The amount that the corporation should report as retained earnings on December 31, 2021 is P320,000.What are retained earnings.Retained earnings are the profits that a company keeps after paying dividends to shareholders. It's important to remember that companies don't just retain profits for the sake of it. They do it to fund future projects, pay off debt, or expand their operations in other ways.The following are the given data:20,000 shares of P5 par common stock at P10 per share were issued on Just Zip-It Inc. On December 31, 2020, the corporation's retained earnings were P300,000. In March 2021, the corporation bought back 5,000 shares of its common stock at P20 per share. In June 20, 2021, the corporation sold 1,000 of these shares to its corporate officers for P25 per share. The net income for the year ended December 31, 2021, was P60,000.\
According to the problem, there are no outstanding shares of stock for the Just Zip-It Inc after it has reacquired 5,000 shares of its common stock. Hence, the amount of total cash received for the 20,000 shares of common stock sold by the corporation at P10 per share is:P10 * 20,000 = P200,000Since the corporation bought back 5,000 shares of common stock at P20 per share, the total amount spent on those shares is:P20 * 5,000 = P100,000And the total amount of cash received by selling 1,000 shares at P25 per share is:P25 * 1,000 = P25,000So, the total amount of cash received from selling stock, subtracting the cash paid for the buyback, and adding the cash received from selling stock to corporate officers is:P200,000 - P100,000 + P25,000 = P125,000The retained earnings balance on December 31, 2020 was P300,000 and the net income for the year ended December 31, 2021, was P60,000. Hence, the total retained earnings as of December 31, 2021, is:P300,000 + P60,000 = P360,000Therefore, the corporation should report P320,000 as retained earnings on December 31, 2021.
know more about retained earnings,here:
https://brainly.com/question/14529006
#SPJ11
Environmental complexity refers to the extent to which managers can understand or predict which environmental changes and trends will affect their businesses. Group of answer choices
Answer: False
Explanation: The complexity of a business environment can be explained as the relationship or correlation between the different variables which exists in a business environment. The interdependence or connection between these variables constitutes the degree of complexity of these variables which in most cases are of utmost importance to businesses as the understanding of these complex connections will enable businesses to come up with schemes, policies and models capable of thriving and aiding business growth.
Hence, the extent to which managers can predict environmental changes does not mean environmental complexity.
Sarah transferred $450.00 from her savings account to her checking account. She'll use the check register to record her transaction. What will be her new balance? An account statement has a balance of 250 dollars and 5 cents.
Answer:
700.05
Explanation:
Right answer on edge, you're welcome :))
Her account will now have a balance of $700.05.
What is financial transaction?An agreement or communication between a buyer and a seller to trade products, services, or assets in exchange for money is a financial transaction. Any transaction involves a shift in the financial situation of two or more entities, whether they be people or businesses. Every financial transaction involves at least one financial asset, most frequently money or another pricey thing like gold or silver.
Financial transactions come in a wide variety of forms. The most frequent kind, purchases, take place when a consumer is sold a thing, service, or other commodity in exchange for money. The majority of purchases are made with cash, which can be physical money, debit cards, or checks. The second primary method of payment is credit, which allows for instant access to money in exchange for future payback.
Learn more about financial transaction, from:
brainly.com/question/29482749
#SPJ5
In order to manufacture a piece of medical hardware that might help millions of diabetics, you are considering hiring a number of subcontractors, since you have a very short deadline. Supplier A has a long track record of completing work on time, and they consistently charge less than other companies. Supplier B will charge more for the parts and their process adds one whole day to the process. If supporting your company's green initiatives is a goal, what factors might make supplier B more appropriate, even with higher charges and a delay on delivery?
To whoever answers this, thank you, and I'm giving them 70 points.
Answer:
b and c
Explanation:
Answer: Hes right its b and c
What are the 3 P's of triple bottom line?
The Triple Bottom Line (TBL) is an accounting framework that measures the financial, social, and environmental performance of a business. It is also referred to as the 3 P's: People, Planet, and Profit.
