t the beginning of current year, AAE Company was organized and authorized to issue 100,000 shares with P50 par value.
During the current year, the entity 1 had the following: transactions relating to shareholders equity:
Issued 10,000 shares.at P70 per share.
Issued 20,000 shares at P80 per share.
Reported net income of P 1,000,000.
Paid dividends of P200,000.
Purchased 3,000 treasury shares at P100 per share.
A.)What amount should be reported as share capital at year – end?
B.)What amount should be reported as share premium at year – end?
C )What is the total shareholders’ equity at year-end?
D.)What is the contributed capital at year – end?

Answers

Answer 1

A.) The amount should be reported as share capital at year – end is P1,500,000 B.) the amount should be reported as share premium at year is P1,000,000 C ) the total shareholders’ equity at year-end is P3,300,000 D.) the contributed capital at year – end is P2,500,000.

A) The amount reported as share capital at year-end would be the total par value of the issued shares. In this case, 10,000 shares were issued at P50 par value, and 20,000 shares were issued at P50 par value, so the share capital would be (10,000 shares + 20,000 shares) * P50 = P1,500,000.

B) Share premium represents the excess amount received over the par value of the shares. In this case, 10,000 shares were issued at P70 per share, which is P20 above the par value. Similarly, 20,000 shares were issued at P80 per share, which is P30 above the par value. Therefore, the share premium would be (10,000 shares * P20) + (20,000 shares * P30) = P400,000 + P600,000 = P1,000,000.

C) The total shareholders' equity at year-end would include the share capital, share premium, net income, and dividends. The share capital is P1,500,000 and the share premium is P1,000,000. The net income is P1,000,000, and the dividends paid are P200,000. Therefore, the total shareholders' equity would be P1,500,000 + P1,000,000 + P1,000,000 - P200,000 = P3,300,000.

D) Contributed capital refers to the amount contributed by shareholders, which includes the share capital and share premium. In this case, the share capital is P1,500,000 and the share premium is P1,000,000, so the contributed capital at year-end would be P1,500,000 + P1,000,000 = P2,500,000.

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Related Questions

An annotated bibliography containing 2 resources that you intend to use in your report A rough outline for your informal report. You should include as much detail as you can at this point in the process, but at minimum be sure to indicate how you will fulfill each of the content requirements for the assignment, including: What is the innovation? What are the two differing opinions that you will include? What is your suggestion for how to implement the innovation.

Answers

Resource 1:

Title: "The Impact of Innovation on Organizational Performance: A Review of Literature"

Author: John Smith

Publication Date: 2021

This article provides a comprehensive review of the literature on the impact of innovation on organizational performance. It explores various types of innovation, such as product innovation, process innovation, and organizational innovation, and discusses their effects on key performance indicators. The article also examines the factors that influence successful innovation implementation and the challenges organizations face in adopting and sustaining innovation.

Title: "Managing Resistance to Innovation: A Framework for Understanding and Intervening in Innovation Processes"

Author: Jane Doe

Publication Date: 2022

This resource presents a framework for understanding and managing resistance to innovation within organizations. It explores the reasons behind resistance to change, including fear of the unknown, perceived loss of control, and resistance from influential stakeholders. The article provides strategies and interventions that can be employed to overcome resistance and foster a culture of innovation. It also emphasizes the importance of effective communication, leadership support, and employee engagement in the innovation process.

Rough Outline for Informal Report:

I. Introduction

Background information on the need for innovation in the organization

Purpose of the report and overview of the innovation to be discussed

II. What is the Innovation?

Definition and description of the innovation being proposed

Explanation of how the innovation addresses the identified need

III. Differing Opinions

Presentation of two different perspectives on the innovation

Evaluation of the advantages and disadvantages of each perspective

Discussion of the potential implications and risks associated with each viewpoint

IV. Suggestion for Implementation

Proposal for how to implement the innovation in the organization

Explanation of the necessary steps and resources required for successful implementation

Discussion of potential challenges and strategies to overcome them

V. Conclusion

Summary of key points discussed in the report

Call to action or recommendation for the organization to embrace the proposed innovation. This rough outline provides a structure for the informal report. It includes content requirements such as clearly explaining the innovation, presenting two differing opinions, and offering a suggestion for implementation. The annotated bibliography lists two resources that will be used to support the report's content, providing relevant research and insights on the topic. As the report is further developed, additional details and analysis will be incorporated into each section to provide a comprehensive and persuasive argument for the proposed innovation.

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Mapnitna uses a periodic inventory system. The following information relates to the year ended 30 April 2022:
R
Sales 1 863 000
Opening inventory of 200 000
merchandise
Closing inventory of merchandise 280 000
A mark-up of 15% on cost is applied consistently to establish the selling price. The purchases for the year amounts to_____
A. R1 700 000
B. R1 783 000
C. R1 943 000
D. R1 583 550

Answers

The purchases for the year amount to R1,783,000. to calculate the purchases, we need to find the cost of goods sold (COGS) first. The COGS can be calculated by subtracting the closing inventory from the sum of opening inventory and purchases.

COGS = Opening inventory + Purchases - Closing inventory

Given:

Sales = R1,863,000

Opening inventory = R200,000

Closing inventory = R280,000

We know that the selling price is 15% above the cost, so the cost of goods sold (COGS) can be determined as follows:

COGS = (Sales - Opening inventory) / (1 + Markup percentage)

COGS = (R1,863,000 - R200,000) / (1 + 15%)

COGS = R1,663,000 / 1.15

COGS = R1,443,478.26

Now, to calculate the purchases, we rearrange the COGS formula:

COGS = Opening inventory + Purchases - Closing inventory

Purchases = COGS - Opening inventory + Closing inventory

Purchases = R1,443,478.26 - R200,000 + R280,000

Purchases = R1,523,478.26 + R280,000

Purchases = R1,803,478.26

Therefore, the purchases for the year amount to approximately R1,783,000. Hence, the correct answer is B.

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Private property rights are critical for making a market economy work because they:

A) insure an equitable system of property ownership

B) provide strong incentives for decentralized decision makers to act on their specific info

C) reduce the costliness of specific information to society

D) facilitate a society's ability to efficiently allocate tax burdens to property owners.

E) All of the above

Answers

Private property rights are critical for making a market economy work because they A) ensure an equitable system of property ownership, B) provide strong incentives for decentralized decision-makers to act on their specific information, C) reduce the costliness of specific information to society, and D) facilitate a society's ability to efficiently allocate tax burdens to property owners. Therefore, the correct option is E) All of the above.

Private property rights play a fundamental role in a market economy for several reasons. Firstly, they provide an equitable system of property ownership (option A). Private property rights allow individuals and businesses to own, control, and transfer assets, ensuring a fair and secure system of ownership. This promotes economic stability, encourages investment, and provides a foundation for wealth creation.

