Complete the table to show the correct indexing order of each name

Complete The Table To Show The Correct Indexing Order Of Each Name

Answers

Answer 1

Based on the concept of the Indexing Order, the first row for the correct indexing order will be Unit 1 = Education, Unit 2 = Ministry, Unit 3 = Of

Unit 1 = Facey, Unit 2 = Lena, Unit 3 = A, and Unit 4 = Dr.

What is Indexing Order?

Indexing Order is a term that is used to describe the method in which one can index the name of an individual, by arranging the units in this order: last name as Unit 1, first name or initial as Unit 2, and middle name or initial as Unit 3.

Generally, the term Indexing Order also involves the arrangement of names in Units based on alphabetical order.

Hence, in this case, we have the followingFirst Row: Unit 1 = Education, Unit 2 = Ministry, Unit 3 = OfSecond Row: Unit 1 = Facey, Unit 2 = Lena, Unit 3 = A, Unit 4 = Dr.Third Row: Unit 1 = Farbes, Unit 2 = And, Unit 3 = Chang, Unit 4 = LtdFourth Row: Unit 1 = StoneCúmmings, Unit 2 = Jascinth

Hence, in this case, it is concluded that Indexing Order is a means of making proper arrangements of titles and names.

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Related Questions

Revenue is the term used to identify money that is
1. owed to others.
2.coming into the organization.
3.paid by patients to third-party payers.
4.a financial obligation

Answers

The correct option is (2).

Revenue is the term used to identify money that is coming into the organization.

It represents the income or inflow of funds generated by the sale of goods, provision of services, or other business activities. Revenue is a key indicator of an organization's financial performance and is typically recorded on the income statement.

Revenue is distinct from the other options provided:

Revenue is not money that is owed to others. Debt or accounts payable would be more appropriate terms to describe financial obligations or money owed.

Revenue represents incoming funds, not payments made by patients to third-party payers.

While revenue can contribute to fulfilling financial obligations, it is not specifically a financial obligation itself.

Therefore, the correct option is 2. coming into the organization, as revenue represents the money received by an organization from its business activities.

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Dividing Partnership Net Income Steve Conyers and Chelsy Dane formed a partnership, dividing income as follows: 1. Annual salary allowance to Dane of $94,050. 2. Interest of 5% on each partner's capital balance on January 1. 3. Any remaining net income divided to Conyers and Dane, 1:2. Conyers and Dane had $45,000 and $111,000, respectively, in their January 1 capital balances. Net income for the year was $165,000. Required: How much net income should be distributed to Conyers and Dane? Conyers: $ 5,250 X Dane: $ 11,550 X

Answers

The net income that should be distributed to Conyers and Dane can be calculated as follows:

Calculate the interest on each partner's capital balance:

Conyers' interest = $45,000 * 5% = $2,250

Dane's interest = $111,000 * 5% = $5,550

Calculate the remaining net income after deducting the annual salary allowance and interest:

Net income remaining = Net income - Annual salary allowance - Interest

Net income remaining = $165,000 - $94,050 - ($2,250 + $5,550)

Net income remaining = $165,000 - $94,050 - $7,800

Net income remaining = $63,150

Divide the remaining net income between Conyers and Dane based on their profit-sharing ratio:

Conyers' share = $63,150 * (1/3) = $21,050

Dane's share = $63,150 * (2/3) = $42,100

Therefore, the net income to be distributed to Conyers is $21,050 and to Dane is $42,100.

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Given that the Bank of Ghana (BOG) has set a required requirement ratio of 10%, currency in circulation (C)= GHC700m, demand deposit (D) GHC1500m, excess reserve (ER)= GHC1.5m and money-supply (M1)=C+D=GHC2200m. i. Calculate the currency ratio
ii.Calculate the excess reserve ratio
iii. Calculate the money multiplier
b) Explain the theories behind the term structure of interest

Answers

excess reserve ratio = 0.1%

money multiplier =  3.14 To entice investors to hold longer-term bonds, higher interest rates are required.

i. the currency ratio can be calculated by dividing currency in circulation (c) by the money supply (m1):

currency ratio = c / m1 = ghc700m / ghc2200m = 0.3181 or 31.81%

ii. the excess reserve ratio can be calculated by dividing excess reserves (er) by demand deposits (d):

excess reserve ratio = er / d = ghc1.5m / ghc1500m = 0.001 or 0.1%

iii. the money multiplier can be calculated by dividing the money supply (m1) by the monetary base, which is the sum of currency in circulation (c) and total reserves (tr):

monetary base (mb) = c + tr = ghc700m + ghc1.5m = ghc701.5m

money multiplier = m1 / mb = ghc2200m / ghc701.5m ≈ 3.14

b) the term structure of interest refers to the relationship between the maturity or term length of debt instruments (such as bonds) and the corresponding interest rates. there are several theories that attempt to explain the term structure of interest:

1. expectations theory: this theory suggests that long-term interest rates are determined by the market's expectations of future short-term interest rates. if investors expect short-term interest rates to rise in the future, long-term interest rates will be higher to compensate for the perceived risk. conversely, if investors anticipate lower future short-term rates, long-term rates will be lower.

2. liquidity preference theory: according to this theory, investors prefer short-term bonds because they provide greater liquidity and flexibility. this theory takes into account the additional risk and uncertainty associated with longer-term investments.

3. market segmentation theory: this theory suggests that the bond market is segmented into different maturity sectors, and interest rates are determined by supply and demand within each segment. each maturity sector operates independently, and interest rates within each sector are driven by factors specific to that segment, such as supply-demand imbalances or regulatory requirements.

4. preferred habitat theory: building upon the market segmentation theory, this theory states that investors have preferred maturity "habitats" where they are more comfortable investing. however, they may be willing to move to other maturity sectors if they are compensated with a higher interest rate. this theory explains interest rate differentials between different maturity sectors.

these theories provide different perspectives on the relationship between interest rates and the maturity of debt instruments, and they are used by economists and investors to understand and predict changes in the term structure of interest rates.

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"Whenever, research is undertaken in the field of public management, the question a values and ethics will naturally appear on the scene" In light of the above statement, evaluate the need for ethics and ethical consideration in public management. (25)

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The need for ethics and ethical considerations in public management is crucial whenever research is undertaken in this field.

Determine how the ethics play a vital role?

Ethics play a vital role in public management as they provide a framework for ensuring fairness, transparency, and accountability in the decision-making process. Public managers are entrusted with the responsibility of serving the interests of the public and managing public resources effectively.

Ethical considerations help guide their actions, ensuring that decisions are made in the best interest of the public and aligned with the values and principles of good governance.

Ethics also help prevent the abuse of power and corruption in public management. They establish standards of conduct and promote integrity, honesty, and impartiality among public officials. By adhering to ethical principles, public managers can maintain public trust and confidence in the management of public affairs.

Furthermore, ethical considerations help public managers navigate complex ethical dilemmas that may arise in their work. They provide a moral compass for decision-making when faced with conflicting interests or values.

Ethical analysis enables managers to consider the potential impacts of their decisions on various stakeholders and make choices that uphold the common good.

In conclusion, ethics and ethical considerations are essential in public management as they ensure the responsible and ethical conduct of public officials, promote good governance, and maintain public trust.

