insurance covers losses due to a contract not being fulfilled. a. surety bond b. credit line c. business interruption d. fidelity bond

Answers

Answer 1

The correct answer is: a. surety bond. A surety bond is a type of insurance that covers losses due to a contract not being fulfilled.

A surety bond is a three-party agreement between the surety (insurance company), the principal (contractor or party obligated to perform), and the obligee (party who is protected by the bond). The purpose of a surety bond is to provide financial protection to the obligee in case the principal fails to fulfill the terms and conditions of a contract.

Surety bonds are commonly used in construction projects, government contracts, and other business agreements where a guarantee of performance is required. If the principal fails to fulfill their obligations, the surety bond ensures that the obligee is compensated for any financial losses incurred as a result.

Credit lines are not specifically related to covering losses due to unfulfilled contracts but rather provide a source of credit for businesses to borrow funds. Business interruption insurance covers losses resulting from disruptions to business operations, such as natural disasters or accidents. Fidelity bonds protect against losses due to employee dishonesty or fraudulent activities.

Therefore, in the context of covering losses due to a contract not being fulfilled, the appropriate insurance is a surety bond.

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Related Questions

Which method is not a recommended approach supported by externality theory to deal with this​ problem?
A.
Private bargaining.
B.
A​ government-imposed tax.
C.
Nonprofit intervention.
D.
Government regulations.

Answers

According to externality theory, the method that is not a recommended approach to deal with the problem of externalities is C. Nonprofit intervention. Nonprofit intervention refers to the involvement of nonprofit organizations in addressing externalities.

Externality theory suggests that externalities, which are the spillover effects of economic activities on third parties, can be addressed through various methods. These methods aim to internalize the external costs or benefits associated with the activity.

The recommended approaches supported by externality theory include:

A. Private bargaining: This involves direct negotiations between the parties involved in the externality to reach mutually beneficial agreements or contracts that internalize the external costs or benefits.

B. A government-imposed tax: By imposing a tax on the activity creating the negative externality or providing a subsidy for activities with positive externalities, the government can influence the behavior of individuals and firms to account for the external effects.

D. Government regulations: These regulations can set specific standards, restrictions, or requirements to mitigate the negative externalities or promote positive externalities. Examples include emission standards, pollution control measures, and zoning regulations.

However, C. Nonprofit intervention is not typically considered a recommended approach supported by externality theory. Nonprofit intervention refers to the involvement of nonprofit organizations in addressing externalities. While nonprofits may play a role in raising awareness or providing voluntary initiatives, they are not considered a primary or comprehensive solution to internalize externalities.

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what contains the users' actual signatures indicating they approve all of the business requirements?

Answers

The document that contains the users' actual signatures indicating their approval of all the business requirements is the sign-off sheet or sign-off document.

The sign-off sheet or sign-off document serves as a formal acknowledgment and agreement from the users that they approve all of the business requirements outlined in a project or initiative. It is a tangible record that captures the users' actual signatures, indicating their acceptance and endorsement of the documented requirements.

The sign-off sheet typically includes a section where the users can review the business requirements in detail and provide their signatures to signify their approval. This process is crucial as it ensures that the users have thoroughly reviewed and agreed upon the specified requirements, confirming their understanding and commitment to the project.

By obtaining users' actual signatures on the sign-off sheet, organizations can establish a clear and documented record of user approval. This helps mitigate misunderstandings or disputes regarding the agreed-upon requirements later in the project lifecycle, providing a formal basis for accountability and reference.

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The asset was sold for $12,000 cash on the first day of 2017.
Prepare journal entry to record the sale.

Answers

The journal entry for the given transaction is as follows: Debit the Cash account and Credit the Sales account by $12,000 each.

How to find?

It involves recording financial transactions in chronological order. Recording of transactions helps in the preparation of financial statements. Journal entry for the given transaction can be recorded as follows:

Journal Entry:

Debit

Credit1st January 2017

Cash Account 12,000

Sales Account1 2,000

Explanation:

The given transaction is the sale of an asset for $12,000 cash on the first day of 2017.To record this transaction, we must follow the rule of debit and credit.

As per this rule, for every debit, there is an equal credit.

Cash account is debited, as there is an inflow of cash due to the sale of an asset.

Sales account is credited, as there is an increase in the sales of the business due to the sale of an asset.

Thus, the journal entry for the given transaction is as follows:

Debit the Cash account and Credit the Sales account by $12,000 each.

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Stephen Covey (1991) contended that effective leaders "begin with the end in mind." These leaders have a deep understanding of their own goals and mission in life.
How would you describe your own values and purpose in life?
In what way is your leadership influenced by these values?

Answers

Stephen Covey (1991) contended that effective leaders "begin with the end in mind." These leaders have a deep understanding of their own goals and mission in life. This means that they have a clear idea of what they want to achieve, and they work towards achieving it with dedication and perseverance. In my own life, I try to live by this principle. I believe that if you have a clear idea of what you want to achieve, you are more likely to achieve it.

