From the battle of Russia_ukraine affecting stakeholders: EU countries & U farmers & agricultural industry. Do you need to specify the impact ntn, specifically and related to global trade?

Answers

Answer 1

Yes, it is necessary to specify the impact on stakeholders and the agricultural industry regarding global trade in the context of the battle between Russia and Ukraine.

The ongoing conflict between Russia and Ukraine has had a significant impact on various stakeholders such as EU countries, U farmers, and the agricultural industry as a whole. Specifically, the conflict has caused disruptions in global trade, which has led to a reduction in agricultural exports. As a result, the agricultural industry has faced challenges in accessing new markets, and farmers have suffered losses due to a decrease in demand for their products.The conflict has also caused political instability, which has impacted investment in the agricultural sector. It has resulted in the decline of production in the agricultural industry, leading to shortages of food, and the prices of food have risen.

The impact on global trade has been severe, and it has caused a ripple effect across various countries. Countries that were previously dependent on Ukraine's agricultural exports have suffered due to the disruption of supply chains. In conclusion, the conflict between Russia and Ukraine has had a severe impact on stakeholders and the agricultural industry, particularly in terms of global trade. The impact has been felt across various countries, and it has caused political instability, a decline in production, and a rise in food prices.

Know more about stakeholders, here:

https://brainly.com/question/30241824

#SPJ11


Related Questions

LEAP Communications Technology has subsidiaries in each country in which it does business. As the parent company, LEAP runs its research and development department from its home country. As a result, each foreign subsidiary remains dependent on it for new products, processes, and ideas. This illustrates the _____ model for global strategy.

Answers

Answer:

International.

Explanation:

This can be explained to be the strategies and plans that a business has put in place to mark bedrocks that his business is strong to ply its trades across the borders of its home country.

This is seen to occur in past decades, even smaller companies have been able to cross national borders and do business abroad. In as much as there have been conditions that have been given to companies operating in multiple nations across the globe which ranges from multinationals, global businesses through transnational companies, international firms too. This is why LEAP communications in the context above as the parent company, LEAP runs its research and development department from its home country.

The following information applies to the questions displayed below.]For the following independent cases, determine whether economic income is present and, if so, whether it must be included in gross income (that is, is it realized and recognized for tax purposes?). (Leave no answers blank. Enter zero if applicable.)a. Asia owns stock that is listed on the New York Stock Exchange, and this year the stock increased in value by $20,000.economic income ( )Amount included in gross income( )b-Ben sold stock for $10,000 and paid a sales commission of $250. Ben purchased the stock several years ago for $4,000.economic income ( )Amount included in gross income( )c. Bessie is a partner in SULU Enterprises LLC. This year SULU reported that Bessie’s share of rental income was $2,700 and her share of municipal interest was $750.economic income ( )Amount included in gross income( )

Answers

Amount included in the gross income (that is, is it realized and recognized for tax purposes) of Asia is $20,000 for Ben $ 5,750 and for Bessie's gross income is $2,700.

a. Yes, economic income is present as the stock increased in value by $20,000. However, the amount included in gross income is $0 since it is an unrealized gain and not recognized for tax purposes.

b. Yes, economic income is present. Ben sold the stock for $10,000 and purchased it for $4,000, resulting in a $6,000 gain. After considering the $250 sales commission, the amount included in gross income is $5,750 (which is $6,000 gain - $250 sales commission).


c. Yes, economic income is present. Bessie's share of rental income is $2,700 and her share of municipal interest is $750, totaling $3,450. The amount included in gross income is $2,700 for rental income. Municipal interest is generally tax-exempt, so $0 of the $750 is included in gross income.

Learn more about gross income https://brainly.com/question/13793671

#SPJ11

pls refer to photo thank you!

pls refer to photo thank you!

Answers

the answer should be product transfer but i could be wrong


Question :Which statement best describes displacement? Check all that apply


Answer:2 , 3 5

Answers

Answer:

2

Explanation:

thats my guess

everything that a business does to keep its customers happy is called . customer satisfaction post-sale service customer service customer appreciation

Answers

"Everything that a business does to keep its customers happy is called customer service." Thus, Option A is correct.

Customer service refers to all the actions and processes a business undertakes to ensure customer satisfaction, retention and loyalty. It encompasses the range of activities that a business undertakes to meet customer expectations, including responding to inquiries, addressing complaints, handling returns, providing support, and providing after-sale services.

The goal of customer service is to build and maintain positive relationships with customers by delivering quality products and services, providing timely and accurate information, and addressing customer needs in a friendly and professional manner.

Good customer service is essential to the success of any business, as it helps to build a positive reputation, increase customer loyalty, and generate repeat business.

Therefore, Option A holds true.