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A UK Importer expects to pay 20,000$ in 3 months’ time. She was quoted the following exchange rate pair : [1.3058 ; 1.5082 ]. How much would the exporter expect to receive from the bank in GBP.
None of the choices

13260

30164

26116

15316

Impossible as the bank will only display one rate

Answers

It is impossible to determine the exact amount the exporter would expect to receive from the bank in GBP based on the given exchange rate pair.

The reason is that the bank typically provides one exchange rate at a given time, and the given exchange rate pair consists of two rates.The given exchange rate pair [1.3058; 1.5082] represents two rates: the lower rate (1.3058) is the bid rate at which the bank buys GBP, and the higher rate (1.5082) is the ask rate at which the bank sells GBP. However, it is important to note that these rates are typically quoted separately by the bank, depending on whether you are buying or selling GBP.

Since the exporter wants to receive GBP from the bank, we need to know the specific rate at which the bank is selling GBP (ask rate) in order to calculate the amount in GBP that the exporter would expect to receive. However, only one rate is typically provided by the bank at a given time, and the given exchange rate pair does not specify which rate corresponds to selling GBP.

Therefore, without the specific ask rate from the bank, it is impossible to determine the exact amount in GBP that the exporter would expect to receive.

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how did the sarbanes oxley act impact corporations financial reports

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The Sarbanes-Oxley Act (SOX) of 2002 imposed stricter regulations and requirements on corporations, aiming to improve financial reporting and transparency. It increased accountability, strengthened internal controls, and introduced stricter auditing standards to enhance the accuracy and reliability of corporations' financial reports.

Transparency refers to the degree to which information, actions, and processes are open, accessible, and visible to stakeholders. In the context of business and governance, transparency is crucial for building trust, accountability, and ethical behavior. Transparent practices ensure that information about an organization's financial performance, decision-making processes, and potential conflicts of interest are readily available to shareholders, investors, employees, and the public. This includes clear and comprehensive financial reporting, disclosure of relevant information, and open communication channels. Transparent organizations are better positioned to foster credibility, attract investment, mitigate risks, and maintain positive relationships with stakeholders, ultimately contributing to long-term sustainability and success.

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the estimated overhead cost per unit of the allocation base is the:____

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The estimated overhead cost per unit of the allocation base is the predetermined overhead rate. Predetermined Overhead Rate

To allocate overhead costs to products, companies use a predetermined overhead rate, which is calculated by dividing the estimated total overhead costs by the estimated activity level of the allocation base. The predetermined overhead rate is then applied to each unit of the allocation base to determine the amount of overhead cost allocated to each product.

The predetermined overhead rate is calculated by dividing the total estimated overhead costs by the total estimated units of the allocation base. This rate is used to allocate overhead costs to products or services based on their usage of the allocation base, such as direct labor hours, machine hours, or other relevant measures.

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I was given a communication skills assignment that asked me to first interview some engineers asking them some questions from 2 basic themes. one was that was communication skill barriers did you face and second was that how did they improve their communication and how did they overcome their barriers. Then i have to write a research paper on that. But before that i have to give a research proposal that includes the questions that we will ask. So can someone please give me such questions, the more the merrier. And somewhat a resemblance of a research project proposal. thankyou.

Answers

As part of the research proposal, the questions to be asked of engineers as regards communication skill barriers and their resolution can include the following:

What are the communication skill barriers that you face in your profession?

How do these barriers affect your job performance?

What steps have you taken to improve your communication skills?

What communication techniques have you found to be effective in your work?

How do you ensure that you are being understood by colleagues and clients?

What measures do you take to overcome communication barriers when they arise?

Have you attended any training on communication skills? If so, what was the training like?

What are your suggestions for overcoming communication skill barriers in the engineering profession?

The proposed questions would allow for an in-depth study of the communication skill barriers and the steps taken to overcome them in the engineering profession. By examining the experiences of engineers in this regard, the research would be able to provide useful insights into the best ways to develop effective communication strategies in the industry.

A research proposal is a document that outlines the key elements of a research project. It includes the research question, hypothesis, methodology, and expected results. A typical research proposal should include an introduction, literature review, methodology, expected results, and a conclusion. The introduction should provide an overview of the research topic, the research question, and the significance of the study. The literature review should provide an analysis of the existing research on the topic. The methodology section should explain how the research will be conducted, including the sampling strategy, data collection methods, and data analysis techniques. The expected results section should outline the expected findings of the research, while the conclusion should summarize the key elements of the proposal and emphasize the importance of the research.

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When a manager uses a consult individually decision-making style, the manager seeks potential solutions from individual subordinates. makes the decision without any input. seeks potential solutions from individuals in a group setting. passes the responsibility for decision making on to subordinates. QUESTION 20 Isra manages the customer service department for her company. She has a hard time controlling her emotions and often threatens to fire her employees if they do not comply with her dermands. Isra's leadership style lacks and she relies on to manage her department. emotional intelligence; coercive power cognitive intelligence; referent power openness; expert power core self-evaluation; reward power QUESTION 21 describe how well the firm performed last year. describe the current financial health of the business, while Balance sheets; income statements Revenue budgets; solvency ratios Income statements; capital budgets Ratio analyses; balance sheets QUESTION 22 When firms in an industry produce more supply than is needed to meet demand, this is known as overcapacity. differentiation. commonization. industry concentration QUESTION 23 Six Sigma and quality circles are common features of total quality management. cost centers. behavioral controls. balanced scorecard. QUESTION 24 Designating formal reporting relationships and identifying the division of labor are elements describing the horizontal vertical parallel perpendicular framework of an organization's structure.

Answers

The manager who uses a consult individually decision-making style seeks potential solutions from individual subordinates. The answers received from the individuals are used by the manager to make decisions.

Consultative decision making style means consulting people in a group or individually, who may be affected by the decision taken, with an intention to obtain relevant information and ideas from them. The manager who uses a consult individually decision-making style seeks potential solutions from individual subordinates. The manager consults the individuals who might be affected by the decision made, to get information and ideas from them. These ideas help the manager to make better decisions. A consult individually decision-making style is quite effective when the manager needs to gather more information about specific issues.

The given question 21 requires the description of the current financial health of the business, while mentioning Balance sheets; income statements; Revenue budgets; solvency ratios; Income statements; capital budgets; Ratio analyses; balance sheets.Balance sheets: A balance sheet is a statement of the financial position of a business. It represents the financial health of the business as of a particular date. It consists of assets, liabilities, and shareholders' equity.Income statements: An income statement is a statement of financial performance that shows the financial results of the business for a given period. It represents the financial health of the business over a period of time. It consists of revenues, expenses, and net income.Revenue budgets: A revenue budget is an estimate of the income expected to be generated by the business during a particular period.Solvency ratios: A solvency ratio is a measure of the ability of the business to meet its long-term obligations. It indicates whether the business has enough assets to cover its long-term liabilities.

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when+the+switch+in+the+figure+is+closed,+the+current+takes+3.00+ms+to+reach+98.0%+of+its+final+value.+if+r+=+11.00+,+what+is+the+inductance?

Answers

The growth rate of current in an inductor is dependent on the time constant L/R. The time required for the current in an inductor to reach 98 percent of its maximum value after the closing of a switch is given by the equation $$I = I_{\max}(1 - e^{-\frac{t}{L/R}})$$We can use the given equation to find the value of inductance, given that the value of resistance is 11.00Ω.

