The deadweight loss for the market equals $62.5, which is not among the options provided.
To determine the deadweight loss for the market, we need to find the monopolist's profit-maximizing output level and compare it to the socially optimal output level.
Given:
Demand: P = 120 - Q
Marginal Revenue: MR = 120 - 20
Marginal Cost: MC = 30 + Q
To find the profit-maximizing output, we equate marginal revenue (MR) to marginal cost (MC):
MR = MC
120 - 20 = 30 + Q
Simplifying the equation, we have:
100 = 30 + Q
Subtracting 30 from both sides:
Q = 70
The profit-maximizing output level is Q = 70.
To find the socially optimal output level, we set the monopolist's marginal cost equal to the market demand:
MC = P
30 + Q = 120 - Q
Combining like terms:
2Q = 90
Dividing both sides by 2:
Q = 45
The socially optimal output level is Q = 45.
To calculate the deadweight loss, we need to find the area between the demand curve and the marginal cost curve, from the profit-maximizing output (Q = 70) to the socially optimal output (Q = 45).
Deadweight loss = (1/2) * (70 - 45) * (120 - (70 + 45))
= (1/2) * (25) * (120 - 115)
= (1/2) * 25 * 5
= (1/2) * 125
= 62.5
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Which structure would be most appropriate for developing a new, highly innovative product that has strict time constraints? Dedicated project team he functional manager
When developing a new, highly innovative product that has strict time constraints, the dedicated project team would be the most appropriate structure for that kind of project.
A dedicated project team is a type of organizational structure that focuses on a specific project for a specific period. The group members are selected based on their skills and experience, and they are assembled to work on the project full-time. In this way, they can concentrate solely on completing the project with time constraints and more creative ways.The dedicated project team has the following characteristics: It's structured around the project's objectives, rather than the company's standard hierarchy.The team is made up of people from various disciplines, such as marketing, design, and engineering.It has a specific budget and timeline. It's only active for the project's duration, and once the project is completed, the team is dissolved.The dedicated project team is ideal for developing a new, highly innovative product that has strict time constraints because the project requires a group of individuals with varied expertise, who can concentrate solely on the project's success. In addition, the dedicated project team structure provides for rapid decision-making, effective communication, and efficient problem-solving, all of which are critical when time is limited. This structure helps to reduce unnecessary bureaucracy and ensures that the project is delivered on time, on budget, and to the desired quality. Therefore, the dedicated project team is the most appropriate structure for developing a new, highly innovative product that has strict time constraints.
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Provide 2 or 3 examples of securities fraud in recent years.
What happened?
Securities fraud refers to deceptive practices in the financial markets that manipulate or misrepresent information to deceive investors.
Here are three examples of securities fraud that have occurred in recent years:
Enron Corporation: One of the most notorious cases of securities fraud, Enron's collapse in 2001 shocked the financial world. The energy company employed accounting loopholes and off-balance-sheet entities to hide debt, inflate profits, and mislead investors. The fraudulent practices eventually led to Enron's bankruptcy, resulting in significant financial losses for shareholders.
Bernie Madoff Ponzi Scheme: Bernie Madoff orchestrated one of the largest and most infamous Ponzi schemes in history. Operating for several decades, Madoff promised high and consistent returns to his investors. However, instead of investing the funds, he used new investors' money to pay returns to existing clients. The scheme collapsed in 2008, causing investors to lose billions of dollars.
Theranos Scandal: Theranos, a healthcare technology company, claimed to have developed a revolutionary blood-testing device. However, it was revealed that the company had misled investors, patients, and the public about the capabilities of its technology. Theranos exaggerated its product's abilities, which led to significant investments and partnerships. Subsequent investigations exposed the fraud, and the company faced legal consequences.
These examples demonstrate the severity of securities fraud and its impact on investors and the financial markets. Such fraudulent activities can erode trust, damage economies, and lead to significant financial losses for individuals and institutions involved. Regulatory bodies and increased scrutiny have been implemented to prevent and detect securities fraud, but vigilance remains crucial in maintaining market integrity.