This question should be provided as:

Everything that a business does to keep its customers happy is called ________.

A) customer serviceB) customer appreciationC) post-sale serviceD) customer satisfaction

Learn more about Customer service https://brainly.com/question/1286522

#SPJ11

Clay Inc. has two divisions, Myrtle and Laurel. Following is the income statement for the previous year: Sales $562,200 $338,400 $900,600
Variable costs 178,500 176,200 354,700
Contribute cost (allocated) 383, 700 162,200 545,900
Profit margin $97,025 $10,725 $86,300
What would Clay's profit margin be if the Laurel division was dropped and all fixed costs are unavoidable? Multiple Choice a. $97,025 profit b. $86,300 profit c. $383,700 profit

Answers

Sales $562,200 $338,400 $900,600Variable costs 178,500 176,200 354,700Contribute costs (allocated) 383, 700 162,200 545,900Profit margin $97,025 $10,725 $86,300. The net profit margin after dropping the Laurel division would be $448,875.

Total Contribution margin = Contribution margin of Myrtle + Contribution margin of LaurelVariable cost = Variable cost of Myrtle + Variable cost of LaurelContribution margin of Myrtle = Sales - Variable cost of Myrtle= $562,200 - $178,500= $383,700Contribution margin of Laurel = Sales - Variable cost of Laurel= $338,400 - $176,200= $162,200Total Contribution margin = $383,700 + $162,200 = $545,900Profit margin = Total Contribution margin - Fixed costsProfit margin = $545,900 - Fixed costs for the current situation, Profit margin = $86,300, this includes fixed cost of both Myrtle and Laurel. Profit margin = $86,300Now if the Laurel division is dropped and all fixed costs are unavoidable, the net profit margin would be Fixed costs = Fixed cost of Myrtle = $97,025Profit margin = Total Contribution margin - Fixed costs= $545,900 - $97,025= $448,875

Thus, the net profit margin after dropping the Laurel division would be $448,875.

Learn more about profit margin: https://brainly.com/question/19865598

#SPJ11

what type of federal funding is free money but is based on financial need only?

Answers

Answer:

Explanation:

Answer:

parks and recreation? brainliest?

Explanation:

a technological advance lowers production costs such that the quantity supplied increases by 60 units of this product at each price. as a result of this technological change, equilibrium output in this market question 61 options: a) decreased by 60 units. b) decreased by 30 units. c) increased by 60 units. d) increased by 30 units.

Answers

The answer is c) increased by 60 units. When there is a technological advance that lowers production costs, it becomes cheaper for producers to produce each unit of the product. This means that they are willing and able to supply more of the product at each price. As a result, the supply curve shifts to the right. The intersection of the new supply curve and the demand curve determines the new equilibrium output. Since the quantity supplied increases by 60 units at each price, the equilibrium output will also increase by 60 units. Therefore, the correct option is c) increased by 60 units.

Learn more about technological advance click here

https://brainly.in/question/11312768

#SPJ11

When a technological advance lowers production costs, the result is that equilibrium output in this market is c) increased by 60 units.

What is equilibrium output?

A market arrives at an equilibrium output when the aggregate expenditure equals the national income or output.

At the equilibrium output, aggregate demand (consumption and investment) equals aggregate supply or output.

Thus, the correct option that shows the effect on the equilibrium output of a technological advance lowering production costs is Option C.

Learn more about equilibrium output at https://brainly.com/question/30712181.

#SPJ4

Which conditions contribute to engine deposits ?

Answers

Answer: oxidation

combustion byproduct

road dust and dirt

moisture and acid.

Explanation:

One of the main cause of engine deposit is when one drives in areas whereby there are usually high temperature. In such scenarios, the excessive heat can lead to breakdown in the oil which results into engine deposits.

Other causes of engine deposit are oxidation, dust and dirts, the byproducts gotten from combustion etc.

When given an Income Statement, Balance Sheet, and Cash Flow Statement, how would you calculate the following in excel:

DuPont Analysis. Break down your company’s Return on Equity, ROE, into the 3-part DuPont Equation for each year. Comment on what factors caused changes in your company’s ROE over the time period.

Answers

To calculate the DuPont Analysis and break down a company's Return on Equity (ROE) into the three-part DuPont Equation in Excel, you need to analyze the company's Income Statement, Balance Sheet, and Cash Flow Statement. The three components of the DuPont Equation are Profit Margin, Asset Turnover, and Equity Multiplier. Analyzing changes in each component over time can help identify factors influencing the company's ROE.

To perform DuPont Analysis in Excel, follow these steps:

Retrieve the necessary financial statements, including the Income Statement, Balance Sheet, and Cash Flow Statement, for each year of analysis. Calculate the Profit Margin by dividing Net Income by Total Revenue. This ratio measures how efficiently the company generates profits from its sales.