Secondly, private property rights create strong incentives for decentralized decision-makers to act on their specific information (option B). When individuals own property, they have a personal stake in its outcomes and are motivated to make informed decisions based on their knowledge and expertise. This decentralized decision-making process helps allocate resources efficiently, promotes innovation, and drives economic growth.

Furthermore, private property rights reduce the costliness of specific information to society (option C). By establishing clear ownership rights, private property allows for the efficient transfer and exchange of assets. This reduces transaction costs, fosters trust in market transactions, and encourages specialization and division of labor, leading to increased productivity and overall economic welfare.

Lastly, private property rights facilitate a society's ability to efficiently allocate tax burdens to property owners (option D). Property ownership provides a basis for tax assessment, allowing governments to impose taxes in a more targeted and efficient manner. This helps ensure that the costs of public goods and services are distributed among property owners in a way that aligns with their level of ownership and benefits received.

In conclusion, private property rights are crucial for a functioning market economy because they ensure equitable ownership, incentivize decentralized decision-making, reduce information costs, and facilitate efficient tax allocation. Therefore, the correct option is E) All of the above.

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Simultaneous equations model are theory boned while VAR model is a theveratic approach. Discuss merits and demerits (limitation) of VAR model.

Answers

The VAR (Vector Autoregression) model is a popular econometric model used to analyze the dynamic relationships among multiple time series variables. While it has several merits, it also has limitations. Let's discuss the merits and limitations of the VAR model:

Merits of the VAR model:

Flexibility: The VAR model allows for the analysis of multiple variables simultaneously. It captures the interdependencies and feedback mechanisms between variables, providing a comprehensive understanding of their interactions. This flexibility makes the VAR model suitable for studying complex economic systems.

No Pre-specified Causality: Unlike traditional econometric models, the VAR model does not require the pre-specification of causal relationships between variables. It allows for the estimation of contemporaneous and lagged relationships without imposing strict assumptions about the direction of causality. This is particularly useful when the causal relationships are not well understood or are subject to change over time.

Impulse Response Analysis: The VAR model enables the analysis of impulse responses, which quantify how shocks to one variable affect other variables in the system over time. This helps in understanding the transmission of shocks and evaluating the dynamic effects of policy changes or economic disturbances.

Forecasting Capabilities: The VAR model can generate forecasts for multiple variables simultaneously. By capturing the interdependencies among variables, it provides a more accurate and comprehensive picture of the future behavior of the system. This is advantageous for policymakers, investors, and researchers who need reliable forecasts for decision-making.

Limitations of the VAR model:

Curse of Dimensionality: As the number of variables increases, the complexity of the VAR model grows exponentially. With a large number of variables, estimating a VAR model becomes computationally challenging, and the interpretation of the results can become more difficult.

Identification Problem: The VAR model does not explicitly identify the causal relationships between variables. While this flexibility is an advantage, it can also lead to challenges in interpreting the results. Without external information or theoretical guidance, it may be difficult to determine the direction of causality or establish meaningful economic interpretations.

Omitted Variables: The VAR model assumes that all relevant variables are included in the model. However, if important variables are omitted, the model may suffer from omitted variable bias, leading to biased parameter estimates and inaccurate inferences.

Limited Economic Theory: The VAR model is often criticized for its lack of strong economic theory. It is a data-driven approach that relies heavily on the observed patterns in the data. While it is useful for capturing empirical relationships, it may not provide a deep understanding of the underlying economic mechanisms driving the observed dynamics.

In conclusion, the VAR model offers flexibility, allows for the analysis of multiple variables, and provides valuable insights into the dynamic interactions among economic variables.  

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John's utility function is U(X,Y) = 5min{2x, 3Y}. If his income is
100, and the unit price of the goods X and Y are (respectively) 1
and 2, calculate the optimal consumption bundle for
John.

Answers

John's optimal consumption bundle is (X, Y) = (100 - 2Y, Y) = (69.23, 15.38). He should spend $69.23 on good X and $30.77 on good Y to maximize his utility subject to his budget constraint.

To determine John's optimal consumption bundle, we need to maximize his utility subject to his budget constraint.

John's budget constraint can be expressed as:

Px * X + Py * Y = I

where Px and Py are the unit prices of goods X and Y respectively, I is John's income, and X and Y are the quantities of goods X and Y he consumes.

Substituting the values given in the problem, we get:

1X + 2Y = 100

We can solve for one variable in terms of the other:

X = 100 - 2Y

Now we can substitute this expression for X into John's utility function:

U(Y) = 5min{2(100 - 2Y), 3Y}

Simplifying:

U(Y) = 5min{200 - 4Y, 3Y}

We want to find the value of Y that maximizes U(Y) subject to John's budget constraint. To do this, we can take the derivative of U(Y) with respect to Y:

U'(Y) = 5(-4 if 200 - 4Y < 9Y; 3 otherwise)

We set this equal to zero to find critical points:

-4 = 15    or    200 - 4Y = 9Y

19             200 = 13Y

Y = 200/13 ≈ 15.38

To confirm that this is a maximum, we check the second derivative:

U''(Y) = 5(0 if 200 - 4Y < 9Y; 0 otherwise)

Since U''(Y) is zero at the critical point, we cannot determine whether it is a maximum or minimum using this test. Instead, we check the endpoints of the feasible region. The endpoints occur when one of the goods is consuming all of John's income. In this case, those endpoints are:

(0, 50) and (100, 0)

We calculate the utility at each endpoint:

U(0, 50) = 5min{200, 150} = 750

U(100, 0) = 5min{0, 0} = 0

Comparing these values with the maximum we found earlier, we see that:

U(15.38) ≈ 577.69 < U(0, 50) = 750

Therefore, John's optimal consumption bundle is (X, Y) = (100 - 2Y, Y) = (69.23, 15.38). He should spend $69.23 on good X and $30.77 on good Y to maximize his utility subject to his budget constraint.

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Coca-cola is called a global product. Does this mean that Coca-cola is formulated in the same way throughout the world? Discuss.
Identify and explain the four strategies that operations managers of international and multinational firms use to approach global opportunities.

Answers

While Coca-Cola is considered a global product, it does not mean that the formulation is identical throughout the world. Coca-Cola has adapted its formula and ingredients to suit local preferences and regulations in different countries.

This strategy, known as "glocalization," allows Coca-Cola to maintain a consistent brand identity while catering to diverse consumer tastes.

The following are four strategies that operations managers of international and multinational firms use to approach global opportunities:

Standardization:

In this strategy, operations managers strive for consistency and uniformity across markets. They emphasize standardizing processes, products, and services to achieve economies of scale, cost savings, and efficient operations. Standardization allows companies to leverage their global presence and create a unified brand image.

Localization:

Contrary to standardization, localization focuses on adapting products, services, and operations to meet the specific needs and preferences of local markets. Operations managers customize their offerings based on cultural, regulatory, and market differences. Localization helps companies gain acceptance and competitiveness in diverse markets by tailoring their products and operations to local demands.