The first ‘P’, People, refers to the social impact of a business. This includes things like the wages and benefits of employees, the impact on the local community, and the ability of the business to create meaningful employment opportunities.
The second ‘P’, Planet, refers to the environmental impact of a business. This includes things like greenhouse gas emissions, waste management, and the use of renewable energy sources.
The third ‘P’, Profit, refers to the financial performance of a business. This includes things like sales growth, profits, and return on investment.
We can learn more about triple bottom line here:
https://brainly.com/question/30359034#
#SPJ11
How can creative ideas become business opportunities?
Business ideas are something that you must test before they become your business opportunities and before you start transforming them into the real business.
For you, the business ideas are something that you believe will work as a profitable business. When you include the customers needs into the specific idea it will become a possible business opportunity ready for the future startup. Here, I want to talk about a technique from statistics to test business ideas using the null hypothesis.
For example, you have a business idea that can be presented as a statement that statisticians will call it a hypothesis. The hypothesis in the simplest words are ideas that need to be tested for approval.
If we want to use statistical language in this process, we can tell that your business idea is a null hypothesis, and now we want to test it with another hypothesis that are opposite to the null hypothesis. The opposite hypothesis for your null hypothesis will be that the business idea will not succeed, or it will fail.
It is important to think about all possibilities in the process of initial development or process of testing the initial business idea. One of them is that the idea will not succeed in the target market.
Answer:
creative ideas can become business opportunities by simply you going through with your idea. say you have an idea for a... bed that will improve sleep. all you need to do is go though with it. design it build it, whatever just do it.
Explanation:
Receiving an email that says you have changed your bank account password when you have not is:
A. likely a warning sign of fraud, but the email should be opened to be certain.
B. not likely a warning sign of fraud, but the email should be deleted regardless.
C. not likely a warning sign of fraud, and the email should be opened.
D. likely a warning sign of fraud, and you should contact your bank.
Answer:
D. likely a warning sign of fraud, and you should contact your bank.
Explanation:
If you have not changed your bank account's password, and you are the only one you know with access to the account, you should suspect either that your account has been compromised or that you are being scammed. Call the official number of your bank to find out (not the one on the email.)
Answer:
. likely a warning sign of fraud, and you should contact your bank.
Explanation:
Bond P is a premium bond with a coupon rate of 9 percent. Bond D has a coupon rate of 5 percent and is currently selling at a discount. Both bonds make annual payments, have a YTM of 7 percent, and have 10 years to maturity.
a. What is the current yield for Bond P and Bond D? (Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.)
b. If interest rates remain unchanged, what is the expected capital gains yield over the next year for Bond P and Bond D?
Answer and Explanation:
The computation of the current yield for the bond P and bond D also the expected yield with related to the capital gain for the bond P and bond D should be shown in the attachment without changing the rate of interest. There are two attachments one is of final values and the other ones is of the formulas used
A record company went out of business because too many of its customers downloaded its music illegally from the internet rather than purchasing the digital copy from the record company. This instance serves as an example of:
A. market power.
B. inefficient trade.
C. the invisible hand at work.
D. inadequate enforcement of property rights.
The instance described, where a record company went out of business due to customers downloading its music illegally from the internet, serves as an example of **D. inadequate enforcement of property rights.**
In this scenario, the record company's inability to protect its intellectual property rights, specifically the rights to its music, led to significant losses in revenue. The customers choosing to download the music illegally instead of purchasing it demonstrates a lack of respect for the company's property rights. The insufficient enforcement of laws and regulations surrounding intellectual property rights, such as copyright infringement, allowed this behavior to persist and ultimately contributed to the downfall of the record company. Adequate enforcement of property rights is crucial for protecting the interests of businesses and incentivizing innovation and creativity.
