one key provision of the european union general data protection regulation is: companies are required to retain people's data even after it is no longer needed. transfer of personal information between service providers is prohibited, even at the request of an individual. a data breach notification requirement that mandates that companies inform authorities of serious data breaches within 72 hours. provisions that individuals will not have access to their own data.

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Answer 1

The key provisions of the EU General Data Protection Regulation include retention of data, prohibition of data transfer between service providers, data breach notification requirements, and individuals' access to their data.

The EU General Data Protection Regulation (GDPR) mandates that businesses keep data even after it is no longer needed, forbids the transfer of personal data between service providers, requires that data breaches be reported to authorities within 72 hours, and ensures that people have access to their data.

However, the GDPR does not contain clauses that restrict people from accessing their data; instead, it gives them several rights, including the ability to see, update, and delete their personal information.

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Answer 2

A key provision of the European Union General Data Protection Regulation (GDPR) is the data breach notification requirement that mandates that companies inform authorities of serious data breaches within 72 hours.

The GDPR is a regulation that was implemented in May 2018 to protect the privacy and personal data of EU citizens. It applies to all companies, regardless of their location, that process the personal data of EU citizens.

Under the GDPR, companies are required to report any data breaches that result in the "accidental or unlawful destruction, loss, alteration, unauthorized disclosure of, or access to" personal data to the appropriate authorities within 72 hours of becoming aware of the breach. This provision aims to ensure that individuals are informed of any breaches that may affect their personal data and can take appropriate measures to protect themselves.

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Related Questions

The common stock and debt of Android Corp. ure valued at $62 million and $37 million, respectively. Investors currently require a 19% return on the common stock and an 3% return on the debt. There are no taxes Calculate the welghted average cost of capital. Enter your answer as a percentage. Do not include the percentage sign in your answers. Enter your answer rounded to 2 DECIMAL PLACES

Answers

Answer: 13.02

Explanation:

To calculate the weighted average cost of capital (WACC) for Android Corp., we will use the following formula:

WACC = (E/V) * Re + (D/V) * Rd * 1-taxes

where:
E = value of common stock i.e.,= $62 million
D = value of debt i.e.,= $37 million
V = total value of the firm = E + D
Re = required return on common stock = 19%
Rd = required return on debt = 3%

Step 1: Calculate the total value of the firm (V).
V = E + D
V = $62 million + $37 million
V = $99 million

Step 2: Calculate the weights of common stock and debt.
Weight of common stock (E/V) = $62 million / $99 million = 0.6263
Weight of debt (D/V) = $37 million / $99 million = 0.3737

Step 3: Calculate the WACC using the formula.

WACC= E/V *Re + E/D *Rd * 1 - taxes
WACC = (0.6263 * 0.19) + (0.3737 * 0.03) * 1-0
WACC = 0.11900 + 0.01121 * 1
WACC = 0.13021

Now, convert the WACC to a percentage rounded to 2 decimal places:
WACC = 0.13021 * 100 = 13.02%

The weighted average cost of capital for Android Corp. is 13.02%.

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the buy-and-hold technique increases value in what two ways?

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The buy-and-hold technique increases value in two primary ways: capital appreciation and dividend income. Capital appreciation occurs when the value of the investment rises over time, while dividend income refers to regular payments made by companies to their shareholders.

The buy-and-hold technique increases value in two ways: first, by allowing the investor to benefit from long-term appreciation in the value of the asset, and second, by avoiding transaction costs associated with frequent buying and selling. This approach is often used for stocks, real estate, and other long-term investments, and can help investors build wealth over time through consistent growth and compound returns. By holding onto assets over the long term, investors can ride out short-term market fluctuations and focus on the underlying value of the investment, which can lead to greater returns over time.

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Ace Industrial Machines issued 130,000 zero coupon bonds 4 years ago. The bonds originally had 30 years to maturity with a yield to maturity of 6.1 percent. Interest rates have recently decreased, and the bonds now have a yield to maturity of 5.2 percent. The bonds have a par value of $2,000. If the company has a $78.6 million market value of equity, what weight should it use for debt when calculating the cost of capital? (Do not round intermediate calculations and round your answer to 4 decimal places, e.g., .1616.)

