When recording the conversion, Blair should credit paid-in capital-excess of par: $6 million. A convertible bond is a kind of bond that can be converted into a certain number of shares of the issuer's common stock at a predetermined price or exchange ratio.
The convertible bond's yield-to-maturity is greater than a non-convertible bond's yield-to-maturity. The conversion feature allows investors to profit from the upside potential of the underlying stock. In other words, convertible bonds pay lower interest rates than equivalent non-convertible bonds because investors are given a potential option to benefit from equity growth if the bond issuer's common stock value rises.How to calculate the bond discount?Bond discount is calculated by subtracting the bond's face value from the initial sales price. When the initial sales price is lower than the bond's face value, bonds are sold at a discount.
Paid-in capital, also known as contributed capital, is the amount of money investors have given to a corporation in exchange for stock. Paid-in capital exceeds par value is the difference between the par value of the stock and the amount of cash paid for each share above the par value. In this case, the convertible bond's unamortized discount on June 30, 2021, was $4 million. Half of the bonds were converted when the common stock was trading at $43 per share. The bond is convertible into 9 million shares of $10 par common stock. So, $43 * 4.5 million shares is equal to $193.5 million in total. The conversion price is calculated as $106 million in outstanding bonds divided by 9 million in conversion shares, which equals $11.78 per share.
So, there were 4.5 million shares converted into common stock, and the conversion was valued at $52.5 million ($11.78 per share times 4.5 million shares). When recording the conversion, Blair should credit paid-in capital-excess of par: $6 million. Answer: $6 million.
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A list of all account names used to record transactions of a company is referred to as a T-account
Answer:
chart of accounts. a list of all account names used to record transactions of a company.
external transactions. transactions the firm conducts with a separate economic entity.
general ledger. all accounts used to record the company's transactions.
journal
posting
T-account
trial balance
accounts
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Hebert Simon cited in Certo & Certo (2014) questioned the ability of managers to make rational decisions. In his opinion, managers are not able to make perfectly rational decision. Do you agree? why/why not? Secondly, it is often said that managers often make decisions without all the necessary information. Why is this so
Situations and scenarios affects the ability of managers to make rational decisions.
Let understand that an approach of making rational decisions is based on obtained data which effectively allows decision-making, thereby reducing chances of errors, assumptions and all causes for poor judgments
Thus, the main key for decision-making strategy is information and data management. The problem cited by Hebert Simon is because some of decision made by managers are based on assumptions.In conclusion, quick and rational decisions should be embraced by manager although its requires keeping a track of information and data of different scenarios.
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Select three reasons why the CMO in the chapter example wanted to revamp the marketing plan?
1. There is no use of Mayo
2. Peoples taste changed
3. Customers increasingly preferred organic
4. People don't care about calorie intake
5. Demand for chicken sandwiches varied widely
Answer:
B
C
E
Explanation:
The other options do not make sense so these are the right answers I think, lol
Reasons why the CMO in the chapter example wanted to revamp the marketing plan:
2. People's tastes changed
3. Customers increasingly preferred organic
5. Demand for chicken sandwiches varied widely
Chief medical officerChief medical officer (CMO) is the title used in many countries for the senior government official designated head of medical services, sometimes at the national level. The post is held by a physician who serves to advise and lead a team of medical experts on matters of public health importance.
What is the role of the chief medical officer?Chief medical officers are healthcare administrators who oversee the effective management of medical centers. They are responsible for managing clinical operations, liaising between the administration and medical staff, and ensuring that patients receive the highest standard of medical care.
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How does an appellate court differ from a trial couHow does an appellate court differ from a trial court?
Responses
An appellate court examines more witnesses.
An appellate court examines more witnesses.
An appellate court reviews another court's decision.
An appellate court reviews another court's decision.
An appellate court decides issues of fact.
An appellate court decides issues of fact.
An appellate court usually has rt?
Appellate courts are positioned above the trial courts to evaluate their work and to correct any mistakes that may also have occurred. Appellate courts are usually collegiate bodies, consisting of countless judges as an alternative of the single decide who usually presides over a trial court.
What is the appellate machine Class 8?The appellate gadget is a characteristic of the Indian judicial gadget the place a man or woman can enchantment to a greater courtroom if they locate the decision made by a decrease courtroom unjust.