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Read the case problem, Identifying Training Needs Using Virtual Brainstorming at EY (pg. 155-156) and answer the discussion questions at the end of the case
The case of Identifying Training Needs Using Virtual Brainstorming at EY shows a shift from traditional methods of identifying training needs to using virtual brainstorming. The process was designed to help the employees identify the skills they lacked and allow them to express their training needs.
Below are the discussion questions for this case.
What challenges might arise when using virtual brainstorming to identify training needs.
Virtual brainstorming may create an environment where employees are not comfortable expressing their ideas. Some employees may be afraid to speak up, while others may dominate the discussion, making it difficult for others to contribute. The session may also be hampered by technical issues such as poor connection, which may cause delays in communication.
Virtual brainstorming can be improved by providing adequate training to employees on how to use the platform. The training should be geared towards ensuring that the employees are comfortable with the technology and understand the importance of expressing their ideas. The platform should be user-friendly, and technical support should be available to ensure that technical issues are addressed in a timely manner. The process should be structured to ensure that all employees have an equal opportunity to contribute. This can be achieved by setting clear rules for engagement and appointing a moderator to manage the session. Finally, the identified training needs should be followed up with a concrete plan to ensure that employees receive the necessary training.
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John works at a bakery in New York City. He is the only employee who makes chocolate cakes (and he only needs to make the cakes). On average, it takes him 30 minutes to make a cake. The average number of chocolate cakes requested by customers in a day is 10 units, and the bakery operates 10 hours each day. . Based on a survey, 95% of the customers can get their chocolate cakes within 35 minutes after they place the order. Assume that John's processing time follows a normal distribution. What is the standard deviation of the processing time? A. 3.04 B. 3.27 C. 3.51 D. 3.83
The standard deviation of the processing time is 3.04. So correct answer is A
It can be calculated as follows:Given the following information:John works at a bakery in New York City and is the only employee who makes chocolate cakes. On average, it takes him 30 minutes to make a cake. The average number of chocolate cakes requested by customers in a day is 10 units, and the bakery operates 10 hours each day. 95% of the customers can get their chocolate cakes within 35 minutes after they place the order.The mean processing time is:μ = 30 minutesThe bakery operates for 10 hours, which means:10 hours = 600 minutes10 hours/ 10 hours/day = 60 minutes/hourThe total number of cakes requested per day is:10 cakes/dayUsing the above information, the total processing time per day is:Total processing time = mean processing time * total number of cakes requested per day
Total processing time = 30 minutes * 10 cakes/dayTotal processing time = 300 minutes/dayNow, the processing time for each cake must be calculated by dividing the total processing time by the number of cakes.300 minutes/day ÷ 10 cakes/day = 30 minutes/cakeThe standard deviation (σ) of a normal distribution can be calculated using the following formula:σ = (x – μ) / zwhere:x = the time it takes John to make a chocolate cakeμ = the mean processing timez = the number of standard deviations (z-score) that represents the percentage of customers that can get their chocolate cakes within 35 minutes of placing their orders.For a normal distribution, the z-score that corresponds to the 95% of customers is 1.645 (as given in the standard normal distribution table).Therefore, the standard deviation (σ) of the processing time is:σ = (35 minutes – 30 minutes) / 1.645σ = 3.04Therefore, the standard deviation of the processing time is 3.04 (Option A).
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Willow Corp paid 150,000 in salaries to its employees over 2022. On 1/1/22, the balance of salaries payable was 12,000 and on 12/31/22, the salaries payable balance equaled 18,000. Calculate the amount of salaries expense that Willow Corp incurred in 2022. A. 156,000 B. 97,450 C. 149,000 D. 150,000
Salaries expense that Willow Corp incurred in 2022 will be $156,000. The correct option is A.
To calculate the amount of salaries expense incurred by Willow Corp in 2022, we need to consider the change in the salaries payable balance during the year.
