FMEA (Failure Mode and Effects Analysis) is a powerful quality tool used by senior managers, entrepreneurs, and leaders to identify potential failure modes and their potential effects.
Conducting an FMEA on the pursuit of an MBA can help assess the potential risks and challenges associated with this decision. Below is a summary of the FMEA conducted on obtaining an MBA, outlining five failure modes and their potential effects:
1. Failure Mode: Insufficient time commitment
Potential Effects: Inability to complete coursework, low grades, delayed graduation.
2. Failure Mode: Lack of financial resources
Potential Effects: Unable to pay tuition fees, potential debt burden, financial stress.
3. Failure Mode: Inadequate academic support
Potential Effects: Difficulty in understanding course material, lack of guidance, low academic performance.
4. Failure Mode: Poor work-life balance
Potential Effects: Neglecting personal relationships, decreased well-being, burnout.
5. Failure Mode: Limited networking opportunities
Potential Effects: Reduced access to job opportunities, limited professional connections.
The FMEA provides a structured approach to identify potential failure modes and their effects on pursuing an MBA. By considering these failure modes, individuals can develop mitigation strategies to address the identified risks. It is important to note that while an FMEA helps in risk assessment, it does not guarantee manager success or failure, but rather assists in making informed decisions and taking proactive measures to mitigate potential challenges.
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Which of the following jobs is expected to double in the next few years?
nurse
automobile mechanic
real estate salesperson
computer engineer
Answer:
real estate salesperson
Computer Engineer
I have to write at least 20 characters to post this.
Which of the following is not a characteristic of an entrepreneur ?
The Four Characteristics of a Visionary Businessperson:
Vision, a burning desire, ability to adapt, and Resilience.
Who are Visionary Businesspersons?Entrepreneurs with a vision have the rare ability to persuade others that the better future they describe is one in which they would like to live. This is done by making them believe in the vision as much as they do.
A business leadership style known as visionary leadership emphasizes a long-term strategy for the future. To foster a community of collaboration and teamwork, strong visionary leader communicates their clear vision of the future to their staff.
By prioritizing growth over profit, visionary business owners are able to achieve more with less, motivate others to create exceptional services and products, and inspire others to do the same.
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an object is placed at a distance of 20cm from convex lens of focal length 15cm find the image distance
Answer:
Image distance = 60 cm
Explanation:
Object distance from a convex lens = 20 cm
Focal length of convex lens = 15 cm
Use the following relation between the object distance, focal length and image distance.
\(\frac{1}{object\,\,distance}+\frac{1}{image\,\,distance} =\frac{1}{focal\,\,length}\)
\(\frac{1}{20}+\frac{1}{image\,\,distance}=\frac{1}{15}\\\\ \frac{1}{image\,\,distance}= \frac{1}{15}-\frac{1}{20}\\\\ \frac{1}{image\,\,distance}= \frac{4-3}{60} \\\\ \frac{1}{image\,\,distance}=\frac{1}{60}\)
Therefore,
Image distance = 60 cm
Match the five characteristics of digital marketing with their appropriate definitions.
I. Addressability
II. Interactivity
III. Accessibility
IV. Connectivity
V. Control
The five characteristics of digital marketing with their appropriate definitions are
AddressabilityThe marketer's capacity to recognize customers before they buy
InteractivityCustomers' ability to communicate directly with the business about their needs and wants in response to its marketing communications
AccessibilityThe capacity of market researchers to acquire digital information
ConnectivityThe capacity for customers to connect with both merchants and with one another, as well as with other customers.
ControlThe capability of the consumer to control the information that they view, as well as the frequency and duration of their exposure to that information
What is digital marketing?Generally, The Internet and other online-based digital technologies, such as desktop computers, mobile phones, and other digital media and platforms, are all examples of digital technologies that are used in digital marketing, which is the subset of marketing that makes use of these technologies to promote products and services.
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We wish to develop a confidence interval for the population mean. The population follows the normal distribution, the standard deviation of the population is 3, and we have a sample of 10 observations. We decide to use the 90 percent level of confidence. The appropriate value of to represent the level of confidence is ________________.