Calculate the Asset Turnover by dividing Total Revenue by Average Total Assets. This ratio indicates how effectively the company utilizes its assets to generate sales. Calculate the Equity Multiplier by dividing Average Total Assets by Average Shareholders' Equity. This ratio shows the leverage or financial structure of the company.

Calculate the ROE by multiplying the Profit Margin, Asset Turnover, and Equity Multiplier. The formula for ROE is: ROE = Profit Margin x Asset Turnover x Equity Multiplier.

By analyzing changes in each component of the DuPont Equation over time, you can identify factors influencing the company's ROE. For example, an increase in Profit Margin may indicate improved cost management or pricing strategies. An increase in Asset Turnover may suggest increased efficiency in utilizing assets. Changes in the Equity Multiplier can be influenced by factors such as debt financing or stock buybacks.

In conclusion, DuPont Analysis allows for a comprehensive breakdown of a company's ROE by analyzing the Profit Margin, Asset Turnover, and Equity Multiplier. Examining changes in these components over time can provide insights into the factors impacting the company's ROE, including profitability, asset utilization, and financial leverage.

Learn more about DuPont Analysis here:

https://brainly.com/question/30403150

#SPJ11

under the uniform securities act, it is legal for an investment adviser representative to tell a client that a) an exempt security is not required to be registered because it is safer than a nonexempt security b) a registered security may lawfully be sold in that state c) a registered security has been approved for sale in the state by the administrator d) her qualifications have been found satisfactory by the administrator

Answers

Under the Uniform Securities Act, it is legal for a investment adviser representative to tell a client that a registered security may lawfully be sold in that state.

As a model law for state-level securities regulation, the Uniform Securities Act was developed. The Securities and Exchange Commission's (SEC) enforcement and regulatory efforts are aided by the Uniform Securities Act, which was created to address securities fraud at the state level.

The Uniform Securities Act provides a template for states to use when drafting their own securities laws. Because early restrictions were not uniformly followed throughout the nation, the legislation underwent a number of changes. The Uniform Law Commissioners' proposed securities acts were not all adopted by all jurisdictions. The Uniform Securities Act increased parity between the federal and state application of securities safeguards by replacing and revising earlier rules in the process.

Learn more about  Uniform Securities Act here:

https://brainly.com/question/14333228

#SPJ4

Lito is working with a discount broker.Which service would Lito not be likely to receive?

Answers

Answer: face to face consultations

which mode of entry is a contractual agreement granting a firm the right to use any kind of expertise of another firm in exchange for a fixed sum plus a royalty?

Answers

Nonequity-based modes is the mode of entry in a  contractual agreement . A contract is an enforceable legal arrangement that establishes, details, and regulates the rights and duties of the parties.

What is contractual agreement?

An enforceable legal agreement known as a contract. defines, specifies, and governs the parties' rights and obligations. The transfer of commodities, services, money, or a promise to transfer any of those at a later time are common components of contracts.

A contractual agreement, sometimes known as a contract, is an arrangement between two or more parties that establishes mutually binding legal responsibilities and permits or prohibits specific actions. If you don't follow these rules, you could be fined money, forced to perform community service, or even go to jail.

Legally binding contracts are useful tools for keeping businesses running smoothly. Business contracts offer the crucial legal safeguards you require for any operation.

To learn more about contractual agreement refer to:

https://brainly.com/question/5746834

#SPJ4

Manager's Hot Seat: Working in Teams: Cross-Functional Dysfunction
The Executive Director of Operations has assigned Joe Tanney the role of Team Leader for a high priority project. The task is to generate a proposal for streamlining the antiquated blueprint generation process. Each office is at different stages of computerization, with different teams preferring different technologies for particular tasks. This makes everything more complex – from collaboration to revisions to cost and time management, and is having a serious impact on the company’s bottom line. The team includes Rosa Denson, Cheng Jing, and Simon Mahoney.
The team in the video is assigned a specific project and is asked to finish it in a given time. What type of team does this represent?
Multiple Choice
Command groups
Task forces
Self-managed work teams
Research and development teams
Top management teams

Answers

The type of team described in the given scenario is a task force.

A task force is a short-term team assembled to work on a particular project, deal with a particular issue or seize a particular opportunity. Joe Tanney has been given the responsibility of leading the team in this instance, and their task is to develop a proposal for streamlining the blueprint generation procedure.

Rosa Denson, Cheng Jing and Simon Mahoney make up the team that is assembled to work on this urgent project in a limited amount of time. When cross functional cooperation is necessary to resolve complex problems or accomplish particular objectives task forces are frequently used.