Learn more about property rights here:
https://brainly.com/question/29613081
#SPJ11
What is the total revenue of mike's ice cream business if he sells ice
cream for $2.00 a bar, and sells 25 bars in a day. his total cost of
operation is $15.00 to run the stand.
o $30.00
o $35.00
o $42.50
o $50.00
Answer:
$50
Explanation:
Total revenue= Price multiplied by total quantity sold.
Total Revenue= $2 multiplied by 25=$50.
Profit is total revenue minus total cost= $50-$15=$35
4. When it comes to owning a hotel there are a variety of options for ownership such as
franchising, independent lodging, REITS management contracts and vacation ownershipsh
or timeshares Briefly explain each of these highlighting the disadvantages and
advantages of each which would you choose? Why?
5. Why are room counts important to hotels? What are some strategies to achieve accuracy
in this department? Within your answer explain and analyze the value and impact of
calculation of hotel occupancy average daily rate (ADR) and revenue available room
The four basic types of hotel ownership and management are franchise, privately owned and operated, leased, and managed. Even though a franchise is privately owned, the owner is still required to pay a one-time franchise fee and ongoing royalties.
A timeshare is a holiday home with a shared ownership structure. In a typical timeshare, you split the property's cost with other purchasers in return for a specific number of years of access to the franchising property. Less freedom to plan vacations While owning a timeshare may have a lot of drawbacks, the lack of flexibility many of them offer when it comes to vacation planning is possibly the most important.
To learn more about ownership, click here.
https://brainly.com/question/27282615
#SPJ4
both the and human resources department managers rate high on long-range planning, but will spend less time on the organization’s products and service offerings. a. marketing b. computer c. transportation d. accounting e. manufacturing
Both the accounting and human resources department managers score highly on long-term planning, but they will devote less attention to the company's offerings in terms of goods and services.
The required details for accounting and human resources in given paragraph
How does accounting for human resources work?
Accounting for human resources is a crucial component of every organization. Reporting of staff costs, such as wages, benefits, training, workspace, etc., is transparent and accurate. The employees' contribution to the company's profitability is likewise accurately and clearly reported.
In other words, accounting for human resources determines and presents the cost of employees as well as quantifies the economic value of people to the organization.
A new area of accounting called human resources accounting acknowledges the impact employees make on a company in both positive and negative ways. The notion is that a company's human capital is both an expense and a resource.
To know more about accounting and human resources in given link
https://brainly.com/question/10583893
#SPJ4
I suggest adding a report button on the profile page, this way you can report the person instead of a single post, yes, specifically on the bots
Answer:
I agree
Explanation:
If someone was not intending on keeping a budget, what would you say to them to
convince them that they should?
REC
If someone is not keeping a budget, I would tell them that they would end up overspending money and may not have savings at the end of the day.
If someone was not intending on keeping a budget, what would you say to them to convince them that they should?Here are a few points that could convince someone to start keeping a budget:
Gain control of finances: Budgeting allows an individual to track their spending and better manage their money.
Avoid overspending: A budget can help prevent impulsive or unnecessary spending and ensure that money is being allocated towards important expenses.
Reach financial goals: Budgeting allows for setting and prioritizing financial goals, and tracking progress towards achieving them.
Reduce stress: By having a clear understanding of their financial situation, budgeting can reduce financial stress and provide peace of mind.
Make informed financial decisions: Budgeting provides a complete picture of an individual's financial situation, allowing for more informed and strategic financial decisions.
Read more on budget here:https://brainly.com/question/6663636
#SPJ1
What percentage return on investment by an owner did he recommend, beyond which tenants either received a divided return or the owner re-invested the money for improvements on the tenement?
The profit from an investment is divided by the investment's cost to determine the return on investment (ROI). When represented as a percentage, an investment with a profit of $100 and a cost of $100 would have a ROI of 1, or 100%.
For long-term stock market investments, the majority of investors would consider an average annual rate of return of 10% or above to be a decent ROI. Just remember that this is an average. There will be years with reduced returns, or even negative returns. The percentage change in an investment's value is represented by the annual rate of return. Assume, for instance, that you get a 10% annual rate of return.