Salaries expense can be calculated using the formula:
Salaries expense = Salaries paid + Change in salaries payable
Given:
Salaries paid = $150,000
Salaries payable on 1/1/22 = $12,000
Salaries payable on 12/31/22 = $18,000
Change in salaries payable = Salaries payable on 12/31/22 - Salaries payable on 1/1/22
= $18,000 - $12,000
= $6,000
Salaries expense = $150,000 + $6,000
= $156,000
Therefore, the amount of salaries expense that Willow Corp incurred in 2022 is $156,000, which corresponds to option A.
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Reflect and/or conduct additional research if you need to, in order to answer the following questions:
What circumstance(s) would cause the Governor of the Bank of Canada to raise this rate?
What impact would this increase have on individuals and businesses with debt?
The specific impact of an interest rate increase will depend on various factors, including the magnitude of the rate hike, the overall economic conditions, and individual financial circumstances.
The Bank of Canada is responsible for setting the target overnight interest rate, also known as the key policy rate or the benchmark interest rate. This rate influences borrowing costs and serves as a tool to control inflation and promote economic stability. The circumstances that may lead the Governor of the Bank of Canada to raise this rate include:
High inflation: If the Governor observes that the rate of inflation is rising above the target range set by the central bank, they may consider increasing the interest rate to reduce consumer spending and investment, thereby curbing inflationary pressures.
Strong economic growth: When the economy is growing rapidly and approaching full capacity, the central bank may opt to increase interest rates to prevent overheating. Higher interest rates can moderate spending, control credit expansion, and prevent asset bubbles from forming.
Currency depreciation: If the value of the Canadian dollar declines significantly, the Governor may choose to increase interest rates to attract foreign investment, stabilize the currency, and prevent capital outflows.
Now, let's consider the impact of an increase in the benchmark interest rate on individuals and businesses with debt:
Individuals with variable-rate mortgages and loans: An increase in the interest rate would lead to higher borrowing costs for individuals with variable-rate mortgages and loans. Their monthly payments would increase, potentially putting pressure on their budgets.
Businesses with variable-rate loans: Similar to individuals, businesses that have variable-rate loans would experience increased borrowing costs. This can affect their profitability, especially if they have significant debt obligations.
Consumer spending: Higher interest rates can discourage consumer borrowing and spending, as the cost of borrowing becomes more expensive. This could lead to a decrease in consumer spending, which may impact businesses that rely on consumer demand.
Fixed-rate borrowers: Individuals and businesses with fixed-rate loans would not be immediately affected by an increase in the benchmark interest rate since their interest rates are already fixed. However, future borrowing costs could increase when they refinance or take out new loans.
Savings and investments: A higher interest rate environment can benefit savers and investors, as they can earn higher returns on their savings and fixed-income investments. This may encourage individuals and businesses to save more and invest in less risky assets.
It's important to note that the specific impact of an interest rate increase will depend on various factors, including the magnitude of the rate hike, the overall economic conditions, and individual financial circumstances.
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The adjusted trial balance of Pharoah Company included the following selected accounts: Debit Credit Sales Revenue $637,000 Sales Returns and Allowances $56,000 Sales Discounts 9,500 Cost of Goods Sold 408,000 Freight-Out 2,900 Advertising Expense 14,700 Interest Expense 20,500 Salaries and Wages Expense 85,000 Utilities Expense 24,000 Depreciation Expense 3,300 Interest Revenue 25,100
A. income statement
Pharoah Company's net income is $38,200, calculated after deducting all expenses from the sales revenue.
How was Pharoah Company's net income statement determined?To prepare the income statement for Pharoah Company, we need to calculate the net sales and total expenses.