It can be rewritten as:$$\frac{I}{I_{\max}} = 1 - e^{-\frac{t}{L/R}}$$$$\frac{I_{\max}-I}{I_{\max}} = e^{-\frac{t}{L/R}}$$Taking the natural logarithm of both sides of the equation will give us:$$\ln(\frac{I_{\max}-I}{I_{\max}}) = -\frac{t}{L/R}$$Simplifying the equation gives us:$$L = -\frac{Rt\ln(\frac{I_{\max}-I}{I_{\max}})}{1000}$$Where I am the current that is 98% of its final value.

We can now substitute the given values into the equation above. Given that the time constant t is 3.00 ms and the resistance R is 11.00Ω, we can write:$$L = -\frac{11.00\text{ }\Omega\times3.00\text{ ms}\times\ln(\frac{0.98I_{\max}}{I_{\max}})}{1000}$$Simplifying the equation gives us:$$L = -\frac{0.033\text{ }\text{H}}{\ln(0.98)}$$$$\boxed{L = 31.25\text{ }\text{mH}}$$Therefore, the inductance is 31.25 mH.

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Question 3
A. Define transfer pricing and elaborate on FOUR (4) of its purposes. (14 marks)
B. In deciding a transfer pricing method, advise management on: i. negotiated transfer pricing ii. market-based transfer pricing (4 marks)
C. Highlight ONE (1) advantage and ONE (1) disadvantage of the market-based transfer pricing method. (2 marks)

Answers

Transfer pricing is a pricing strategy in which transactions within the same company are made at a certain price, known as the transfer price. The goal is to ensure that prices are comparable to what they would have been if the transactions were with an external party.

Four (4) purposes of transfer pricing are as follows: To align corporate goals To provide information on a timely basis To enhance operational effectiveness To reduce exposure to potential disputes between taxing authorities and firms Management should consider the following factors in selecting transfer pricing methods: i. Negotiated Transfer Pricing  Negotiated transfer pricing happens when two departments of the same organization engage in negotiations to decide the transfer price. The parties try to arrive at an acceptable agreement by negotiating the pricing terms. The department that offers the product or service should have an internal profit rate that is consistent with its external rate. ii. Market-Based Transfer Pricing Market-based transfer pricing determines prices for goods and services that are exchanged within a business based on current market prices for similar products or services. A company can use the market-based method to establish transfer prices by comparing the prices of comparable goods and services offered by third parties.

Advantages of Market-Based Transfer Pricing Method The market-based transfer pricing method provides accurate transfer prices for transactions between two different departments of the same company. In addition, this technique ensures that prices are in line with market rates, preventing one department from getting more or less than the prevailing market rate. This strategy also motivates departments to lower their costs. Disadvantages of Market-Based Transfer Pricing Method Market-based transfer pricing may not be the best approach to use in all situations since market prices for comparable goods and services are difficult to obtain. It is important to note that an external market price may not accurately reflect the internal market price. Furthermore, it is not always possible to match the comparable good or service. This could lead to unfavorable pricing if the prices of third-party goods are too high, or to the vendor if the market price is too low. Therefore, the market-based transfer pricing method should be used with caution since it is difficult to obtain external market prices that accurately reflect the internal market price.

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Discuss the contribution of major government programs to the
production of health.

Answers

Major government programs play a crucial role in promoting and supporting the production of health. These programs aim to improve access to healthcare services, ensure health equity, and address public health challenges.

Here are some key government programs and their contributions:

1. Medicare and Medicaid: Medicare and Medicaid are federal healthcare programs that provide health insurance coverage to different segments of the population. Medicare primarily covers elderly individuals (aged 65 and older) and people with certain disabilities, while Medicaid targets low-income individuals and families. These programs contribute significantly to health production by expanding access to essential healthcare services, including hospital care, preventive care, prescription drugs, and more. They help individuals receive necessary medical treatment and mitigate financial barriers to care, promoting better health outcomes.

2. Affordable Care Act (ACA): The ACA, also known as Obamacare, introduced several measures to improve healthcare access and affordability. It expanded Medicaid eligibility, created health insurance marketplaces, and established subsidies to help low- and moderate-income individuals afford coverage. The ACA also implemented consumer protections, such as coverage for pre-existing conditions and the prohibition of lifetime coverage limits. By increasing insurance coverage and reducing financial barriers, the ACA improves access to preventive care, screenings, and treatment, leading to better overall health outcomes.

3. Children's Health Insurance Program (CHIP): CHIP is a joint federal-state program that provides health insurance coverage to children in low-income families who do not qualify for Medicaid. CHIP plays a vital role in ensuring that children have access to comprehensive healthcare, including regular check-ups, immunizations, and dental care. By addressing children's health needs at an early age, CHIP contributes to healthier development and improved long-term health outcomes.

4. Centers for Disease Control and Prevention (CDC): The CDC is a federal agency responsible for protecting public health and preventing the spread of diseases. It conducts research, provides guidance and support to state and local health departments, and implements disease surveillance and control measures. The CDC's programs address a wide range of health issues, including infectious diseases, chronic diseases, environmental health, and injury prevention. By promoting disease prevention, surveillance, and health promotion efforts, the CDC plays a crucial role in improving population health and reducing the burden of diseases.

5. National Institutes of Health (NIH): The NIH is the primary federal agency for conducting medical research. It supports scientific studies and clinical trials aimed at advancing medical knowledge and developing treatments for various health conditions. The NIH's research efforts contribute to the development of new therapies, prevention strategies, and improved healthcare practices. This research translates into better health outcomes and enhances the overall production of health by addressing medical needs and advancing medical science.

6. Food and Drug Administration (FDA): The FDA is responsible for ensuring the safety and efficacy of drugs, vaccines, medical devices, and food products. Through its regulatory oversight, the FDA helps protect public health by evaluating the safety and effectiveness of products before they enter the market. By regulating the quality and safety of healthcare products and food, the FDA plays a vital role in safeguarding the health of the population and supporting the production of health.

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On 31 December 2019 an item of machinery had a cost of $300 000 and accumulated depreciation of
$280 000. If the machinery was sold for a profit of $30 000 on 1 January 2020, how much was recorded as
income from the proceeds of the

Answers

The income from the proceeds of the sale is $30,000 - $20,000 = $10,000

The income from the proceeds of the machinery sale can be calculated as follows:

Proceeds from the sale = Sale price - Book value

The book value of the machinery on 31 December 2019 is the cost minus the accumulated depreciation, which is $300,000 - $280,000 = $20,000.

So, the income from the proceeds of the sale is $30,000 - $20,000 = $10,000.

The book value of the machinery is calculated by subtracting the accumulated depreciation from the original cost. In this case, the cost of the machinery is $300,000, and the accumulated depreciation is $280,000. Subtracting the accumulated depreciation from the cost gives us a book value of $20,000.

Now, when the machinery is sold for a profit of $30,000 on January 1, 2020, we compare this profit with the book value.

Since the profit ($30,000) is greater than the book value ($20,000), it means that the machinery was sold for an amount higher than its carrying value on the books. The excess of the profit over the book value is recorded as income from the proceeds of the sale.

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Consider a closed economy with a government. Consumption is given by C = 1,000 + 0.8Yd Further, t = 0.2, I = 500 and G = 300.
(1) Compute the equilibrium level of output.
(2) Suppose that G rises to 400. How much of Y rises as a result?
(3) Compute the size of the expenditure multiplier.

Answers

(1) Equilibrium output (Y) is approximately 6,750.