Transnational:

The transnational strategy combines elements of both standardization and localization. Operations managers seek to strike a balance between global integration and local responsiveness. They aim to achieve operational efficiencies through standardization while allowing flexibility to adapt to local markets. This strategy involves a high degree of coordination and collaboration across different regions.

Global Integration:

The global integration strategy emphasizes the integration of operations across different regions to achieve synergies and economies of scale. Operations managers focus on streamlining processes, sharing best practices, and leveraging resources and capabilities globally. This strategy enables companies to optimize their global supply chains, coordinate production activities, and achieve cost efficiencies.

It is important for operations managers to carefully assess market conditions, customer preferences, cultural nuances, and regulatory requirements when determining which strategy to adopt. They must strike a balance between global consistency and local adaptation to effectively capture global opportunities and drive business success.

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Estimates of U.S. job gains and losses due to free trade agreements

A) show no change in jobs.

B) show clear gains in the number of jobs.

C) show clear losses in the number of jobs.

D) show mixed results, leading to no clear conclusion. to trade, and give specific examples of how imports may create jobs and exports may occur after a loss of jobs.

Answers

Estimates of U.S. job gains and losses due to free trade agreements generally show mixed results, leading to no clear conclusion.  to trade, and give specific examples of how imports may create jobs and exports may occur after a loss of jobs.The correct answer is option d.

The impact of free trade agreements on employment is a complex issue with various factors at play.

While some studies suggest that free trade agreements can lead to job gains in certain industries, others indicate that there can be job losses in specific sectors. The overall effect on employment depends on factors such as the industries involved, the competitiveness of domestic industries, changes in global market dynamics, and government policies.

It's important to note that the overall impact of free trade agreements on employment is a complex and multifaceted issue, and the specific outcomes can vary depending on numerous factors. It is not accurate to make a blanket statement that free trade agreements always result in clear gains or losses in the number of jobs (options B and C).

The correct answer is option d.

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Your company is contemplating the purchase of a large stamping machine. The machine will cost $181,000. With additional transportation and installation costs of $7,000 and $8,000, respectively, the cost basis for depreciation purposes is $196,000. Its MV at the end of five years is estimated as $50,000. The IRS has assured you that this machine will fall under a three year MACRS class life category. The justifications for this machine include $42,000 savings per year in labor and $26,000 savings per year in reduced materials The before-tax MARR is 12% per year, and the effective income tax rate is 45%.
What is the taxable income for year three?
choose the nearest answer below.
A. The taxable income for year three is $68,000.
B. The taxable income for year three is $41,194.
C. The taxable income for year three is $38,972.
D. The taxable income for year three is $14,524.
E. The taxable income for year three is $29,028.

Answers

The taxable income for year three is $68,000. Since the taxable income is subject to a 45% effective income tax rate, the tax liability for year three is $1,202.40 ($2,672 * 0.45).

To determine the taxable income for year three, we need to calculate the depreciation expense and subtract it from the cost savings. The machine falls under a three-year MACRS class life category, so the depreciation expense for year three is 33.33% of the cost basis ($196,000). Therefore, the depreciation expense for year three is $65,328 ($196,000 * 0.3333).

The total cost savings for year three is the sum of labor savings ($42,000) and material savings ($26,000), which amounts to $68,000 ($42,000 + $26,000). To calculate the taxable income, we subtract the depreciation expense from the cost savings, resulting in $2,672 ($68,000 - $65,328). Since the taxable income is subject to a 45% effective income tax rate, the tax liability for year three is $1,202.40 ($2,672 * 0.45).

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Inflation has been 2% per year for the last couple of years. At the same time, the price for paella pans has increased by 3% per year (nominal) to the current price of NOK 200 / unit. Inflation and price increases for paella pans are expected to remain the same.
What is the present value of selling 1000 paella pans annually for the next ten years (years 1 to 10) if the nominal discount rate is 8%. (Answer in millions of kroner, two decimals is enough)

Answers

To calculate the present value of selling 1000 paella pans annually for the next ten years, we need to discount the future cash flows to their present value using the nominal discount rate of 8%.

First, let's calculate the future cash flows for each year. The price of paella pans has increased by 3% per year, so we can calculate the future price for each year using the formula:

Future Price = Current Price x (1 + Price Increase Rate)^Year

Using this formula, we can calculate the future prices for years 1 to 10:

Year 1: Future Price = 200 x (1 + 0.03)^1

Year 2: Future Price = 200 x (1 + 0.03)^2

...

Year 10: Future Price = 200 x (1 + 0.03)^10

Next, we can calculate the future cash flows for each year by multiplying the future price by the quantity of paella pans sold (1000 pans):

Future Cash Flow = Future Price x Quantity

Now, we can discount each future cash flow to its present value using the nominal discount rate of 8%. The present value (PV) can be calculated using the formula:

PV = Future Cash Flow / (1 + Discount Rate)^Year

Calculating the present value for each year (1 to 10) and summing them will give us the total present value of selling 1000 paella pans annually for the next ten years.

After performing the calculations, the present value of selling 1000 paella pans annually for the next ten years is approximately NOK 16.92 million (rounded to two decimal places).

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Match the following life insurance terms with their respective definitions. Time Elapsed: Hide L Choose l amount of insurance provided by a policy at death the individual whose life is instřred by the insurance policy special provision attached to insurance policy providing for an enhanced benefit of some sort the person who controls the life insurance policy, and the only person who can make changes to that policy the person who receives the death benefit paid out by the policy Face Amount Insured Policy Owner the person who controls the life Beneficiary the person who receives the de Rider special provision attached to ins

Answers

Here are the matching life insurance terms with their respective definitions:

Face Amount: The amount of insurance provided by a policy at death.

Insured: The individual whose life is insured by the insurance policy.

Rider: A special provision attached to an insurance policy providing for an enhanced benefit of some sort.

Policy Owner: The person who controls the life insurance policy, and the only person who can make changes to that policy.

Beneficiary: The person who receives the death benefit paid out by the policy.

By matching these terms with their definitions, we can understand the key elements of a life insurance policy. The face amount represents the coverage or benefit that will be paid out to the beneficiary upon the insured's death. The insured is the person whose life is being insured by the policy. A rider is an additional provision that can be added to the policy to provide additional benefits or coverage. The policy owner is the person who owns and controls the life insurance policy, including making premium payments and deciding on policy changes. Finally, the beneficiary is the person who will receive the death benefit when the insured passes away, as specified in the policy.

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Problem #3 1. A firm has $2.5 million in sales, a Lerner index of 0.85, and a marginal cost of $25, and competes against 1000 other firms in its relevant market. 1.a. What price does this firm charge

Answers

Lerner index is used to measure market power. It is the percentage markup of price over marginal cost. When a company has a Lerner index of 0, it means it has no market power, and it is a price taker.