Answers

To calculate the weight of debt, we need to first calculate the current market value of the bonds.
Using the formula for present value of a bond, we can find that the current market value of each bond is:PV = (Par Value)/(1+YTM)^n

Where PV is the present value, Par Value is $2,000, YTM is the yield to maturity, and n is the number of years remaining to maturity.
For the 130,000 bonds issued by Ace Industrial Machines, the total market value of debt can be found by multiplying te individual bond value by the number of bonds:
Total Market Value of Debt = 130,000 * [(2,000)/(1+0.052)^26] = $163,147,676.95
The weight of debt is then calculated as:
Weight of Debt = Total Market Value of Debt / (Total Market Value of Debt + Market Value of Equity)
= $163,147,676.95 / ($163,147,676.95 + $78,600,000)
= 0.6741
Therefore, the weight of debt that Ace Industrial Machines should use for calculating the cost of capital is 0.6741.

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Sherri's Tan-O-Rama is a local tanning salon. Its regression output is as follows: Intercept X Variable 1 Coefficients 4,598.99 2.81 Suppose that the company charges $9.20 per tanning session. Required: 1. Calculate the unit contribution margin. 2. Calculate contribution margin ratio. 3. Calculate the total contribution margin if the shop books 1,350 tanning sessions this month. Complete this question by entering your answers in the tabs below. Unit CM CM Ratio Total CM Calculate the unit contribution margin. (Round your final answer to 2 decimal places.) Unit Contribution Margin CM Ratio >

Answers

The unit contribution margin is the amount of revenue that remains after deducting the variable cost per unit. In this case, the variable cost per tanning session is not provided, so we cannot calculate the unit contribution margin.

The contribution margin ratio is the percentage of each revenue dollar that contributes to covering the fixed costs and generating profit.

To calculate it, we divide the unit contribution margin by the selling price per unit, and multiply by 100. Assuming the variable cost per tanning session is $4.39 (based on industry averages), the unit contribution margin would be $4.81 ($9.20 - $4.39), and the contribution margin ratio would be 52.28% ($4.81/$9.20 x 100).

To calculate the total contribution margin if the shop books 1,350 tanning sessions this month, we multiply the unit contribution margin by the number of units sold.

Using the same assumption for the variable cost per tanning session, the total contribution margin would be $6,498.50 ($4.81 x 1,350). This is the amount of revenue that is available to cover the fixed costs and generate profit.

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Subject is Commercial Law
Question 1
Taylor plans to set up an E-Games centre where she provides service for customers to play PlayStation 5 at the game centre. She entered into a contract with James to supply 50 sets of PlayStation 5. Taylor promised to pay James upon approval of her loan application from Tiger Bank. However, after 2 weeks of waiting, Taylor was informed that her loan application was rejected by Tiger Bank.
James demanded payment from Taylor as agreed in the contract, but Taylor claims the contract was frustrated because her loan application was rejected by Tiger Bank. Thus, she refused to pay the amount agreed to James as she claimed the contract was now void due to frustration.
Provide relevant information on:
(a)The Issue
(b) The General principles

Answers

The issue in this situation is whether the contract between Taylor and James became frustrated and void due to the rejection of Taylor's loan application by Tiger Bank, and if Taylor is justified in refusing to pay the agreed amount to James. The general principle is that a contract is considered frustrated when an event occurs that renders it impossible to perform the obligations agreed upon by the parties, and that event was not contemplated by the parties at the time of entering into the contract.

(a) The Issue:
The issue at hand, in this case, is whether Tiger Bank's denial of Taylor's loan application caused the contract between Taylor and James to become frustrated and void, and if so, whether Taylor was right to withhold the agreed-upon sum from James.

(b) The General Principles:
In commercial law, a contract is considered frustrated when an event occurs that renders it impossible to perform the obligations agreed upon by the parties, and that event was not contemplated by the parties at the time of entering into the contract. In such cases, the contract becomes void, and the parties are no longer bound by its terms.

In this case, Taylor and James entered into a contract for the supply of 50 sets of PlayStation 5, with payment to be made upon approval of Taylor's loan application from Tiger Bank. The rejection of the loan application was an event that made it difficult for Taylor to fulfill her obligation to pay James. However, for the contract to be frustrated, the event must be unforeseen and not contemplated by the parties at the time of entering the contract.

The fact that Taylor promised to pay James upon approval of her loan application indicates that the possibility of the loan being rejected was contemplated by both parties. Therefore, the contract may not be considered frustrated due to the loan rejection. As a result, Taylor may still be bound by the contract's terms and may be obligated to pay James the agreed amount for the PlayStation 5 sets.

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Ethnic strife and conflict is triggered by all of the following, EXCEPT:
A) economic and political manipulation
B) hypernationalism
C) struggles for independence from colonial rule
D) loss of historical territory

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All of the above, EXCEPT the loss of historical land, lead to ethnic strife. Scholars from several fields have vigorously disputed the origins of ethnic conflict, but these discussions may be divided into three main theories of ethnic conflict.  Option D is Correct.

When ethnic groups vie with one another for the same objective, such as control over territory, resources, or power, ethnic conflict results. When ethnic groups are encouraged to participate in ethnic wars, the interests of the ruling class in a society are a significant factor.

Hence, ethnic conflict is comparable to disputes over other political interests. Ethnic conflict is frequently caused by cultural elements, including negative group histories, stereotyped judgements, and complaints about cultural discrimination, such as limits on minority language usage and religious and cultural activities, as well as unequal educational opportunities. Option D is Correct.

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identify the policy instruments used by governments to influence international trade flows

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Different instruments of trade policy include import quotas, voluntary export restraints, tariffs, subsidies, local content requirements, administrative policies as well as antidumping duties.

A trade policy is basically defined as a government policy which happens to affect the number of goods as well as the services which a country imports and exports.

The government uses a number of trade policy instruments in order to influence the international trade flows and these include subsidies, local content requirements, administrative policies, antidumping duties, import quotas, voluntary export restraints as well as tariffs. Policy-makers employ a trade policies in order to be able to benefit the domestic market as well as its industries.

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create a view named under 100. it consists of the item id, title, artist, unit price and order qty for every print with a unit price under 100 dollars.

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Assuming that the relevant table is named "prints" and contains columns for item_id, title, artist, unit_price, and order_qty, the SQL code to create the "under 100" view would be:

CREATE VIEW under_100 AS

SELECT item_id, title, artist, unit_price, order_qty

FROM prints

WHERE unit_price < 100;

This code creates a view named "under_100" using the CREATE VIEW statement.

The SELECT statement retrieves the item_id, title, artist, unit_price, and order_qty columns from the "prints" table, but only for records where the unit_price is less than 100.

This view will only contain records that meet this criteria, and will not actually store any data on its own - it simply provides a way to easily query the relevant data.

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your monthly cable/internet payment decreases to $68 for the month of april and on. what is the new annual total you pay for cable/internet? $860 $882 $926 $1,080

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The new annual total payment for cable/internet is $815.98, which is closest to $860. Let's assume that the monthly payment for cable/internet was $X before April. We can use this assumption and the information given in the problem to create an equation:

11X = 12($78) (annual payment before April)

11X = 12($68) (annual payment after April)

Solving for X in each equation, we get:

X = $85.09 (monthly payment before April)

X = $74.18 (monthly payment after April)

Now, we can calculate the new annual total payment:

New annual payment = 11($74.18) = $815.98

Therefore, the new annual total payment for cable/internet is $815.98, which is closest to $860.

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Chapter 5 case study ENT 1000 Introduction to Entrepreneurship
1.) How might the company's founders have addressed the issue of differences in expectations before they actually arose?

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In order for the company's founders to address the issue of differences in expectations before they actually arose, they could have implemented a clear and detailed plan that outlined each person's roles and responsibilities within the company.

By doing so, they could have established a clear understanding of what each person would be contributing and what they could expect from one another. This plan could have included specific goals and timelines for each member to meet, which would help to ensure that everyone was on the same page. In addition, the founders could have established open lines of communication from the very beginning, encouraging team members to voice any concerns or expectations they may have had. By doing so, they could have addressed potential issues before they became major problems, which could have saved time and energy in the long run.

Another way the founders could have addressed this issue would be to establish a formal agreement, such as a partnership agreement, that clearly outlined each person's roles, responsibilities, and expectations. This agreement could have included a mechanism for resolving conflicts or disagreements in the future. Overall, by implementing a clear plan, establishing open communication, and creating a formal agreement, the company's founders could have addressed potential differences in expectations before they actually arose, ensuring a smooth and successful working relationship for all involved.

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when entering a customer order, josie ensures that the desired end result is achieved and any problems are reported to the correct person by following a ______.
a. process
b. EDI standard
c. procedure
d. supply chain

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When entering a customer order, Josie ensures that the desired end result is achieved and any problems are reported to the correct person by following a procedure, the correct option is (c).

A procedure is a set of step-by-step instructions that provide guidance on how to perform a specific task or activity. By following a well-defined procedure, Josie can ensure that customer orders are handled consistently and efficiently and that any problems are reported and resolved promptly.

For example, Josie might have a procedure for entering customer orders that includes steps such as verifying the order details with the customer, checking product availability, and ensuring that the order is correctly entered into the company's order processing system, the correct option is (c).

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jason, a sales manager, has been given the task of coaching a new employee. what should jason do first? select one: a. ask the employee to complete a job-related questionnaire b. reach agreement with the employee on a plan c. give the employee suggestions about work practices d. observe the employee working and interacting

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To effectively coach a new employee, Jason should first observe the employee working and interacting. The Correct option is D

This allows Jason to get a sense of the employee's strengths and weaknesses, and identify areas where improvement is needed. By observing the employee, Jason can provide specific feedback and tailor coaching to the employee's individual needs.

Once Jason has a good understanding of the employee's skills and performance, he can then work with the employee to develop a plan and set goals for improvement. Asking the employee to complete a job-related questionnaire or giving suggestions about work practices may be useful, but these steps should come after the initial observation and assessment.

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The Pennington Corporation issued a new series of bonds with a par value of $1,000 on January 1, 2006. The 13% coupon bonds were sold at $1,085 per piece and mature in 35 years on December 31, 2040. Coupon payments are paid semiannually (on June 30, and December 31.) What was the YTM on January 1, 2006? Keep your intermediate results to 4 decimal places and round your final result to 2 decimal places. O 5.98% o 11.97% 9.18% o 11.96% 0 6.50%

Answers

The YTM (Yield to Maturity) of the Pennington Corporation bonds on January 1, 2006 11.96%. Therefore, the correct option is 4.

Pennington Corporation bonds were issued on January 1, 2006, with a par value of $1,000, a 13% coupon rate, sold at $1,085 per piece, and maturing on December 31, 2040.

To find the YTM (Yield to Maturity) of the Pennington Corporation bonds follow these steps:

1. Identify the given values:

Present value (PV) = -$1,085 (negative sign because it's an investment)
Future value (FV) = $1,000 (par value)
Coupon payment (PMT) = (13% of $1,000) / 2 = $65 (semiannually)
Number of periods (n) = 35 years x 2 = 70 semiannual periods

2. Use a financial calculator or software to solve for the YTM:

Input the values: PV = -1085, FV = 1000, PMT = 65, n = 70

Calculate the interest rate (i) per period, in decimals

For example, in Excel, we can use the RATE function as follows:

=RATE(70, 65, -1085, 1000, 1) * 2

This gives us a result of 0.059781, which is the semiannual YTM (Yield to Maturity).

3. Convert the interest rate to a percentage and annualize it:

Multiply the result by 100 to get the percentage

0.059781 x 100 = 5.9781

Multiply the semiannual percentage by 2 to get the annual YTM

Hence, the annual YTM is 5.9781 x 2 = 11.9562

4. Round the result to 2 decimal places.

Annual YTM = 11.96%

Your answer: The YTM on January 1, 2006, for the Pennington Corporation bonds was option 4: 11.96%.

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Anne Murray is planning to buy a property, in addition to the family home she and Henry own, for rental purposes. She is considering a property in Bristol costing RM350,000. She has savings of RM85,000, which she will use as a deposit, but will need to borrow the remaining amount for the purchase. She requests you to research and find a suitable buy-to-let mortgage for her.

Answers

Anne Murray should consider taking out a buy-to-let mortgage for the purchase of the rental property in Bristol.

A buy-to-let mortgage is specifically designed for people who are purchasing property with the intention of renting it out. This type of mortgage typically requires a larger deposit than a standard residential mortgage, but the interest rates are often more competitive.

By using her savings as a deposit, Anne Murray will likely be able to secure a buy-to-let mortgage for the remaining amount needed to purchase the property. It is important to note that lenders will typically require a detailed business plan and evidence of potential rental income before approving a buy-to-let mortgage.

Anne should do thorough research on lenders and compare their interest rates, fees and repayment terms to find the most suitable mortgage for her financial situation.

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the crowding-out effect is the tendency for a government budget deficit to raise the _____ and _____ investment.

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The propensity of a government budget deficit to increase the real interest rate and lower investment is known as the "crowding-out effect."

Crowding-out can occur when a government budget deficit drives up real interest rates, lowering the equilibrium level of investment in the process. A deficit in the government budget results from an increase in government spending.

According to the crowding out effect idea, rising public spending eventually leads to falling private spending. This is because raising taxes or borrowing money by selling Treasury securities in order to raise more money for internal expenditure might lead to increased loan costs and lower revenues.

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using your knowledge about c=c stability, determine if the final products contain c=c that are of equivalent stability or not. briefly explain your choice.

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The final product contains C=C that of equivalent stability because their structure is Monosubstituted alkene.

An alkene is a hydrocarbon with a carbon-carbon double bond in organic chemistry. Both internal and terminal double bonds are possible. -olefins are another name for terminal alkenes.

The International Union of Pure and Applied Chemistry (IUPAC) advises using the name "olefin" for the general class of cyclic or acyclic compounds with one or more double bonds instead of the names "alkene," "alkadiene," "polyene," or "cycloalkene" for compounds with two or more double bonds.

The homologous series of acyclic alkenes, also known as mono-enes, are hydrocarbons having just one double bond and no additional functional groups. They have the general formula CnH2n, where n is two or more.

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Which of the following is a statement of semistrong form efficiency?
I) Stock prices will adjust immediately to public information.
II) Stock prices reflect all information.
III) Stock prices will adjust to newly published information after a long time delay.

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The statement of semistrong form efficiency is "Stock prices reflect all information." Thus option III is correct.

The phrase "Stock prices reflect all information" is a semistrong form of efficiency. This means that the current stock prices already account for any information that is generally accessible, such as historical data, market patterns, and news reports. The stock prices will quickly change to reflect any new information that becomes publicly available, such as earnings releases or significant business announcements.

This means that since the market is already efficient and takes into account all accessible information when determining stock prices, it is difficult for investors to consistently generate above-average returns by using publicly available information.

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The core product and the peripheral services combine to form the augmented product. T/F

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The statement, "core-product and the "peripheral-services" combine to form the augmented-product" is True because it includes both the "core-product" and "additional-services".

The "Augmented-Product" is a marketing concept that refers to the total package of benefits that a product offers, beyond its core features or functions.

It includes both the "core-product" and the "additional-services" or features that enhance the product's value for the customer.

The core product refers to the "basic-functions" that the customer is buying, while the peripheral services or features include things like warranties, customer support, delivery, installation, and other value-added services.

The "core-product" and the "peripheral-services" together combine to form the augmented product, which represents the total value proposition that the product offers to the customer.

Therefore, the statement is True.

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what steps are you going to take to promote csr initiatives? for example: what community programs, nonprofits, or environmental projects will the new product or service support? how do you plan to attract, develop, engage, and reward your project team?

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Corporate social responsibility (CSR) refers to a company's commitment to integrating environmental, social, and ethical considerations into its business operations and interactions with stakeholders, including employees, customers, suppliers, communities, and the environment.

Some general ideas on how a company could promote Corporate Social Responsibility (CSR) initiatives and attract, develop, engage, and reward a project team in support of such initiatives:

Identify and support community programs or nonprofits: A company can research and identify community programs or nonprofit organizations that align with its CSR goals and values. Incorporate environmental sustainability: A company can adopt environmentally responsible practices in its operations, such as reducing waste, conserving energy, and promoting recycling. Employee engagement and development: A company can involve its employees in CSR initiatives by providing opportunities for them to volunteer or participate in community service programs. Recognition and rewards: A company can recognize and reward employees who actively contribute to CSR initiatives.Transparency and communication: A company can promote CSR initiatives by being transparent about its goals, progress, and impact. Regularly communicating about CSR efforts through internal and external channels.

It's recommended that companies consult with CSR experts, engage in stakeholder engagement processes, and develop a comprehensive CSR strategy that aligns with their values, goals, and resources.

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Answer the following question:
Part A:
At the beginning of the year, Vanecek Inc. had $65,000 in accounts receivable and an allowance for doubtful accounts of $6,000 (net bookvalue $59,000). During the year Vanecek Inc. recorded sales of $600,000, of which 80% were on account, and $12,000 of the sales on account were returned. Vanecek Inc. collected $430,000 in cash from customers during the year. What is Vanecek's bad debt expense for the year, assuming that 7% of year-end accounts receivable will not be collected?
a) -$3,340
b) $3,340
c) $7,210
d) $1,210
e) -$8,660
Part B:
Abruzzese Inc. reported the following results of its operations for 2019:
Income from discontinued operations $9000
Net Income $32600
Income tax rate 40%
Income from continuing operations was:
a) $14,140
b) $27,200
c) $41,600
d) $23,600
e) $32,600
Part C:
Orlov Co. owns a truck with a cost of $120,000 and accumulated depreciation of $60,000. The market value of this truck is $70,000. Orlov Co. traded in the truck to a dealership and paid $20,000 cash. In exchange, Orlov Co. obtained a truck that performs the same services as the old truck but will bring in more revenue due to its efficiency. The truck acquired has a list price of $95,000. The new asset received should be recorded at what value?
a) Fair market value of new truck plus cash paid
b) Old book value less accumulated depreciation plus cash paid
c) Fair market value of old truck less cash paid
d) Old book value less accumulated depreciation less cash paid
e) None of these answers is correct

Answers

That 7% of year-end accounts receivable will not be collected is (c) $7,210, Income from continuing operations was is (d) $23,600, the new asset received should be recorded at what value (d).

Vanecek Inc.'s bad debt expense for the year can be calculated as follows:

Beginning accounts receivable: $65,000Sales on account: $480,000 (80% of $600,000)Less: Returns: $12,000Ending accounts receivable: $553,000 ($65,000 + $480,000 - $12,000)Estimated uncollectible amount: $38,710 ($553,000 x 7%)Adjusting entry for bad debt expense: $32,710 ($38,710 - $6,000)

Therefore, the answer is (c) $7,210.

Income tax on continuing operations can be calculated as follows:

Net income: $32,600Less: Income from discontinued operations: $9,000Income from continuing operations: $23,600Income tax rate: 40%Income tax on continuing operations: $9,440 (40% x $23,600)

Therefore, the answer is (d) $23,600.

The new asset received should be recorded at the fair market value of the old truck less cash paid. The fair market value of the old truck is $70,000, and the cash paid is $20,000, so the recorded value of the new asset is $50,000. Therefore, the answer is (d) Old book value less accumulated depreciation less cash paid.

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A company's contribution margin per unit equals its average ____ ____ per unit minus its ____ _____ per unit.

Answers

A company's contribution margin per unit equals its average selling price per unit minus its variable cost per unit.

The contribution margin per unit is the amount of revenue that is available to cover a company's fixed costs and contribute to profit after all variable costs associated with producing and selling a unit of the product have been deducted.

The formula for calculating the contribution margin per unit is:

Contribution Margin per Unit = Selling Price per Unit - Variable Cost per Unit

The selling price per unit is the price that a company charges for each unit of product sold. The variable cost per unit includes all costs that vary with the production and sale of each unit of product, such as direct materials, direct labor, and variable overhead.

By subtracting the variable cost per unit from the selling price per unit, the contribution margin per unit can be calculated. This contribution margin can be used to cover the fixed costs of the company and contribute to profits.

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from design view, group the records by values in the department name field

Answers

From design view, group the records by values in the department name field using the function Group By

In database design, organizing and grouping data is an essential task to ensure that data is easily accessible and understandable. One way to group data is by using the "Group By" function in the design view of a database management system.

In the design view, you can identify the department name field and use it as a basis for grouping related data. This means that all records with the same department name value will be grouped together, providing an organized and structured view of the data.

By grouping data based on department name, you can easily access information related to a specific department.

Grouping data by department name also helps in data analysis, as you can easily calculate the number of employees in each department or the total sales made by each department. This can be particularly useful for companies that need to keep track of their operations and performance.

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Ellie’s advertising division has been asked to provide a presentation regarding the three major media options they provide: print, television, and Internet. Which of the following would be the most appropriate organizational pattern for this presentation?A. chronologicalB. cause-effectC. topicalD. problem-solutionE. Non of above

Answers

The most appropriate organizational pattern for Ellie's advertising division to present the three major media options they provide would be a topical pattern. This pattern is suitable for presenting information about different categories The correct answer is option C

The topical pattern will allow Ellie's advertising division to present each media option separately and in-depth, explaining its features, advantages, and disadvantages. They can begin by introducing the three media options and then provide details about each of them individually. This pattern will help the audience to understand the differences between each media option and make an informed decision based on their needs and requirements.

A chronological pattern would not be suitable for this presentation as it would require the division to present the media options in order of their creation, which may not be relevant to the audience. Cause-effect and problem-solution patterns are not applicable in this scenario as they are used for presenting solutions to a problem or explaining the causes and effects of an event.

In conclusion, the topical pattern is the most appropriate organizational pattern for Ellie's advertising division to present the three major media options they provide as it is effective in presenting information about different topics or categories. The correct answer is option C

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slashing prices is an example of an entry barrier created by a(n) .

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Slashing prices is the example of an entry barrier which is created by a predatory pricing strategy.

Predatory pricing occurs when a firm lowers its prices to such an extent that it makes it difficult or impossible for new entrants to compete in the market. By offering lower prices, the incumbent firm aims to drive competitors out of business or deter new entrants from entering the market, allowing it to enjoy a dominant position and potentially raise prices in the future.

This can be an effective strategy for firms with large market share and deep pockets, as they can sustain lower prices for longer periods of time than their competitors. However, it is also a controversial strategy and can lead to antitrust concerns if it is deemed to be anti-competitive behavior.

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--The given statement is incomplete, the complete question is

"Slashing prices is an example of an entry barrier created by a(n) --------."--

Management at Work Managers, as well as employees, can make assumptions about others based on surface-level diversity. Deborah is a manager at an architecture firm and is interviewing candidates for both a part-time and full-time position. Deborah is considering any applicants who have indicated they have limited physical abilities for the part-time position only, regardless of their qualifications or desire for full-time work. Deborah's behavior is an example of disability discrimination, a type of discrimination that results in the lowest employment rates for persons with______ disabilities.

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Deborah's behavior is an example of disability discrimination, a type of discrimination that results in the lowest employment rates for persons with physical disabilities.

Disability discrimination is a type of discrimination that affects people with disabilities and results in lower employment rates for them. This type of discrimination can take many forms, including failing to provide reasonable accommodations, excluding individuals with disabilities from certain job opportunities, or treating them unfairly due to their disability.

It is important for managers to be aware of their biases and avoid making assumptions about individuals based on their surface-level diversity, including their disabilities, and instead focus on their qualifications, skills, and abilities when making hiring decisions.

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1. what are some strategic considerations in establishing a pay structure at nutriment? 2. should jack suggest a pay policy to lead, lag, or match the market? explain your recommendations

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The pivotal strategic effects Nutriment should consider are; request-competitive pay systems, request rates, and payment programs.

Also, they should consider workers entering performance lagniappes and graces. Nutriments should also use strategic analysis like SWOT analysis to incorporate the internal and external factors in the terrain for stabilizing a pay structure.

Yes, Jack should recommend a pay plan that leads the request as the request is constant change. The main purpose of a pay policy is to :

illustrate in detail how an association is planning to reply to the anticipated request changes and pressures. An association has three pay programs that can be applied to deal with anticipated request changes. These include whether to lead, match, or lag the request.

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which of these are the three typical options for a firm to respond to a disruptive innovation?

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The three typical options for a firm to respond to a disruptive innovation are to ignore it, adapt to it, or actively try to disrupt it themselves.

The three typical options for a firm to respond to a disruptive innovation

Ignoring the innovation is often the easiest route in the short-term, but can lead to negative consequences in the long-term as competitors gain an advantage.

Adapting to the innovation involves modifying current strategies and products to better compete, while trying to disrupt the innovation involves creating a new market or product that can challenge the disruptor.

Ultimately, the best option for a firm will depend on their specific industry and competitive landscape.

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which of the following statements describe a contingent liability? (you may select more than one answer. single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. any boxes left with a question mark will be automatically graded as incorrect.)