Learn more about task force at:

brainly.com/question/2518410

#SPJ4

The dealer's quote (bid-ask) for the dollar price of euros (quoted as dollars per euro) is $1.30:

$1.34.

If an investor wants to convert 10,000 dollars to euros how many euros will she get?



Over a year the Indian rupee (IN) has gone from 75.19 rupees per US dollar to 81.42 rupees per

US dollar. The rate of depreciation for the rupee over the year is:

Answers

The investor will get approximately 7,462.69 euros when converting $10,000 at the given exchange rate.

to convert $10,000 to euros, we need to use the given quote of $1.30-$1.34 (bid-ask) for the dollar price of euros. since we want to convert dollars to euros, we'll use the ask price, which is $1.34 per euro.

to calculate the amount of euros the investor will get, we divide the dollar amount by the exchange rate:

amount in euros = dollar amount / exchange rate

amount in euros = $10,000 / $1.34 per euro

amount in euros = $7,462.69 (rounded to two decimal places) now, let's calculate the rate of depreciation for the indian rupee (in) over the year:

rate of depreciation = (final rate - initial rate) / initial rate

rate of depreciation = (81.42 - 75.19) / 75.19

rate of depreciation = 0.083 (or 8.3%)

Learn more about depreciation here:

https://brainly.com/question/30531944

#SPJ11

If average labor productivity increases, then the same number of employed workers will always produce:
A) more total output. B) less total output. C) less output per person. D) more output per person.

Answers

If average labor productivity increases, then the same number of employed workers will produce "more output per person", which is option D.

Average labor productivity is a measure of the amount of output (goods or services) produced per unit of labor (usually measured in hours or workers). An increase in average labor productivity means that workers are able to produce more output per unit of labor, which can be achieved through various means such as technological advancements, better training and education, or improved management practices.

If the same number of workers are able to produce more output per person due to an increase in labor productivity, then the total output produced by the workforce as a whole will also increase, which means option A is incorrect.

Option B is incorrect because an increase in labor productivity does not result in less total output. Finally, option C is incorrect because an increase in labor productivity means that output per person increases, not decreases.

You can learn more about  labor productivity at

https://brainly.com/question/6430277

#SPJ11

Suppose that the distribution of the 1-year loss is as follows.
Loss ($ million) Probability
−1 0.4
0 0.2
1 0.2
2 0.1
4 0.1
(a) Find the 1-year 70% VaR.
(b) Find the 1-year 70% ES.
(c) Find the 1-year 80% VaR.
(d) Find the 1-year 80% ES.

Answers

Suppose that the distribution of the 1-year loss is given as:L($ million)   Probability 0.1a) 1-year 70% is defined as the maximum possible loss for a given level of confidence and period of time.

The 70% VaR, therefore, implies that the confidence level is 1-70% = 30%, and the period of time is 1 year.To calculate the 70% VaR, we need to find the maximum loss of the 30% probability:1. Sort the loss and probability values in descending order:Loss ($ million)    Probability

Cumulate the probability values:Loss ($ million)    Probability    Cumulative Probability        1.03. Identify the maximum cumulative probability that is less than or equal to 0.3. From the table above, the maximum cumulative probability is 0.2.4.

The corresponding loss is the 70% VaR: 2 $ million.b) 1-year 70% ES:ES is defined as the average loss of the worst 30% of scenarios.

In order to find the ES, we must first calculate the loss corresponding to the 30th percentile. From the cumulative probability column of the table above, the loss corresponding to the 30th percentile is $0 million.To calculate the ES, we need to average the losses exceeding $0 million.

These are losses for which the probability is 0.4, 0.1, and 0.1.Loss Probability Cumulative Probability -1 0.4 0.4 0 0.1 0.5 1 0.1 0.6 2 0.1 0.7 4 0.1 0.8 The average of these losses is: (-1*0.4+0*0.1+1*0.1+2*0.1+4*0.1)/0.3 = 1.13 $ millionThus, the 1-year 70% ES is 1.13 $ million.c) 1-year 80% VaR:To calculate the 80% VaR, we need to find the maximum loss of the 20% probability.

Using the same steps from part (a), the 80% VaR is the maximum cumulative probability that is less than or equal to 0.2.Loss Probability Cumulative Probability -1 0.4 0.4 0 0.2 0.6 1 0.2 0.8 2 0.1 0.9 4 0.1 1.0The maximum cumulative probability that is less than or equal to 0.2 is 0.6.