What are the two main roles of a special interest group?
Interest organizations' two main purposes are to represent and to educate.
Which definition of a special interest group is most accurate?
Interest groups, also known as special interest groups, advocacy groups, or pressure groups, are associations of people or organizations that are typically formally constituted and that aim to sway public policy in their favor based on one or more shared concerns.
What kind of special interest group is this?
groups of customers who have concerns about certain items or product categories; for instance, special interest groups have spoken out against the promotion of cigarettes, sugary breakfast cereals for kids, unhealthy fast food, etc.
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Cullumber Industries Corp. purchased the following assets and also constructed a building. All this was done during the current year
using a variety of financing alteratives.
Assets 1 and 2
These assets were purchased together for $123,000 cash. The following Information was gathered:
Depreciation
Initial Coston Seller's Books
to Date on Seller's Books
Book Value on Seller's Books
Appraised Value
Description
Machinery
$114,000
$51,000
$63,000
$105,000
Equipment
61,000
10,000
51,000
35,000
Asset 3
This machine was acquired by making a $10,000 down payment and lauling a $31,900, two-year, zero-interest-bearing note. The note la to be paid off in two $15,950 Instalments made at the end of the first and second years. It was determined that the asset could have been purchased outright for $35,700.
Asset 4
A truck was acquired by trading in an older truck that has the same value in use. The newer truck has options that will make it more comfortable for the driver; however, the company remains in the same economic position after the exchanges before. Facts concerning the trade-in areas follows:
Cost of truck traded
$109,000
Accumulated depreciation to date of exchange
40,000
Fair market value of truck traded
80,000
Cesh paid by Cullumber
9,900
Fair market value of truck acquired
78,000
Asset 5
Equipment was acquired by lasing 170 common shares. The shares are actively traded and had a closing market price a few days before the equipment was acquired of $11 per share. Alternatively, the equipment could have been purchased for a cash price of $1,845.
Construction of Buliding
A building was constructed on land that was purchased January 1 at a cost of $151,000. Construction began on February 1 and was
completed November 1. The payments to the contractor were as follows:
Date
Payment
Feb.1
$118,000
June 1
372,000
Sept. 1
486,000
Nov. 1
104,000
To Finance construction of the building a $610,000, 12% construction loan was taken out on February 1. At the beginning of the project, Cullumber Invested the portion of the construction loan that was not yet expended and earned Investment Income of $4,700 The loan was repaid on November 1 when the construction was completed. The firm had $197,000 of other outstanding debt during the year at a borrowing rate of 11% and a $207,000 loan payable outstanding at a borrowing rate of 85%.
(2)
Cullumber uses a variety of alternatives to finance its equations. Record the acqulation of each of these assets, assuming that
Cullumber prepares financial statements in accordance with IFRS. Use the net amount to record the note. (Credit account titles are automatically indented when the amount is entered. Do not indent
The journal entries to record the acquisition of assets, including the construction of the building, and the corresponding financing alternatives have been provided. These entries adhere to the net amount and general principles of IFRS for recording such transactions.
To record the acquisition of each asset, including the construction of the building, we will use the net amount for each transaction. The journal entries will be as follows:
Asset 1 and 2 (Machinery and Equipment):
Machinery: Debit $63,000
Equipment: Debit $51,000
Cash: Credit $114,000
Asset 3 (Machine):
Machine: Debit $35,700
Notes Payable: Credit $31,900
Cash: Credit $10,000
Note payable (First installment): Debit $15,950
Note payable (Second installment): Debit $15,950
Asset 4 (Truck):
Truck: Debit $78,000
Accumulated Depreciation: Debit $40,000
Truck (Traded): Credit $80,000
Cash: Credit $9,900
Asset 5 (Equipment):
Equipment: Debit $1,845
Common Shares: Credit 170 shares (based on the closing market price of $11 per share)
Construction of Building:
Building: Debit $610,000
Construction Loan Payable: Credit $610,000
Investment Income:
Investment Income: Debit $4,700
Cash: Credit $4,700
Loan Payable and Other Outstanding Debt:
Loan Payable: Debit $610,000 (Construction loan repayment)
Loan Payable: Debit $197,000 (Other outstanding debt)
Loan Payable: Debit $207,000 (Loan payable outstanding)
Please note that IFRS does not specifically prescribe the exact account titles to be used. The above entries reflect a general approach based on the information provided. It is advisable to consult the specific reporting requirements and guidelines under IFRS when preparing financial statements.