Income Statement for Pharoah Company:
Sales Revenue $637,000
Sales Returns and Allowances ($56,000)
Sales Discounts ($9,500)
Net Sales $571,500 (637,000 - 56,000 - 9,500)
Cost of Goods Sold $408,000
Gross Profit $163,500 (571,500 - 408,000)
Operating Expenses:
Freight-Out $2,900
Advertising Expense $14,700
Interest Expense $20,500
Salaries and Wages Expense $85,000
Utilities Expense $24,000
Depreciation Expense $3,300
Total Operating Expenses $150,400
Operating Income (Profit) $13,100 (163,500 - 150,400)
Other Income (Expense):
Interest Revenue $25,100
Net Income $38,200 (13,100 + 25,100)
Therefore, the income statement for Pharoah Company is as follows:
Sales Revenue $637,000
Sales Returns and Allowances ($56,000)
Sales Discounts ($9,500)
Net Sales $571,500
Cost of Goods Sold $408,000
Gross Profit $163,500
Operating Expenses:
Freight-Out $2,900
Advertising Expense $14,700
Interest Expense $20,500
Salaries and Wages Expense $85,000
Utilities Expense $24,000
Depreciation Expense $3,300
Total Operating Expenses $150,400
Operating Income (Profit) $13,100
Other Income (Expense):
Interest Revenue $25,100
Net Income $38,200
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What part did the Russia's foreign currency policy play in the
Russia Financial Crisis of 1998?
Russia's foreign currency policy played a significant role in the Russia Financial Crisis of 1998. At the time, Russia operated under a fixed exchange rate regime, known as a "pegged" or "managed" exchange rate system.
Under this policy, the Russian government maintained a fixed exchange rate between the Russian ruble and the U.S. dollar. To support this fixed exchange rate, the Russian central bank (Bank of Russia) used its foreign currency reserves to intervene in the currency markets. It aimed to keep the ruble within a specific trading band against the U.S. dollar. However, this policy relied heavily on the availability of foreign currency reserves, which were primarily obtained from Russia's export revenues, particularly from oil and gas.
Russia's foreign currency policy exacerbated the crisis in several ways:
Depletion of Foreign Currency Reserves: In the years leading up to the crisis, Russia faced significant capital flight as investors lost confidence in the Russian economy. The fixed exchange rate policy required the central bank to sell its foreign currency reserves to support the ruble. As reserves dwindled, it became increasingly difficult to defend the exchange rate and maintain market confidence.Speculative Attacks: Market participants, aware of Russia's limited reserves, began speculating against the ruble, betting that the central bank would not be able to sustain the fixed exchange rate. Speculative attacks intensified pressure on the currency and further depleted the central bank's reserves.Unsustainable Exchange Rate: The fixed exchange rate regime was unsustainable given Russia's economic fundamentals, such as high inflation and fiscal imbalances. The overvaluation of the ruble made Russian exports more expensive and imports cheaper, contributing to a widening trade deficit and further straining the country's finances.Inability to Meet Obligations: As the crisis deepened, Russia faced difficulties in meeting its external obligations, such as repaying its foreign debt denominated in foreign currencies. The depletion of foreign currency reserves made it increasingly challenging for the government and corporations to meet their payment obligations.Learn more about currency here : brainly.com/question/30240732
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To reinforce the core concepts related to the subject, the instructor will provide a topic related to change management in Week 1/ Week 2. The students will have to search for academic articles related to the topic and write a research paper. The aim of this assignment is to develop an in-depth understanding of a topic related to change management, by examining the latest academic articles, and other relevant content related to the course.
Objectives
The research paper will help students gain an in-depth understanding of one key change management concepts. This is an individual assignment, and the students will be assigned a topic for writing the research paper. The students must describe the concept in the research paper in detail and then critically evaluate, with evidence, the ideas presented in th
The instructor will provide a topic related to change management in Week 1/Week 2 to reinforce the core concepts related to the subject.
The students will have to search for academic articles related to the topic and write a research paper. The objective of this assignment is to develop an in-depth understanding of a topic related to change management, by examining the latest academic articles and other relevant content related to the course.
The research paper will help students gain an in-depth understanding of one key change management concept. It is an individual assignment, and the students will be assigned a topic for writing the research paper. The students must describe the concept in detail and then critically evaluate, with evidence, the ideas presented in the main answer. I
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Taking business personally: In deciding to pursue your
current college degree program, did you do a positive economic
cost-benefit analysis of that human capital investment in
yourself?