To learn more about investors, click here.
https://brainly.com/question/30828591
#SPJ4
Alicia took out a loan through her bank to pay for her son's college. Which loan type does this describe?
Federal loan
Private loan
Subsidized loan
Alicia has taken a federal loan through her bank to pay for her son's college.
A federal loan is a loan that allows a student or a parent to borrow money directly from the government for college purposes. Thus, here, Alicia, as the parent, took a loan to pay for her child's college. Hence it is a federal loan.
Subsidized loans are given by the U.S Department of Education for undergraduate students who are in financial need and need to pay for the tuition fees of their school or college. In the given question, we do not know if Alicia's son is an undergraduate student or not. Thus we cannot be sure about a subsidized loan.
Private loans are loans taken by people to invest in their businesses or factory. Thus, it will not be the answer.
To learn more about the types of loans,
https://brainly.com/question/11794123
https://brainly.com/question/1285885
#SPJ1
Answer:
a) Federal loan
Explanation:
Alicia took out a federal loan through her bank to pay for her son's college. These loans are funded by the federal government. Hence, option (a) is the correct answer.
a severe, sustained increase in oil prices would most likely cause short-run and long-run aggregate supply curves and the production possibilities curve to change in which of the following ways? a severe, sustained increase in oil prices would most likely cause short-run and long-run aggregate supply curves and the production possibilities curve to change in which of the following ways? sras curve- increase lras curve- no change ppc- no change sras curve- decrease lras curve- decrease ppc- shift outward sras curve- decrease lras curve- no change ppc- shift outward sras curve- decrease lras curve- decrease ppc- shift inward
A severe, sustained increase in oil prices would most likely cause the short-run aggregate supply (SRAS) curve to decrease, the long-run aggregate supply (LRAS) curve to decrease, and the production possibilities curve (PPC) to shift inward.
A severe and sustained increase in oil prices would cause the short-run aggregate supply curve to decrease due to the increased cost of production. The long-run aggregate supply curve would also decrease due to the potential decrease in capital accumulation and productivity.
The production possibilities curve would likely shift outward in the long run as the economy adjusts to the higher oil prices and becomes more efficient. In the short run, however, there may be a contraction in output as firms struggle to adjust to the increased costs, leading to a decrease in the economy's overall productive capacity.
To know more about supply curves:
https://brainly.com/question/6075885
#SPJ4
Insurance can help with ???
Answer:
B. In an emergency
Explanation:
Insurance is purchased to protect things that you own
for which person would renting a home be a better option than getting a mortgage?
Answer:
Someone who wants ro avoid spending time and money on maintenace
Explanation:
What interest is paid for three months on $960 at 2 74% annual interest paid quarterly?
Answer:
$6.64
Explanation:
The applicable formula
A = p x ( 1+ r)^ n
A =amount after 3 months
p=principal amount: $960
r = interest rate : 2.74% per year or 2.74/12 per month =0.23% or 0.0023
n = 3 month
A = $960 x ( 1+ 0.0023) ^3
A =$960 x (1.0023)^3
A =$960 x 1.00691
A=$966.64
compound interest Earned
=$966.64 - $960
=$6.64
The presence of a union places limits on the human resource management role. True False
The statement "The presence of a union places limits on the human resource management role" is true because union is an association of workers who are united to defend their interests and bargain collectively with the management of an organization or industry.
As a result, the human resource management (HRM) department in the organization will have to work within certain limits when dealing with unionized employees.
HRM will be required to negotiate and bargain with the union for employee wages, benefits, and other working conditions. HRM can't simply impose a decision on unionized employees without going through this process.
Learn more about HRM at:
https://brainly.com/question/31951305
#SPJ11
The percentage of Americans who work very long weeks (50 hours or more) is higher than in
A. France
B. The United Kingdom
C. Germany
D. all of the above
Answer: D) all the above
Explanation: because Americans has longer hours than any other country
The D. all of the above, The according to a report by the Organization for Economic Cooperation and Development (OECD), the percentage of Americans who work very long weeks (50 hours or more) is higher than in France, the United Kingdom, and Germany.