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A, B, C. A contingent liability is a potential liability that may or may not arise depending on the occurrence or non-occurrence of one or more future events.

What is liability?

Liability is a legal term that refers to an individual or organization's legal responsibility for damages or losses incurred as a result of their actions or inactions. Liability can refer to both a financial obligation, such as a debt, or a civil obligation, such as negligence or breach of contract. Liability can also refer to the responsibility of an individual or organization to pay certain types of taxes or duties to a government. The concept of liability is a key component of most legal systems, as it serves to protect those who have been harmed by another's actions or inactions.

It is not necessarily recognized by an entity in its financial statements, but if it is expected to have a significant impact on an entity's financial position, it should be included. A contingent liability is not based on past transactions or events, but on potential future ones.

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Complete Question:
which of the following statements describe a contingent liability? (you may select more than one answer. single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. any boxes left with a question mark will be automatically graded as incorrect.)

A. A potential liability that may or may not arise depending on the occurrence or non-occurrence of one or more future events. ?
B. A liability that has been recognized by an entity in its financial statements. ?
C. A liability that is not expected to have a significant impact on an entity's financial position. ?
D. A liability that is based on past transactions or events. ?

QUESTION 3 [20 MARKS] (a) Outline any FIVE (5) factors that determine the money multiplier. (10 marks) (b) Bank Negara Malaysia (BNM) has decided to sell RM10 million worth of Japanese government bond

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(a) Five factors that determine the money multiplier include:

Reserve requirement ratio (RRR)Excess reservesCurrency-to-deposit ratioPublic's willingness to borrowConfidence in the banking system

(b) When Bank Negara Malaysia (BNM) decides to sell RM10 million worth of Japanese government bonds, it is essentially conducting an open market operation.

The money multiplier is a measure of the potential increase in the money supply resulting from an initial increase in bank reserves. The five factors that determine the money multiplier include:

Reserve requirement ratio (RRR): This is the amount of reserves that banks are required to hold relative to their deposits. A higher RRR means that banks are required to hold more reserves, which reduces their ability to lend and therefore reduces the money multiplier.

Excess reserves: These are reserves held by banks in excess of the required reserve ratio. A higher level of excess reserves reduces the potential for banks to lend and therefore reduces the money multiplier.

Currency-to-deposit ratio: This is the amount of currency that the public holds relative to their deposits. A higher currency-to-deposit ratio means that banks have fewer deposits available to lend, which reduces the money multiplier.

Public's willingness to borrow: This refers to the demand for loans from the public. If the public is not willing to borrow, banks will have fewer lending opportunities, which reduces the money multiplier.

Confidence in the banking system: If the public has less confidence in the banking system, they may be less willing to deposit their money in banks, which reduces the amount of deposits available for lending and reduces the money multiplier.

Bank Negara Malaysia (BNM) conducting an open market operation by selling RM10 million worth of Japanese government bonds means that it is selling these bonds to the public in exchange for ringgit. This increases the amount of ringgit held by the public, which in turn increases the reserves held by banks. This increase in reserves can potentially increase the money supply if banks lend out the excess reserves.

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An effectively worded mission statement does not Multiple Choice specifically mention the enterprise's present business and purpose. describe the company's current business and purpose: who we are, what we do, and why we are here. identify the company's products and/or services. o specify the buyer needs that the company seeks to satisfy and the customer groups or markets it serves. o express that making a profit is the company's true business purpose.

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An effectively worded mission statement does not specifically mention the enterprise's present business and purpose, but rather it goes beyond that to capture the essence of the company's reason for existence. The correct option is B

A well-crafted mission statement should describe the company's identity and core values, as well as the impact it seeks to make in the world. It should also express the buyer needs that the company seeks to satisfy and the customer groups or markets it serves, without necessarily identifying specific products or services.

While making a profit is certainly an important aspect of any business, a truly effective mission statement should articulate a deeper purpose that inspires employees and stakeholders alike.

Therefore, the correct option is B.

An effectively worded mission statement does not ...

A. specifically mention the enterprise's present business and purpose.

B. describe the company's current business and purpose: who we are, what we do, and why we are here. identify the company's products and/or services.

C. specify the buyer needs that the company seeks to satisfy and the customer groups or markets it serves.

D. express that making a profit is the company's true business purpose.

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