Describe and summarize the key financial statements used in a
business organization. Explain three to five key financial ratios
used to analyze a company.

Answers

Answer 1

These financial ratios help investors, creditors, and stakeholders assess a company's financial performance, profitability, liquidity, and solvency, aiding in decision-making processes.

The key financial statements used in a business organization are the income statement, balance sheet, and cash flow statement.

The income statement provides a summary of a company's revenues, expenses, and net income over a specific period. It shows the profitability of the business and highlights whether it is generating a profit or a loss.

The balance sheet provides a snapshot of a company's financial position at a specific point in time. It presents the company's assets (such as cash, inventory, and property), liabilities (such as debts and loans), and shareholders' equity. It helps to assess the company's liquidity and solvency.

The cash flow statement tracks the cash inflows and outflows from operating, investing, and financing activities. It shows how cash is generated and used by the company, providing insights into its ability to generate cash and its financial flexibility.

Financial ratios are used to analyze a company's financial performance and health. Three key ratios are:

Profitability ratios: These measure the company's ability to generate profits. Examples include gross profit margin (gross profit/revenue), net profit margin (net income/revenue), and return on equity (net income/shareholders' equity).

Liquidity ratios: These assess the company's ability to meet short-term obligations. Examples include the current ratio (current assets/current liabilities) and the quick ratio (quick assets/current liabilities).

Debt ratios: These evaluate the company's leverage and solvency. Examples include debt-to-equity ratio (total debt/shareholders' equity) and interest coverage ratio (earnings before interest and taxes/interest expense).

These financial ratios help investors, creditors, and stakeholders assess a company's financial performance, profitability, liquidity, and solvency, aiding in decision-making processes.

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Related Questions

Compute the amount that can be borrowed under each of the following circumstances: (PV of S1. EV of D. PVA of $1, and EVA of S1) (Use appropriate factor(s) from the tables provided. Round your "Toble value" to 4 decimal places.) 1. A promise to repay $90.000 seven years from now at an interest rate of 6%. 2. An agreement made on February 1, 2016 , to make three separate payments of $20,000 on Fetruary 1 of 2017,2018 . and 2019 . The annual interest rate is 10%.

Answers

The answer is , the amount that was borrowed is $50,256.

How to find?

Given:

PV of S1 = Present value of $1

EV of D = Future value of $1

PVA of $1 = Present value of annuity of $1

EVA of S1 = Future value of annuity of $1

The amount that can be borrowed under each of the following circumstances are:

1. Promise to repay $90.000 seven years from now at an interest rate of 6%.

Solution:

The present value of $1 at 6% interest for 7 years is 0.5584.

So, the amount borrowed is:

$90,000 × 0.5584 = $50,256.

2. An agreement made on February 1, 2016, to make three separate payments of $20,000 on February 1 of 2017, 2018, and 2019.

The annual interest rate is 10%.

How to find?

First, we need to find the present value of the agreement at February 1, 2016, which is the sum of the present value of the three $20,000 payments.

The present value of $1 at 10% interest for 1 year is 0.9091.

The present value of $1 at 10% interest for 2 years is 0.8264.

The present value of $1 at 10% interest for 3 years is 0.7513.

Present value of first payment of $20,000 = $20,000 × 0.9091

= $18,182

Present value of second payment of $20,000 = $20,000 × 0.8264

= $16,528

Present value of third payment of $20,000 = $20,000 × 0.7513

= $15,026

Present value of the agreement = $18,182 + $16,528 + $15,026

= $49,736

The amount borrowed is $49,736, which is the present value of the agreement.

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Fanning Company reported the following operating results for two consecutive years: Required Compute each income statement component for each of the two years as a percent of sales. Note: Percentages may not add exactly due to rounding. Round your answers to 1 decimal place. (i.e., 0.234 should be entered as 23.4).

Answers

We can calculate each income statement component as a percent of sales by dividing each component by the sales for each year.

How  to find?

This is shown below:

Year 1:

Year 2:

Sales

$4,000,000

$5,000,000

Cost of goods sold

2,400,000 / $4,000,000 = 0.60 or 60%

3,000,000 / $5,000,000 = 0.60 or 60%

Gross profit

1,600,000 / $4,000,000 = 0.40 or 40%

2,000,000 / $5,000,000 = 0.40 or 40%

Operating expenses

950,000 / $4,000,000 = 0.2375 or 23.8%

1,100,000 / $5,000,000

= 0.22 or 22%

Income before taxes

650,000 / $4,000,000 = 0.1625 or 16.3%

900,000 / $5,000,000 = 0.18 or 18%

Income taxes

260,000 / $4,000,000 = 0.065 or 6.5%360,000 / $5,000,000

= 0.072 or 7.2%

Net income

390,000 / $4,000,000 = 0.0975 or 9.8%

540,000 / $5,000,000 = 0.108 or 10.8%

Therefore, we have calculated the income statement component as a percent of sales for each of the two years as shown above.

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in striving for popularity, the television producers often adopted the strategy of least objectionable programming, whereby programs are intended to avoid .

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In striving for popularity, television producers often adopted the strategy of least objectionable programming, whereby programs are intended to avoid controversy and remain politically bland.

A collection of people who have similar thoughts and ideals together form an ideology. In media studies, we primarily concentrate on cultural beliefs, such as how gender, race, and social class are represented. Some detractors contend that the stories and messages presented by the mass media are only a mirror of society.