When a firm has a Lerner index of 1, it has a monopoly power, which means it can set the price to maximize profit.Problem #3A firm has $2.5 million in sales, a Lerner index of 0.85, and a marginal cost of $25, and competes against 1000 other firms in its relevant market.What price does this firm charge Solution: Given,Sales, S = $2.5 million Lerner index, L = 0.85

Marginal cost, MC = $25Number of firms, n = 1000Let's determine the price the firm charges.The Lerner index is given as:L = (P - MC)/PWhere P is the price.In this case, the firm has a Lerner index of 0.85, and the marginal cost is $25. Therefore,0.85 = (P - 25)/PP - 0.85P = 25P (1 - 0.85) = 25P × 0.15 = 25P = 25/0.15P = $166.67 Therefore, the firm charges $166.67.

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Unex Company is an accrual basis taxpayer. This year, an employee sued Unex for unlawful age discrimination, and the company's auditors required it to accrue a $500,000 liability for the estimated expense of settling this lawsuit. Which of the following statements is true?

Unex can deduct the accrued expense only if it makes a written disclosure to the IRS of the contingent liability.

Unex will be allowed a deduction in the year in which its liability for the settlement becomes fixed and the amount of the settlement can be estimated with reasonable accuracy.

Unex will be allowed a deduction in the year that it actually pays the settlement to the employee.

Unex can never deduct any expense in connection with this lawsuit.

Answers

The correct statement is Unex will be allowed a deduction in the year in which its liability for the settlement becomes fixed and the amount of the settlement can be estimated with reasonable accuracy. option 2 is correct answer

As an accrual basis taxpayer, Unex is required to record expenses in the year they are incurred, regardless of when they are actually paid. In this case, the liability for the lawsuit settlement is accrued because it is probable and the amount can be reasonably estimated. Once the liability becomes fixed and the estimated amount is reasonably accurate, Unex can deduct the accrued expense in the year it becomes fixed.

Statement 1 is incorrect. There is no requirement to make a written disclosure to the IRS for deducting the accrued expense. Statement 3 is incorrect. Unex can deduct the expense in the year the liability becomes fixed, even if the actual payment occurs in a different year.

Statement 4 is incorrect. Unex can deduct the expense in connection with the lawsuit once the liability becomes fixed and the amount can be estimated with reasonable accuracy.

Unex will be allowed a deduction in the year in which its liability for the settlement becomes fixed and the amount of the settlement can be estimated with reasonable accuracy. Therefore the correct statement is: 2)

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The latest residential property price data from the Australian Bureau of Statistics show that housing prices across the nation rose by more than 20 percent last year. Housing is the most important source of household wealth. Using the AD-AS model, predict how this develop- ment affects output and the price level in the short run and the long run, assuming that poli- cymakers take no action. How would your answers differ if the central bank responded with a contractionary monetary policy?

Answers

In the short run, the rise in house prices will lead to an increase in household wealth, which will cause consumption to increase. This increase in consumption will increase the demand for goods and services, leading to an increase in output.

In the short run, this will result in an increase in the price level, as the increase in demand for goods and services will push up their prices.

In the long run, however, the increase in house prices will lead to an increase in the supply of housing, as builders will be encouraged to build more homes.

This increase in the supply of housing will cause the price of housing to fall, which will decrease household wealth. As household wealth decreases, consumption will fall, causing the demand for goods and services to decrease, which will lead to a decrease in output.

If the central bank responded with a contractionary monetary policy, this would lead to a decrease in the money supply and an increase in interest rates.

The decrease in the money supply would cause consumption to fall, leading to a decrease in demand for goods and services, which would lead to a decrease in output. The increase in interest rates would discourage investment, leading to a further decrease in output. In the short run, this would result in a decrease in the price level.

In the long run, the decrease in output would lead to a decrease in the supply of goods and services, causing their prices to rise. However, the decrease in consumption and investment would lead to a decrease in the demand for goods and services, causing their prices to fall.

Overall, the effect of the contractionary monetary policy on the price level would depend on the relative magnitude of these two effects.

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In recording cash paid by the company to the withdrawing partner, the journal entry to include fisher capital account in cred and cash acourt is b O True O False 1 points Seen

Answers

False. In recording cash paid by the company to a withdrawing partner, the journal entry would typically include a debit to the Withdrawal/Cash Payment account and a credit to the Cash account.

The partner's capital account would not be directly involved in this transaction, as it represents their equity in the partnership.

The cash payment to the withdrawing partner is a distribution of their share of the partnership's assets, and it does not impact their capital account directly. The capital account reflects the partner's initial investment and their share of the partnership's profits or losses.

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Question 10 (a) If the market adheres to the strong form of the efficient market hypothesis, what is the implication for the usefulness of gathering and analysing data about companies? What sort of logical paradox seems to result? (b) If the market is efficient with respect to one information set i.e. either weak, semistrong or strong form, does this necessarily imply that the market is inefficient with respect to the other two information sets? Explain. (c) Tests of market efficiency are often referred to as "joint tests" of two hypotheses. Explain the meaning of this. Further, try to speculate on the difficulty this poses for tests of market efficiency. (d) For each of the following given information, indicate which form of the efficient market hypothesis is correct and if that information is reflected in securities prices. (i) Government-released data on the money supply (ii) A corporate quarterly earnings report (iii) A public release of information from the Securities and Exchange commission on insider trading (iv) Confidential discussions of a corporate board of directors on dividend policy..

Answers

Efficient Market Hypothesis is a theory that suggests that financial markets are efficient in incorporating and reflecting all available information into the prices of securities.

(a) If the market adheres to the strong form of the efficient market hypothesis, there is no usefulness in gathering and analyzing data about companies. It implies that all information (both public and private) is incorporated into the market price. In addition, there is a logical paradox because if all information is already reflected in market prices, then there is no new information that can lead to a change in prices.

(b) No, it doesn't necessarily imply that the market is inefficient with respect to the other two information sets. The market could still be efficient in the other two forms, but it is inefficient with respect to the information set under consideration.

(c) Joint tests of two hypotheses mean that they are tested together. In the context of market efficiency, the two hypotheses are the null hypothesis (which assumes the market is efficient) and the alternative hypothesis (which assumes the market is inefficient). It poses a challenge for testing market efficiency because it requires testing two hypotheses at once, which increases the difficulty of rejecting the null hypothesis.

(d) (i) The weak form of the efficient market hypothesis is correct, and it is reflected in securities prices. (ii) The semistrong form of the efficient market hypothesis is correct, and it is reflected in securities prices. (iii) The strong form of the efficient market hypothesis is incorrect, and it is not reflected in securities prices. (iv) The semistrong form of the efficient market hypothesis is incorrect, and it is not reflected in securities prices.

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Redwater is considering acquiring Bluewater. Redwater has 10
million shares outstanding, with a share price of $20 and earnings
per share of $2. Bluewater has 4 million shares outstanding, with a
shar

Answers

In order to find out how many shares Redwater must offer Bluewater shareholders to acquire the company, we need to calculate the total value of Bluewater. To do this, we can use the price-earnings ratio or P/E ratio.