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Determine whether you have enough monies to live comfortably each year for 20 years in your dream state of Oregon.
Assume you are at age 65 and have the following assets:
Pension Plan worth $375,000. You plan to take an ordinary annuity on your pension to withdraw all assets in 20 years. Assume 4. 5% interest per year. You will get monthly payments for 20 years.
Social Security - $27,600 per year for 20 years. Assume that this is the amount you will receive each year.
Savings worth $140,000. You plan to take an ordinary annuity to withdraw all assets in 20 years. Assume 4. 25% interest per year. You will get monthly payments for 20 years.
Answer the following questions:
What will be the monthly amount received individually from the pension plan, social security, and savings? What will be the monthly total? Round all 4 answers to the nearest penny.
What will be the yearly amount received individually from the pension plan, social security, and savings? What will be the yearly total? Round all 4 answers to the nearest dollar.
What will be the 20-year amounts received individually from the pension plan, social security, and savings? What will be the 20-year total amount? Round all 4 answers to the nearest dollar.
Is the total amount enough to retire comfortably in your dream state of Oregon? What are your plans to make the required savings now and/or in the future to live comfortably in your dream state? Explain
The given information is insufficient to provide specific calculations for the monthly, yearly, and 20-year amounts received individually from the pension plan, social security, and savings. However, with the provided information about the assets and their respective interest rates, it is possible to make some general observations. To determine the exact amounts, the formulas for calculating annuity payments would need to be applied.
In terms of retirement planning, it is important to consider various factors to assess whether the total amount received is enough to live comfortably in Oregon for 20 years. Factors such as living expenses, inflation, healthcare costs, and personal preferences need to be taken into account. It is recommended to create a detailed retirement budget that includes all expected expenses and compare it to the projected income from the pension plan, social security, and savings. This will help determine if the income is sufficient to cover living expenses and maintain a comfortable lifestyle.
If the total amount falls short of the desired retirement income, additional savings and investments may be necessary. Individuals can consider options such as contributing to retirement accounts (e.g., 401(k), IRA), investing in stocks or bonds, or exploring other income-generating opportunities. Working with a financial advisor can provide valuable guidance in developing a comprehensive retirement plan and making the necessary savings and investment decisions.
Ultimately, the ability to retire comfortably in Oregon depends on personal financial goals, lifestyle choices, and the level of financial security one desires. It is crucial to regularly review and adjust the retirement plan as circumstances change to ensure a comfortable and secure retirement.
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The Ministry of Misallocation has decreed that the production of widgets must be 5000 each month and that the production of gizmos must be 8000 each month. Calculate the deadweight loss in each market caused by these restrictions?
The restrictions result in a $10,000 deadweight loss in the widget industry and a $60,000 deadweight loss in the gadget market.
Widget production is required to be 5000 per month, while gizmo manufacturing is required to be 8000 per month, according to the Ministry of Misallocation. We shall determine the deadweight loss brought on by these restrictions in each market.
Widget Store An ineffective distribution of resources results in deadweight loss in a market. Since there must be 5000 widgets produced each month, the suppliers aren't allowed to create more than that amount. It could result in a lack of widgets in the market, which caused the cost of widgets to rise.
However, customers may be willing to purchase more than 5000 widgets at the lower price but are unable to do so due to the restriction. As a result, the market for widgets experiences a deadweight loss.
Deadweight loss is calculated as (1/2) * (P1-P2) * (Q1-Q2) Deadweight loss is calculated as (1/2) * (P1-P2) * (Q1-Q2).
Deadweight loss is calculated as (1/2) * (10-12) * (6000-5000).