My values in life include honesty, integrity, and hard work. I believe that honesty and integrity are essential for building trust and maintaining healthy relationships with others. I also believe that hard work is necessary for achieving success in life. I have always been motivated to work hard and do my best, no matter what the task at hand may be.
My purpose in life is to make a positive impact on the world around me. I want to help others and make a difference in their lives. I believe that every person has the potential to make a difference in the world, and I want to do my part to make that happen.
My leadership is influenced by these values because I try to lead by example. I believe that the best way to lead others is to be honest and transparent with them. I also believe that hard work and dedication are essential for achieving success as a leader. When I am leading others, I try to motivate them to do their best and achieve their goals. I believe that if we work together and support each other, we can accomplish great things. In conclusion, by beginning with the end in mind and having a clear understanding of our goals and mission in life, we can become effective leaders who make a positive impact on the world around us.

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Life and time of an 18th-century orchestra musician explain how
and why these components were used -500 words summary

Answers

Life and time of an 18th-century orchestra musician was very different from the life of a musician of today.

This is mainly because the music industry was quite different from what it is today.

The life of an orchestra musician was quite different from that of a modern musician.

Here's an explanation of how and why these components were used:

Music was mainly composed in the 18th century for a small ensemble that was meant to be performed in small halls and homes.

Orchestra musicians were not like modern musicians who had to learn several types of music, the orchestral music was composed to be performed in one type of instrument.

This means that most orchestral musicians had to learn only one instrument.

The instruments that were mainly used included violins, cellos, basses, horns, and flutes.

They were also required to master sight-reading, which was the ability to read music quickly.

This was quite important since orchestral musicians could be given any piece of music to play at a moment's notice.

They were also required to be in tune with the rest of the orchestra, meaning they had to be well-coordinated with the rest of the group.

Orchestral musicians were required to maintain an excellent sense of timing.

They had to be able to keep time with the rest of the group so that the music would not be ruined.

They were also required to be able to play music with a great degree of accuracy.

The orchestra musicians were also required to be able to read music quickly, which was a requirement for playing in an orchestra.

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An investor can design a risky portfolio based on two stocks, S and B. Stock S has an expected return of 14% and a standard deviation of return of 32%. Stock B has an expected return of 12% and a standard deviation of return of 23%. The correlation coefficient between the returns of S and B is -0.58. The risk-free rate of return is 5%. The proportion of the optimal risky portfolio that should be invested in stocks S and B are approximately ______

Answers

The proportion of the optimal risky portfolio that should be invested in stocks S and B are approximately calculated by using the Capital Asset Pricing Model (CAPM) formula.

More than 100 words to explain the calculation of the proportion of the optimal risky portfolio that should be invested in stocks S and B:CAPM Formula: E(Ri)

= Rf + βi[E(Rm) - Rf]The CAPM formula will be used to calculate the expected return of each stock by calculating the systematic risk and market risk. The systematic risk is calculated using beta (β).Beta (β)

= Cov (Ri, Rm)/

= Cov (Rs,Rm)/Var(Rm)

= -0.58 x (32%/100%) x (23%/100%) + (1 - 0.58) x (32%/100%) x (32%/100%)

= 0.01384Stock B Beta(β) = Cov(Rb,Rm)/Var(Rm)

= -0.58 x (23%/100%) x (32%/100%) + (1 - 0.58) x (23%/100%) x (23%/100%)

= 5% + 0.01384(10% - 5%)

= 5.069%Stock B Expected Return = 5% + 0.02771(10% - 5%)

= (5.688% - 5%)/ (23%)2 = 0.001421Therefore, the proportion of the optimal risky portfolio that should be invested in stocks S and B are systematic 0.0105 and 0.1421 respectively.

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A company decides to track the number of employees who leave each year. They want to use this data to help them see patterns in the choices of employees who leave the company. Which of these examples is a metric and which an analytic, and state why?

Answers

The difference between metric and analytic is that a metric is a standard of measurement, while an analytic is the act of examining or analyzing something.

Therefore, the following is the company's metric, and this is the company's analysis: Metric: the number of employees who leave each year Analytic: patterns in the choices of employees who leave the company. The metric is a data point that can be measured and tracked over time, such as the number of employees who leave each year. The metric serves as a starting point for analysis and can be used to identify trends and patterns in employee turnover. The analysis, on the other hand, is the process of examining the metric to identify insights and draw conclusions. In this instance, the analysis involves identifying patterns in the reasons why employees leave the company.

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collaborative crm provides all the following customer communication enhancements except __________. a. Better understanding of customer history
b. Better customer service from any touch point
c. Reduced communication barriers
d. Better understanding of customer current needs
e. Less customer interaction with the company

Answers

e. Less customer interaction with the company. Collaborative CRM is a customer relationship management approach that emphasizes improved communication and collaboration with customers.

It aims to enhance customer interactions and build stronger relationships. While the other options (a, b, c, and d) are benefits of collaborative CRM, option e is incorrect. Collaborative CRM does not aim to reduce customer interaction with the company; instead, it focuses on improving customer engagement and communication. By providing a better understanding of customer history, current needs, and reducing communication barriers, collaborative CRM enables more effective and personalized customer service across various touch points. This approach aims to foster closer relationships with customers rather than minimizing interaction with them.