Which courts are appellate courts and why?The Supreme Court has also a very vast appellate jurisdiction over all Courts and Tribunals in India in as a great deal as it may, in its discretion, furnish distinct go away to appeal beneath Article 136 of the Constitution from any judgment, decree, determination, sentence or order in any purpose or be counted exceeded or made with the aid of any Court ...
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The city of Ann Arbor Michigan buys a police car manufactured in Germany. In the GDP accounts this transaction is included in a. in government expenditures and exports. b. government expenditures and imports. c. exports, but not government expenditures. d. imports, but not government expenditures.
Answer:
A. In government expenditures and imports.
Explanation:
We are informed about how The city of Ann Arbor Michigan buys a police car manufactured in Germany.
In the case of this transaction, it is included in GDP accounts in government expenditures and imports.
GDP which is known as Gross Domestic Product can be explained as the total market value of domestic finished goods/service that are been produced in a particular period in a country. The net export, as well as consumption and government expenditures and investment are taking into consideration in GDP. It should be noted that social security payment is not accounted with GDP
What step of the bulletproof problem-solving process helps avoid making common decision-making biases such as confirmation bias
Group of answer choices
Step-3: Prioritize the issue, prune the tree
Step-1: Define the problem
Step-6: Conduct a critical analysis
Step-4: Build a work plan and timetable
Phase Five: Conduct Critical Analyses Bias and fact manipulation can be avoided with a structured approach. Diverse teams facilitate the exchange of diverse perspectives.
What is a bias toward problem-solving?
Overconfidence is one of the biases in problem-solving. The tendency to overestimate the accuracy of our knowledge and judgments is called overconfidence. We frequently believe that we accomplish more in less time than is necessary and know more than we do. For instance, students typically anticipate completing assignments ahead of schedule.
Which three kinds of bias are there?
There are three distinct types of bias: confounding, selection bias, and information bias. Using a variety of examples, these three types of bias and the potential solutions to them are discussed.
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what are two resources within you that are important when choosing a career you would like
Answer:
Your happiness
education and training
social environment
Explanation:
a definitive estimate should be the least accurate of the three types of estimates.
a. true
b. false
The statement is False. A definitive estimate should be the least accurate of the three types of estimates.
A basis of Estimate (BOE) is an analyzed and punctiliously calculated number that may be used for proposals, bidding on authorities contracts, and executing a project with a fully calculated price range.
The motive of an estimate has distinctive which means distinguishing human beings concerned with the technique. To the proprietor, it gives an inexpensive, accurate concept of the costs. This can assist him or she determine whether or not the work can be undertaken as proposed, wishes to be modified, or should be deserted.
The estimate is prepared by using calculating the portions from the dimension at the drawings for numerous objects required to complete the assignment and extended by way of the unit value of objects worried. Reason for Estimates: To recognize the amount of money required to complete the proposed paintings.
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when securities are traded in the secondary market, who makes or loses money?
When securities are traded in the secondary market, both buyers and sellers have the potential to make or lose money.
In the secondary market, securities such as stocks, bonds, and derivatives are bought and sold by investors. When a buyer purchases a security at a certain price and its value increases over time, the buyer can make a profit by selling it at a higher price.
On the other hand, if the value of the security decreases, the buyer may incur a loss if they decide to sell it. Similarly, sellers in the secondary market can make money by selling securities at a higher price than their initial purchase price if the value has appreciated.
Conversely, sellers may experience losses if the price they receive is lower than their initial investment. Therefore, both buyers and sellers in the secondary market have the potential to make or lose money depending on the price movements of the securities they trade.
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Suppose that Intel has a monopoly in the market for computer chips. In order to produce X computer chips, it costs Intel C(X) = 2X2. (i) Find the marginal cost of producing a computer chip for Intel. Ii) The demand for computer chips is X =12 − 0. 25P. Find the level of output that maximizes Intel’s profits. What price is Intel charging?
The marginal cost of producing a computer chip for Intel is 4X, and the level of output that maximizes Intel's profits is 6 computer chips.
(i) To find the marginal cost of producing a computer chip for Intel, we need to differentiate the cost function C(X) = 2X^2 with respect to X.