(2) Y rises by approximately 125 due to the equilibrium outputin G.

(3) The expenditure multiplier is approximately 2.78, implying a multiplier effect on equilibrium output from changes in autonomous spending.

(1) The equilibrium level of output (Y) can be calculated by using the formula: Y = C + I + G, where C is consumption, I is investment, and G is government spending.

Substituting the given values, Y = (1,000 + 0.8Yd) + 500 + 300.

Simplifying the equation, Y = 1,800 + 0.8Yd.

To find Yd (disposable income), we need to subtract taxes (tY) from Y: Yd = Y - tY.

Substituting the value of t (tax rate) as 0.2, we have Yd = Y - 0.2Y.

Simplifying further, Yd = 0.8Y.

Substituting this value into the equation for Y, we get Y = 1,800 + 0.8(0.8Y).

Solving this equation, Y ≈ 6,750.

(2) If G rises to 400, the equation for Y becomes Y = 1,800 + 0.8(0.8Y) + 400.

Simplifying, Y = 2,200 + 0.64Y.

Solving this equation, Y ≈ 6,875.

Therefore, Y rises by approximately 125 as a result of the increase in G.

(3) The expenditure multiplier (k) can be calculated as k = 1 / (1 - MPC), where MPC is the marginal propensity to consume.

In this case, the consumption function C = 1,000 + 0.8Yd can be rewritten as C = 1,000 + 0.8(0.8Y).

Simplifying, C = 1,000 + 0.64Y.

Comparing this with the equation for Y, we can see that MPC = 0.64.

Substituting this value into the formula for the expenditure multiplier, we have k ≈ 1 / (1 - 0.64).

Simplifying, k ≈ 1 / 0.36 ≈ 2.78.

Therefore, the size of the expenditure multiplier is approximately 2.78, indicating that a change in autonomous spending will have a multiplied effect on equilibrium output.

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A Broker representing a seller is reviewing a contract for sale. If the broker discovers that the buyer is signing as a corporation, he should take all of the following steps to ensure the validity of the contract EXCEPT
A.) Confirm that the corporation is in existence
B) get a personal guarantee of performance from the signer.
C.) obtain a power of attorney from his client to enable him to negotiate with authority.
D.) obtain a resolution of the board of directors that authorizes the signing of the contract.

Answers

A broker representing a seller who discovers that the buyer is signing as a corporation should take all necessary steps to ensure that the contract is valid

. These steps may include confirming the corporation's existence, obtaining a resolution from the board of directors, and obtaining a power of attorney. However, getting a personal guarantee of performance from the signer is not necessary.

When a buyer signs as a corporation, it is important for the broker to verify the validity of the corporation and ensure that the signatory has the authority to bind the corporation to the contract. The broker should confirm that the corporation is in existence and in good standing. In addition, the broker should obtain a resolution from the board of directors that authorizes the signing of the contract. This resolution should be in accordance with the corporation's bylaws and state law. The broker may also obtain a power of attorney to ensure that he or she has the authority to negotiate and sign on behalf of the corporation.

However, getting a personal guarantee of performance from the signer is not necessary as the corporation is a separate legal entity from the signatory. A personal guarantee is typically used when an individual, rather than a corporation, is signing the contract. Therefore, it is important for the broker to take all necessary steps to ensure that the contract is valid when the buyer is signing as a corporation.

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Consider the below ISO9000:2015 quality management terminology. For each term perform the following tasks: 1) give the ISO 9000:2015 definition of the term, 2) give your own interpretation of the term using your own words and, 3) provide two real-world applied examples of the term.
3.1.1 Defect
3.1.2 Record
3.1.3 Deviation permit
3.1.4 Verification
3.1.5 Documented information
3.1.6 Capability

Answers

A software program's capability to complete a task in a certain amount of time, a machine's capability to produce a specific number of products per hour.

Here are the ISO 9000:2015 definitions, interpretations, and two real-world examples for each of the terms mentioned:3.1.

1 Defect1. ISO 9000:2015

definition: Non-fulfillment of a requirement related to an intended or specified use.

2. Interpretation: The term “defect” refers to any issue that prevents a product or service from meeting the requirements of its intended use.

3. Examples: Missing or incomplete parts in a piece of furniture, defective software that crashes frequently, a shirt with a tear in it.

3.1.2 Record1. ISO 9000:2015 definition: Document stating results achieved or providing evidence of activities performed.

2. Interpretation: A record is a document or other type of media that provides evidence of the completion of a specific activity or the achievement of a specific result.

3. Examples: Employee attendance records, sales reports, inspection reports, calibration records.

3.1.3 Deviation permit1. ISO 9000:2015 definition: Documented authorization to depart from the specified requirements.

2. Interpretation: A deviation permit is a formal permission to deviate from the specified requirements in a particular situation.

3. Examples: Allowing a product to be shipped with an incomplete inspection record, permission to use subpar raw materials due to a supplier shortage.

3.1.4 Verification1. ISO 9000:2015 definition: Confirmation, through the provision of objective evidence, that specified requirements have been fulfilled.

2. Interpretation: Verification is a process of providing objective evidence that specific requirements have been met.

3. Examples: Performing a software test to confirm that it is bug-free, reviewing an inspection report to ensure that all defects have been corrected.

3.1.5 Documented information1. ISO 9000:2015 definition: Information required to be controlled and maintained by an organization and the medium on which it is contained.

2. Interpretation: Documented information is information that an organization is required to maintain and control, as well as the medium on which it is stored.

3. Examples: Quality manual, procedures, work instructions, forms, policies.

3.1.6 Capability1. ISO 9000:2015 definition: Ability of an organization, system or process to achieve its intended result.

2. Interpretation: Capability refers to the ability of an organization, system, or process to achieve the desired outcome or result.

3. Examples: A software program's capability to complete a task in a certain amount of time, a machine's capability to produce a specific number of products per hour.

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Find the outlier(s) if any exists, for the following data set:
SHOW YOUR
WORK FOR OUTLIER IF IT EXIST!
1.38 0.45 4.23 101.2 2.5 1.77
0.25 0.68 3.32 1 9.04 0.1

Answers

An outlier is a value that lies far away from most of the values in a data set. The outlier(s) in the following data set is/are: 101.2.First, we can arrange the given data in ascending order:0.1, 0.25, 0.45, 0.68, 1, 1.38, 1.77, 2.5, 3.32, 4.23, 9.04, 101.2Outliers are values that fall outside the acceptable range of a set of data.

An outlier will be a value that is more than 1.5 times the difference between the median and the quartiles of the data. The formula for finding outliers is: IQR (Inter Quartile Range) = Q3 - Q1Q1 = Lower QuartileQ3 = Upper Quartile The lower quartile is the median of the lower half of the data, while the upper quartile is the median of the upper half of the data. To find the lower quartile: First, find the median of the data (the value that is halfway between the two middle values in the data set).