Therefore, the corresponding loss is 0 $ million.d) 1-year 80% ES:To calculate the 80% ES, we need to find the average loss of the worst 20% of scenarios. The loss corresponding to the 20th percentile is $0 million. The losses exceeding $0 million correspond to probabilities of 0.2, 0.2, 0.1, and 0.1.Loss Probability Cumulative Probability -1 0.4 0.4 0 0.2 0.6 1 0.2 0.8 2 0.1 0.9 4 0.1 1.0 The average of these losses is: (-1*0.4+1*0.2+2*0.1+4*0.1)/0.2 = 0.6 $ millionThus, the 1-year 80% ES is 0.6 $ million.

To know more about Probability visit:

https://brainly.com/question/31828911

#SPJ11

The scientific method is the technique used by economists to determine

Answers

Economists employ the scientific method to ascertain the laws or fundamentals of economics. To explain and/or forecast the behavior of people or institutions, certain rules or principles have been developed .

By methods, what do you mean?

The term "technique" refers to a certain way of carrying out an action, typically one that requires practical abilities. tests carried out with a novel method. Alternative words: way, system, approach, technique More Technique synonyms.

It's important to comprehend the distinction between skill and technique. Again, technique is the capacity for physical performance, but skill is the capacity for performance in a gaming environment. Technique should always come first when coaching young players.

To know more about  developed visit:

https://brainly.com/question/28011228

#SPJ4

Which description is the best example of physical capital?
A. A doctor with expertise in medicine
B. A miner with experience digging for coal
C. A machine that tests new car engines
D. A new law regulating trade in a country

Answers

Answer:

C. A machine that tests new car engines

Explanation:

it's man-made

The correct option is C. A machine that tests new car engines is the best example of physical capital.

Assets that a company owns and uses, including buildings, machines, and cars, are referred to as physical capital.

What are physical capital and its types?

Physical capital refers to the range of inputs needed at each step of manufacturing. There are two forms of physical capital: working capital and fixed capital. Fixed capital includes a variety of tools and machines. The cash on hand to cover your immediate, short-term requirements is known as working capital.

Physical capital is made up of physical, man-made items that businesses invest in or purchase and employ to manufacture things. Physical capital assets that are reusable and not consumed during production, such as manufacturing equipment, also fall under the category of fixed capital.

Thus, The right answer is C. The best illustration of physical capital is a machine used to test new automobile engines.

Learn more about Physical Capital here:

https://brainly.com/question/14632161

#SPJ2


Identify and explain two possible reasons why some ministers want to
privatize some businesses in the public sector.

Answers

The ministers seek to privatize some public sector operations because it would lead to stronger management infrastructure and a more technical and specialized personnel. Operating outside of political hierarchies and through commercial organizations would be more effective.

Explanation:

.Private businesses can provide a larger range of experience in service provision in line with the international trading climate.

.The government sectors now need to look more closely at opportunities in the cutthroat world of trade due to the changes in the dynamic markets.

.The privatization of the commercial sectors will increase the effectiveness of this.

.More money is available to invest in the infrastructure that supports trade is it necessary to have the public sector.

To know more about public sector visit:-

https://brainly.com/question/27883481

#SPJ13

A firm has a cost of equity capital of 12% and a cost of debt capital of 4%. The firm is financed with $100 million in equity and $40 million in debt. The firm’s tax rate is 23%. What is the firm’s weighted average cost of capital?

Answers

With a cost of equity capital of 12%, a cost of debt capital of 4%, $100 million in equity, $40 million in debt, and a tax rate of 23%, the firm's WACC is approximately 9.64%.

The weighted average cost of capital (WACC) is the average rate of return required by both equity and debt investors. It is calculated by taking into account the proportion of equity and debt in the firm's capital structure and their respective costs.

To calculate the WACC, we first need to determine the weights of equity and debt in the firm's capital structure. The weight of equity is calculated by dividing the equity amount ($100 million) by the total capital ($100 million + $40 million). Similarly, the weight of debt is calculated by dividing the debt amount ($40 million) by the total capital.

Next, we calculate the after-tax cost of debt by multiplying the cost of debt capital (4%) by (1 - tax rate). This accounts for the tax shield on interest payments. Finally, we calculate the WACC by multiplying the weight of equity by the cost of equity capital and the weight of debt by the after-tax cost of debt. We sum these two components to obtain the WACC.

In this case, the firm's WACC is approximately 9.64%. Therefore, the firm's weighted average cost of capital (WACC) is approximately 9.64%.

To learn more about equity capital click here

brainly.com/question/32550730

#SPJ11

A company reports the following: total assets total liabilities total stockholders' equity calculate the debt to equity ratio. (round your answer to two decimal places.)

Answers

To calculate the debt to equity ratio, we need the values for total liabilities and total stockholders' equity.

The debt to equity ratio measures the proportion of a company's financing that comes from debt compared to equity. It is calculated by dividing total liabilities by total stockholders' equity.