Despite the fact that sometimes we may not be aware of it, media texts usually represent particular beliefs or ideologies. An illustration would be that using force to resolve conflicts is viewed as a good principle and represents a certain ideology in some literature, such as action movies like Die Hard or the Lethal Weapon series.

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Potriz Inc. is planning a replacement decision. In doing so, the company wants to replace an old machine that was purchased for $65000 two years ago and can now be sold at a market price of 23,000.
The cost of the new machine is $140,000. It will require installation and shipping costs of $2000 and $4000, respectively.
The fax allowable depreciation for the old machine is $13000 per year for a period of 5 years. The useful life of the new machine is three years. For the first two years, the new machine has an annual tax allowable depreciation of $7000. The annual expected operating cash flow (before tax) of the new machine and old machine are $143000 and 12000, respectively.
Furthermore, with the new machine, inventory, account receivables, and payables are expected to increase immediately by $13000, $9000, and $15000, respectively.
The corporate tax rate is 30 percent. The market prices of the new and old machines are expected to be $6600 and $4000, respectively.
Compute the NPV of the replacement project, assuming a discount rate of 6% per annum
What is the proposed investment’s IRR?
Use the computed IRR and NPV results and discuss the project/accept decision

Answers

Introduction to the problem The problem deals with the replacement of an old machine with a new one. The old machine was purchased two years ago for $65000, and now it can be sold for $23,000.

The cost of the new machine is $140,000. It will require installation and shipping costs of $2000 and $4000, respectively. The corporate tax rate is 30 percent, and the market prices of the new and old machines are expected to be $6600 and $4000, respectively.

Computation of annual tax allowable depreciation for the old machine Annual tax allowable depreciation for the old machine = $13000 per year for five years. Therefore, after two years, the depreciation for the old machine would be $26000.Computation of the annual tax allowable depreciation for the new machine.

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which of the following indicate the marginal external cost and the socially optimal quantity? responses $3.00 and 40 units $3.00 and 40 units $2.50 and 60 units $2.50 and 60 units $2.00 and 40 units

Answers

The marginal external cost and the socially optimal quantity are D. $1.00 and 20 units respectively.

What are the marginal external cost and socially optimal quantity?

The marginal external cost is the difference between the marginal social cost (MSC) and the marginal private cost (MPC) at each level of output. In this case, the marginal external cost is $1.00.

The socially optimal quantity is the quantity at which the marginal social benefit (MSB) equals the MSC. From the graph, we can see that the MSC intersects with the MSB at 20 units. Therefore, the marginal external cost is $1.00, and the socially optimal quantity is 20 units.

Full question:

The following graph shows the marginal social cost (MSC), the marginal private cost (MPC), and the marginal social benefit (MSB) of a good.

Which of the following indicate the marginal external cost and the socially optimal quantity?

A. $3.00 and 40 units

B. $2.50 and 60 units

C. $2.00 and 40 units

D. $1.00 and 20 units

E. $1.00 and 80 units

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picture yourself moving out on your own or maybe with a roommate, working your first full-time job. list at least four people or companies you might want to pay regularly by using online bill pay.

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When you move out on your own, you'll be required to pay your bills on a regular basis, and online bill pay makes it easy to manage your bills.

You can easily pay bills online using a bank or credit card's website. Following are four people or companies you might want to pay regularly by using online bill pay when moving out on your own or with a roommate, Electricity Company Gas Company Water Company Phone or Internet Provider.

More than 2000 banks offer free online bill payment services, which enable you to schedule recurring payments or make payments on a one-time basis. Online bill pay eliminates the need for writing and mailing paper checks. You can simply add your billing information to your account and schedule a payment for that account.

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Sam was considering purchasing a cell phone. He went to one store and saw two phones for sale. One was selling for $1000, and the other was selling for $1200. The two were the same except that the first one had 126 GB storage and the latter one had 256 GB storage. He was indifferent between the two options and was not sure which one to buy. Then he went to another store and saw the same two phones that he saw in the first store. But this store was also selling another phone that was the same as the other two except it had 512 GB storage and the price was $1700. Sam bought the $1200 phone immediately. Which of the following statements best describes Sam’s choice?

a) Sam’s choice is rational.

b) Sam’s choice violates the transitivity axiom

c) Sam’s choice violates the completeness axiom

d) Sam’s choice violates the invariance axiom.

Answers

Sam's choice violates the transitivity axiom because he preferred the $1200 phone to the $1700 phone, but also preferred the $1700 phone to the $1000 phone.

The transitivity axiom states that if A is preferred to B, and B is preferred to C, then A must be preferred to C. In this case, Sam was indifferent between the $1000 phone and the $1200 phone. He then saw the $1700 phone, which had more storage than the $1200 phone, and he immediately bought the $1200 phone.

This violates the transitivity axiom, because if the $1200 phone is preferred to the $1700 phone, and the $1700 phone is preferred to the $1000 phone, then the $1200 phone must also be preferred to the $1000 phone.

The other axioms are not violated in this case. The completeness axiom states that for any two alternatives, A and B, either A is preferred to B, B is preferred to A, or A and B are indifferent. Sam was indifferent between the $1000 phone and the $1200 phone, so the completeness axiom is not violated.

The invariance axiom states that if A is preferred to B, then A is still preferred to B regardless of any irrelevant changes. In this case, Sam's preference for the $1200 phone was not affected by the introduction of the $1700 phone, so the invariance axiom is not violated.