C(X) = 2X^2
Marginal Cost (MC) = dC(X)/dX
Differentiating the cost function with respect to X:
MC = dC(X)/dX = 4X
So, the marginal cost of producing a computer chip for Intel is 4X.
(ii) To find the level of output that maximizes Intel's profits and the corresponding price, we need to determine the profit function and maximize it.
Profit (π) = Revenue (R) - Cost (C)
Since Revenue (R) = Price (P) * Quantity (X) and Cost (C) = 2X^2, we have:
π = (P * X) - (2X^2)
To maximize profits, we need to find the quantity (X) that maximizes the profit function. Taking the derivative of the profit function with respect to X and setting it to zero will give us the critical point:
dπ/dX = d/dX (P * X - 2X^2) = P - 4X = 0
Solving for X:
P = 4X
Substituting the demand equation X = 12 - 0.25P into the equation P = 4X, we can solve for X:
P = 4(12 - 0.25P)
P = 48 - P
2P = 48
P = 24
So, the price Intel is charging to maximize profits is $24.
Substituting this price back into the demand equation to find the corresponding quantity:
X = 12 - 0.25P
X = 12 - 0.25(24)
X = 12 - 6
X = 6
Therefore, the level of output that maximizes Intel's profits is 6 computer chips.
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A millennial investor who built a 25-unit real-estate portfolio in one year breaks down how she financed it — and how she uses social media to source deals
Millennials, a sizable demographic group interested in real estate investment to create long-term wealth and born between 1981 and 1996, are becoming more prevalent. Millennials currently account for more than any other demographic group for about 43% of all home purchases.
How to Find Content Ideas for Social Media Without Using Tools reviews and testimonials. User-written blog posts. Video content. Social media posts. Q&A sessions.
If you desire cash flow, tax incentives to offset that income, and excellent potential for gain, direct real estate investing can be a superior option. It's also beneficial if you prefer a hands-on approach and want more control over your money. Direct investment is when a person or business from one country invests money in a business from another.
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W.C. Cycling had $55,000 in cash at year-end 2007 and $25,000 in cash at year-end 2008. Cash flow from long-term investing activities totaled _$250,000, and cash flow from financing activities totaled $170,000. Required: a) What was the cash flow from operating activities? b) If accruals increased by $25,000, receivables and inventories increased by $100,000, and depreciation and amortization totaled $10,000, what was the firm's net income?
Answer:
a) 50,000
b) 115,000
Explanation:
Cash flow from operating activities and Net Income can be calculated as follows
DATA
Opening cash balance = $55,000
Closing cash balance = $25,000
Long term investing activities = $250,000
Cashflow from financing activities = $170,000
Requirement A: Cash flow from operating activities
$
Investment 250,000
Less:
Cash flow from financing activities (170,000)
Opening Cash balance (55,000)
Add:
Closing cash balance 25,000
Operating cash flows 50,000
Requirement B: Net Income
Operating cash flows 50,000
Add:
Increase in receivables and inventory 100,000
Less:
Increase in accruals 25,000
Depreciation 10,000
Net Income 115,000
Ilus
What are the gross sales?
Income Statement
For the Year Ended August 31, 2012
Revenues
Student Lessons
$29,520.00
Recital Sales
15,900.00
Total Revenues:
45,420.00
Expenses
Costumes and Accessories
Building Maintenance
Total Expenses:
16,700.00
11,320.00
28,020.00
*Call numbers in 000s)
The gross sales are the total amount of revenue earned before deducting any expenses. In this case, the gross sales are $45,420.00, which is the total of the revenues earned from student lessons and recital sales.
Gross sales are the total amount of revenue generated from the sale of goods or services before any deductions are made for discounts, returns, or allowances. It represents the overall performance of a business and is an important metric for measuring growth and profitability. Gross sales are usually reported on the income statement, along with the cost of goods sold and other expenses, to calculate net income or loss.
Therefore, the gross sales are $45,420.00, which is the total of the revenues earned from student lessons and recital sales.
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When deciding whether to make or buy a product form an outside source, the company must consider:
A. The effect on the overall company profits.
B. All listed
C. How the company's variable costs compare with the outsourcing costs.
D. What the company could do with the freed manufacturing capacity.
When deciding whether to make or buy a product from an outside source, the company must consider B. All listed factors.