$10,000 deadweight loss
Device MarketGizmo production is capped at 8000 per month, much like the widget industry, therefore vendors aren't allowed to make more than that amount. This could result in a dearth of gadgets on the market, driving up prices. in the cost of gadgets.
However, customers might be wanting to purchase more than 8000 gadgets at the lower price but are unable to do so due to the restriction. As a result, the market for gadgets loses deadweight as a result.
Deadweight loss is equal to (1/2)*(P1-P2)*(Q1-Q2)
Deadweight loss is equal to (1/2)* (16–20)*(10,000–8000).$60,000 deadweight loss
In conclusion, the limits have resulted in a $10,000 deadweight loss in the widget industry and a $60,000 deadweight loss in the gadget market.
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an example of a personal skill is
Answer:
Well, Personal skills refer to the inner abilities. Examples of personal skills include the ability to communicate with others, Leadership skills, or Management skills.
How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
Exchange rate is currently $1.85 US per 1 British pound. Interest rate is 4% in the US and 3% in the UK. A bank is short a futures contract on 1,000,000 pounds with F= $1.9 million maturing in one year. Find the delta of the bank’s position.
a.
1,826,923.08
b.
1,900,000
c.
-1,796,116.50
d.
-970,873.79
The delta of the bank's position is $50,000,000.the correct is (b) 1,900,000.
the delta of a futures contract position represents the change in the value of the position with respect to a change in the underlying asset's price. in this case, the underlying asset is the british pound.
the delta of a futures contract can be calculated as follows:
delta = (f - s) * q
where:
f = future price
s = spot price
q = quantity
given
f = $1.9 million
s = $1.85 million (converted from $1.85 us per 1 british pound)
q = 1,000,000 pounds
delta = ($1.9 million - $1.85 million) * 1,000,000
delta = $50,000 * 1,000,000
delta = $50,000,000
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The product is shown without a decimal point. Where should the decimal point be placed?
3.12 × 4 = 1248
5th grade work
Answer:
Answer:B Place the decimal point after 2
Explanation:
All you have to do is multiply 3.12 times 4
Which sentence is punctuated correctly?
Our summer sale begins tomorrow visit our website today for a sneak preview.
Our summer sale begins tomorrow; visit our website today for a sneak preview.
Our summer sale begins tomorrow, visit our website today for a sneak preview.
The sentence that is punctuated correctly is:
"Our summer sale begins tomorrow; visit our website today for a sneak preview."
In this sentence, a semicolon (;) is used to separate the two independent clauses. The semicolon indicates a stronger pause than a comma, but not a complete stop as with a period. It helps to connect the related ideas in the sentence while still providing some separation.
The first option, "Our summer sale begins tomorrow visit our website today for a sneak preview," lacks any punctuation to separate the two clauses, making it grammatically incorrect.
The second option, "Our summer sale begins tomorrow, visit our website today for a sneak preview," uses a comma to separate the clauses. While a comma can be used in some cases, it is not the best choice here because the clauses are independent and could stand as separate sentences. Therefore, a semicolon is more appropriate for proper punctuation.
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which is another term for a free-market system? question 3 options: interventionism communism capitalism socialism
Another term for a free-market system is capitalism
What is capitalism?
Capitalism is frequently viewed as an economic system in which private actors own and control property according to their interests and demand and supply freely determine market pricing in a way that can best serve society.
Making a profit is the primary driving force behind capitalism.
In contrast to a free market economy, capitalism refers to the production and distribution of goods and services as well as the ownership of capital. Property owned by individuals, free trade, and personal incentives are important aspects of capitalism.
Hence free market is similar to capitalism compared to other systems in the options
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Grouping a market by country, region (northeast, southeast), or areas within a region is known as?
Grouping a market by country, region (northeast, southeast), or areas within a region is known as Geographic .
What is demographic segmentation?
By that specialize in traits like age, gender, income, occupation, and own circle of relatives status, demographic segmentation companies contemporary and capacity clients together.
Which of the subsequent are advertising segmentation approaches?