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On January 1, 2020, Doone Corporation acquired 60 percent of the outstanding voting stock of Rockne Company for $564,000 consideration. At the acquisition date, the fair value of the 40 percent noncontrolling interest was $376,000, and Rockne's assets and liabilities had a collective net fair value of $940,000. Doone uses the equity method in its internal records to account for its investment in Rockne. Rockne reports net income of $360,000 in 2021 , Since being acquired, Rockne has rogularly supplied inventory to Doone at 25 percent more than cost. Sales to Doone amounted to $420,000 in 2020 and $520,000 in 2021 . Approximately 35 percent of the inventory purchased during any one year is not used until the following year. a. What is the noncontrolling interest's share of Rockne's 2021 income? b. Prepare Doone's 2021 consolidation entries required by the intra- entity inventory transfers, Complete this question by entering your answers in the tabs below. What is the noncontrolling interest's share of Rockne's 2021 income?

Answers

a) The noncontrolling interest's share of Rockne's 2021 income is $234,000. Here's how to calculate it:Income attributable to the noncontrolling interest = [Rockne's net income for the year × Noncontrolling interest percentage] Income attributable to the noncontrolling interest = [$360,000 × 40%] = $144,000Noncontrolling interest's share of inventory profit = [Sales to Doone × Mark-up on inventory × Noncontrolling interest percentage] Noncontrolling interest's share of inventory profit = [(420,000 + 520,000) × 25% × 40%] = $52,000.

Therefore, Noncontrolling interest's share of Rockne's 2021 income = $144,000 + $52,000 = $196,000b) The consolidation entries are given below Adjustment Entry for Inventories (2021):DateAccountsDebitCreditDec. 31, 2021Inventory (Rockne)1,05,000Consolidated Retained Earnings1,05,000To eliminate unrealized profit in inventory ($140,000 × 35%):[(420,000 + 520,000) × 25% × 35%] = $36,750 Workpaper Elimination Entry (2021)

DateAccountsDebitCreditDec. 31, 2021Investment in Rockne3,30,000Noncontrolling Interest in Rockne's Net Assets1,40,000Consolidated Retained Earnings1,90,000To eliminate investment in subsidiary and noncontrolling interest in subsidiary's net assets:Investment in Rockne = $564,000 Noncontrolling interest in Rockne's net assets = 40% × $376,000 = $150,400 Difference ($564,000 – $150,400) = $413,600To record equity in Rockne's net income

Equity in Rockne's net income = 60% × $360,000 = $216,000Consolidated Retained Earnings = $196,000  Elimination of Intercompany Sales (2021):DateAccountsDebitCreditDec. 31, 2021Sales (Rockne)9,52,500Cost of Goods Sold (Rockne)7,62,000Consolidated Inventory (Rockne)1,90,500To eliminate unrealized profit on intercompany sales:Sales to Doone in 2021 = $520,000 Cost of goods sold for those sales = Cost of goods sold plus unrealized profit = $420,000 + $140,000 = $560,000 Unrealized profit = $560,000 – $520,000 = $40,000

Unrealized profit to be eliminated in 2021 = $40,000 × 60% = $24,000Therefore, the consolidation entries required by the intra-entity inventory transfers are as follows:Adjustment Entry for Inventories (2021).

Debit Inventory (Rockne) for $1,05,000 and credit Consolidated Retained Earnings for $1,05,000 to eliminate unrealized profit in inventory ($140,000 × 35%):[(420,000 + 520,000) × 25% × 35%] = $36,750.Workpaper Elimination Entry (2021): Debit Investment in Rockne for $3,30,000, credit Noncontrolling Interest in Rockne's Net Assets for $1,40,000, and credit Consolidated Retained Earnings for $1,90,000.

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Monetarists usually hold [ ? ] expectations that people will form their expectations on the basis of the present realities and only gradually change their expectations as their experience unfolds.

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Monetarists usually hold adaptive expectations that people will form their expectations based on present realities and gradually update them as their experience unfolds.

Monetarists generally adhere to the concept of adaptive expectations, which suggests that individuals form their expectations by observing current economic conditions and gradually adjust them over time as new information becomes available.
This approach contrasts with the idea of rational expectations, where individuals have perfect knowledge and make predictions based on an accurate understanding of the economic environment.
The concept of adaptive expectations in economics, particularly within the framework of monetarism, suggests that people base their future expectations on past experiences and present realities. According to monetarists, individuals do not possess complete or perfect information about the economy, and their expectations are influenced by recent events and observations.
Monetarists argue that individuals do not have access to all the relevant information or possess the ability to accurately forecast future economic conditions. Instead, they update their expectations gradually over time as they gain new experiences and information.
So, monetarists typically hold the view that people form their expectations based on present realities and gradually update them over time as their experiences unfold.

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Kevin purchases a pack of chips. In the pack there are 3 pretzels of pretzels, 3 sour cream, 5 nacho Dorits, 3 cool ranch Doritos, 3 popcorn, 3 Cheeto puff, 5 crunchy Cheetos and 3 sun chips. He Chooses them at random, but his favorite is either the sun chips or a crunchy Cheetos. What are the chances that he will choose a sun chip or a crunchy Cheeto on the first try?

Answers

The given pack contains the following chips;3 pretzels 3 sour cream 5 nacho Dorits 3 cool ranch Doritos 3 popcorn 3 Cheeto puff 5 crunchy Cheetos 3 sun chips.

To find the chances of Kevin choosing either sun chips or crunchy Cheetos, we need to add the number of these two types of chips which is 5 + 5 = 10

Then, we can find the probability of choosing sun chips or crunchy Cheetos in the first attempt as;` Probability = (Number of favorable outcomes) / (Total number of possible outcomes)`

The total number of chips in the pack is given as; Total number of chips = 3 + 3 + 5 + 3 + 3 + 3 + 5 + 3 = 28

Possible outcomes = Total number of chips Therefore, `Probability of choosing sun chips or crunchy Cheetos = 10/28 = 5/14`

Therefore, the chances that he will choose a sun chip or a crunchy Cheeto on the first try are 5/14.

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bticials in charge of televising an international chess competition in south America want to determine if the average time per move for the fop players has remained it 5 minutes over the last two yeass. Viseo tapes of matches which have been played over the two-year period are reviewed and a random sample of 49 moves are *imed, The sample mean k 4.5 minutes. Assume the population standard deviation is 3.7 minutes. Using the confidence interval approach, test the hypothesis that the averase ume per move is different from 5 minutes at a 0.01 significance level. Step 2 of 2 : Diaw a conclusion and interpret the decision, Answer Keyoodrd sthartcuts previons step anwer? Becamse the hypothesited value does not fall in the interval, we tar to reject the null hypothesis. There is not rifficient evidence at the 0.01 significance level that the 3veraget time per micive is difterent from 5 minutes. becwuse the hypothesized value falis in the imerval, we reject the nullypothesis. Thece is sufticient evidence at the 0.01 significance level that ithe average time per move is diferem from 5 minutes. Hecause the typothesited value fays in the confidence intervat, we fail to reject the nult tiypothesis. There is not suffichent evidence at the 0.01 significance teyel that The are trage lime per miove is different from 5 minutes the uveraknt time per mave is different from 5 ministet.

Answers

The conclusion based on the given information is: "Because the hypothesized value does not fall in the interval, we fail to reject the null hypothesis.

There is not sufficient evidence at the 0.01 significance level that the average time per move is different from 5 minutes." To test the hypothesis, a confidence interval is constructed using the sample mean, sample size, population standard deviation, and the desired significance level. In this case, the sample mean is 4.5 minutes, and the population standard deviation is 3.7 minutes. Since the confidence interval contains the hypothesized value of 5 minutes, we fail to reject the null hypothesis. This means that there is not enough evidence to conclude that the average time per move is different from 5 minutes. The confidence level chosen (0.01) indicates a high level of confidence in this decision.

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lewisn force field anaylis sees permanent change frozen into place
true or false

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The given statement "lewisn force field anaylis sees permanent change frozen into place" is false.Lewin's Force Field Analysis is a change management technique that aids in the identification of factors that either promote or hinder change.

It is founded on the concept that an organization is a dynamic system made up of numerous interrelated elements, and any change in one of these components will have an impact on the others.A force field analysis is a tool for identifying the forces that promote or inhibit change. Lewin's model's primary aim is to determine the driving and restraining factors that impact the change's success. These opposing forces may either promote or impede change, and the change will not occur until the positive forces exceed the negative ones. Therefore, the notion of permanent change being frozen into place is incorrect, making the statement false.

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Minimizing Distortions in Performance Data at Expert Engineering, Inc.
Under various engineer titles, veteran engineer Demetri worked for Expert Engineering, Inc. for almost 15 years. He has recently been promoted to the position of Principal at the engineering firm. The firm's performance evaluation history is both unique and long. All principals are involved in evaluating engineers because the founders of the firm believed in multiple source evaluation and feedback to prevent favoritism and promote a merit-based culture. At the same time, the firm has a long history of using quality performance appraisal forms and review meetings to better ensure accurate performance evaluations. Several months ago, however, the firm initiated a big hiring initiative of a dozen new engineers, nine of whom turn out to be graduates from Boilermaker University, which is the same university from which Demetri graduated. Indeed, Demetri was active in moving forward the hiring initiative. There is tension and discontent among the other principals, who fear that a time of unchecked favoritism, biased performance ratings, and unfair promotion decisions is on the rise.
1. Provide a detailed discussion of the intentional rating distortion factors that may come into play in this situation.
2. Evaluate the kinds of interventions you could implement to minimize intentional rating distortion, and its reasons, that you have described. What do you recommend and why?

Answers

Intentional rating distortion factors that may come into play in this situation:

When it comes to employee evaluations, various factors may intentionally distort performance ratings.

The following are some of the factors:

Central Tendency:

The rater assigns ratings that are roughly the same to all employees.

Leniency or strictness bias: Leniency bias happens when a rater rates all employees high;

strictness bias occurs when a rater rates all employees low.

Contrast Effect:

This occurs when employees are compared to one another instead of against a standard.

Mutual Dependence Error:

This occurs when the rater assesses an employee's performance based on the supervisor's performance.

Identical Feedback:

This happens when the rater offers identical feedback for all employees without considering each employee's uniqueness.

Halo and Horn Effect:

When the rater's overall impression of the employee significantly affects the employee's specific ratings, the halo effect occurs.

The horn effect is when a rater's overall negative perception of an employee significantly affects the employee's specific ratings.

Kinds of interventions to minimize intentional rating distortion, and its reasons, that can be implemented:

Interventions to minimize intentional rating distortion can include various techniques, such as setting clear rating guidelines, offering training for raters, improving feedback quality, and conducting rater calibration meetings.

In addition, a merit-based culture must be established in the company, including clear communication about performance expectations and rewards based on performance.

to minimize intentional rating distortion, the following interventions can be implemented:

Clear guidelines and performance expectations should be established to ensure that all employees are rated fairly.

Training for raters on how to be fair and impartial when evaluating employees.

Provide feedback and performance expectations for employees' growth.

Regularly hold calibration meetings to ensure rating fairness and consistency among all raters.

Recommendation:

In order to promote merit-based culture in the company and to ensure that all employees are treated fairly and equally, it is recommended that the company adopt a 360-degree feedback system,

in which feedback is gathered from multiple sources (peers, subordinates, and supervisors) for employee performance evaluation.

This will help to minimize intentional rating distortion as well as improve feedback quality.

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why do you think that it is important to study
money,banking and financial market

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It is important to study money, banking, and financial markets because they are the backbone of modern economies. Money is the medium of exchange used in transactions and is essential for economic growth. Banking is an important institution that provides various financial services, such as deposits, loans, and credit, which contribute to economic growth.
Studying money, banking, and financial markets also helps individuals to manage their personal finances better. By understanding the basics of financial markets and how they operate, individuals can make informed investment decisions and grow their wealth. Additionally, understanding the banking system can help individuals better manage their finances and avoid costly mistakes, such as taking on too much debt or using credit unwisely.

In conclusion, studying money, banking, and financial markets is important because they are essential for economic growth and play a crucial role in personal finance. Understanding these concepts is also necessary for policymakers and regulators to maintain stable financial systems. Therefore, students who wish to pursue careers in finance, economics, or business should consider studying money, banking, and financial markets in more than 100 words.

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Cost-based transfer pricing: manufacturer L0 12.12 시, 12.13 division's absorption cost plus a 10 per cent markup. spare production capacity. Required 1. Is the electrical division manager likely to want to accept or reject the special offer? Why? 2. Is this decision in the best interests of Synergy Ltd as a whole? Explain. 3. How could the situation be remedied using the transfer price?

Answers

The electrical division manager is likely to accept the special offer because the transfer price is lower than the market price, allowing them to increase their profits.

This decision may not be in the best interests of Synergy Ltd as a whole because the electrical division's acceptance may result in missed sales opportunities and lower overall company profits.

The situation could be remedied by using a market-based transfer price, which reflects the actual market value of the product and encourages optimal decision-making based on supply and demand dynamics. This would ensure fair allocation of resources and maximize overall company profits.The electrical division manager is likely to want to accept the special offer. The offer allows the division to utilize its spare production capacity, which would generate additional revenue and potentially improve the division's performance.

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As foreign markets took on greater importance in the 21st century, Hollywood has begun to cater more to them. Big budget films that are deemed to be too U.S.-centric are rarely produced. Scripts that have universal appeal are developed. Foreign actors are cast in leading roles. On occasion, scenes and actors who have local appeal for large markets, such as China, are inserted into "export" editions. (Total: 6 points)
Q.1 What kind of global strategy is Hollywood employing? (2points)
Q.2 What are the characteristics of such a strategy? Q.3 What are the benefits and risks of such a strategy?

Answers

Hollywood is employing a global strategy. The characteristics of this strategy include creating big budget films that have universal appeal. Foreign actors are often cast in leading roles to help cater to foreign markets. Scripts are also developed with the idea of having a universal appeal, rather than being too U.S.-centric.

Benefits: This strategy has several benefits for Hollywood. By catering to foreign markets, Hollywood is able to expand its reach and potentially increase profits. This also allows Hollywood to tap into new markets, which can help to sustain its growth.

Risks: While there are benefits to this strategy, there are also risks. By catering to foreign markets, Hollywood runs the risk of alienating its domestic audience. If films are no longer produced that appeal to U.S. audiences, Hollywood could see a decline in popularity and profits. Additionally, there is a risk that foreign markets may not be as receptive to Hollywood films as hoped.

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Laylow Limited is a property investment company in Durban. It specialises in commercial letting of property including corporate buildings, flats and retail shopping outlets. During the recent civil unrest, one of the commercial properties owned by Laylow Limited was destroyed. ArtFood Limited, rented this property directly from Laylow Limited for the last 40 years thus Laylow Limited has had an excellent relationship with them. The building Laylow Limited is currently occupying, is owned by Laylow Limited) and used by them as admin offices. The building has a large first floor and ample parking which will be ideally suited to ArtFood Limited.
Laylow Limited has another vacant property which is ideally suited to Laylow Limited to use as their admin building and have been wanting to move the offices for the last few months. Laylow Limited has seen this as an ideal opportunity to move their admin offices from the building and
then rent the building out to ArtFood Limited. ArtFood Limited was extremely grateful for this offer and has taken the offer up from the 1st of July 2020.
The following details relate to the building that Laylow Limited was occupying and will now be let to ArtFood Limited.
- Purchased for R1 500 000 on the 1 January 2019 (useful life 50 years)
- Fair Value of the building R1 550 000 30 June 2020
- Fair Value R1 490 000 31 December 2020
During the year, Laylow Limited spent the following amounts on another investment property they own which consists of a block of flats:
- R25 000 to replace on the globes in the building which blew during a power surge after loadshedding – 31 August 2020
- R350 000 to build an extra floor on the rooftop to rent out as a penthouse under an operating lease – 30 September 2020
- Damages to the lift system from the loadshedding – the lift system was quite outdated and therefore cannot be repaired. The lift system had to be replaced at a cost of R85 000. The FV of the damaged lift was R7 000. – 30 September 2020
Laylow Limited uses cost model to measure Property, Plant & Equipment and the Fair Value model to measure Investment Property. Laylow Limited has a 31st December year end.
Required:
1. What is difference between an Investment Property & an Owner-Occupied Property (Tip – provide the definition of each type to determine the difference) (5)
2. When will transfers in and out of Investment property occur (list the criteria for a transfer to take place)? (3)
3. Prepare the journal entries in the books of Laylow Limited for the year ended 31st December 2020 for all the transactions as noted above.
Please include

Answers

Investment Property is defined as Property held by the owner or by the lessee under a finance lease to earn rentals or for capital appreciation or both.

Owner-Occupied Property is defined as Property held by the owner or by the lessee under a finance lease to use in the production or supply of goods or services or for administrative purposes.

The difference between the two is that Investment Property is held to earn rentals or for capital appreciation whereas Owner-Occupied

Property is held for use in the production or supply of goods or services or for administrative purposes.

Transfers in and out of Investment Property occur when there is a change in use or intention.

The criteria for a transfer to take place are:

a change in use;

a change in the purpose for which the property is held;

a change in the nature of the property's use or income-producing ability.

Journal entries in the books of Laylow Limited for the year ended 31st December 2020 for all the transactions as noted above:

To record the purchase of building on 1 January 2019:

Debit Building for R1,500,000 and Credit Cash for R1,500,000.

To record the increase in the fair value of the building:

Debit Building for R50,000 and Credit Fair value gain for R50,000.

To record the decrease in the fair value of the building:

Debit Fair value loss for R60,000 and Credit Building for R60,000.

To record the replacement of the globes in the building:

Debit Repairs and maintenance for R25,000 and Credit Cash for R25,000.

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You are interested in predicting the price of Bitcoin in CAD, and so you collect data on the daily Bitcoin to CAD exchange rate. You use yesterday's price as an explanatory variable for today's price and fit a linear regression model to this data, with the equation calculated to be: Today's Price =10+1.05∗ Yesterday's Price If Bitcoin's price was $30,000 yesterday, what does the linear regression predict as today's price? $30,000 $30,010 $45,010 $31,510

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The linear regression model predicts today's price of Bitcoin in CAD to be $31,510 based on yesterday's price of $30,000.

This prediction is obtained by substituting the value of yesterday's price ($30,000) into the regression equation: Today's Price = 10 + 1.05 * Yesterday's Price. The coefficient of 1.05 represents the relationship between yesterday's price and today's price, indicating that for every unit increase in yesterday's price, today's price is expected to increase by 1.05 units. Therefore, the predicted price is calculated as 10 + 1.05 * $30,000 = $31,510.

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An obligation of a business that represents the claims of others against the assets of the business is called a(n) a asset b expense C liablity d equity

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A liability is the answer to the question, "An obligation of a business that represents the claims of others against the assets of the business is called a(n). "A liability is an obligation of a business that represents the claims of others against the assets of the business.

It refers to the amount of money owed by a business to its creditors, including its suppliers, employees, and lenders. These obligations must be paid in the future and are recorded on the balance sheet of a company as a liability. A liability may be classified as either current or long-term.

A liability is an important concept in accounting because it reflects the financial obligations of a business. It also affects a company's financial health and its ability to pay its debts. Thus, it is important for businesses to manage their liabilities carefully by ensuring that they have enough cash to meet their obligations as they become due.

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In one of the videos you watched, a lawyer described the employment legal framework of as being a "prramid" (consisting of national employment standards, modem awards, enterpeise agreements), Germany Farce Gins Nustratio

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In one of the videos I watched, a lawyer described the employment legal framework of Australia as being a pyramid, consisting of national employment standards, modern awards, and enterprise agreements. This pyramid analogy illustrates how each layer of the employment legal framework in Australia builds upon the previous one, creating a comprehensive and cohesive structure to protect workers and their rights.

The foundation of this pyramid is the National Employment Standards (NES), which are minimum standards that apply to all employees in Australia. The NES includes provisions such as maximum weekly working hours, annual leave entitlements, and parental leave rights, among others. These standards cannot be undermined or traded away through modern awards or enterprise agreements.

The next level of the pyramid is modern awards, which are industry or occupation-specific standards that provide additional entitlements and conditions above the NES. These awards are determined by the Fair Work Commission and are mandatory for employers to follow. Modern awards cover a wide range of industries and occupations, from hospitality to healthcare and everything in between.

Finally, the top level of the pyramid is enterprise agreements. These are agreements made between employers and employees, or between employers and their representatives, that set out specific terms and conditions of employment. Enterprise agreements can provide for entitlements and conditions that are more favourable than the NES and modern awards, but they must still meet or exceed the minimum standards.

Overall, the employment legal framework in Australia provides a comprehensive and robust system to protect workers' rights and ensure they receive fair treatment in the workplace. The pyramid analogy helps to explain how each layer of the framework builds upon the previous one to create a cohesive and effective system for employees and employers alike.

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Sometimes in these problems you may NOT be given the supply and demand functions in order to find the market equilibrium but will be asked to find them yourself. Say you take a poll of the class and find that, given the chance, 25 students would buy an apple for $2, but 35 students would buy an apple for $1. Which of the following would be the linear demand model for this situation? D(x)=−0.1x+4.50
D(x)=−2x+4.50
D(x)=−2x+2.50
D(x)=−0.1x+45
D(x)=−2x+45

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The linear demand model for this situation is D(x)=−0.1x+4.50.