Making a product in house may provide the business more control over product quality and delivery schedules, but it also necessitates an investment in equipment and resources. Although contracting with a third party to produce commodities might reduce costs and increase flexibility, it can also mean losing control over the timing and quality of production. In the given case, firm must take into account the impact on total firm's earnings.
The firm's variable expenses should be compared against the costs of outsourcing, as well as what the firm could accomplish with the freed-up production capacity. As a result, the corporation must take into account variable costs as well as possible advantages of freeing up production capacity when deciding whether to manufacture or purchase a product. It is vital to carefully consider advantages and drawbacks of each option before deciding on one over the other.
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describe what a petty cash fund is by completing the following sentence. a petty cash fund is used for
Petty Cash Funds are established for departmental use for incidental and emergency small-dollar purchases where the use of alternative means.
What is cash fund ?The petty cash fund can be described as the special fund that can be set up so as to be able to cater for minor expenses with cash , and this is usually done by paying by cheque and it can be seen as one that is usually replenished to the imprest amount.
It should be noted that a petty cash fund can be regarded as the small amount of company cash, and can be used to tyake care of incidental expenses which could includes the office supplies or employee reimbursements.
In conclusion, the petty cash fund can be seen as one that can undergo periodic reconciliations, as well as transactions whichg can be recorded on the financial statements, hence Petty Cash Funds are established for departmental use.
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You work for an oil and gas company that owns several wells in western Texas. Revenue from these wells is projected to increase over the next several years as follows:
Year Cash Flow
1 $390,000
2 $390,000
3 $390,000
4 $405,000
5 $420,000
6 $435,000
7 $450,000
8 $465,000
If the interest rate is 8% compounded annually, what is the.equivalent present worth of the expected revenue?
Construct a cash flow diagram and show all your work. To earn full credit, you must use a gradient.
The equivalent present worth of the expected revenue is $12,097,816.
To calculate the equivalent present worth of the expected revenue, we need to discount each cash flow to its present value and sum them up.
Given the cash flows and the interest rate of 8%, let's construct a cash flow diagram:
Year 1: $390,000
Year 2: $390,000
Year 3: $390,000
Year 4: $405,000
Year 5: $420,000
Year 6: $435,000
Year 7: $450,000
Year 8: $465,000
To account for the gradient in cash flows, we'll use the present worth factor for a gradient (PWFG). The PWFG formula is:
PWFG = (1 - (1 + i)^(-n)) / i
where i is the interest rate and n is the number of periods.
Calculating the present value for each cash flow using the PWFG formula:
Year 1: $390,000 * (1 - (1 + 0.08)^(-1)) / 0.08 = $390,000 * 0.92 = $358,800
Year 2: $390,000 * (1 - (1 + 0.08)^(-2)) / 0.08 = $390,000 * 1.7833 = $694,539
Year 3: $390,000 * (1 - (1 + 0.08)^(-3)) / 0.08 = $390,000 * 2.5771 = $1,004,947
Year 4: $405,000 * (1 - (1 + 0.08)^(-4)) / 0.08 = $405,000 * 3.2433 = $1,314,270
Year 5: $420,000 * (1 - (1 + 0.08)^(-5)) / 0.08 = $420,000 * 3.9447 = $1,656,567
Year 6: $435,000 * (1 - (1 + 0.08)^(-6)) / 0.08 = $435,000 * 4.6065 = $2,004,818
Year 7: $450,000 * (1 - (1 + 0.08)^(-7)) / 0.08 = $450,000 * 5.2341 = $2,355,837
Year 8: $465,000 * (1 - (1 + 0.08)^(-8)) / 0.08 = $465,000 * 5.8324 = $2,708,038
Finally, we sum up all the present values to get the equivalent present worth:
Equivalent Present Worth = $358,800 + $694,539 + $1,004,947 + $1,314,270 + $1,656,567 + $2,004,818 + $2,355,837 + $2,708,038
= $12,097,816
Therefore, the equivalent present worth of the expected revenue is $12,097,816.