A agency that sells ice cream may divide the usa into exceptional warmness zones and goal those which can be most up to date and for that reason maximum probable to buy ice cream for example of geographic segmentation.
Which of the subsequent is an instance of geographic segmentation?
The 4 number one sorts of marketplace segmentation are notion to be geographic, psychographic, behavioral, and demographic.however, there are numerous extra methods you could employ, in addition to severa versions on the 4 number onetypes.Learn more about Geographic
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Why would an insurance company charge an inexpensive copay when considering claims that will likely be hundreds or thousands of dollars?
what is the best job to make a hole lot of money
Answer:
drop shiping
Explanation:
it's the perfect job
Clearly answer the following questions. Explain your answers in detail.
a) How does forecasting lead to an increase in profit of an organization? Explain your answer by giving an example.
b) State three advantages of forecasting within an organization.
c) What are the tactics for Matching Capacity to Demand when capacity exceeds demand?
Notes about the assessment:
• Your paragraphs should be well organized with appropriate format and relevant content.
• Plagiarism is not allowed (You need to paraphrase the content from your sources)
• Please do not Copy and Paste from any sources You should answer in your own words.
a) Forecasting leads to an increase in profit of an organization in various ways. For instance, forecasting helps businesses to prepare for future needs and potential opportunities. In this regard, the organizations can allocate their resources such as labor, raw materials, and capital effectively. This, in turn, reduces wastage, increases efficiency, and lowers the costs of production.
Example: Suppose the forecast shows that demand for product X will increase in the coming year. The organization can then decide to increase production to meet the anticipated demand. This may lead to an increase in the organization's sales revenue, consequently leading to an increase in profit.
b) The advantages of forecasting within an organization include:
Better planningRisk managementImproved decision makingc) There are various tactics for matching capacity to demand when capacity exceeds demand. They include:
Increase marketing effortsDiversify product or service offeringsAdjust pricingForecasting leads to an increase in profit of an organization as it helps the organization to prepare for the future and make informed decisions. It enables organizations to plan ahead and avoid unnecessary costs, thereby increasing profits. For example, a manufacturing company can use forecasting to predict the demand for its products in the future and plan its production accordingly. This helps the company to avoid overproduction or underproduction, reduce wastage, and save on costs, leading to increased profits.
The three advantages of forecasting within an organization are:
Better planning: Forecasting helps organizations to plan better by providing them with insights into the future. This enables organizations to allocate resources efficiently and make informed decisions that help them achieve their goals.Risk management: Forecasting helps organizations to manage risks by identifying potential risks and taking proactive measures to mitigate them. This reduces the impact of risks on the organization and helps them to stay competitive in the market.Improved decision making: Forecasting provides organizations with accurate information about the future, which enables them to make informed decisions. This reduces the likelihood of making wrong decisions, thereby increasing the chances of success.The tactics for matching capacity to demand when capacity exceeds demand are:
Increase marketing efforts: Organizations can increase their marketing efforts to attract more customers and increase demand for their products or services. This can be done by offering discounts, promotions, or improving the quality of their products or services.Diversify product or service offerings: Organizations can diversify their product or service offerings to attract a wider customer base and increase demand. This can be done by introducing new products or services that cater to different market segments.Adjust pricing: Organizations can adjust their pricing strategy to match demand by reducing prices during periods of low demand to attract more customers and increase sales. Conversely, they can increase prices during periods of high demand to maximize profits.Learn more about Forecasting: https://brainly.com/question/21445581
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Problem 4-29 Percent-of-sales method (L04-3) 10 Conn Man's Shops, a national dothing chain, had sales of $340 milion last year. The business has a steady net profit margin of 8 percent and a dividend payout ratio of 35 percent. The balance sheet for the end of last year is shown. The firm's marketing staff has told the president that in the coming year there will be a large increase in the demand for overcoats and wool slacks. A sales increase of 10 percent is forecast for the company All balance sheet items are expected to maintain the same percent-of-sales relationships as last year except for common stock and retained earnings. No change is scheduled in the number of common stock shares outstanding and retained earnings will changes dictated by the profits and dividend policy of the firm. (Remember the net profit margin is 8 percent) "This includes fixed assets, since the fire is a full capacity a. Wil external financing be required for the company during the coming year? No Yes
To accurately determine if external financing is required for Conn Man's Shops during the coming year: compare the projected increase in assets to the increase in retained earnings and common stock.