Here is the step-by-step calculation:

1. Obtain the values for total liabilities and total stockholders' equity from the company's financial report.

2. Divide the total liabilities by the total stockholders' equity.

For example, let's say the total liabilities are $500,000 and the total stockholders' equity is $300,000.

Debt to equity ratio = Total liabilities / Total stockholders' equity
Debt to equity ratio = $500,000 / $300,000

Using a calculator, the result is 1.67.

Therefore, the debt to equity ratio is 1.67. This means that for every dollar of equity, the company has $1.67 of debt.


In summary, to calculate the debt to equity ratio, divide total liabilities by total stockholders' equity.

Learn more about debt to equity from the given link:

https://brainly.com/question/33201334

#SPJ11

To calculate the debt-to-equity ratio, you need to divide the total liabilities by the total stockholders' equity. This ratio helps determine the proportion of debt and equity financing used by a company.

Step-by-step explanation:
1. Start by finding the total liabilities and the total stockholders' equity on the company's financial statement.
2. Once you have these values, divide the total liabilities by the total stockholders' equity.
3. The resulting ratio is the debt to equity ratio.

For example, let's say a company has total liabilities of $500,000 and total stockholders' equity of $300,000. The debt to equity ratio would be calculated as follows:

Debt to Equity Ratio = Total Liabilities / Total Stockholders' Equity
Debt to Equity Ratio = $500,000 / $300,000
Debt to Equity Ratio = 1.67

Therefore, the debt to equity ratio for this company is 1.67.

In conclusion, the debt to equity ratio is calculated by dividing total liabilities by total stockholders' equity. This ratio provides insight into the financial leverage and risk exposure of a company. The higher the ratio, the higher the proportion of debt compared to equity, indicating greater financial risk.

To know more about debt-to-equity ratio visit:

https://brainly.com/question/28391877

#SPJ11

As of June 28, 2020, Cedar Fair had issued $201.5 million in season passes. Cedar Fair estimated that guests would use passes worth
$41.9 million during the remainder of 2020, $61.9 million from January 1 to June 30, 2021, and the remaining $97.7 million after June
30, 2021. What amounts should Cedar Fair classify as current versus noncurrent, in its balance sheet on June 28, 2020?

Answers

Based on Cedar Fair issuance of season passes,$103.80 million would be classified under current whereas $97.7 million  is non-current

What does current classification indicates in the balance sheet?

The current classification in the balance sheet refers to assets that would be used up in up to a year or liabilities that would be settled within a year, any other item whose usage or settlement date is beyond 1 year is classified as non-current asset or liability.

In this case, Cedar Fair would classify the the amount of season passes usable within a year under the current liability  and the remainder value of season passes that would be used after after June 30, 2021 as non-current liability.

current liability=$41.9 million+ $61.9 million=$103.80 million

non-current liability=$97.7 million

Find out more about current liability on:brainly.com/question/28346888

#SPJ1

A company can raise money by doing all but which of the following?
A. Conducting an initial public offering
O B. Taking a loan
C. Providing stock options to executives
D. Issuing bonds

Answers

Your awnser is B because if you take a loan you have to pay it back which means you didn’t earn anything more than what you already had

Answer:

B

Explanation:

A guidance counselor is:
o a. someone who works with students with disabilities.
o b. someone who oversees a student's academic progress.
o c. someone who oversees high school operations.
o d. someone who teaches classes and monitors hallways.

Answers

A guidance counselor is a person who works in the schools and check with the student's academic progress.

Who is a guidance counselor? Discuss his responsibilities?

A guidance counselor are the certified professionals who are employed in the schools and different institutions.

They helps the students by giving them advise and consultancy about their career and academic growth.

They basically assess the student's ability and provides them with personal counselling.

Learn more about the guidance counselor here:-

https://brainly.com/question/2469840

#SPJ1

If your building a 10,000 sq ft restaurant how much woult the utilities cost each month if your in san antonio, texas. please do your research to find out how much gas, electric, water, trash and internet would cost.

Answers

I'm sorry, but it is not possible to accurately estimate the monthly cost of utilities for a 10,000 sq ft restaurant in San Antonio, Texas without more specific information about the restaurant's energy and water usage, location, and other factors that can affect utility costs. Additionally, there are many different utility providers in San Antonio, each with different rates and fees, and the cost of utilities can vary greatly depending on the provider, the type of service, and the amount of usage.