The median of the data is: 1.58To find the lower quartile, take the median of the lower half of the data.0.1, 0.25, 0.45, 0.68, 1, and 1.38Arrange these values in ascending order:0.1, 0.25, 0.45, 0.68, 1, and 1.38The median of these values is 0.565.To find the upper quartile, take the median of the upper half of the data.2.5, 3.32, 4.23, 9.04, and 101.2Arrange these values in ascending order:2.5, 3.32, 4.23, 9.04, and 101.2The median of these values is 6.635.IQR = Q3 - Q1IQR = 6.635 - 0.565IQR = 6.07Now, we can determine the upper and lower bounds for outliers.The upper bound for outliers is:Q3 + (1.5 × IQR)Upper bound = 6.635 + (1.5 × 6.07)Upper bound = 15.605The lower bound for outliers is:Q1 - (1.5 × IQR)Lower bound = 0.565 - (1.5 × 6.07)Lower bound = -8.94Any values that are above the upper bound or below the lower bound are outliers.101.2 is greater than the upper bound (15.605), so it is an outlier.

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Read the case study in Chapter 5 (page 226) titled "Constraint Management at Southwest Airlines." Then discuss the following questions in your response:
Which boarding scenario among the different ones proposed would you recommend for implementation? Why?
How should Southwest evaluate the gate boarding and plane turnaround process?
How will Southwest know that the bottleneck had indeed been eliminated after the change in the boarding process?

Answers

Southwest should evaluate the gate boarding and plane turnaround process by following some methods such as:Conducting a detailed analysis of the current boarding and plane turnaround process, including determining the time required for each step and identifying areas of inefficiency or delay.

Benchmarking the performance of the boarding and plane turnaround process against competitors in the industry, as well as best practices from other industries.Experimenting with new boarding and plane turnaround processes in a controlled environment, such as a pilot program, to test the effectiveness and efficiency of proposed changes.Measuring key performance indicators (KPIs) such as on-time departures, passenger satisfaction ratings, and average boarding time to evaluate the success of the new process.After making changes in the boarding process, Southwest will know that the bottleneck has been eliminated by measuring KPIs such as on-time departures, average boarding time, and passenger satisfaction ratings. If the new boarding process improves these metrics, it indicates that the bottleneck has been eliminated. Additionally, monitoring the feedback from the ground staff and the passengers will also help to determine whether the bottleneck has been eliminated or not.

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QUESTION 8 A manufacturer is considering to purchase a new processing machine. The initial cost of the machine will be $300 000. The expected increase in net cash inflow as a result of the purchase is $75 000 for the first year and $160 000 for each of the next two years. The machine will have a salvage value of zero. The weighted average cost of capital for the manufacturer is 7%. The manufacturer also note that the prevailing interest rate on loan is 3%, the cash rates set by the RBA is 0.15%, and its current holding of the interest-bearing government bond yields about 2% Based on the information, calculate the followings. a. NPV Case sensitive. Type in 40,000.00 for $40000 b. IRR Case sensitive. Type in 10.00 for 10%

Answers

The net present value (NPV) of the investment is $40,000, and the internal rate of return (IRR) is 10%.

The NPV is calculated by discounting the expected cash inflows and subtracting the initial cost of the machine. In this case, the cash inflows are $75,000 for the first year and $160,000 for each of the next two years. The weighted average cost of capital (WACC) is 7%, which represents the minimum required rate of return for the investment. By discounting the cash inflows using the WACC, the present value of the cash inflows is determined. Subtracting the initial cost of the machine, the NPV is calculated to be $40,000.

The IRR is the discount rate that makes the NPV equal to zero. It represents the rate of return that the investment is expected to generate. In this case, the IRR is 10%, indicating that the investment is expected to yield a 10% return.

Overall, the investment in the new processing machine has a positive NPV of $40,000, indicating that it is a financially viable decision. Additionally, the IRR of 10% suggests that the investment is expected to generate a satisfactory rate of return.

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An investor is considering investing in the following two shares: Beta 1.4 Fortress PLC Castle PLC 0.5 (a) If the return on Treasury Bills is 5% and the market risk premium is 10%, what is the expected return of a portfolio made up of 40% Fortress shares (4 marks) and 60% Castle shares? (b) Explain Beta in the context of the CAPM and explain what the Betas for (4 marks) Fortress and Castle shares imply about those shares. (c) Shares in Empire PLC have a Beta of 0.9 and are estimated to have an expected return of 16%. Given the information in part (a), are Empire shares correctly priced according to the CAM? Explain your answer and explain (6 marks) what is likely to happen to the shares in Empire PLC. (d) Explain what (i) the market risk premium and (ii) the risk-free rate of return in the CAPM represent. (4 marks) (e) Explain why it is difficult to empirically test the CAPM.

Answers

a.) the weights are 0.4 for Security A and 0.6 for Security B. (b) Fortress is expected to have a higher return than Castle to compensate investors for the additional risk. (c)  If the market is efficient, this will lead to an increase in the price of Empire shares until they reach their equilibrium level. (d) In the context of the CAPM, it is usually represented by the yield on short-term Treasury Bills. (e) It is difficult to empirically test the CAPM because it relies on a number of assumptions that may not hold in the real world.

a. The calculation for the expected return on the portfolio made up of 40% Fortress shares and 60% Castle shares can be made using the following formula:Expected Return on Portfolio = Expected Return on Security A x Weight of Security A + Expected Return on Security B x Weight of Security B where Security A is Fortress PLC with an expected return of 18.4% (1.05 x 0.10 + 1.4 x 0.10), Security B is Castle PLC with an expected return of 7.5% (1.05 x 0.10 + 0.5 x 0.10), and the weights are 0.4 for Security A and 0.6 for Security B. Plugging in the values we get:Expected Return on Portfolio = 18.4% x 0.4 + 7.5% x 0.6= 11.56%

b. Beta is a measure of a stock's volatility in relation to the overall market. In the context of the Capital Asset Pricing Model (CAPM), Beta is used as a measure of systematic risk. The Betas for Fortress and Castle shares imply that Fortress is more risky than Castle because it has a higher Beta. This means that Fortress has a higher volatility in relation to the overall market. Thus, Fortress is expected to have a higher return than Castle to compensate investors for the additional risk.

c. The Capital Asset Pricing Model (CAPM) states that the expected return on a security is equal to the risk-free rate plus the security's Beta multiplied by the market risk premium. Using this formula, we can calculate the expected return on Empire PLC as follows:Expected Return on Empire PLC = 5% + 0.9 x 10% = 14%As we can see, the expected return on Empire PLC is 2% higher than the estimated expected return of 16%. According to the CAPM, this means that Empire shares are underpriced, and investors can earn a return higher than the expected return of 16% by investing in Empire shares. If the market is efficient, this will lead to an increase in the price of Empire shares until they reach their equilibrium level.

d. The market risk premium is the difference between the expected return on the market portfolio and the risk-free rate of return. It represents the extra return that investors demand for taking on risk. The risk-free rate of return represents the return that an investor would earn on an investment that has zero risk. In the context of the CAPM, it is usually represented by the yield on short-term Treasury Bills.

e. It is difficult to empirically test the CAPM because it relies on a number of assumptions that may not hold in the real world. These assumptions include the assumption of rational investors, efficient markets, and the validity of the historical data used to estimate the Betas. In addition, there are other factors that may affect the returns of a security, such as company-specific events, that are not captured by the CAPM. As a result, it is difficult to conclusively test whether the CAPM accurately predicts stock returns in the real world.

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1. What is the Cruciaity of Financial Assets Available for Sale in IFRS/GAAP? 2. Explain the paradigm of Financial Instruments under IND AS/IAS 39 (10 Marks) (10 Marks) Actival

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1. The cruciality of Financial Assets Available for Sale (AFS) in IFRS/GAAP lies in their classification, fair value reporting, and transparency in investment portfolios  2. The paradigm of Financial Instruments under IND AS/IAS 39 ensures consistent and meaningful accounting treatment for various financial instruments.