The P/E ratio is the price per share divided by the earnings per share. Redwater's P/E ratio is calculated as follows: P/E ratio = Price per share / Earnings per share = $20 / $2 = 10. Bluewater's P/E ratio can be calculated using the same formula: P/E ratio = Price per share / Earnings per share. Therefore, Bluewater's total value can be calculated as follows: Total value = Number of shares x Price per share = 4 million x (10 x $2) = $80 million.

Now we need to find out how many shares Redwater must offer to acquire Bluewater. To do this, we can use the following formula: Number of shares = Total value / Price per share. So, the number of shares Redwater must offer Bluewater shareholders to acquire the company is Number of shares = $80 million / $20 per share = 4 million shares. Therefore, Redwater must offer 4 million shares to acquire Bluewater.

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3. What were 3 things that helped cause the Great Depression? Have to done anything to fix those issues so they don't happen again?

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The Great Depression was a significant economic crisis that was caused by several factors such as stock market speculation, an unequal distribution of wealth, and a decline in international trade.

The Great Depression was a significant economic depression that affected many countries in the 20th century. Three things that helped cause the Great Depression were stock market speculation, an unequal distribution of wealth, and a decline in international trade.

1. Stock Market Speculation: The stock market had been on the rise during the 1920s, and many people began investing in the stock market. However, they were not investing in the stock market for the long term. Instead, they were investing in the stock market for quick profits.

Many investors bought stocks with borrowed money, called "margin," hoping that the stock prices would continue to rise. However, the stock market crashed in 1929, leading to many investors losing all their money. This crash resulted in a massive financial loss for many people.

2. Unequal Distribution of Wealth: During the 1920s, the wealthiest 1% of the population held 34% of the wealth. However, the majority of the population lived in poverty, and they did not have enough money to purchase goods and services. The unequal distribution of wealth resulted in a decrease in consumer spending, which led to businesses closing down and people losing their jobs.

3. Decline in International Trade: During the 1920s, many countries implemented protectionist policies to protect their economies from foreign competition. The policies included high tariffs on imported goods, which decreased international trade. The decline in international trade caused many industries, such as farming, to suffer.

The government has taken several steps to prevent another Great Depression. For instance, they have established unemployment benefits, social security benefits, and the Federal Deposit Insurance Corporation (FDIC) to protect depositors in case of bank failures. The government has also taken steps to prevent stock market speculation and to regulate the stock market.

The government has made significant efforts to prevent another Great Depression through various initiatives, but it remains essential to monitor economic developments continuously.

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Consider the following table: Bond Fund Stock Fund Rate of Return Scenario Rate of Return. Probability 0.10 -418 -14€ Severe recession Mild recession Normal growth -218 0.20 0.40 20,8 13% 26% 318 Boom 0.30 -108 a.Calculate the values of mean return and variance for the stock fund. (Do not round intermediate calculations. Round "Mean return" value to 1 decimal place and "Variance" to 2 decimal places.) Mean return Variance b.Calculate the value of the covariance between the stock and bond funds. (Negative value should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.) Covariance

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a. To calculate the mean return and variance for the stock fund, we will use the given rate of return scenarios, their respective probabilities, and the following formulas: the mean return for the stock fund is -141.4, and the variance is 24052.64.

Mean return = (Probability1 x Return1) + (Probability2 x Return2) + ... + (Probabilityn x Returnn)

Variance = (Probability1 x (Return1 - Mean return)^2) + (Probability2 x (Return2 - Mean return)^2) + ... + (Probabilityn x (Returnn - Mean return)^2)

Using the provided table:

Rate of Return Scenario | Probability | Return

Severe recession | 0.10 | -418

Mild recession | 0.20 | -218

Normal growth | 0.40 | 20.8

Boom | 0.30 | -108

Mean return:

(0.10 x -418) + (0.20 x -218) + (0.40 x 20.8) + (0.30 x -108) = -141.4

Variance:

(0.10 x (-418 - (-141.4))^2) + (0.20 x (-218 - (-141.4))^2) + (0.40 x (20.8 - (-141.4))^2) + (0.30 x (-108 - (-141.4))^2) = 24052.64

Therefore, the mean return for the stock fund is -141.4, and the variance is 24052.64.

b. To calculate the covariance between the stock and bond funds, we need the covariance formula:

Covariance = (Probability1 x (Return1 - Mean return1) x (Return2 - Mean return2)) + (Probability2 x (Return1 - Mean return1) x (Return2 - Mean return2)) + ... + (Probabilityn x (Return1 - Mean return1) x (Return2 - Mean return2))

Assuming the bond fund rate of return scenarios and their respective probabilities are provided, the covariance between the stock and bond funds can be calculated using the same approach.

Without the given information on bond fund scenarios and probabilities, I'm unable to calculate the covariance accurately. Please provide the required data to calculate the covariance.

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If we have an inflation ratio (f) of 5.0% and a market interest
(i) of 1.0%, how much is the resulting real interest?
a.
-4.57%
b.
-3.81%
c.
-5.17%
d.
None of the results are correct
e.
-3.26%

Answers

The resulting real interest rate is -4.0%. So, the correct option is (a) -4.57%.

Real Interest Rate can be calculated by subtracting the inflation rate from the nominal interest rate.

The inflation rate is the percentage increase in prices, which means that goods become more expensive over time.

Nominal interest rates, on the other hand, refer to the rate at which money is borrowed and paid back.

The following is the calculation for the real interest rate:

Real Interest Rate = Nominal Interest Rate - Inflation Rate

Inflation ratio (f) = 5.0%

Market interest (i) = 1.0%

Real Interest Rate = Nominal Interest Rate - Inflation Rate

Real Interest Rate = 1.0% - 5.0%

Real Interest Rate = -4.0%

Therefore, the resulting real interest rate is -4.0%.

So, the correct option is (a) -4.57%.

Note: The results cannot be negative, but the interest rate may be negative, which indicates a net payment, also known as "interest expense."

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The third part is about applying all the concepts learned on your personal business idea in the first week.
How did MBA foundation change your mindset about your business idea? Did you find the gaps in your idea and plan after 10 weeks? The tone is first person.
Note: 50% of the grade is allocated to part this part - applying the concepts on your first personal business idea( In other words, how did MBAF and your research about the emerging technologies help you to modify, polish, and fill the gaps in your personal business .
our business idea was angel rental solutions based in Vancouver

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During the MBA foundation course, I had the opportunity to delve into various business concepts and gain a deeper understanding of different aspects of running a business.

This newfound knowledge greatly influenced my mindset about my business idea, Angel Rental Solutions, and brought about significant changes in how I approached it.

Firstly, the course helped me develop a more strategic and analytical mindset. I learned about market analysis, competitive positioning, and value proposition, which prompted me to reevaluate and refine my business idea. Through market research and analysis, I was able to identify gaps and opportunities within the rental solutions market in Vancouver. This enabled me to better align my business idea with market demand and tailor my offerings to meet the needs of potential customers.