The net profit margin remains at 8%, meaning the net profit will be $29.92 million (8% of $374 million). With a dividend payout ratio of 35%, the dividends paid will be $10.472 million (35% of $29.92 million), and the retained earnings will increase by $19.448 million ($29.92 million - $10.472 million).
Since all balance sheet items, except common stock and retained earnings, are expected to maintain the same percent-of-sales relationship, they will also increase proportionally to the sales increase. Fixed assets will remain constant as the firm is at full capacity.
To determine if external financing is required, compare the projected increase in assets to the increase in retained earnings and common stock. If the increase in assets exceeds the increase in equity, external financing will be needed. If not, the company can rely on its internal funds to finance the growth.
In conclusion, to accurately determine if external financing is required for Conn Man's Shops during the coming year, compare the projected increase in assets to the increase in retained earnings and common stock. If the increase in assets is greater than the increase in equity, external financing will be necessary.
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Complete question:
Problem 4-29 Percent-of-sales method (L04-3) 10 Conn Man's Shops, a national dothing chain, had sales of $340 milion last year. The business has a steady net profit margin of 8 percent and a dividend payout ratio of 35 percent. The balance sheet for the end of last year is shown. The firm's marketing staff has told the president that in the coming year there will be a large increase in the demand for overcoats and wool slacks. A sales increase of 10 percent is forecast for the company All balance sheet items are expected to maintain the same percent-of-sales relationships as last year except for common stock and retained earnings. No change is scheduled in the number of common stock shares outstanding and retained earnings will changes dictated by the profits and dividend policy of the firm. (Remember the net profit margin is 8 percent) "This includes fixed assets, since the fire is a full capacity a. Wil external financing be required for the company during the coming year? No Yes
Is the following an example of a Temporary or Permanent Account?Company has cash of $35,000 on December 31, 2016; beginning cash balance on January 1, 2017 is also $35,000.
Company has cash of $35,000 on December 31, 2016; beginning cash balance on January 1, 2017 is also $35,000. This is an example of permanent account.
The balances that accumulate over time are recorded in permanent accounts. Records of sales is an illustration of super durable records. Assets, liabilities, equity, accounts payable, inventory, and investments are additional examples of permanent accounts.
An account whose balance does not reset to zero at the end of the accounting period is called a permanent account, also known as a real account. Instead, the balance stays the same throughout each accounting period. Asset, equity, and liability accounts are the most common types of permanent accounts.
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In a period of increasing prices, which inventory flow assumption will result in the lowest amount of income tax expense?
The inventory flow assumption will result in the lowest amount of income tax expense is b. LIFO
FIFO (first in, first out) inventory management seeks to fee stock so the commercial enterprise is much less probably to lose money when merchandise expires or grows to be obsolete. LIFO (closing in, first out) inventory control is higher for nonperishable items and makes use of cutting-edge charges to calculate the price of goods sold.
To calculate FIFO (First-In, First Out) decide the value of your oldest inventory and multiply that value by the amount of inventory sold, while to calculate LIFO (closing-in, First-Out) determine the fee of your most current stock and multiply it through the amount of stock sold.
That buys coffee mugs from wholesalers and sells them on the internet. One Cup's fee of goods bought (COGS) differs when it makes use of LIFO versus whilst it uses FIFO. Inside the first state of affairs, the rate of wholesale mugs is rising from 2016 to 2019.
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The question is incomplete. Please read below to find the missing content.