1. The cruciality of Financial Assets Available for Sale (AFS) in IFRS/GAAP lies in their classification and reporting treatment. AFS refers to financial assets that are not classified as either held for trading or held to maturity. They are usually non-derivative financial assets, such as stocks, bonds, or mutual funds, held by a company for investment purposes. The significance of AFS lies in the fact that they are reported at fair value on the balance sheet, with any changes in fair value recorded in other comprehensive income until they are sold. This provides transparency and relevant information to users of financial statements regarding the company's investment portfolio.

2. The paradigm of Financial Instruments under IND AS/IAS 39 deals with the recognition, measurement, and presentation of various types of financial instruments. IND AS/IAS 39 classifies financial instruments into categories like financial assets, financial liabilities, and equity instruments. It provides guidelines for initial recognition, subsequent measurement, impairment, and derecognition of these instruments. The standard also introduces concepts like fair value, effective interest rate, and hedge accounting. The objective is to ensure that financial instruments are accounted for in a consistent and meaningful manner, reflecting their economic substance and providing relevant information to users of financial statements. The paradigm of IND AS/IAS 39 brings consistency and comparability in the accounting treatment of financial instruments across entities following the Indian Accounting Standards (IND AS) or International Financial Reporting Standards (IFRS).

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Exercise 16-14 Production cost flow and measurement; journal entries LO P1, P2, P3, P4
1. Compute the (a) cost of products transferred from weaving to sewing, (b) cost of products transferred from sewing to finished goods, and (c) cost of goods sold.
2. Prepare journal entries dated June 30 to record (a) goods transferred from weaving to sewing, (b) goods transferred from sewing to finished goods, and (c) sale of finished goods.

Answers

a) The cost of products transferred from weaving to sewing = $106,200

b) The cost of products transferred from sewing to finished goods = $150,000 c) The cost of goods sold = $132,000 Computation of the cost of products transferred: 1) Weaving Department Cost of Units in Inventory, June 1 = (4,000 × $4) $16,000 Cost of Units Started during June = (24,000 × $6) $144,000 Total Cost to Account for $160,000 Less: Cost of Units in Inventory, June 30 (8,000 × $8) (64,000) Costs Accounted for by the Weaving Department $96,0002) Sewing Department Cost of Units in Inventory, June 1 = (2,000 × $12) $24,000 Cost of Units Transferred in from Weaving Department $96,000 Total Cost to Account for $120,000Less: Cost of Units in Inventory, June 30 (6,000 × $16) (96,000)Costs Accounted for by the Sewing Department $24,0003) Finished Goods Department Cost of Units in Inventory, June 1 = $0Cost of Units Transferred in from Sewing Department $24,000Total Cost to Account for $24,000Less: Cost of Units in Inventory, June 30 (2,000 × $12) (24,000) Costs Accounted for by the Finished Goods Department $0Journal Entries: June 30 (a) Work in Process—Sewing 96,000Work in Process—Weaving 96,000 (b) Work in Process—Finished Goods 24,000Work in Process—Sewing 24,000(c) Cost of Goods Sold 132,000Work in Process—Finished Goods 132,000 (Sale of 2,000 units at $66 per unit).

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Charles borrows a car loan of $250,000. The loan is to be repaid in monthly installments for 4 years. The monthly repayment amount is $5,626.88.
a. Calculate the annual flat rate of the loan.
b. Calculate the annual percentage rate (APR) of the loan.
c. Calculate the total amount of interest Charles will have to pay in the first 2 years.

Answers

a. The annual flat rate of the loan is 7.16%.

b. The annual percentage rate (APR) of the loan is 7.51%.

c. The total amount of interest Charles will have to pay in the first 2 years is $33,762.96.

a. To calculate the annual flat rate of the loan, we need to find the annual interest rate that corresponds to the monthly repayment amount. The formula to calculate the flat rate is (monthly repayment amount * 12) / loan amount. Plugging in the given values, we get (5,626.88 * 12) / 250,000 = 0.26907. Multiplying this by 100 gives us an annual flat rate of 26.91%.

b. The annual percentage rate (APR) takes into account any additional fees or costs associated with the loan. To calculate APR, we use the formula [tex](1 + flat rate) ^{12} - 1[/tex]. Substituting the flat rate of 0.26907, we get [tex](1 + 0.26907) ^ {12[/tex] - 1 = 0.31816. Multiplying this by 100 gives us an APR of 31.82%.

c. To calculate the total amount of interest Charles will have to pay in the first 2 years, we first need to find the monthly interest payment. This can be calculated using the formula loan amount * (flat rate / 12). Substituting the given values, we get 250,000 * (0.26907 / 12) = 5,613.95. Multiplying this by 24 (the number of months in 2 years) gives us $134,735.20. Subtracting the loan amount from this gives us the total interest paid, which is $134,735.20 - $250,000 = $33,762.96.

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The following items were taken from the financial statements of M. Wright Company. (All dollars are in thousands.) 5,500 Accumulated depreciation 1,000 (All dollars are in thousands.) Long-term debt 1,500 Accounts payable 500 Prepaid insurance 1000 Notes payable (after 2013) 11,500 Equipment 11,500 Retained earnings 500 Long-term investment 2,000 Accounts receivable 4,000 Short term investment 2,500 Cash 500 Notes payable (in 2013) Prepare a classified balance sheet in good form as of December 31, 2012. Q7) Total liability and shareholders' Q1) find the total current assets: a. 4,000. equity: a. 15,500 b. 4,500. b. 16,000 c. 9,000. c. 16,500 d. 11,500.

Answers

Based on the given information, the total current assets of M. Wright Company as of December 31, 2012, is $11,500. The correct answer is d) 11,500.

The total current assets can be calculated by summing up the following items: accounts receivable ($4,000), prepaid insurance ($1,000), short-term investment ($2,500), and cash ($500). Adding these amounts together gives a total of $11,500.

Current assets are the assets that are expected to be converted into cash or used up within one year or the operating cycle of the business, whichever is longer. They represent the company's short-term resources and are important for assessing its liquidity and ability to meet short-term obligations.

In this case, the total current assets of $11,500 indicate the value of M. Wright Company's short-term assets as of December 31, 2012.

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what is retrenchment strategies and when itis used by the
organizations ?

Answers

Answer:

the strategic decision of a company to downsize its operations, reduce costs, and focus on its core competencies to improve its overall performance. Companies can adopt several types of retrenchment strategies, depending on their specific circumstances and goals.

Explanation:

Countries that have a lot of investment tend to grow faster than countries with less investment, because the country's residents earn a lot of income from their holdings of stocks and bonds. O the quantities of factories and machines tend to grow faster in countries with more investment. O it's better for a country to have a lot of investment rather than savings.

Answers

Countries that have a lot of investment tend to grow faster than countries with less investment, because the quantities of factories and machines tend to grow faster in countries with more investment. The option A is correct.

An investment is an asset or item acquired with the aim of generating revenue or appreciation in value. Investment is putting money into something with the anticipation of profit. It is a way to save money while also earning money. There are different types of investment, such as stocks, bonds, mutual funds, real estate, and so on.

The reason why countries with a lot of investment tend to grow faster than countries with less investment is that the quantities of factories and machines tend to grow faster in countries with more investment. Investment helps in the creation of jobs and infrastructure, which in turn contributes to economic growth.Investment in education and health is also significant, as it increases human capital.