The demand function is a function that shows how the quantity demanded of a product changes as the price of the product changes. In this case, the demand function is linear, which means that it can be represented by a straight line.

The slope of the demand function is the change in the quantity demanded divided by the change in the price. In this case, the slope is -0.1, which means that for every $1 increase in the price, the quantity demanded decreases by 10 students.

The y-intercept of the demand function is the quantity demanded when the price is 0. In this case, the y-intercept is 4.5, which means that 4.5 students would buy an apple even if it were free.

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: On December 1. 2021 Lansing On December 31,2021 the company made the appropriate year-end adjusting entry for interest: On March 1, 2022, Joshua Smith pays Lansing Compony the note and interest in full as promised What journal entry should the compe hake to record the collection of cash on March 1, 2022? (Round your answers to the nearest vhole dollar.) On December 1. 2021 Lansing On December 31,2021 the company made the appropriate year-end adjusting entry for interest: On March 1, 2022, Joshua Smith pays Lansing Compony the note and interest in full as promised What journal entry should the compe hake to record the collection of cash on March 1, 2022? (Round your answers to the nearest vhole dollar.)

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Journal Entry to record the collection of cash on March 1, 2022 Lansing Company is a company that made the appropriate year-end adjusting entry for interest on December 31, 2021. Joshua Smith pays the note and interest in full as promised on March 1, 2022. To record the collection of cash on March 1, 2022, the company will make the following journal entry: Cash account, Debit$5,687; Notes receivable account, Debit$5,000; Interest income account, Credit$687.

Explanation: On December 31, 2021, Lansing Company made an adjusting entry to recognize the interest earned on the note for the month of December. Therefore, the interest to be recorded when the payment is received on March 1, 2022, is the interest earned for January and February 2022 which is equal to $687. Hence, the cash account is debited for the total amount received from Joshua Smith, which is $5,687. The Notes Receivable account is debited for the principal amount of the note of $5,000, while the interest income account is credited for $687, which is the interest earned.

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high turnover rates of employees duting the first
thirty days on the job might suggest that management should analyze
the current:

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High turnover rates of employees during the first thirty days on the job might suggest that management should analyze the current on boarding process, job requirements, and employee engagement strategies to improve retention rates.

Employee turnover is a significant issue for organizations that can negatively affect morale, productivity, and profitability. As a result, organizations must examine the reasons behind the high turnover rates during the probationary period to identify areas of improvement.The onboarding process is one of the essential factors to examine in an organization's analysis. New employees who feel unsupported or uncertain about their role during the onboarding process are more likely to leave within the first month. Management should provide a structured onboarding process that is both comprehensive and engaging, including a clear understanding of the company culture and the employee's role.Job requirements must also be evaluated. Sometimes, job requirements may not be clearly communicated or may not accurately reflect the job's responsibilities. Employees who realize the job's expectations are different from what they expected will be more likely to quit. Finally, management must ensure that the new employee feels engaged and connected with the organization's culture. Managers who create a positive work environment, foster collaboration and encourage open communication will help new employees feel part of the team, reducing the turnover rate.

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Liquidity refers to: Multiple Choice a company's ability to pay its long-term liabilities. having sufficient cash (or other assets convertible to cash in a relatively short time) to pay currently maturing debts. the ability of reported earnings to reflect the company's true earnings. the earnings or operating effectiveness of a company

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Liquidity refers to having sufficient cash (or other assets convertible to cash in a relatively short time) to pay currently maturing debts. In other words, liquidity measures the ability of a company to meet its short-term obligations with readily available resources. A company's liquidity position is critical to its long-term viability.

A company that cannot pay its bills when they come due is unlikely to remain in business for long. Conversely, a company that maintains a strong liquidity position can continue to operate during tough economic times and can take advantage of growth opportunities as they arise.

Liquidity ratios are used to measure a company's liquidity. Current ratio and quick ratio are two widely used liquidity ratios. The current ratio is calculated by dividing current assets by current liabilities. Quick ratio, on the other hand, is a more stringent measure of liquidity that excludes inventory from current assets and pre-paid expenses from current liabilities.

Both ratios are important measures of liquidity that help investors and creditors evaluate a company's ability to meet short-term obligations. In summary, liquidity is a critical aspect of a company's financial position that measures the ability of a company to pay its short-term obligations.

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An interesting video showed a man trying to deposit a banana into his bank account. The teller politely told him that only items that last for long periods of time are money. Therefore, she could not accept the banana as a deposit. What function of money did the banana lack? It cannot be counterfeited It is not a measure of worth It is not a store of value It is not a medium of exchange Question 59 1 pts Modern US currency is light and easy to carry. Therefore, it is ... stable divisible durable portable How do banks create money? The mint new coins They charges fees for services They take in deposits and make loans They print new currency Question 61 1 pts During the great recession of 2007 to 2009 , the U.S. economy experienced the greatest economic downturn since the Great Depression of the 1930s. Unemployment spiked at 25 percent and GDP declined 10 percent. Which action could the Federal Reserve Bank to end the recession? Raise the discount rate Increase the reserve requirements Print more money Buy government securities

Answers

The man who tried to deposit a banana in his bank account lacked the function of money, which is "store of value."

Money has several functions, including a medium of exchange, unit of account, store of value, and standard of deferred payment. It is accepted as a means of payment in exchange for goods or services in the first function. In the second function, the prices of products and services are expressed.

In the third function, it can be kept for future transactions as an item of value, and in the fourth function, it is utilized to repay obligations, such as loans, over an extended period of time.Banks generate money by taking in deposits and issuing loans. Deposits are kept by banks, and the money is utilized to give loans.

As a result, new money is created as banks take in deposits and create loans. Money in an economy is critical for its operation. It enables people to purchase goods and services while also allowing companies to grow. Money has various functions, including serving as a medium of exchange, a unit of account, a store of value, and a standard of deferred payment.The Federal Reserve Bank, which is the central bank of the United States, is responsible for overseeing the economy's monetary policy.

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a marketing blank______ allows a manager to glance at a graph or table and make an informed decision whether to take action regarding organizational objectives.

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A marketing dashboard allows a manager to glance at a graph or table and make an informed decision about whether to take action regarding organizational objectives.

A marketing dashboard is a visual representation of key marketing metrics and performance indicators in the form of graphs, charts, and tables. It provides a concise and easily digestible overview of the marketing data and allows managers to quickly assess the performance of various marketing initiatives. By presenting important information in a visually appealing and easily understandable format, a marketing dashboard enables managers to make informed decisions and take appropriate actions to achieve organizational objectives. It eliminates the need to sift through complex data and allows for quick identification of trends, patterns, and areas that require attention or improvement. The convenience and accessibility of a marketing dashboard make it a valuable tool for managers to monitor marketing performance and make timely decisions.

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A bond pays a coupon interest rate of 7.5 percent. The market rate on similar bonds is 8.4 percent. The bond will sell at. par a discount book value a premium

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A bond pays a coupon interest rate of 7.5 percent. The market rate on similar bonds is 8.4 percent. The bond will sell at a discount. This is because the market rate is higher than the coupon interest rate. When the market rate is higher than the coupon rate, the bond will sell at a discount.

The reason behind this is that the investors can invest their money at a higher rate elsewhere. As a result, they demand a discount on the bond. A bond will sell at par value if the coupon interest rate is equal to the market rate. In this case, the investors demand neither a discount nor a premium, and the bond sells at its face value.

If the coupon interest rate is higher than the market rate, the bond will sell at a premium. This is because the investors want to invest in the bond to get a higher rate of return. When the bond sells at a premium, it means the investors are willing to pay more than the face value of the bond.

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A market with free entry, and many firms selling virtually similar products would best be characterized as which of the following?
[ Select ] ["Undifferentiated oligopoly", "Perfect competition", "Monopolistic competition", "Monopoly"]
A market with free entry, and many firms selling differentiated products would best be characterized as which of the following?
[ Select ] ["Perfect competition", "Undifferentiated oligopoly", "Monopolistic competition", "Monopoly"]

Answers

When a market has free entry, and there are numerous firms selling virtually similar products, then it can be characterized as a monopolistic competition.

Such a market structure is characterized by a large number of firms producing and selling products that are somewhat differentiated. The firms can control the prices of their products to some extent, but they are still price-takers.

A monopolistic competition can be characterized by the following features : Many firms: This market structure has many firms that produce and sell products, so no one firm can dominate the market.

Product differentiation: Firms can differentiate their products by branding or marketing them differently than their competitors.

This market structure is similar to perfect competition, but the firms are selling differentiated products that can be branded or marketed differently than their competitors. In this market, firms can charge slightly different prices based on product differentiation and branding.

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Firms can form a cartel in order to have dominance in the market situation. Discuss the effects and implications of Cournot's model in the decision of firms with respect to price and output. Diagram is essential.

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Cartel is a term used to describe an organization of producers that regulate the production, price, and distribution of goods and services. The purpose of creating a cartel is to eliminate competition in the market, allowing the members to charge higher prices and make more profits.

1. Price increase: The first effect of a cartel is that it raises prices above what they would be in a competitive market. This increase in price allows the members of the cartel to make more profits.

2. Reduction in output: Cartels also reduce output, which means there are fewer goods and services available in the market. This reduction in output is one way the members maintain higher prices.

3. Illegal: Cartels are illegal in many countries because they eliminate competition and prevent other firms from entering the market.

4. Unequal benefits: Cartels tend to benefit the larger members more than the smaller ones.

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If you face significant pressures to reduce the costs of
production, exporting is a better option than licensing. Group of
answer choices True False

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If you are facing significant pressures to reduce the costs of production, exporting is a better option than licensing. This statement is false.

Here's why: When it comes to exporting, it requires a lot of investment, effort, and time. The company has to have its own manufacturing unit, packaging, and shipping facilities, among other things.

Therefore, in order to be successful in exporting, the company must invest a lot of money and time upfront and work hard to maintain its presence in the foreign market.

Licensing, on the other hand, is a much less expensive option. It is the process of allowing another firm to use your company's intellectual property, such as trademarks, patents, copyrights, and trade secrets. By licensing your intellectual property to other firms, you can earn royalties, which can help to offset your production costs. This allows you to keep your costs down while still earning revenue from the products you produce.

While exporting is a viable option, it requires a lot of investment and effort. Licensing, on the other hand, is a less expensive option that allows companies to offset their production costs while still earning revenue from their intellectual property.

Therefore, the statement "If you face significant pressures to reduce the costs of production, exporting is a better option than licensing" is false.

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