Taking busines
When individuals decide tο pursue a cοllege degree prοgram, it is cοmmοn fοr them tο cοnsider the pοtential ecοnοmic cοsts and benefits οf such an investment in themselves.
What are Ecοnοmic Cοsts?Ecοnοmic cοsts, alsο knοwn as οppοrtunity cοsts, lοοk at the pοtential difference between taking οne actiοn οver anοther. They measure bοth the explicit and implicit cοsts οf fοllοwing a strategy.
Here are sοme factοrs that may be taken intο accοunt:
1 Ecοnοmic Cοsts:
Tuitiοn fees: The cοst οf tuitiοn and οther expenses assοciated with attending cοllege.Oppοrtunity cοst: The incοme that cοuld have been earned if the individual had chοsen tο wοrk instead οf pursuing a degree.Living expenses: The cοst οf hοusing, transpοrtatiοn, textbοοks, and οther daily expenses.2 Ecοnοmic Benefits:
Increased earning pοtential: A cοllege degree can enhance jοb prοspects and lead tο higher-paying pοsitiοns οver the cοurse οf a career.Expanded jοb οppοrtunities: Many prοfessiοns require a specific degree, and having οne can οpen dοοrs tο a wider range οf jοb οppοrtunities.Lοng-term career advancement: Higher educatiοn can prοvide individuals with the skills and knοwledge needed tο advance in their chοsen field.Jοb security: In certain industries, having a cοllege degree may prοvide greater jοb stability and prοtectiοn against unemplοyment.Tο cοnduct a pοsitive ecοnοmic cοst-benefit analysis, individuals wοuld typically cοmpare the anticipated ecοnοmic benefits they expect tο gain frοm οbtaining a cοllege degree tο the cοsts they will incur during their educatiοnal jοurney. This analysis can help individuals make infοrmed decisiοns abοut whether the pοtential benefits οutweigh the cοsts in their specific circumstances.
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7- Employee involvement and employee engagement are related to
high performance work systems. T/F
True. Employee involvement and employee engagement are indeed related to high-performance work systems.
Employee involvement refers to the extent to which employees are actively and meaningfully involved in decision-making processes and have a say in the affairs of the organization. It encompasses practices such as employee participation, empowerment, and teamwork. On the other hand, employee engagement refers to the level of emotional commitment and dedication employees have towards their work and the organization. It involves factors like job satisfaction, motivation, and a sense of connection and purpose.
High-performance work systems (HPWS) are characterized by a set of integrated HR practices designed to enhance employee performance and organizational outcomes. These systems emphasize employee involvement and engagement as key components. When employees are actively involved in decision-making processes and feel valued for their contributions, it fosters a sense of ownership and commitment towards their work.
Research has consistently shown that organizations with high levels of employee involvement and engagement tend to outperform their counterparts in various aspects, such as innovation, customer satisfaction, and financial performance. Therefore, it can be concluded that employee involvement and engagement are closely associated with high-performance work systems and contribute to organizational success.
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The furniture manufacturing company produces two types of furniture series - "London" and "Paris". The production process takes place in carpentry, varnishing and packaging workshops. In the carpentry workshop "London" is prepared for 4 hours, but the "Paris" is processed for 3 hours, in the varnishing workshop "London" is processed for one and a half hours, but the "Paris" is processed for 3 hours, and at the packaging workshop one "London" is packed in 20 minutes, "Paris" is packed in 40 minutes. 480 hours are available in carpentry, 300 hours in a varnishing workshop and 100 hours in a packing workshop. The company can make a profit of € 45 for one "London" and € 43 for one "Paris". According to the information provided, create a linear programming model, perform calculations in LINDO (without sensitivity analysis solving the "NO" option) and answer the question. Note: If You use hours in the model: 20 min=0.333333 hours. Alternative: use minutes in the model. Question: (Change the original model and calculate): How much will the company's profit be if the profit from the "London" is € 480 and "Paris" is € 300 (optimal plan)? You must enter an integer (integer) 0,1,2,3..), if the answer is 5, then: 5 Format: x Answer:
By creating a linear programming model using the given information, the optimal plan and profit for the furniture manufacturing company can be determined. The question asks for the profit when the profit for "London" is €480 and "Paris" is €300.