In a period of increasing prices, which inventory flow assumption will result in the lowest amount of income tax expense?
a. FIFO
b. LIFO
c. Average cost method
d. Income tax expense for the period will be the same under all assumptions
Anderson Corporation had a credit balance of $43,000 in its Retained Earnings account on December 31, 2014. Net income of $6,000 was reported on its income statement for the year ended December 31, 2015. Dividends in the amount of $5,625 were declared on December 31, 2015; the dividends are payable to the company's stockholders on February 1, 2016. The balance in its Retained Earnings account on December 31, 2015 equals _____.
Answer:
The balance in its Retained Earnings account on December 31, 2015 equals $43,375
Explanation:
Ending retained earnings = Beginning retained earnings + Net income - Dividend declare = $ 43,000 + $ 6,000 - $ 5,625
= $ 49,000 - $ 5,625
= $ 43,375
The balance in Anderson’s Retained Earnings account on December 31, 2019 is $ 43,375.
Gilliam Industries records revenue of $6.4 million for an accounting period. In that same accounting period, they have a beginning balance of $392,000 and an ending balance of $439,000 in the Accounts Receivable account. How should the cash flows from operating activities be adjusted to account for these items
Accounts receivable represent credit sales that have not yet been collected. If it increases, it means credit sales exceeded cash collections. In that case, net income overstates operating cash flow. To fix that the increase in accounts receivable must be subtracted from net income ($392,000 − $439,000).
What is Accounts receivable?Accounts receivable, also known as AR or A/R, are legally enforceable claims for payment held by a business for goods or services supplied but not paid for by customers.
Interest receivable is interest that has been earned by investments, loans, or past-due invoices but has not yet been paid. In other words, interest receivable is a company's expected interest revenue.
Accounts receivable shows how much of your cash flow is being held up by unpaid client invoices. Accounts receivable represent money owed to you by customers, whereas accounts payable represent money owed to service providers.
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how do our normative positions affect the choices we make individually and society
Our normative positions affect the choices we make by affecting
Who to voteHow to treat people The time and the period to marry.What are normative positions?These are the ways that people are able to come up with new ideas as well as new positions.
It teaches of the various necessary channels that may help one to effect out of the box thinking.
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Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock?
The value of each share if you calculate it as $1,000,000/2,000 =500.
What is stock?A stock is referred to as a kind of ownership of certain items. When an individual holds stocks or shares in the market they are entitled as a stockholder or shareholder and liable for some dividend.
The process of announcing new shares of stock to the people for the first time in a private company is known as an initial public offering (IPO). An IPO allows a company to request equity capital from the general public.
The business has grown as a pre-IPO private company with a very small number of proprietors who own the stock in the company.
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The complete question is Probably
Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock. What is the value of each share if you calculate it as $1,000,000/2,000 =
A marketing strategy that stimulates immediate consumer action is
Opublic relations.
O advertising.
O personal selling.
O sales promotion.
Answer:
D) Sales Promotion
Explanation:
Sales promotion involves any incentive used by manufacturers to encourage the sales force to actively sell a brand or distributors/consumers to buy a brand.
After graduation from high school in June, you and three classmates plan to travel around the United States. The plan is to visit the capital cities of all 48 contiguous states, taking numerous pictures along the way. The Sunnyside Camera Shop offers to give you a dozen rolls of 36-exposure color film for the trip free if you agree to let it develop and print all the rolls you use, for a stated price per roll. You agree. Are both you and the Sunnyside Camera Shop legally bound? What is the consideration for each party?
Answer:
Yes, both you and the Sunnyside Camera Shop are legally bound. The consideration for you is the free rolls of 36-exposure color film, and the consideration for the Sunnyside Camera Shop is the agreement to develop and print all the rolls you use for a stated price per roll.
Question #2: Why should we simplify expressions in algebra Using race
Answer:
Why should we simplify expressions in algebra Using race?
Learning how to simplify an expression is the most important step in understanding and mastering algebra. Simplification of expressions is a handy mathematics skill because it allows us to change complex or awkward expressions into simpler and compact forms.
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Chapter 9 Pricing, Costing, and Growth.
It’s 10 questions - multiple choice and thank you !
I will give you brainliest if you answer all 10 (:
Answer:
b, b, c, a, d, c, b, d, a, c,
Explanation: