of simple interest is equal to the principal amount multiplied by the interest rate, multiplied by the number of periods.
"The period must be expressed for the same time span as the rate. If, for example, the interest is expressed in a yearly rate, such as in a 5% per annum (yearly) interest rate loan, then the number of periods must also be expressed in years. Note that sometimes changes to interest rates may be expressed in basis points (BPS). It may be worth your while, as a financial professional, to learn how to convert BPS into interest rates.
What is principal?Principal is most commonly used to refer to the original sum of money borrowed in a loan or put into an investment. It can also refer to the face value of a bond, the owner of a private company, or the chief participant in a transaction.
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A person who needs a car for a few weeks while visiting family out of state
would most likely choose to do which of the following?
A. Finance a car
B. Rent a car
C. Lease a car
D. Join a carpool
Answer:
B. Rent a car or A car rental
Explanation:
Got the quiz question correct!
sets the external environment as the primary determinant of an mne's strategic plan.a.industrial organization (io) by
The industrial organization (IO) perspective sets the external environment as the primary determinant of a multinational enterprise's (MNE) strategic plan.
The industrial organization (IO) perspective is an approach used in strategic management to analyze the external environment's influence on a firm's strategy. It focuses on understanding the industry structure and competitive forces that shape the behavior and performance of firms, including multinational enterprises (MNEs).
According to the IO perspective, the external environment, including factors such as market conditions, industry competition, government regulations, and technological advancements, plays a significant role in shaping an MNE's strategic plan. The perspective suggests that the characteristics of the external environment have a substantial impact on the MNE's opportunities and constraints.
By analyzing the external environment, an MNE can identify potential market opportunities, assess competitive threats, and align its resources and capabilities to gain a competitive advantage. The IO perspective emphasizes the importance of understanding industry dynamics, market trends, and the competitive landscape to develop an effective strategic plan.
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in a buyer-side marketplace, a buyer, or a group of buyers, opens an electronic marketplace and invites sellers to bid on announced products or make a request for quotation. question 14 options: true false
In a buyer-side marketplace, a buyer, or a group of buyers, opens an electronic marketplace and invites sellers to bid on announced products or make a request for quotation. True.
An individual or group of buyers launches an online market and asks vendors to submit bids on products that have been made public or submit requests for quotes (RFQ). Buyers can adopt uniform pricing, cut administrative costs, and manage the procurement process more effectively using this model.
A platform that aims to draw traders and investors looking to purchase and sell assets like stocks or commodities is known as a trader-side marketplace. The marketplace collects fees from dealers in the form of commission fees or transaction fees.
On the other hand, a seller-side marketplace, like those found in e-commerce platforms, concentrates on bringing together sellers and prospective customers. The sellers in this situation typically pay the fees in order to list their goods and reach a larger audience.
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Who are you voting in this years election and why?
i am a democrat so i will NOT be voting for trump. :)
Answer:
I am voting for Donald Trump in this election
Explanation:
Cost-push inflation corresponds to ________ output and demand-pull inflation corresponds to ________ output.
It should be noted that Cost-push inflation corresponds to lower output and demand-pull inflation corresponds to higher output.
What Is Cost-Push Inflation?Cost-push inflation serves as inflation that do take place when overall prices increase as a result of increases in the cost of wages and raw materials
Demand-pull inflation on the other hand describes the effects of an imbalance in aggregate supply and demand.
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The current price in the market for milk is $2.00 if the government imposed a price floor of $4.00 in this market total surplus would ____________.
The current price in the market for milk is $2.00 if the government imposed a price floor of $4.00 in this market total surplus would increase.
What is total surplus?A market's overall surplus serves as a gauge for the general well-being of all members. Combined consumer and producer surplus make up this amount. Consumer surplus is the gap between what customers are prepared to pay and what they actually pay for a good. Consumer advantages are quantified economically as consumer surplus. The economic concept of marginal utility, which is the additional enjoyment a customer receives from purchasing one more unit of an item or service, serves as the foundation for consumer surplus.When customers pay less for a good or service than they are willing to, this is known as a consumer surplus. It measures the extra benefit that consumers get from paying less for something than they would have been prepared to.
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Tom is a very discerning individual who keeps track of his income and expenditures. He lives in a rented house but wants to own a house in the future. To do this, Tom prepares an elaborate plan and tries sticking to it very strictly. However, he is concerned about eventualities that might occur in the future and disturb his plan. Which practice can help him prepare for any problems with his plan?
A- Regularly review and revise his plan
B- Get his plan reviewed and recreated by a financial expert
C- Make several investments to increase his source of income
D- abstain from making expenses, excluding few necessary ones
If Tom is a very discerning individual who keeps track of his income and expenditures. The practice that can help him prepare for any problems with his plan is; A- Regularly review and revise his plan.
What is planning?Planning can be defined as the way in which a person tend to develop or create a goal that he/she intend to achieve and work towards achieving it.
Based on the given scenario by regularly reviewing and revising his plan can help him prepare for any problems with his plan based on that that reviewing his plan will help him to known what may have negative effect or positive effect on his plan.
Therefore the correct option is A.
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