To create a linear programming model, we need to define decision variables, objective function, and constraints. Let's define the decision variables as x and y, representing the number of "London" and "Paris" furniture series produced, respectively.
The objective function is to maximize the profit, which can be expressed as:
Profit = 45x + 43y
The constraints are based on the available production hours in each workshop:
Carpentry: 4x + 3y ≤ 480
Varnishing: 1.5x + 3y ≤ 300
Packaging: 0.333x + 0.667y ≤ 100
To answer the specific question about the profit when the profit for "London" is €480 and "Paris" is €300, we can substitute these values into the objective function:
Profit = 45x + 43y = 45 * 480 + 43 * 300 = €24,900
Therefore, the company's profit will be €24,900 under the given conditions.
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INTERPRET CAPITAL ASSET PRICE MODEL AND ITS RELEVANT
ASSUMPTIONS
The Capital Asset Pricing Model (CAPM) is an essential tool in finance used to determine a theoretically appropriate expected return of an asset. It helps investors understand the relationship between expected return and risk.
CAPM, a pivotal part of modern portfolio theory, rests on several significant assumptions. Firstly, it assumes that investors are rational and risk-averse, always aiming for portfolios with the maximum possible expected return for their level of risk tolerance. Secondly, it assumes homogeneity in investors' expectations, implying that all investors have the same expectations for future returns, variances, and covariances of all assets. Lastly, CAPM operates under a simplified world where there are no taxes or transaction costs, and there is a risk-free rate of return available to all investors.
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which of the following are main issues of bonds? multiple choice u.s. treasury bonds municipal bonds all of these choices are correct. corporate bonds
Bonds are a fixed income investment, where an investor loans money to an entity, which borrows the funds for a defined period at a fixed interest rate.
The loan can be repaid at the end of the term along with the principal investment.Major issues of bonds are:Bond rating: Bond rating is a measure of the creditworthiness of a bond issuer and is used by investors to assess the probability of default. A bond with a low rating is considered more risky than a bond with a high rating, and investors may require a higher yield to compensate for the added risk.Interest rate risk: The risk that bond prices will fall when interest rates rise, and vice versa, is known as interest rate risk. As interest rates rise, the price of existing bonds falls in response to new, higher-yielding bonds being issued in the market. This can be harmful to an investor's total return, especially if they need to sell the bond before maturity.Credit risk: Credit risk refers to the risk that the issuer of a bond will default on its payments. Investors can assess credit risk by reviewing bond ratings issued by credit rating agencies, but these ratings are not a guarantee that the issuer will make all payments on time.Liquidity risk: Liquidity risk is the risk that an investor will be unable to sell a bond when they need to, or will have to sell it at a lower price than they paid for it, due to a lack of market demand for the bond. In some cases, investors may be unable to sell the bond at all.All of the above options, US treasury bonds, municipal bonds, and corporate bonds, are all types of bonds and are therefore all subject to the main issues of bonds mentioned above.
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The trial balance of Building Blocks Child Care does not balance. Trial Balance August 31, 2024 Balance Account Title Total Debit Credit Account Title Cash Accounts Receivable Office Supplies Prepaid Insurance Equipment Accounts Payable Notes Payable Common Stock Dividends Service Revenue Salaries Expense Rent Expense Total August 31, 2024 $ $ Debit Balance 7,860 7,600 600 200 88,200 3,740 3,100 700 112,000 $ Credit 3,100 51,000 55,600 500 110,200 More info a. Cash is understated by $1,200. b. A $3,600 debit to Accounts Receivable was posted as a credit. C. A $1,500 purchase of office supplies on account was neither journalized nor posted. d. Equipment was incorrectly transferred from the ledger as $88,200. It should have been transferred as $80,000. e. Salaries Expense is overstated by $100. f. A $500 cash payment for advertising expense was neither journalized nor posted. A $160 cash dividend was incorrectly journalized as $1,600. g. h. Service Revenue was understated by $4,900. i. A 12-month insurance policy was posted as a $1,500 credit to Prepaid Insurance. Cash was posted correctly.