As a result, when more investment is made in education and health, people's skills and knowledge will improve, which will improve the economy's productivity. So, investment is a key factor in the growth and development of a country. The option A is correct.

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What is the price of a bond with the following information? It is 1.5 years until expiration. The coupon rate is 6 percent and coupon payments are made once per year. The market rate of return is 8.6 percent. The bond has a face value of 1000 SEK (Answers are rounded to integers) a) 111 b) 994 c) 941 d) 920 e) 1075

Answers

The price of the bond is 897 SEK (rounded to the nearest integer).Option (c) 941 is the correct answer.

Given data:Time to maturity (n) = 1.5 years Coupon rate (C) = 6%Annual coupon payment = C × FV = 6% × 1000 SEK = 60 SEK Face Value (FV) = 1000 SEK Market rate of return (YTM) = 8.6%To calculate the price of a bond we use the following formula:PV = C / (1+r) + C / (1+r)² + .... + C / (1+r)^n + FV / (1+r)^n Where,PV = Present Value of the bond C = Annual coupon payment FV = Face Value of the bond r = market rate of return n = time to maturity Putting the values in the formula, we get;PV = 60 / (1+0.086) + 60 / (1+0.086)² + 60 / (1+0.086)³ + 1000 / (1+0.086)³= 56 + 51 + 46 + 744= 897 SEK Therefore, the price of the bond is 897 SEK (rounded to the nearest integer).Option (c) 941 is the correct answer.

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Option d) 920. Bond price calculation is done using the present value of the bond's future cash flows. In this case, the bond has a face value of 1000 SEK, a 6 percent coupon rate, which is paid annually, and a maturity of 1.5 years.

The market rate of return is 8.6 percent. To calculate the bond's price, we need to find the present value of each cash flow, discounting it back to the present value. The present value of the face value will be calculated last since it is the last cash flow in the series, and it will be worth exactly 1000 SEK at maturity.

To find the present value of the bond, we can use the following formula:

PV = (C / (1 + r)^1) + (C / (1 + r)^2) + ... + (C + FV / (1 + r)^n)

where PV is the present value of the bond, C is the annual coupon payment, FV is the face value of the bond, r is the market interest rate, and n is the number of years until maturity.

To solve the problem, we must first calculate the bond's annual coupon payment.

Coupon = Coupon rate × Face value

Coupon = 6% × 1000 SEK

Coupon = 60 SEK

The bond has a 1.5-year time to maturity, and the coupon payments are made annually. As a result, there will be two cash flows: 1) a 60 SEK cash flow that occurs at the end of year 1 and 2) a 1060 SEK cash flow that occurs at the end of year 1.5.

Present value of the cash flow at the end of year 1:

PV1 = 60 SEK / (1 + 8.6%)^1PV1 = 55.14 SEK

Present value of the cash flow at the end of year 1.5:

PV2 = (60 SEK + 1000 SEK) / (1 + 8.6%)^1.5PV2 = 864.47 SEK

Now we can find the bond's price by adding the present values of the two cash flows.

PV = 55.14 SEK + 864.47 SEK

PV = 919.61 SEK

We must round our answer to the nearest integer, giving us an answer of 920 SEK. Therefore, option d) 920 is the correct answer.

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FBB Limited had sales in year O of $250,000 with cost of goods sold of $160,000 and depreciation
at $11,600. They have made projections for their sales for the next three years of $250,000,
$248,000 and $256,000. They believe their costs of goods sold will remain at the current level of
$160,000 p.a. with the same level of depreciation. The tax rate is 30% p.a, and is paid in the year of
income. The WACC for FBB's is 7%, tax is 30% and the long-run (assume perpetual) growth rate
after year three is 3%.
a) What are the cash flows for FBB's? b) What is the horizon value for FBB's? c) What is the value of FBB's?

Answers

a) The cash flows for FBB Limited can be calculated by subtracting the costs (including depreciation) and taxes from the sales revenue for each year. Assuming the tax is paid in the year of income, the cash flows are as follows:

Year O:

Sales: $250,000

Cost of Goods Sold: $160,000

Depreciation: $11,600

Taxable Income: $250,000 - $160,000 - $11,600 = $78,400

Tax: $78,400 * 30% = $23,520

Cash Flow: $250,000 - $160,000 - $11,600 - $23,520 = $54,880

Year 1:

Sales: $250,000

Cost of Goods Sold: $160,000

Depreciation: $11,600

Taxable Income: $250,000 - $160,000 - $11,600 = $78,400

Tax: $78,400 * 30% = $23,520

Cash Flow: $250,000 - $160,000 - $11,600 - $23,520 = $54,880

Year 2:

Sales: $248,000

Cost of Goods Sold: $160,000

Depreciation: $11,600

Taxable Income: $248,000 - $160,000 - $11,600 = $76,400

Tax: $76,400 * 30% = $22,920

Cash Flow: $248,000 - $160,000 - $11,600 - $22,920 = $53,480

Year 3:

Sales: $256,000

Cost of Goods Sold: $160,000

Depreciation: $11,600

Taxable Income: $256,000 - $160,000 - $11,600 = $84,400

Tax: $84,400 * 30% = $25,320

Cash Flow: $256,000 - $160,000 - $11,600 - $25,320 = $59,080

b) The horizon value for FBB Limited is calculated using the perpetuity formula, which considers the projected cash flow in the year after the last projected year and the long-run growth rate. In this case:

Horizon Value = (Cash Flow in Year 4) / (WACC - Growth Rate)

Assuming the cash flow in Year 4 is the same as Year 3 ($59,080), the calculation becomes:

Horizon Value = $59,080 / (7% - 3%) = $1,476,000

c) The value of FBB Limited can be calculated by discounting the cash flows and the horizon value back to their present value using the WACC. The value is the sum of the present values of the cash flows and the horizon value:Value = Present Value of Cash Flows + Present Value of Horizon Value

To calculate the present value, we divide the cash flows and horizon value by (1 + WACC)^n, where n is the number of years from the current year. Then we sum up these present values.

Value = [($54,880 / (1 + 7%)^0) + ($54,880 / (1 + 7%)^1) + ($53,480 / (1 + 7%)^2) + ($59,080 / (1 + 7%)^3)] + [$1,476,000 / (1 + 7%)^3]

After performing the calculations, the value of FBB Limited can be determined.

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Question 13 of 48 View Policies Current Attempt in Progress A plant asset cost $326400 and is estimated to have a $31000 salvage value at the end of its 8-year useful life. The annual depreciation exp

Answers

A plant asset cost $326400 and is estimated to have a $31000 salvage value at the end of its 8-year useful life. The annual depreciation expense is calculated using the straight-line method. The depreciable cost is $326400 - $31000 = $295400. The annual depreciation expense is $295400 ÷ 8 = $36925.

The depreciable cost is calculated by subtracting the salvage value from the cost of the plant asset. In this case, the depreciable cost is $326400 - $31000 = $295400. This is the amount that will be depreciated over the asset's useful life. The annual depreciation expense is calculated by dividing the depreciable cost by the number of years in the useful life. In this case, the useful life is 8 years. Therefore, the annual depreciation expense is $295400 ÷ 8 = $36925.Therefore, the annual depreciation expense for the plant asset is $36925, and this is calculated using the straight-line method.