In 2018, the percentage of Americans working very long weeks was 11.4%, while in France it was 7.6%, in the United Kingdom it was 4.9%, and in Germany it was 4.6%. Therefore, the answer is D as the percentage is higher in all three countries mentioned.
In comparison to France, the UK, and Germany, more Americans work extremely long weeks (50 hours or more). . This is due to differences in work culture, labor laws, and work-life balance expectations between the United States and these European countries.
To Know more about European countries.
https://brainly.com/question/1445755
#SPJ11
Comentario sobre el Artículo 655 del Comercio en Guatemala
Answer:
what is ur question Imao
Explanation:
Levels of agriculture?
Answer:
Helloooo
the steps are :-
Soil preparationmanuringirrigationweedingharvestingstoringExplanation:
thanks hope it helps
Which option is best described as a complementary good for trucks?
A. Truck blogs
B. Truck fuel
C. Truck factories
D. Truck regulations
A good example of a complementary good is Truck regulations since they are used together.
What is regulation?The control of complicated systems in accordance with a set of laws and trends is known as regulation. According to systems theory, these kinds of laws occur in many facets of biology and society, albeit the phrase can have slightly different connotations depending on the situation.
In its broadest sense, regulation is the imposition of rules by the government, supported by the use of sanctions, with the goal of specifically altering the economic behavior of people and businesses in the private sector. There are numerous regulatory tools or objectives.
Learn more about regulation here:
https://brainly.com/question/26463698
#SPJ1
Answer:
B. Truck fuel
Explanation:
I just got it wrong with letter D and it is letter B
Getler Inc.'s projected capital budget is $2,000,000, its target capital structure is 40% debt and 60% equity, and its forecasted net income is $1,000,000. If the company follows a residual dividend policy, how much dividends will it pay or, alternatively, how much new stock must it issue?Dividends Stock Issueda.$541,500 $171,475b.$600,000 $190,000c.$514,425 $162,901d.$570,000 $180,500e.$ 0 $200,000
Answer:
The correct answer to the following question will be Option e (0 $ 200,000).
Explanation:
Residual dividend policy should be used for businesses that fund their capital needs by wealth earned at home. Such that, companies can make investments only if all investment requirements are satisfied by something like internal resources instead of moving to something like the marketplace.
Capital Budget = $2,000,000
Capital structure will be:
Debt = 40%
Equity = 60%
Income = $1,000,000
So let us measure the balance of our Expected Debt and Equity first:
Debt = \(2,000,000 \times 40 \ percent\)
= \(800,000\)
Equity = \(2,000,000\times 60 \ percent\)
= \(1,2000,000\)
As we know our income will be $1,000,000.
Then maybe we can have been using our inner income of $1,000,000 to funding everyone's capital requirement of $1,2000,000.
So,
Residual amount = \(1,000,000 - 1,2000,000\)
= \(-200,000\)
This suggests that our organization has to sell upwards of $200,000 shares of assets and therefore will not be capable to afford to pay some distributions yet. So that option e would be the right answer.
organization formed mainly by traders and manufacturers to cater for the interest of their members is
Answer:
A trade association
Explanation:
A trade association is an organization or a group founded by businesses in the same industry. A trade association is created to assist in coordinating activities that improve the welfare of its members. By uniting in an association, firms can lobby for a better business environment from the government.
A trade association allows members to bond and network. It presents an opportunity for members to strategize and exchange important business information.
What risk factor is present while leaning your forearms onto the sharp edge of a counter?.
The most probable risk factor associated with the leaning of forearms on the sharp edge of a counter is getting an injury on the forearms by creating pressure on the skin.
What is a risk factor?A risk factor is the increased possibility of having an injury or infection. It can be due to the happening of any event or the presence of any harmful object which leads to that injury or infection.