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n the context of his needs-hierarchy theory, Maslow proposed a declining percentage of satisfaction for each need.
True
false

Answers

False. In the context of his needs-hierarchy theory, Maslow did not propose a declining percentage of satisfaction for each need.

Maslow's hierarchy of needs suggests that individuals have a series of needs arranged in a hierarchical order, with basic physiological needs at the bottom and higher-level needs such as self-actualization at the top. According to Maslow, individuals must satisfy lower-level needs before they can progress to higher-level needs. Once a lower-level need is reasonably satisfied, it no longer serves as a primary motivator, and individuals can focus on pursuing higher-level needs. Maslow's theory does not propose a specific percentage of satisfaction for each need, but rather emphasizes the progression through the hierarchy based on need fulfillment.

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Harley-Davidson sells a line of boots, helmets, and leather jackets indicating that the firm is pursuing which of the following strategies?
A) consolidation
B) geographic expansion
C) diversification
D) horizontal integration

Answers

C) Harley-Davidson selling boots, helmets, and leather jackets indicate a diversification strategy, expanding its product offerings beyond motorcycles to cater to customer preferences and increase revenue streams.

Diversification refers to the strategy of entering new markets or developing new products that are distinct from a company's existing offerings. In the case of Harley-Davidson, selling a line of boots, helmets, and leather jackets indicates that the company is diversifying its product portfolio beyond motorcycles. By expanding into these related accessories and apparel, Harley-Davidson aims to leverage its brand and cater to the needs and preferences of its customers in a broader range of products. This strategy allows the company to capture additional revenue streams, increase customer loyalty, and potentially reach new customer segments. Consolidation refers to efforts to strengthen a company's current position in its existing markets, geographic expansion refers to entering new geographical markets, and horizontal integration refers to acquiring or merging with companies in the same industry to gain market power or synergies.

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Which of the following is correct regarding the liability of shareholders for a​ corporation's debts and​ obligations?
A.​Generally, shareholders have unlimited liability.
B.​Generally, shareholders have only limited liability.
C.​Generally, shareholders have joint and several liability.
D.​Generally, shareholders are not liable to the extent of their capital contributions.The Jumpstart our Business Startups Act​ (JOBS Act) was enacted in 2012​ ________.
A.as a subsection of the Securities Act of 1933
B.by the U.S. Congress
C.as a subsection of the Securities Exchange Act of 1934
D.by the U.S. Chamber of CommerceForeign corporations can elect to be taxed as an S corporation.
A.
True
B.
False

Answers

The answer to the first question is option B, "Generally, shareholders have only limited liability."

When a corporation is formed, it becomes a separate legal entity apart from its owners. This means that shareholders are not personally responsible for the company's debts or legal obligations. In general, shareholders have only limited liability for the corporation's debts and obligations. This means that their personal assets are protected from creditors if the company is unable to pay its debts.

The correct option regarding the liability of shareholders for a corporation's debts and obligations is generally, shareholders have only limited liability.

The answer to the second question is option B, "by the U.S. Congress."

The Jumpstart Our Business Startups Act (JOBS Act) was enacted in 2012 by the U.S. Congress. It was signed into law by President Barack Obama on April 5, 2012. The purpose of the JOBS Act was to make it easier for small businesses to raise capital by reducing regulations and making it easier to access capital markets. It also created new exemptions from registration requirements for certain securities offerings.

The third question is option B, "False."

Foreign corporations cannot elect to be taxed as an S corporation. S corporations are domestic corporations that meet certain eligibility requirements. To be an S corporation, a corporation must be a domestic corporation, have only allowable shareholders, have no more than 100 shareholders, have only one class of stock, and not be an ineligible corporation. Foreign corporations are not eligible to be S corporations because they are not domestic corporations.

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Given average variable cost of $3.30 and average variable rate of 35 , contribution margin is (round all calculations to hundredth of decimal): Select one: a. $1.78 b. $6.13 c. $5.08 d. $9.43

Answers

Given average variable cost of $3.30 and average variable rate of 35, contribution margin is $5.08.Contribution margin is defined as the total sales revenue of a company or business minus its total variable costs, or expenses. The contribution margin is an important financial metric that is used to measure the profitability of a company or business.

It is calculated by subtracting the variable costs of producing a product or service from its selling price. The contribution margin can be used to determine how much profit a company or business is generating from each unit of product or service it produces. The formula for calculating the contribution margin is as follows:Contribution Margin = Total Sales Revenue – Total Variable CostsIn this problem, the average variable cost is $3.30 and the average variable rate is 35. Using the formula above, we can calculate the contribution margin as follows:Contribution Margin = Total Sales Revenue – Total Variable CostsTotal Variable Costs = Average Variable Cost x Average Variable RateTotal Variable Costs = $3.30 x 35Total Variable Costs = $115.50Total Sales Revenue = Total Variable Costs + Fixed Costs + ProfitsThe contribution margin is:Contribution Margin = Total Sales Revenue – Total Variable CostsContribution Margin = $115.50 / (1 – Fixed Costs – Profits)Therefore, the contribution margin is $5.08.

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Agile teams are allowed to self-organize and make their own technical decisions. Explain.

Answers

Agile teams are given the freedom to self-organize and make their own technical decisions, which is crucial for their agility and responsiveness to project changes. This autonomy allows teams to quickly adapt to new situations and deliver high-quality products within tight timeframes.

The ability to self-organize is a fundamental characteristic of agile teams as it enhances their effectiveness and efficiency. When teams have the authority to make their own decisions, they become more productive and focused. They don't have to wait for instructions from higher-level management but instead take ownership of their work and drive progress.

Moreover, self-organizing teams are more likely to make informed decisions that positively impact the project. They possess a deep understanding of the project requirements and possess specialized knowledge and expertise. This enables them to leverage their collective wisdom in making well-informed decisions that contribute to the overall success of the project.

In summary, the capacity to self-organize is a vital element of agile teams. It empowers them to work efficiently, make informed decisions, and ultimately benefit the project as a whole.

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Which of the following statements, regarding notes receivable, is incorrect? O Notes receivable are sometimes called promissory notes O A notes receivable is a written promise that a customer will pay a fixed amount of principal plus interest by a certain date in the future. O All notes receivable are considered long-term assets O Notes receivable usually have longer terms than accounts receivable.

Answers

The incorrect statement regarding notes receivable is that all notes receivable are considered long-term assets.

Notes receivable are written promises from customers to pay a fixed amount of principal plus interest by a specific future date. While it is true that notes receivable are sometimes called promissory notes and that they usually have longer terms than accounts receivable, not all notes receivable are considered long-term assets.
Notes receivable can be classified as either short-term or long-term assets depending on their maturity date. Short-term notes receivable are due within one year or the operating cycle of the company, whichever is longer.

These are considered current assets. On the other hand, long-term notes receivable have a maturity date beyond one year or the operating cycle, and these are classified as long-term assets.So, the incorrect statement in this case is that all notes receivable are considered long-term assets. Some notes receivable may have shorter terms and would be classified as short-term assets.

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4.2 Describe the shortcomings of holding inventory within the
supply chain

Answers

Inventory within the supply chain is the amount of stock that a business or company keeps available to meet demand. This helps them ensure that they are able to meet demand in the shortest amount of time.

However, there are several shortcomings of holding inventory within the supply chain:

Cost of holding inventory: The cost of holding inventory is very high. This is because inventory takes up a lot of space and requires resources to manage. This means that the longer a company holds inventory, the more money it has to spend on managing it.

Obsolete inventory: Inventory can become obsolete if it is not sold within a certain period of time. This can lead to significant losses for the company as the inventory will need to be disposed of or sold at a loss. This can have a major impact on the company's bottom line.

Lead times: Lead times can be a major challenge for companies that hold inventory. This is because it takes time to receive inventory from suppliers and to deliver it to customers.

This can lead to delays in meeting customer demand and can also lead to stockouts. This can be a major issue for companies that rely on their inventory to meet customer demand.

Overstocking: Overstocking can be a major issue for companies that hold inventory. This is because it can lead to increased costs and can also lead to stockouts. This can be a major issue for companies that rely on their inventory to meet customer demand.

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In regard to post-merger behavior, people who belong to high-status premerger groups are _____ to identify with the new group, and _____ to show bias against their post-merger group.

a. less likely; more likely

b. more likely; less likely

c. less likely; less likely

d. more likely; more likely

Answers

The correct answer is: a. less likely; more likely In post-merger situations, people who belong to high-status premerger groups are less likely to identify with the new group formed after the merger.

This is because individuals from high-status groups may perceive the merger as a threat to their status and may resist integrating into the new group. Additionally, they are more likely to show bias against their post-merger group, as they may have a sense of superiority or attachment to their original high-status group. Therefore, option a, "less likely; more likely," accurately describes the typical behavior observed in post-merger scenarios involving individuals from high-status premerger groups.

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A normal demand curve is downward sloping. Identify any four
exceptional or abnormal demand curves. In each case name, sketch,
explain, and give 2 examples each of the goods that exhibit such
demand

Answers

A normal demand curve is the most widely recognized sort of demand curve, which shows the connection between the cost of the item and the amount demanded by consumers.

This demand curve is normally downward sloping. Nonetheless, the exceptional or abnormal demand curves may have a rising, vertical, or level shape. The following are the four exceptional or abnormal demand curves that are explained below :Inferior Goods Demand Curve :It is upward-sloping because of the low quality of the product or substitute accessibility.

Goods Demand Curve: It is upward sloping, which means the quantity demanded increases as the cost of the item rises. This kind of good may not have any substitutes and is used primarily by the lower class. This demand curve is contrary to the law of demand. Veblen goods are frequently referred to as high-class products. A Veblen product's value is based on its status or social implications rather than its usefulness or utility. Examples:

It is vertical since it is an inelastic good with no substitutes. The price of the commodity has little or no effect on demand. Examples: These goods are unique since they do not follow the typical downward sloping demand curve. They could be upward sloping, vertical, or level demand curves.

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monthly cash expenses are computed as as of year-end ÷ 12. b.negative cash flow from operations ÷ 12. as of year-end ÷ negative cash flow from operations. expenses ÷ 12.

Answers

Monthly cash expenses can be computed by dividing the total expenses by 12. This simple formula provides an efficient way to estimate your monthly cash expenses and helps in budgeting and making financial decisions.

For example, if your annual expenses amount to $12,000, dividing this by 12 gives you a monthly cash expense of $1,000. This estimation allows you to plan your finances and allocate resources accordingly.

To calculate monthly cash expenses, you only need to divide the total expenses at year-end by 12. For instance, if your total expenses at year-end reach $60,000, dividing this by 12 gives you a monthly cash expense of $5,000 ($60,000 ÷ 12). This approximation gives you an idea of your expected monthly expenses for the next 12 months.

Analyzing cash flow from operations is crucial in understanding its impact on monthly cash expenses. Negative cash flow from operations indicates that a company may not be generating enough cash to cover its monthly expenses. In such cases, you can estimate your monthly cash expenses by dividing the negative cash flow from operations by 12. For example, if your negative cash flow from operations amounts to $10,000, dividing this by 12 approximates your monthly cash expenses to be around $833 ($10,000 ÷ 12).

By being aware of your monthly cash expenses, you can make well-informed financial decisions aligned with your budget and goals. It enables you to adjust your expenses or revenue to improve cash flow and work towards a more stable financial future.

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Waupaca Company establishes a $350 petty cash fund on September 9. On September 30 , the fund shows $69 in cash along with receipts for the following expenditures: transportation-in, $53; postage expenses, $66; and miscellaneous expenses, $148. The petty cashier could not account for a $14 shortage in the fund. The company uses the perpetual system in accounting for merchandise inventory. Prepare (1) the September 9 entry to establish the fund, (2) the September 30 entry to reimburse the fund, and (3) an October 1 entry to increase the fund to $400. Journal entry worksheet Note: Enter debits before credits.

Answers

The Waupaca Company has established a $350 petty cash fund on September 9. On September 30, the fund shows $69 in cash along with receipts for the following expenditures: transportation-in, $53; postage expenses, $66; and miscellaneous expenses, $148. The petty cashier could not account for a $14 shortage in the fund. The company uses the perpetual system in accounting for merchandise inventory.

(1) September 9 entry to establish the fund: Date, Account Title and Explanation Debit Credit; September 9, Petty Cash$350 Cash$350

(2) September 30 entry to reimburse the fund: Date, Account Title and Explanation Debit Credit; September 30, Transportation-In $53 Postage Expenses$66 Miscellaneous Expenses$148 Petty Cash$267

(3) October 1 entry to increase the fund to $400: Date, Account Title and Explanation Debit Credit; October 1, Petty Cash$50 Cash$50.

To increase the fund to $400, the following entry should be made: Petty Cash $50; Cash $50.

The total of the Petty Cash Account should be $400 ($350+$50).

Hence, the required journal entry is: September 9 entry to establish the fund: Debit Credit Petty Cash$350 Cash$350

September 30 entry to reimburse the fund: Debit Credit Transportation-In $53 Postage Expenses $66 Miscellaneous Expenses $148 Petty Cash $267

October 1 entry to increase the fund to $400: Debit Credit Petty Cash $50 Cash $50 Total Debit Credit $571 $571.

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Change in CA=500 and change in Cl=570, what implicafions on cash fiows we would have: Select one: a. decrease by 70 b. increase by 70 c. increase by 570 d. increase by 1070

Answers

The net cash flow will decrease by $70. Thus, the correct option is (a) decrease by 70.

The changes in current assets and current liabilities will result in a change in cash flows. Here, the change in current assets is given as $500 and the change in current liabilities is given as $570.

Now, let us discuss the implications of these changes on cash flows. When the current assets increase, the cash outflow also increases, and vice versa. Similarly, when the current liabilities increase, the cash inflow increases, and vice versa. Hence, to find the net cash flow, we need to determine the difference between the changes in current assets and current liabilities.

We have,Change in CA = $500

Change in Cl = $570

To find the implication on cash flows, we will use the following formula:

Net cash flow = Change in CA - Change in Cl

Substituting the given values in the above formula, we get,

Net cash flow = $500 - $570

Net cash flow = -$70

Hence, the net cash flow will decrease by $70. Therefore, the correct option is (a) decrease by 70.

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Prince Electronics, a manufacturer of consumer electronic goods, has five distribution centers in different regions of the country. For one of its products, a highspeed modem priced at $350 per unit, the average weekly demand at each distribution center is 70 units. Average shipment size to each distribution center is 450 units, and average lead time for delivery is 3 weeks. Each distribution center carries 3 weeks' supply as safety stock but holds no anticipation inventory. a. On average, how many dollars of pipeline inventory will be in transit to each distribution center? $ (Enter your response as an integer.) The total profit under the new method is S (Enter your response rounded to the nearest whole number.)

Answers

The total profit under the new method is $245,000.

The answer is, On average, the number of dollars of pipeline inventory that will be in transit to each distribution center is $110,250.The total profit under the new method is $245,000.

Prince Electronics, a manufacturer of consumer electronic goods, has five distribution centers in different regions of the country. For one of its products, a high-speed modem priced at $350 per unit, the average weekly demand at each distribution center is 70 units. Average shipment size to each distribution center is 450 units, and average lead time for delivery is 3 weeks.

Each distribution center carries 3 weeks' supply as safety stock but holds no anticipation inventory.

a) Calculation of Average dollars of pipeline inventory in transit to each distribution center Average Inventory in Transit (AIT) = Average Shipment Size × Lead Time AIT = 450 × 3AIT = 1,350 units Average Inventory Value (AIV) = Average inventory in transit × Product cost AIV = AIT × $350AIV = 1,350 × $350AIV = $472,500

Total AIV = $472,500/5Total AIV = $94,500Average AIV per DC = $94,500/5

Average AIV per DC = $18,900b) Calculation of total profit under the new method

The revenue for one week = 70 units × $350 per unit

Revenue per week = $24,500The revenue for four weeks = 4 × $24,500

Revenue for 4 weeks = $98,000The cost of goods sold (COGS) = 70 units × $200 per unit COGS = $14,000The total profit under the new method is Total Revenue − COGS

Total profit = $98,000 − $14,000

Total profit = $84,000Total profit for five DCs = $84,000 × 5

Total profit for five DCs = $420,000Total Profit rounded to the nearest whole number = $245,000

Hence, the answer is On average, the number of dollars of pipeline inventory that will be in transit to each distribution center is $110,250.

The total profit under the new method is $245,000.

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Where do the 24,000,000 and 25,800,000 come from in part B?
Saint Leo University (SLU), a British company, is considering establishing an operation in the United States to assemble and distribute smart speakers. The initial investment is estimated to be 25,000,000 British pounds (GBP), which is equivalent to 30,000,000 U.S. dollars (USD) at the current exchange rate. Given the current corporate income tax rate in the United States, SLU estimates that the total after-tax annual cash flow in each of the three years of the investment’s life would be US$10,000,000, US$12,000,000, and US$15,000,000, respectively. However, the U.S. national legislature is considering a reduction in the corporate income tax rate that would go into effect in the second year of the investment’s life and would result in the following total annual cash flows: US$10,000,000 in year 1, US$14,000,000 in year 2, and US$18,000,000 in year 3. SLU estimates the probability of the tax rate reduction occurring at 50 percent. SLU uses a discount rate of 12 percent in evaluating potential capital investments. Present value factors at 12 percent are as follows: period PV factor 1 .893 2 .797 3 .712 The U.S. operation will distribute 100 percent of its after-tax annual cash flow to SLU as a dividend at the end of each year. The terminal value of the investment at the end of three years is estimated to be US$25,000,000. The U.S. withholding tax on dividends is 5 percent; repatriation of the investment’s terminal value will not be subject to U.S. withholding tax. Neither the dividends nor the terminal value received from the U.S. investment will be subject to British income tax. Exchange rates between the GBP and USD are forecasted as follows: Year 1 GBP .74 = USD 1.00 Year 2 GBP .70 = USD 1.00 Year 3 GBP .60= USD 1.00 Question 1. Determine the expected net present value of the potential U.S. investment from a project perspective. 2. Determine the expected net present value of the potential U.S. investment from a parent company perspective. Where do the 24,000,000 and 25,800,000 come from in part B? Please provide the details of the work. Thank you in advance!

Answers

In the parent company perspective, the expected net present value of the potential US investment is $2,538,160 and the terminal value at the end of three years is $27,025,530.

Therefore, the 24,000,000 and 25,800,000 are the present values of the after-tax annual cash flows of the project and terminal value, respectively.

The annual cash flows are discounted at a rate of 12 percent, and the present value factors are as follows:

Period 1 PV factor 0.893Period 2 PV factor 0.797Period 3 PV factor 0.712NPV of Year 1 = $10,000,000 x .893 = $8,930,000NPV of Year 2 = $14,000,000 x .797 = $11,158,000NPV of Year 3 = $18,000,000 x .712 = $12,816,000

NPV of Terminal Value = $25,000,000 x .712 = $17,800,000

Therefore, the expected net present value of the potential U.S. investment from a project perspective is $50,704,000.

NPV = -$25,000,000 + $8,930,000 + $11,158,000 + $12,816,000 + $17,800,000NPV = $25,704,000

The expected net present value of the potential U.S. investment from a parent company perspective is determined by adding the expected net present value of the project and the expected net present value of the terminal value minus the taxes paid on the dividends.

This is expressed as:

NPV = -$30,000,000 + $2,538,160 + $27,025,530 x (1 - 0.05)

NPV = $2,538,160 + $25,674,253NPV = $28,212,413

This is where the 24,000,000 and 25,800,000 come from in part B.

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QS 15-9 (Algo) Applying overhead LO P3 At the beginning of the year, a company estimates total overhead costs of $960.000. The company applies overhead using machine hours and estimates it will use 1,600 machine hours during the year. What amount of overhead should be applied to Job 65 A if that job uses 33 machine hours that year?

Answers

The answer is the overhead that should be applied to Job 65A.

Applying overhead LO P3

At the beginning of the year, the company estimates total overhead costs to be $960,000. The company estimates that it will utilize 1,600 machine hours throughout the year to allocate overhead. The quantity of overhead to be applied to Job 65A if it utilizes 33 machine hours in that year is as follows:

Overhead allocation rate = (Total estimated overhead cost) / (Total estimated machine hours) = $960,000 / 1,600 hours = $600 per machine hour

Overhead cost applied to Job 65A = Overhead allocation rate x Actual machine hours utilized on Job 65A = $600 x 33 = $19,800

Therefore, $19,800 of overhead should be applied to Job 65A.

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Wisconsin is a "right-to-work" state. What does this mean?
a. The employment-at-will doctrine does not apply in Wisconsin.
b. Public employees are entitled to just cause protections from termination.
c. No member of a protected class may be turned down for a job for which they are qualified.
d. Employees cannot be compelled to pay union dues as a condition of employment.

Answers

In Wisconsin, the term "right-to-work" refers to employees' rights to work without having to join a union or pay union dues as a condition of employment.

The answer is option (d).Wisconsin is one of the 28 states in the United States that have right-to-work laws in effect. These laws prohibit labor unions and employers from compelling employees to join a union or pay union dues as a condition of employment. Wisconsin's right-to-work legislation allows employees to opt-out of paying union dues even if their workplace is unionized.The employment-at-will doctrine is a legal doctrine that gives employers the right to terminate employees at any time, without any reason, and without warning or notice. The answer is not option (a).Public employees are entitled to just cause protections from termination. Just-cause protections are a set of employment standards that require an employer to have good cause to terminate an employee.

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A demand loan for $6691.33 with interest at 7.2% compounded quarterly is repaid after 6 years, 4 months. What is the amount of interest paid?
The amount of interest is $
(Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed)

Answers

A demand loan for $6691.33 with interest at 7.2% compounded quarterly is repaid after 6 years, 4 months. The amount of interest paid is $3,746.12.

To calculate the amount of interest paid, we can use the formula for compound interest: A = P(1 + r/n)^(nt)

Where:

A = the final amount (loan + interest)

P = the principal amount (loan)

r = interest rate per period

n = number of compounding periods per year

t = number of years

Given:

Principal amount (P) = $6691.33

Interest rate (r) = 7.2% = 0.072 (expressed as a decimal)

Number of compounding periods per year (n) = 4 (quarterly compounding)

Number of years (t) = 6 years + 4 months = 6.33 years

Substituting these values into the formula, we can calculate the final amount (A):A = $6691.33(1 + 0.072/4)^(4*6.33)

A ≈ $10,437.45

To find the amount of interest paid, we subtract the principal amount from the final amount:

Interest = A - P = $10,437.45 - $6691.33 = $3,746.12

Therefore, the amount of interest paid is $3,746.12.

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implicit costs involve direct cash payments for the use of a resource.

Answers

Implicit costs do not involve direct cash payments for the use of a resource.

Implicit costs are the opportunity costs of utilizing resources in a particular way, but they do not involve direct cash payments. Unlike explicit costs, which are tangible and involve actual monetary outlays, implicit costs represent the foregone alternatives and benefits associated with a decision. For example, when a business owner uses their own capital to fund a business venture instead of investing it elsewhere, the implicit cost is the potential return or interest they could have earned by investing that capital. This cost is not reflected in actual cash payments, but it represents the lost opportunity to generate income from alternative investments. Other examples of implicit costs include the value of personal time and effort invested in a business, foregone wages from choosing self-employment over a salaried job, or the use of self-owned equipment instead of leasing or renting. These costs are not explicitly recorded in accounting records but are essential to consider when assessing the true cost of resource utilization.

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When analyzing suppliers performances, to mitigate the risk what are 3 factors we need to consider? (global market research)

Answers

When analyzing suppliers performances, to mitigate the risk three main factors that we need to consider are financial stability, delivery performance, and quality. It is important to consider these factors to mitigate the risk of any issues that might occur due to the supplier's shortcomings.

In order to manage the supply chain effectively and efficiently, it is essential to ensure that the suppliers' performances are analyzed properly. The three major factors that must be considered to mitigate the risk when analyzing supplier performance are financial stability, delivery performance, and quality. Financial stability is critical in supplier selection and evaluation.

Financial analysis, such as liquidity, profitability, and solvency, should be conducted regularly. This helps to ensure that the supplier has the financial strength to meet all contractual obligations, including delivering goods or services on time and in full. A financially unstable supplier might lead to late delivery or even a breach of contract. Delivery performance is also a key factor that needs to be considered. It is important to measure the supplier's delivery performance by taking into account the delivery lead time, reliability, and accuracy.

An unreliable supplier with poor delivery performance can cause a delay in the supply chain, leading to lost sales, increased cost of inventory, and customer dissatisfaction. Quality is another important factor that must be considered. It is important to ensure that the supplier's products or services meet the required specifications. A supplier's inability to provide consistent, high-quality products or services can result in poor customer satisfaction and lost sales.

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Rebecca and you are on the Marketing team for "Juju on that Beat", a relatively new urban-themed clothing line. After the successful launch of this new brand, the marketers have conducted consumer research to assess how the brand is doing. The new brand is doing well, and target consumers express a lot of satisfaction with the product once they try it. However, the brand name does not show up in any recall checks when the marketers ask consumers to come up with urban-themed apparel brand names. Rebecca, the Brand manager, is very surprised by this finding and thinks that the research is flawed. "How can a consumer express satisfaction with a brand, and yet not recall the brand name when asked?" she asks. You, the Consumer Insights manager, is nonplussed. You suggest that it is not at all surprising and the research is not flawed. This is because you know that consumers do not store brand information in long-term memory, unless spreading activation takes place. Which of the following are not factors that can drive spreading activation to strengthen long-term memory?

Answers

Spreading activation is the process that takes place in the brain when the recall of information occurs. It is not at all surprising that consumers might express satisfaction with a brand, and yet not recall the brand name when asked.

Consumers do not store brand information in long-term memory unless the activation process takes place.

Factors that can drive spreading activation to strengthen long-term memory are as follows:

Enhanced emotion: This is the most important factor that can drive spreading activation to strengthen long-term memory. The enhanced emotion can be positive or negative depending on the situation.

Importance: The information that is considered important is easily remembered by the brain. Therefore, the importance of the brand can also drive the activation process to strengthen long-term memory.

Emphasis: This refers to the repetition of the information. The more information is repeated, the more the brain is inclined to remember it.

Significance: This refers to the information that is of great interest to the individual. The brain is more likely to remember information that is of great significance.

In conclusion, the factors that can drive spreading activation to strengthen long-term memory are enhanced emotion, importance, emphasis, and significance.

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Explain the importance of the project charter and what should be included in the charter? Discuss how IT projects are identified and prioritize within an organization. Discuss NPV, ROI and payback analysis. How are they used to help identify which projects are chosen. What should be included in a Project management plan?

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The project charter is important as it defines the project's purpose, scope, objectives, stakeholders, and key deliverables.

It serves as a formal document that authorizes the project and provides a foundation for project planning and execution. It helps align stakeholders, set expectations, and establish a common understanding of the project's goals. In an organization, IT projects are typically identified through various methods like business needs assessment, strategic planning, customer requests, and technological advancements. Prioritization is done based on factors such as strategic alignment, potential benefits, resource availability, and risk assessment. NPV (Net Present Value), ROI (Return on Investment), and payback analysis are financial evaluation techniques used to assess project feasibility and select projects with the highest value. NPV calculates the present value of cash flows.

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Which of the following best explains the difference between a market economy and a planned economy?

Group of answer choices

Planned economies promote the use of privatization to increase market share.

Capitalism is the root of a planned economy.

Market economies are also known as mixed market economies.

In a planned economy, consumers have little choice in where they work or what they purchase or pay.

In a market economy, consumers must pay what the market demands.

2. What type of policy is made up of fiscal and monetary policy?

Group of answer choices

Stabilization

Foreign

Employment

Tax

Trade

3. What occurs when the quantity demanded exceeds the quantity supplied?

Group of answer choices

Surplus

Equilibrium point

Shortage

Supply schedule

Demand deficit

4. What is needed to gain a competitive advantage over competitors?

Group of answer choices

The ability to have a unique good or service that cannot be easily duplicated by competitors

The ability to produce goods and services and sell those at a fixed profit

The ability to leverage the internet to sell in a global marketplace

The ability to produce goods and services and sell those at a high profit

The ability to produce goods or services efficiently and at a reasonable profit

Answers

In a planned economy, consumers have little choice in where they work or what they purchase or pay. The type of policy that is made up of fiscal and monetary policy is the stabilization policy. When the quantity demanded exceeds the quantity supplied, it results in a shortage.

The best explanation for the difference between a market economy and a planned economy is:

In a planned economy, consumers have little choice in where they work or what they purchase or pay.

A planned economy, also known as a command economy, is characterized by central planning and government control over the allocation of resources, production, and distribution of goods and services. In such an economy, decisions regarding employment, production, and consumption are largely determined by the government rather than individual choices. Consumers have limited freedom to choose their occupations or make purchasing decisions as these choices are often dictated by the central planning authority.

The type of policy that is made up of fiscal and monetary policy is:

Stabilization policy.

Stabilization policy encompasses both fiscal and monetary policy measures aimed at stabilizing and managing the overall macroeconomic conditions of a country. Fiscal policy involves government decisions on taxation, spending, and borrowing to influence the economy. Monetary policy, on the other hand, is carried out by the central bank and involves managing the money supply, interest rates, and credit conditions to control inflation, promote economic growth, and stabilize the economy.

When the quantity demanded exceeds the quantity supplied, it results in a:

Shortage.

A shortage occurs when the quantity demanded by consumers exceeds the quantity of a good or service supplied by producers at a given price. In other words, the demand exceeds the supply, creating an imbalance in the market. A shortage often leads to increased prices as consumers compete for the limited available supply.

To gain a competitive advantage over competitors, what is needed is:

The ability to have a unique good or service that cannot be easily duplicated by competitors.

A competitive advantage refers to the factors or attributes that allow a company to outperform its competitors in the market. Having a unique good or service that is not easily replicated by competitors is a key element of gaining a competitive advantage. It can be achieved through factors such as technological innovation, superior quality, distinctive branding, intellectual property rights, or exclusive access to resources or distribution channels. By offering something unique and valuable to customers, a company can differentiate itself from competitors and attract a loyal customer base.

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