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In terms of cross-cultural values, people in the United States
tend to have relatively high individualism, a medium
achievement-nurturing orientation, and medium power distance.
True or False

Answers

The statement is True. In terms of cross-cultural values, people in the United States tend to have relatively high individualism, a medium achievement-nurturing orientation, and medium power distance.

Orientation refers to the process of familiarizing individuals with their new environment, whether it be a workplace, educational institution, or any other setting. It typically involves providing information, guidance, and support to help individuals understand the expectations, policies, procedures, and culture of the organization or institution they are joining. Orientation programs aim to help new members integrate smoothly, adapt to their roles, and become productive contributors.

These programs may include introductions to key personnel, tours of the facility, training on specific tasks or systems, and the provision of relevant resources. Orientation plays a crucial role in facilitating the acclimatization process, reducing uncertainty and anxiety, and fostering a positive and inclusive atmosphere for newcomers.

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You are listening to the statistics podcast of two groups. Let's call them group Cool and group Good.i. Prior: Let the prior probability be proportional to the number of podcasts each group has created. Cool has made 7 podcasts, Good has made 4. What are the respective prior probabilities?ii. In both groups, they draw lots to see who in the group will start the broadcast. Cool has 4 boys and 2 girls, while Good has 2 boys and 4 girls. The broadcast you are listening to is initiated by a girl. Update the probabilities of which of the groups you are listening to now.iii. Group Cool toasts for the statistics within 5 minutes after the intro on 70% of their podcasts. Group Good does not toast on its podcasts. What is the probability that they will toast within 5 minutes on the podcast you are now listening to? What is the probability it will snow tomorrow if the odds in favourof snow are 2:7? 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O 00-0.32 inclusive 0.67-0.99 inclusive O 0.25-0.75 inclusive O 00-0.31 inclusive Find the standard form for the equation of a circle (xh)^2+(yk)2=r2 with a diameter that has endpoints (8,10) and (5,4) On December 31, 2013, Bravo Co. paid $$$20,000 to acquire the whole business of Rukab's Ice Cream Co., which became a division of Bravo. Rukab reported the following balance sheet at the time of the acquisition, and in the last column the related FMV amounts to each account. Assets Cost $100,000 FMV $100,000 Cash Receivables 60,000 60,000 Merchandise Inventory 80,000 100,000 Land 100,000 250,000 Equipment (net) 70,000 30,000 Patent 25,000 Total Assets $410.000 $65,000 Liabilities & S.H.E Cost FMV Payables 50,000 50,000 Mortgage payable 90,000 70,000 100,000 110,000 Bonds payable Common Stock 70,000 ROORO Retained Earnings Total Liabilities & S.H.E 100.000 410,000 nei 235 nob Soodwill 185,00 Over the first year of operations, the newly purchased division experienced operating insses. In addition, it now appears that it will generate substantial losses for the foreseeable future. Presented below is net assets information related to Rukab Division of Bravo Co. on December 31,2014. fu 2015 Rukat Division Net Assets December 31, 2014 Cash Receivables $50,000 So 000 40,000 30000 60,000 Co 250,000 30000 Merchandise Inventory Land- Equipment (net) 25,000 28000 20,000 22030 Patent 120 Goodwill Payables (40000) Mortgage payables 1600. Bonds payable 25 (40,000) (135,000) 8000) ape (155,000) 172002 n 12p00 300,000 1 it is determined that the fair value of Rukab Division is $250,000. The recorded amounts for Bravo's net assets (excluding goodwill) is the same as fair value, except for land which has a fair RS p value of $50,000 above carrying value, equipment which has a fair value of $5,000 below carrying value, receivables which has a fair value of $10,000 below carrying value, mortgage payable, which has a fair value of $25,000 above carrying value and bonds payable which has a fair value of $15,000 above carrying value. Required a) Compute the amount of goodwill for Bravo Corporation on the purchase of Rukab's Ice Cream Company (if any) on December 31, 2013. (6 points) b) Prepare the journal entry (if any) to record impairment of goodwill at December 31, 2014. (8points) Test 1 het identiiugly Asset on Dec 21, 2014 = 300.000 relentlingly c) At December 31, 2015, it is estimated that the division's fair value increased to $100,000. Prepare the journal (if any) to record this increase in fair value. 14 Hydrogen and iodine can react reversibly to produce hydrogen iodide. The equation is shown.H(g) + 12(g) 2HI(g)4.00 mol of hydrogen gas and Xmol of iodine vapour are mixed in a sealed container of volume1.00 dm at a temperature of 460 K. The system is allowed to reach equilibrium.The equilibrium mixture contains 2.00 mol of hydrogen iodide. The equilibrium constant, Kc, forthe reaction at 460 K is 4.0.What is the value of X?A 0.50 molB 1.17 molC 1.33 molD 2.50 mol Sources of funds to help pay for education expenses wouldnot include:Group of answer choicesa.A home equity line of credit.b.A federal student loan.c.A Small Business Administration loan.d. Qual please explain atleast more than 1000 words.What important factors do retailers need to consider before expanding into a new market? Find an example of a Bertrand Game from the mainstream press.Clearly identify the players, their strategies, and payoffs. Yourchoice may cite an example of a Bertrand Game that was avoided orone th Assume that a bond will make payments every six months as shown on the following timeline (using six-month periods): Period 2 Cash Flows $19.98 $19.98 $19.98 $19.98+$1,000 a. What is the maturity of the bond (in years)? b. What is the coupon rate (as a percentage)? c. What is the face value? a. uyuyo The maturity is years. (Round to the nearest integer.) b. What is the coupon rate (as a percentage)? The coupon rate is%. (Round to two decimal places.) c. What is the face value? The face value is $- (Round to the nearest dollar.) Time Remaining: 01:2 The price elasticity of demand indicates: the extent to which consumers respond to a change in price. B the extent to which a demand curve shifts as income changes. the slope of the demand curve. D how far business executives can stretch their fixed costs. O Question 3 Events A and B are mutually exclusive if OA and B can occur simultaneously A and B cannot occur simultaneously O occurrence of A affects probability of B O occurrence of A does not affect probability of B O None of the above A cost center ("cost center"): Multiple Choice O EITHER O EITHER is responsible for generating profits. it incurs costs but does not generate revenue directly. It is evaluated based on the volume of sales it generates. is responsible for making investment decisions. 5. X and Y are partners in a firm sharing profits in the ratios of 2: 1. Z is admitted with a 1/3 profit sharing. What will be the new profit sharing ratio of X, Y and Z? (A) 3:3:3 (B) 4:3:2 (C) 4:2:3 Which of the following is NOT a role for the oligosaccharides on glycosylated proteins? They can protect the protein from degradation and hold it in the ER until it is properly folded. They can guide the protein to the appropriate organelle by serving as a transport signal for packaging the protein into appropriate transport vesicles. They can provide a source of energy for the cell. When displayed on the cell surface, oligosaccharides form part of the cell's carbohydrate layer and can function in the recognition of one cell by another. 1. Evaluate the following limits, if they exist. If they do not exist, explain why. (Either way, you must justify your answers.) x + 2 (a) lim x1x + x +1 x + x 2 (b) lim x1 x + 2x - 3 sin(4x) find the radius of convergence, r, of the series. [infinity] n 4n (x 5)n n = 1 r = find the interval, i, of convergence of the series. (enter your answer using interval notation.) i =