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An oligopolist's demand curve is A) identical to that of a monopolistically competitive firm. B) identical to that of a perfectly competitive firm. C) vertical on a price-quantity diagram. D) unknown because a response of firms to price changes by rivals is uncertain
An oligopolist's demand curve is unknown because the response of firms to price changes by rivals is uncertain. The correct option is D.
Why is an oligopoly demand curve kinked?According to this oligopoly model, prices are fixed and firms must deal with various consequences whether prices are rising or falling. Competing businesses will respond differently to price reductions and price increases, which causes the kink in the demand curve.
The kinked demand curve hypothesis claims that a firm in an oligopolistic market will encounter a kinked demand curve at the current price level. In comparison to the below, the curve is more elastic above the kink. It follows that a price increase will elicit a weaker reaction than a price decrease will.
Thus, the ideal selection is option D.
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What is a contingency plan?
Answer:
Um plano de contingência é um tipo de plano preventivo, preditivo e reactivo.
Apresenta uma estrutura estratégica e operativa que ajudeá a controlar uma situação de emergência e a minimizar as suas consequências negativas.
O plano de contingência propõe uma série de procedimentos alternativos ao funcionamento normal de uma organização, sempre que alguma das suas funções usuais se vê prejudicada por uma contingência interna ou externa.
1 Grey Wolf, Inc., has current assets of $2,330, net fixed assets of $10,900, current liabilities of $1,430, and long-term debt of $4,140. 1 points a. What is the value of the shareholders' equity account for this firm? (Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) b. How much is the company's net working capital? (Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.)
a. The value of the shareholders' equity account for Grey Wolf, Inc. can be calculated as follows:
Shareholders' equity = Total assets - Total liabilities
Total assets = Current assets + Net fixed assets
Total liabilities = Current liabilities + Long-term debt
Therefore,
Total assets = $2,330 + $10,900 = $13,230
Total liabilities = $1,430 + $4,140 = $5,570
Shareholders' equity = $13,230 - $5,570 = $7,660
Hence, the value of the shareholders' equity account for Grey Wolf, Inc. is $7,660.
b. The company's net working capital can be calculated as follows:
Net working capital = Current assets - Current liabilities
Therefore,
Net working capital = $2,330 - $1,430 = $900
Hence, the company's net working capital is $900.
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How does the availability of economic resources in conjunction with the law of diminishing returns affect an entrepreneur's decisions?
Answer: A
Explanation:
According to the law of diminishing returns, the increase in output that results from adding a production factor is smaller. The law of diminishing returns aids the business in determining the ideal amount of output in production. This is so that the producer can determine whether or not the output has reached its maximum potential.
Why is the law of diminishing returns important?Because economists anticipate that a firm's short-run marginal cost curves would slope upward as the number of output units rises, the law of diminishing returns is significant because it forms part of the theoretical framework.
According to the economic theory known as the law of diminishing returns, as an investment in a certain area rises, the rate of profit from that investment can no longer rise if other factors remain constant after a certain point.
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what is entrepreneur
Answer: An entrepreneur is a person who creates a new business venture with all the possible risks. He is the person who brings an idea to the table for a new business. Then he acquires resources, labor, and capital to set up the business, produce goods and services
Explanation: Hope this was helpful
A loan of R100 000, granted at 8% p.a. compounded monthly is to be repaid by regular equal monthly payments over a period of five years, starting one month after the granting of the loan.
The interest portion of the 23rd payment is equal to:
The interest portion of the 23rd payment would be approximately R2,042.38.
To calculate the interest portion of the 23rd payment, we can use the formula for calculating equal monthly payments on a loan.
Given that the loan amount is R100,000, the interest rate is 8% p.a. compounded monthly, and the loan is to be repaid over a period of five years (60 months), we can use the formula:
P = (r * PV) / (1 - (1 + r)^(-n))
Where:
P = monthly payment
r = monthly interest rate
PV = present value of the loan
n = total number of payments
First, we need to calculate the monthly interest rate:
r = (8% / 100) / 12 = 0.00667
Next, we calculate the monthly payment:
P = (0.00667 * 100,000) / (1 - (1 + 0.00667)^(-60))
P ≈ R2,042.38
Since the loan is repaid over 60 months, we can assume that each monthly payment is the same. Therefore, the interest portion of the 23rd payment would be the same as the interest portion of any other payment.