When an individual bends his/her forearm over the sharp edge of the counter, then it leads to the pressing of the skin present on the forearms against the sharp edge. There is a layer, called epidermis present on the skin which gets injured very badly due to the sharp edge and creates marks or strokes on the forearm.
Therefore, the pressure on the skin is the risk factor present when leaning the forearms on the sharp edge.
Learn more about the risk factor in the mentioned link:
https://brainly.com/question/24644956
#SPJ1
suppose that potential real gdp is expected to grow at the rate of 3% per year for the next two years and that the income velocity of circulation of money will remain stable at 8 over this period. which of the following monetary policies are most likely to allow the u.s. economy to achieve full employment over this period with zero inflation? a. an 8% annual growth rate of the m1 money stock b. a zero percent annual growth rate of the m1 money stock c. a 3% annual growth rate of the m1 money stock d. an 11% annual growth rate of the m1 money stock
A 3% annual growth rate in the M1 money stock is most likely to allow the US economy to achieve full employment during this time period with no changes in the price level or inflation rate.
The volume of currency and coins circulating in the economy is referred to as the money supply in macroeconomics.
The nation's central bank determines this volume.
Commercial banks assist the central bank in controlling the amount of money in the economy.
C is the correct answer. The M1 money stock grows at a 3% annual rate.
Money supply * velocity = Price level * Potential real GDP, according to the quantity theory of money.
The velocity is constant at 8 in this case, and we want the price level to be constant between these two periods.
As a result, there is a direct relationship between the annual growth rate of the money supply and the potential real GDP level.
Therefore, a 3% annual growth rate of the M1 money stock.
Learn more about GDP here
https://brainly.com/question/14096531
#SPJ4
a company's assets that are used or converted into cash within the course of a calendar year are called
A company's assets that are used or converted into cash within the course of a calendar year are called current assets.
What is the asset?An asset is a resource with economic value that a person, company, or nation owns or manages in anticipation that it may one day be valuable. Assets are listed on a company's balance sheet. They are broken down into four groups: present, fixed, financial, and tangible.
The interest receivable must be shown separately because it counts as a current asset. The allowance for questionable accounts should be subtracted from Accounts Receivable.
Assets that are anticipated to be used up or sold within a fiscal year are referred to as current assets. They could be observable or intangible. The assets portion of a company's balance sheet displays current assets. They may serve as an effective measure of a company's liquidity.
Therefore, The course of a calendar year is called current assets.
Learn more about assets here:
https://brainly.com/question/13848560
#SPJ1
Hizan is the owner of a company manufacturing shirts. His company is selling the shirts at a price of ₹200 per unit. The variable costs is ₹150 per unit. The fixed costs for the period is ₹5,00,000/-. Calculate the minimum number of units that must be sold for the company to attain break even. Show break even in terms of rupees.
Given:
Selling price = ₹200 per unit
Variable costs = ₹150 per unit.
Fixed costs for the period = ₹5,00,000
To find:
The minimum number of units that must be sold for the company to attain break even and break even in terms of rupees.
Solution:
We know that,
Total cost = Fixed cost + Variable cost
Let the number of manufacturing shirts be x, so the cost function for the shirts is
\(C(x)=500000+150x\)
Selling price is ₹200 per unit. So, revenue function is
\(R(x)=200x\)
At break even point the company has no profit no loss. It means, revenue is equal to cost.
\(R(x)=C(x)\)
\(200x=5,00,000+150x\)
\(200x-150x=5,00,000\)
\(50x=5,00,000\)
Divide both sides by 50.
\(x=10000\)
Therefore, minimum number of units that must be sold for the company to attain break even is 10,000.
To find the break even price, substitute x=10000 in either cost function or revenue function.
\(R(10000)=200(10,000)\)
\(R(10000)=20,00,000\)
Therefore, the break even in terms of rupees is ₹20,00,000.