To get an accurate estimate, the restaurant owner or manager would need to contact the specific utility providers they plan to use and inquire about their rates and fees for the desired services, and then calculate an estimated monthly cost based on their expected usage. It is also important to note that utility costs can vary greatly depending on the time of year, as well as other factors such as weather conditions and changes in energy prices or utility rates.

explain the process that economists use to conduct a Cost-Benefit Analysis (CBA) for a high-speed rail ​

Answers

Answer:

A cost-benefit analysis is a systematic process that businesses use to analyze which decisions to make and which to forgo. The cost-benefit analyst sums the potential rewards expected from a situation or action and then subtracts the total costs associated with taking that action. Some consultants or analysts also build models to assign a dollar value on intangible items, such as the benefits and costs associated with living in a certain town.

KEY TAKEAWAYS

A cost-benefit analysis (CBA) is the process used to measure the benefits of a decision or taking action minus the costs associated with taking that action.

A CBA involves measurable financial metrics such as revenue earned or costs saved as a result of the decision to pursue a project.

A CBA can also include intangible benefits and costs or effects from a decision such as employees morale and customer satisfaction.

Cost-Benefit Analysis (CBA)

Understanding Cost-Benefit Analysis (CBA)

Before building a new plant or taking on a new project, prudent managers conduct a cost-benefit analysis to evaluate all the potential costs and revenues that a company might generate from the project. The outcome of the analysis will determine whether the project is financially feasible or if the company should pursue another project.

In many models, a cost-benefit analysis will also factor the opportunity cost into the decision-making process. Opportunity costs are alternative benefits that could have been realized when choosing one alternative over another. In other words, the opportunity cost is the forgone or missed opportunity as a result of a choice or decision. Factoring in opportunity costs allows project managers to weigh the benefits from alternative courses of action and not merely the current path or choice being considered in the cost-benefit analysis.

By considering all options and the potential missed opportunities, the cost-benefit analysis is more thorough and allows for better decision-making.

The Cost-Benefit Analysis Process

A cost-benefit analysis should begin with compiling a comprehensive list of all the costs and benefits associated with the project or decision.

The costs involved in a CBA might include the following:

Direct costs would be direct labor involved in manufacturing, inventory, raw materials, manufacturing expenses.

Indirect costs might include electricity, overhead costs from management, rent, utilities.

Intangible costs of a decision, such as the impact on customers, employees, or delivery times.

Opportunity costs such as alternative investments, or buying a plant versus building one.

Cost of potential risks such as regulatory risks, competition, and environmental impacts.

Benefits might include the following:

Higher revenue and sales from increased production or new product.

Intangible benefits, such as improved employee safety and morale, as well as customer satisfaction due to enhanced product offerings or faster delivery.

Competitive advantage or market share gained as a result of the decision.

An analyst or project manager should apply a monetary measurement to all of the items on the cost-benefit list, taking special care not to underestimate costs or overestimate benefits. A conservative approach with a conscious effort to avoid any subjective tendencies when calculating estimates is best suited when assigning a value to both costs and benefits for a cost-benefit analysis.

Finally, the results of the aggregate costs and benefits should be compared quantitatively to determine if the benefits outweigh the costs. If so, then the rational decision is to go forward with the project. If not, the business should review the project to see if it can make adjustments to either increase benefits or decrease costs to make the project viable. Otherwise, the company should likely avoid the project.

With cost-benefit analysis, there are a number of forecasts built into the process, and if any of the forecasts are inaccurate, the results may be called into question.

Limitations of the Cost-Benefit Analysis

For projects that involve small- to mid-level capital expenditures and are short to intermediate in terms of time to completion, an in-depth cost-benefit analysis may be sufficient enough to make a well-informed, rational decision. For very large projects with a long-term time horizon, a cost-benefit analysis might fail to account for important financial concerns such as inflation, interest rates, varying cash flows, and the present value of money.

5. Which of the following statements is true? a. The absence of a daily settlement is one of the factors distinguishing a forward contract from a futures contract. b. Arbitrage is a transaction design

Answers

The statement that is true is, "The absence of a daily settlement is one of the factors distinguishing a forward contract from a futures contract."This statement is true. This is because in a forward contract, the parties involved agree to exchange an underlying asset at a predetermined price and at a future date.

The terms of the contract are negotiated between the two parties and are not standardized. In this type of contract, there is no daily settlement. Settlement only happens when the contract expires. In contrast, a futures contract is an agreement to buy or sell an underlying asset at a specific price on a specific date in the future. Unlike a forward contract, a futures contract is standardized and traded on an exchange. There is a daily settlement in a futures contract. This means that each day, the gains or losses are settled, and the parties involved either make or receive payments depending on the market price of the underlying asset

To know more about predetermined visit:

https://brainly.com/question/29829712

#SPJ11

why are hedge funds considered a high risk of investment

Answers

Answer: the huge potential for money loss.

Explanation: hedge funds are considered to be high-risk investments because of the huge potential for money loss. Again, these funds are primarily controlled by hedge funds managers, and with pools of money going into investments, there is likely going to be some loss.

make a list of profession and identify their levels​

Answers

i will send you in messenger

Other Questions
What problems were created as more and more Americans removed their money from the banks? Check all of the boxes that apply. Which particle j j Thomson discovered Who have read the book after peaches please tell me the falling action and the resolution Evaluate the benefits of management accounting echniques in supporting financial decision making to ensure Long term financial stability Statement about the function f(x)=5(0.9)^x how do the sum and product rules of probability predict the outcomes of monohybrid crosses involving dominant and recessive alleles? 10105-10010-10010101.51010-10 Suppose the working age population of a fictional economy, Jessica Town, falls into the following categories: 100 are retired homemakers; 50 have full-time employment; 15 have part-time employment; 28 do not have employment but are actively looking for employment; and 16 would like employment but do not have employment and are not actively looking for employment. The official unemployment rate as calculated by the U.S. Bureau of Labor would equal:_________ Top Care is a company that offers residential health care services. The company has $100 million in interest-bearing debt (in book value and market value terms). The firm has 20 million shares trading at $25 a share, and the unlevered beta of firms in the health care business is 1.3. The firm has a current rating of B, with a default spread of 0.05 over the risk free rate. The risk free rate is 0.045, the equity risk premium is 0.07 and the corporate tax rate is 40%.Top Care is considering making a new investment of $ 1000000 and has come with the following estimated revenues are$4000000 , operating expenses $650000, depreciation $250000 per year. The project will end after four years. This project will require Top care to maintain working capital at 20% of revenues occurring at the beginning of each year and the working capital being recovered at the end.Estimate the debt to capital ratio for the firm.Answer for part 1Estimate the debt to equity ratio for the firm.Answer for part 2What is the beta levered for the firm?Answer for part 3Estimate the before tax cost of debt for the firm.Answer for part 4Estimate the after tax cost of debt for the firm.Answer for part 5Estimate the cost of equity for the firm.Answer for part 6Estimate the weighted average cost of capital for the firm.Answer for part 7Estimate the annual EBIT to the firm to Top Care on this investment. (You have to do it only once, since the revenues and expenses flows are the same every year)Answer for part 8Estimate the FCFF on the project for year 1.Hint: FCFF= EBIT(1-t) + depreciation - capex +or- change in net working capitalAnswer for part 9Estimate the FCFF on the project for year 2.Answer for part 10Estimate the FCFF on the project for year 3.Answer for part 11Estimate the FCFF on the project for year 4.Answer for part 12Estimate the initial investment.Answer for part 13Estimate the NPV of the project.Answer for part 14 Which of these elements show that "A Letter to the Editor" is not a mysteryplay? Choose the three correct answers.A. It has lines of dialogue that give the setting.B. It gives information instead of having action.OC. It is a letter instead of a drama.D. It is a written work meant to be in a newspaper.E. It centers on solving something using clues. 2. The Department of Post is organising a Philately Exhibition in your school on the occasion of Children's Day. As Nirupama Vaidyanathan, the Head Girl of M. G. Ramachandran Public School, Dindigul, write a notice in about 50 words for the students' notice-board. In your notice you should announce the event . invite students to visit the exhibition give necessary details like date, time, venue, visiting hours and sale of stamps For this question, choose two answers. how would you describe most of the mauryan emperors before asoka? they were unfair and biased. they were aggressive and self-involved. they were strong rulers. they were interested in conquests. they were ruthless and greedy. Evaluate 21+m/7 for m=28 . On his visit to the Galapagos Islands, Charles Darwin discovered several species of finches that varied from island to island, which helped him to develop his theory of natural selection. It is believed that all of these species had one common ancestor and, over time, evolved into different species. After the burst of speciation in the Galapagos, a total of 14 species would exist: three species of ground-dwelling seed-eaters; three others living on cactuses and eating seeds; one living in trees and eating seeds; and 7 species of tree-dwelling insect-eaters. The finches varied mainly in the size and shape of their beaks. What statement BEST describes the speciation of the different finch species?A The species all live on different islands.B The different species no longer interbreed.C The species eat different foods.D The species no longer share any similar traits. Which statement best describes Africa's physical geography. This is balanced. True or false? Give substantial tips and advice to one classmate using standard English grammar and spelling What is the man looking for? The boys football team is selling game tickets for a football game. Adult admission is $8 and student admission is $6 there are usually twice as many students than adults at the game. If the goal is to make $3000. Write 2 equations. Solve the system of equations, how many student and adult tickets must be sold? Let a = the number of adults and b = the number of students This book was written by a Northern woman who wanted to put a face toslavery. The story was about a family who had been separated and sold todifferent plantation owners.