The trial balance of Building Blocks Child Care does not balance.
a. Cash is understated by $1,200. (Cash balance is $1,200 lower than recorded.)
b. $3,600 debit to Accounts Receivable posted as credit. (Recording error in Accounts Receivable.)
c. $1,500 office supplies purchase on account not recorded. (Omission of office supplies transaction.)
d. Equipment transferred as $88,200 instead of $80,000. (Incorrect transfer of equipment amount.)
e. Salaries Expense overstated by $100. (Recording error in Salaries Expense.)
f. $500 cash payment for advertising not recorded. (Omission of advertising expense transaction.)
g. $160 cash dividend journalized as $1,600. (Incorrect recording of dividend payment.)
h. Service Revenue understated by $4,900. (Service revenue not fully recorded.)
i. 12-month insurance policy posted as $1,500 credit to Prepaid Insurance. Cash posted correctly. (Recording error in insurance policy transaction.)
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what can you mention to customers as possible incentives that can help reduce the cost of buying an ev?
Electric vehicles (EVs) offer significant benefits in terms of fuel economy and reduced greenhouse gas emissions.
Although the initial cost of purchasing an electric car is higher than that of a conventional gasoline-powered car, there are several incentives available to help reduce the cost of owning one. Some of the possible incentives that can help reduce the cost of buying an EV are: Federal tax credits: The federal government provides a tax credit for up to $7,500 for the purchase of an electric car. The credit amount is based on the battery size, with larger batteries qualifying for a higher credit. The credit is applied to the purchaser's income tax liability and can be carried forward to future tax years if the full amount cannot be used in the year of purchase. State and local incentives: Many states and localities offer incentives for the purchase of an electric car, such as rebates, tax credits, or reduced registration fees. The incentives vary by state and locality, so it is important to check with your state and local government to see what incentives are available. Electric utility incentives: Some electric utilities offer incentives to customers who purchase an electric car, such as discounted electricity rates or rebates for the purchase of a home charging station. These incentives vary by utility, so it is important to check with your electric utility to see what incentives are available. Manufacturer incentives: Many electric car manufacturers offer incentives to customers who purchase their cars, such as cash rebates, discounted lease rates, or free charging. These incentives vary by manufacturer, so it is important to check with the manufacturer to see what incentives are available.
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Safe-T Securi-T Systems hires both male and female sales representatives. As part of training, a junior salesperson is paired with a senior sales representative at meetings. However, in the wake of the "Me Too" and "Time's Up" movements, the company felt that it would be safer to send sales teams consisting only of members of the same gender on sales meetings that were overnight or out-of-town. Most of the more senior sales staff were male employees, and the meetings requiring travel provided the best opportunities to increase visibility, improve contacts and provide opportunity for advancement. The new policy had the result of limiting female employees' ability to move into the position of senior sales executive because the job involves a lot of traveling and there were significantly fewer women at the higher level. Which of the following statements is true in this situation?
a. Safe-T Securi-T Systems is not liable for gender discrimination because it can use bona fide occupational qualification as a defense to any claim filed by its female employees.
b. Safe-T Securi-T Systems is not liable for gender discrimination because it employs both men and women.
c. Safe-T Securi-T Systems is liable for gender discrimination because it is unlawful to require one gender to work different hours or job positions for reasons not related to their ability.
d. Safe-T Securi-T Systems is liable for gender discrimination only if female employees are expected to match their level of performance to that of male employees.
Safe-T Securi-T Systems is liable for gender discrimination because it is unlawful to require one gender to work different hours or job positions for reasons not related to their ability.
In the wake of the "Me Too" and "Time's Up" movements, the company felt that it would be safer to send sales teams consisting only of members of the same gender on sales meetings that were overnight or out-of-town. This move has resulted in limiting female employees' ability to move into the position of senior sales executive because the job involves a lot of traveling and there were significantly fewer women at the higher level.