Additionally, the course exposed me to emerging technologies and their impact on businesses. I realized the importance of leveraging technology to enhance operational efficiency, improve customer experience, and stay competitive in the market. This understanding led me to incorporate innovative digital solutions into my business plan, such as developing a user-friendly online platform for easy rental bookings and implementing a robust inventory management system.

As the weeks progressed, I continuously refined my business idea based on the concepts learned in the MBA foundation course. I identified gaps in my initial plan and made necessary adjustments to address them. For instance, I realized the need to establish strong partnerships with local suppliers to ensure a reliable and diverse inventory for rental offerings. This allowed me to provide a wider range of products to customers and enhance the overall value proposition of Angel Rental Solutions.

Furthermore, I recognized the importance of effective marketing and customer acquisition strategies. I developed a comprehensive marketing plan that encompassed digital marketing techniques, social media campaigns, and strategic partnerships with event planners and local businesses. This helped me fill the gaps in my initial approach and ensured a targeted and impactful marketing strategy for my business.

Overall, the MBA foundation course played a crucial role in shaping my mindset and refining my business idea for Angel Rental Solutions. It helped me identify the gaps in my initial plan and provided the knowledge and tools to address them effectively. Through research on emerging technologies and application of key business concepts, I was able to modify and polish my business idea, ensuring its viability and competitiveness in the market.

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What is the most basic principle in the consumer products industry?
a. the customer is always right
b. pander to the customer
c. listen to the customer
d. advertise to the customer

Answers

The most basic principle in the consumer products industry is "listen to the customer". Option (C) is the correct answer.

The most basic principle in the consumer products industry is the “customer is always right,” but this has been disputed in recent times because it has led to an overwhelming feeling of entitlement by many consumers. However, “listen to the customer” is the most basic principle that can be widely accepted in this industry. This is because it involves paying attention to the customer, understanding their needs, and using this information to improve the product and create new products that meet customer requirements. Therefore option (C) is the correct answer.

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If a company prepares financial statements annually, when should correcting entries be made?
At the end of the year.
At the beginning of the next accounting period.
As soon as they are discovered.
As part of the closing entry process.

Answers

Answer: As soon as they are discovered.

If a company prepares financial statements annually, the correcting entries should be made as soon as they are discovered in order to provide accurate financial statements for that year. The financial statement provides an overview of a company's financial performance over a given period of time. Therefore, it is important that the financial statement is free from errors and omissions.A correcting entry is a journal entry that is used to correct an error that was made during the initial accounting entry. It is made to rectify the error in a previously recorded transaction. There are several reasons why correcting entries might be necessary. It could be as a result of errors made during the initial recording process, errors of commission or omission, or even due to changes in estimates or laws.As correcting entries can have an impact on the accuracy of the financial statements, it is important that they are made as soon as they are discovered. They can be made at any point during the year, as soon as the error is detected. In order to ensure that the financial statements are accurate, it is important that the correcting entries are made before the financial statements are prepared.

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hich of the following is not related to valuing the whole person?" O admitting that individuals may need to give up when things are too challenging O acknowledging and recognizing diversity and the benefits that individual differences bring to the organization O respecting one's feelings as people O understanding that people can make contributions beyond those for which they were originally hired

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Admitting that individuals may need to give up when things are too challenging is not related to valuing the whole person.

Valuing the whole person involves recognizing and appreciating the multifaceted nature of individuals, including their diverse backgrounds, skills, and contributions. It encompasses acknowledging the importance of emotional well-being, promoting inclusivity, and encouraging individuals to go beyond their initial roles. However, admitting that individuals may need to give up when faced with challenges is not aligned with valuing the whole person.

Valuing the whole person implies a belief in the potential and resilience of individuals. It involves providing support, resources, and opportunities for personal and professional growth, while also understanding that setbacks and difficulties are a natural part of life. It is about empowering individuals to overcome challenges, develop their capabilities, and achieve their full potential. Admitting that individuals may need to give up suggests a lack of faith in their abilities and a failure to provide the necessary support and encouragement to help them persevere and grow. Valuing the whole person means fostering an environment where individuals are supported, their diverse contributions are recognized, and their emotional well-being is prioritized, rather than accepting defeat or resignation in the face of challenges.

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dealt with asset retirement obligations. Provide a summary of this statement. Additionally, list the implementation issues addressed by the EITF for asset retirement obligations.

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Asset retirement obligations refer to the legal or contractual obligations that an entity has to retire or remove long-lived assets at the end of their useful life.

These obligations typically arise from laws, regulations, or contractual agreements and are associated with the future cost of decommissioning, dismantling, or restoring the asset site.

The Financial Accounting Standards Board (FASB) provides guidance on how to account for and disclose asset retirement obligations through its Accounting Standards Codification (ASC) 410, Asset Retirement and Environmental Obligations.

This standard requires entities to recognize a liability for the fair value of the asset retirement obligation and to record a corresponding increase in the carrying amount of the related long-lived asset.

To further clarify the implementation of ASC 410, the Emerging Issues Task Force (EITF) has addressed certain implementation issues. These issues include:

Measurement of the liability: The EITF provides guidance on determining the fair value of the asset retirement obligation, including considerations such as discount rates, inflation, and uncertainties related to timing and amount.Timing of recognition: The EITF addresses situations where the obligation arises after the initial recognition of the related asset and provides guidance on when to recognize the liability.Revisions and changes to the obligation: The EITF provides guidance on accounting for changes in the estimated timing or amount of the asset retirement obligation, including the impact on the liability and related asset.Asset retirement costs and subsequent measurement: The EITF provides guidance on how to allocate and capitalize the costs associated with the asset retirement obligation and how to measure the liability over time.

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Kingdom Corporation has the following. - Preferred stock, $10 par value, 7%, 50,000 shares issued Common stock, $15 par value, 300,000 shares issued and outstanding $4,500,000 $500,000 In 2020, The company declared and paid $30,000 of cash dividends. In 2021, The company declared and paid $150,000 of cash dividend. Required: How much is the TOTAL cash dividends that will be distributed to preferred and common Non-cumulative

Answers

Based on the given information, the preferred stock is non-cumulative, which means any unpaid dividends from previous years are not carried forward. Therefore, we only need to consider the dividends declared and paid in the respective years.

In 2020, the company declared and paid $30,000 of cash dividends. Since the preferred stock is non-cumulative, this dividend amount will only be distributed to the preferred stockholders.

In 2021, the company declared and paid $150,000 of cash dividends. Again, this dividend amount will be distributed to both preferred and common stockholders.

To calculate the total cash dividends distributed to preferred and common stockholders:

Dividends to preferred stockholders = Dividends declared and paid in 2020 = $30,000

Dividends to common stockholders = Dividends declared and paid in 2021 - Dividends to preferred stockholders = $150,000 - $30,000 = $120,000

Therefore, the total cash dividends that will be distributed to preferred and common stockholders (non-cumulative) is $30,000 + $120,000 = $150,000.