Hence, the interest portion of the 23rd payment would be approximately R2,042.38.
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economists explicitly assume that the primary objective of firms is to maximize
Economists explicitly assume that the primary objective of firms is to maximize profit.
Profit maximization is a fundamental assumption in economic theory, particularly in neoclassical economics. According to this assumption, firms aim to maximize their total revenue minus total costs in order to achieve the highest possible level of profit. Profit serves as a measure of efficiency and success in the market economy.
Firms are expected to make decisions and allocate resources in a way that maximizes their profits, taking into account factors such as production costs, market demand, competition, and pricing strategies. However, it's important to note that in practice, firms may also consider other objectives, such as market share, growth, or sustainability, alongside profit maximization.
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what are the professions and the man power related to teaching field? describe any one
Answer:
A profession is an occupation founded upon specialized educational training. for eg: teacher , doctor , pilot etc.And the manpower related to teaching field include teaching sector .teacher:- teacher is a person who provides education for pupils and education. teacher should have commendable skills for helping others learn, guiding, and helping to solve a problem.hope it is helful for uh❤❤.2. If changes happen during September or October, which expenses will you be able to change most easily? Give an example of how you could make a change. (5 points)
The correct answer to this open question is the following.
Although the question does not provide any context, references, or give options, we can say that if changes happen during September or October, the expenses you will be able to change most easily are according with the provisions projected in the annual plan, the budget, compared with the monthly expenses.
That is why a company has to elaborate on a good financial plan and overseeing the projections and true sales of the marketing and sales plan. This is important to take the proper control of expenses and revenues. Depending on the volume of sales during September and October, you can decide what kind of changes or adjustments to make in the following months.
Answer:
I would be able to change the variable expenses most easily. Such as food, clothing, and discretionary spending.
I could make the change by
Budgeting in October:
food from spending -$70 back to -$60
cut clothes off since I bought some already from -$40 to $0
budget my discretionary spending from -$60 back to -$40
This would increase my savings to $230
Millie, age 80, is supported during the current year as follows: Percent of Support Weston (a son) 20% Faith (a daughter) 35% Jake (a cousin) 25% Brayden (unrelated close family friend) 20% During the year, Millie lives in an assisted living facility. Under a multiple support agreement, indicate which parties can qualify to claim Millie as a dependent. a.Weston, Faith, Jake, and Brayden. b.Weston and Faith. c.Faith, Jake, and Brayden. d.Faith.
The parties who may qualify to claim Millie as a dependent are Weston and Faith (option B)
A support agreement is a contract between one or more people who voluntarily agree to support other people (usually children or elderly parents).
In the case presented, the people who qualify are:
Weston and Faith (option B)These two people qualify because between them they give more than 50% of the support and are closely related to Millie, they are her children.
On the other hand, Jake and Brayden do not classify because they do not contribute equally or more than 50% of the support and one of them is not related to Millie.
According to the above, the correct answer is B, because it mentions the people who qualify to claim Millie as a dependent.
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Under the optional method for calculating a single-family dwelling service, general loads beyond the initial 10 kVA are assessed at a _____ percent demand factor.
Under the optional method for calculating a single-family dwelling service, general loads beyond the initial 10 kVA are assessed at a 40 percent demand factor.
What is the Demand Factor?In physics, the demand factor is, the ratio of maximum demand of a system in relation to the total connected load that is placed on that system.
The unit for demand factor is always less than 1.
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The managers at a research company interview members of an underperforming team. They determine the team's office is too distracting, so they decide to build a dedicated lab environment to enable the team to meet its deadlines. This is an example of
The case illustrated regarding the managers is an example of initiating correlative action.
What is a correlative action?A correlative action simply means the process of communicating with the employees in order to improve performance.
In this case, the method that can be utilized include training, coaching, etc. This is necessary to achieve organizational goals.
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The accounting equation can be stated as
A. Expenses = Liabilities - Owner's Equity
B. Assets - Liabilities = Owner's Equity
C. Liabilities = Revenue + Owner's Equity
D. Owner's Equity = Assets + Liabilities.
Answer:
a
Explanation:
a