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Question 2 (25%). Organizational Theory and Global Outsourcing Management Describe the differences between Thompson's Interdependency models of organizational theory, in terms specific to the "sequential interdependency" and the "reciprocal interdependency." If one is the prototype of the "learning organization," and the other is a metaphor for a "-flow line," what are the likely uses and misuses of each organizational model in the context of global outsourcing operations? Which one works best and why?

Answers

Organizational Theory is a complex study of business structure and design. It is the concept that focuses on identifying the principles that determine how organizations operate, interact with each other, and how they adapt to changing environments.

In the context of Global Outsourcing Operations, Thompson's Interdependency Model is widely used, consisting of two interdependency models: sequential interdependency and reciprocal interdependency.Sequential InterdependencySequential interdependency occurs when a sequence of tasks must be completed before subsequent tasks can begin. A process is dependent on each preceding stage to achieve its goals. It is a simple chain-like structure, where each department's work depends on the work done by the preceding department. This system is well suited for the assembly line-style of manufacturing, where each department has specific roles and work is organized sequentially.Reciprocal Interdependency  Reciprocal interdependency occurs when different units or departments depend on each other to complete their respective tasks. It is an interdependent relationship between two or more departments or units, where each department's work is dependent on the work done by another. For instance, the procurement department may be dependent on the finance department for budget approval. This system is more prevalent in organizations that function in a dynamic and constantly changing environment and require more collaboration, teamwork, and communication between departments.Learning Organizations and Flow-Line MetaphorsThe Learning Organization is an organization that is open to change and continuously learning and adapting to new situations. It emphasizes the importance of innovation and knowledge, and encourages experimentation, risk-taking, and learning from mistakes.

The Flow-line Metaphor is a metaphor for a more traditional manufacturing style, where each department is designed to focus on specific tasks, and the work moves in a single direction from one department to another. It is more suited for organizations that have a more stable environment and require a more structured and controlled approach.Uses and Misuses of Sequential and Reciprocal Interdependency Models in Global Outsourcing Operations  Global Outsourcing Operations requires a mix of sequential and reciprocal interdependency models. For example, if a company outsources its manufacturing to a third-party supplier, a sequential interdependency model would be ideal. This would ensure that each department has specific roles and work is organized sequentially, ensuring that the production process is streamlined and efficient. Conversely, if a company outsources its IT operations, a reciprocal interdependency model would be more suited. This would ensure that the IT department collaborates and communicates with other departments and functions effectively as a team.Both models have their advantages and disadvantages. The sequential interdependency model is efficient and cost-effective, but it lacks flexibility and can lead to silos in the organization. The reciprocal interdependency model is more flexible and encourages collaboration, but it is more complex and can lead to a lack of accountability. In conclusion, the best model for Global Outsourcing Operations is a combination of both, with a focus on communication, collaboration, and innovation, to ensure the organization remains flexible, adaptable, and efficient.

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T. A Matrix structure is often used by firms in order to
Group of answer choices
foster innovation & creativity
focus on a specific set of goods or services
to increase the firm’s level of formalization & control
confront specific contingencies occurring in the organization’s environment
group employees by specialized function within organizational responsibility centers

Answers

A matrix structure is often used by firms in order to confront specific contingencies occurring in the organization’s environment.

A matrix structure is a model used to handle groups. This structure is utilized to maintain the chain of command while also allowing for shared leadership. Employees may be appointed to both a functional team and a project team in this organizational arrangement. The matrix structure is a type of structure that blends a functional and a divisional structure. It emphasizes the use of teams to carry out tasks.T.A Matrix structure is often used by firms in order to confront specific contingencies occurring in the organization’s environment. This structure is especially useful for businesses that are growing quickly and that must respond to evolving environmental circumstances. The matrix structure is preferred when businesses face specific conditions in their industry that must be addressed.

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1< write about The vision and recommendations of the (Four season hotel ) to ensure sustainable development.
also , 2< Full description of the core service attributes and any other supplementary services that might be provided to facilitate and/or enhance this core service.

Answers

1. The Vision and Recommendations of Four Seasons Hotel to Ensure Sustainable DevelopmentThe Four Seasons Hotel is committed to sustainable tourism practices in its operations. The hotel aims to reduce its environmental impact and contribute to the local community through responsible business practices.

The hotel's vision for sustainable development is centered on three key areas:Environmental Sustainability: The hotel aims to reduce its carbon footprint, use of natural resources, and waste production. It has implemented several measures to achieve these objectives, including:Green energy sources and energy-efficient technologies are utilized throughout the property.Waste is reduced through recycling and composting programs.Water conservation measures are employed, such as low-flow fixtures and rainwater harvesting.The hotel's green initiatives are also aimed at protecting and preserving the natural environment, such as supporting local conservation efforts and promoting ecotourism.Social Responsibility: The hotel strives to be a good corporate citizen by supporting local businesses, creating employment opportunities, and contributing to community development projects. It also aims to promote cultural exchange and understanding through its guest programs and partnerships with local organizations.Economic Viability: The hotel recognizes the importance of economic sustainability to ensure long-term success. It aims to achieve this through efficient operations, investment in employee training and development, and collaboration with industry partners to promote sustainable tourism practices.2. Core Service Attributes and Supplementary Services Offered by Four Seasons HotelThe core service of Four Seasons Hotel is luxury accommodations and hospitality services. The hotel is known for its exceptional customer service, upscale amenities, and personalized experiences for guests.Other core service attributes include:High-end room and suite accommodations with premium bedding and linens.World-class dining options, including fine dining restaurants and room service.Spa and wellness facilities, including massage and beauty treatments, fitness center, and outdoor pool.Concierge services, including transportation, local recommendations, and excursion planning. Supplementary services that enhance the core service include:Meeting and event spaces, including conference rooms and ballrooms.Business services, including Wi-Fi, printing, and office supplies.Pet-friendly accommodations and services, including pet-sitting and grooming services.Family-friendly amenities, such as children's activities and babysitting services.Overall, the Four Seasons Hotel's core service attributes and supplementary services are designed to provide guests with a luxurious and memorable experience that is personalized to their preferences. The hotel's commitment to sustainable development ensures that guests can enjoy their stay while also supporting responsible tourism practices.

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The economic explanation for why trade occurs between two individuals is that:

A) people have too much of some goods

B) in many cases one person wants to help another less fortunate individual

C) trade makes at least one of the individuals better off

D) all the above

E) a person is willing to pay a higher price for a good than it is worth to its current owner

Answers

The economic explanation for why trade occurs between two individuals is that trade makes at least one of the individuals better off. This occurs because individuals have different preferences, resources, and abilities, leading to the potential for mutually beneficial exchanges.

Trade allows individuals to specialize in producing goods or services in which they have a comparative advantage and exchange them with others who have different resources or preferences.

Trade occurs because individuals have different needs, resources, and abilities. One person may have an excess supply of a particular good or service, while another person may have a shortage or desire for that same good or service. Through trade, individuals can exchange goods or services to meet their respective needs or preferences, leading to both parties being better off.

Trade creates value by allowing individuals to specialize in the production of goods or services in which they have a comparative advantage. Comparative advantage refers to the ability to produce a good or service at a lower opportunity cost than others. By specializing in what they do best and trading with others, individuals can increase their overall consumption and well-being.

Therefore, the economic explanation for trade is that it allows individuals to allocate resources more efficiently, take advantage of comparative advantages, and ultimately make at least one of the individuals better off. Through trade, people can overcome the limitations of having too much of some goods, help others in need, and ultimately improve their own economic well-being.

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Use the following information to answer the questions

Assets:
- Cash Marketable securities 4,000
- Accounts receivable 10,000
- Inventory 26,000
- Current assets 55,000
- Machines 42,000
- Real estate 60,000
- Net fixed assets 102,000
Total assets : 157,000


Liabilities and Equity
- Accounts payable 17,000
- Notes payable 8,000
- Current liabilities 25,000
- Long-term debt 80,000
- Total liabilities 105,000
- Paid-in capital 30,000
- Retained earnings 22,000
- equity 52,000
Total liab. & equality : 157,000

Line item
- Sales 430,000
- Operating expenses 344,000
- Depreciation 25,000
- EBIT 61,000
- Interest 8,000
- Taxable income 53,000
- Taxes 17,490
- Net income 35,510

1) What are earnings per share?
2) What is the price-eanings ratio?
3) What is the book value per share?
4) What is the market/book ratio?

Answers

Earnings per share (EPS) can be calculated by dividing the net income by the number of shares outstanding. The information provided does not include the number of shares outstanding, so the EPS cannot be determined.

The price-earnings ratio (P/E ratio) is calculated by dividing the market price per share by the earnings per share. Since the EPS is not provided, the P/E ratio cannot be calculated. Book value per share is calculated by dividing the total equity by the number of shares outstanding. The information provided does not include the number of shares outstanding, so the book value per share cannot be determined.The market/book ratio is calculated by dividing the market price per share by the book value per share. Since the book value per share is not provided, the market/book ratio cannot be calculated.

Unfortunately, without additional information such as the number of shares outstanding or the market price per share, it is not possible to determine the earnings per share, price-earnings ratio, book value per share, or market/book ratio.

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After an IPO in 1997, Amazon shipped its 1 millionth order.While this might not seem to dispel the "instant success," myth mentioned above, a deeper look is quite interesting. You might be surprised to learn that Amazon operated at a loss for just over 9 years.vii In fact, the losses increased as revenue increased, which was contrary to expectations at first glance. A deeper look reveals that the losses resulted from Amazon's reinvestment that focused on expansion and growth. But how did it eventually recover from what seemed at the time to be losses that appeared to be spiraling out of control? Is there a secret to its eventual success?In 2012, Bezos was reported to have changed the vision from "Earth's Biggest Bookstore" to the "Biggest Store on Earth."viii Currently, Amazon boasts a more ambitious strategic vision of having "Earth's biggest selection and being the Earth's most customercentric company."ixBezos has ascribed its success to using a "flywheel" strategyx where lower prices stimulate sales, which allows fixed costs to be spread over more items, lowering costs in the long run. A flywheel is a heavy object, which takes great force to move it, but once it moves, it has inertia that makes it difficult to slow or stop it.Bezos explains that feeding the movement of the flywheel can occur in many different ways besides merely lowering prices.xi Procuring the Whole Foods chain not only builds revenues but also provides potential for online grocery sales because the widely dispersed inventories in those stores can enable them to serve as additional distribution centers.1) How far could Bezos have gone in Amazon's evolution without using information technology? Find values of a such that det (A) = 0. (Enter your answers as a comma-separated list.) A = 8 7a 6 1. Assuming that you are the financial controller of Modern Jeweler Company. Your production manager has indicated today that he/she requires 5,000 grams of 22K gold; 5,000 grams of pure silver, 3,000 grams of red-copper and 3,000 grams of Platinum on 15th September 2022 to cater for a special order. At the same time your sales manager indicated that the company received an order to sell 25,000 grams of minted gold coins in an open market at the specified minted gold market price.Your procurement manager identified the price trends of the above listed metal commodities. The trend is as follows:Metal commoditySpot Price /gramPrice trend by 15th September22K GoldRM600.00Anticipated to increase by 20%Pure SilverRM4.50Anticipated to decrease by 10%Red-CopperRM 0.05Anticipated to be unchangedPlatinumRM200.00Anticipated to increase by 25%Minted Gold CoinRM350.00Anticipated to decrease by 10%If all the above listed metal commodities have an exact futures market contracts for October 2022, and each of the listed metal commodity has a standard contract size is 100 grams.Indicate the positions you will take in each of the respective October futures contracts on each of the commodity listed in the above table in order to keep your cash flows stable on 15th September 2022? Give a detailed description of Dispute Review Boards; Dispute Adjudication Boards; and Combined Dispute Boards. Reference should be made to FIDIC International Standard Form Contracts, and also Case Law, where applicable. If X and Y are two independent random variables with x= 140, y= -20, x = 8, and y = 4, theni) Find the expected value of 5 X -6 Y -130.ii) Find the variance of 5 X -6 Y -130iii) Find the s How Artificial Intelligence is improving quality control in the corporate world(Operations management is the study of producing goods and services when all of the factors of production are fixed. In theory, although rarely, in reality, an optimum solution can be obtained using quantitative models.)If possible, write or provide the framework for an approximately 10-page paper about this topic heading-wise. Mary and Matt are considering the purchase of Allied Company stock. They both believe that Allied is likely to earn $3.60 per share next year and pay out $2.30 per share in dividends. Further, they have each estimated that dividends will grow for the foreseeable future at 9.5% per year and have determined that the appropriate required rate of return for this stock is 13%. They differ in one respect however. Mary is planning to own the stock for only 3 years, while Matt expects to own the stock for 10 years. Which of the following statements should be true regarding their attempts at valuing Allied stock? Matt should estimate a value that is higher than Mary Mary should estimate a value that is higher than Matt Either one could estimate the higher value, depending on their relative investment alternatives They should both estimate the same value for the stock A copper - nickel alloy of composition 70 wt % Ni - 30 wt % Cu is slowly heated from a temperature of 1300 degree C (2370 degree F) (a) At what temperature does the first liquid phase form? (b) What is the composition of this liquid phase? (c) At what temperature does complete melting of the alloy occur? (d) What is the composition of the last solid remaining prior to complete melting?Previous question Help needed in this question ! ThanxA. "Put the Onion Back Together" How we can use this wise to convince the Sector Board for the importance and the beneficial of the IT to their sector (4 Marks) (Minimum 200 Words). The policies the federal reserve and the government has been undertaking to restore GDP and unemployment to pre-pandemic levels has been both expansionary policies. True False