Therefore, Safe-T Securi-T Systems is liable for gender discrimination as it is unlawful to require one gender to work different hours or job positions for reasons not related to their ability and the same has been done by the company.
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Which of the following producers operate in a market structure most closely approximated by perfect competition? a restaurant in your neighbourhood Air Canada a FreshCo grocery store a British Columbia peach grower.
A British Columbia peach grower operates in a market structure most closely approximated by perfect competition.
A British Columbia peach grower is more likely to operate in a market structure that closely approximates perfect competition. Perfect competition is characterized by a large number of small firms producing identical or homogeneous products. In the case of a peach grower, there are likely many other peach growers in the region, and the peaches they produce are generally similar in quality and characteristics.
In perfect competition, there is easy entry and exit into the market, meaning new firms can easily enter the industry and existing firms can exit if they choose. Additionally, perfect competition assumes that all firms have perfect information about prices and market conditions, and no single firm has the ability to influence the market price.
On the other hand, a restaurant in your neighborhood, Air Canada, and FreshCo grocery store may not operate in market structures that closely resemble perfect competition. Restaurants, airlines, and grocery stores often face more competition and differentiation in their products or services, and there may be barriers to entry or exit in these industries.
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budget reports are prepared ? A. daily B. weekly C. monthly D. all of the above.
Budget reports are prepared on a monthly basis.What are budget reports?Budget reports are documents that include a detailed summary of an organization's financial performance over a specific period of time.
These reports often contain a variety of metrics, including revenues, expenditures, and profits, among others. Budget reports are used to assess an organization's overall financial health, determine where it's performing well, and identify areas. Budget reports are usually created at regular intervals, such as daily, weekly, monthly, or quarterly, depending on the organization's needs. Despite the fact that budget reports can be created on a daily, weekly, or quarterly basis, they are most often created on a monthly basis. This is due to the fact that most businesses operate on a monthly budget cycle, and a monthly budget report allows businesses to monitor their financial performance on a consistent basis, making it easier to identify trends and potential issues as they arise.Therefore, the correct answer to this question is option C: Monthly.
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Crackle and Crunch Co. processes peanuts into three products. During March, the joint costs of processing were $240,000. Production and sales value information for the month were as follows:
Units Splitoff Separable
Product Produced Sales Value Costs
Salted peanuts 15,000 $100,000 $32,000
Raw peanuts 11,000 $85,000 $70,000
Peanut butter 6,000 $58,000 $38,000
Required:
Determine the amount of joint cost allocated to each product if the physical measure method is used.
Determine the amount of joint cost allocated to each product if the net realizable value method is used. Round to the nearest thousand.
Using the physical measure method, the joint cost allocated to each product is approximately $85,333 for Salted Peanuts, $67,455 for Raw Peanuts, and $87,212 for Peanut Butter. Using the net realizable value method, the joint cost allocated to each product is approximately $57,714 for Salted Peanuts, $80,543 for Raw Peanuts, and $101,743 for Peanut Butter.
What are the allocated joint costs for each product using different cost allocation methods?Using the physical measure method, the joint costs are allocated based on the physical quantity or volume of each product. To determine the allocation, the total joint costs of $240,000 are divided among the products based on their respective units produced.
In this case, Salted Peanuts accounted for 15,000 units out of a total of 32,000 units produced (15,000/32,000), resulting in an allocation of approximately $85,333 (15,000/32,000 x $240,000). Similarly, the allocation for Raw Peanuts is approximately $67,455 (11,000/32,000 x $240,000) and for Peanut Butter is approximately $87,212 (6,000/32,000 x $240,000).
Using the net realizable value method, the joint costs are allocated based on the sales value of each product relative to the total sales value of all products. In this method, the sales value of each product is divided by the total sales value of all products to determine their proportionate share.
The allocation for Salted Peanuts is approximately $57,714 ($100,000/($100,000 + $85,000 + $58,000) x $240,000), for Raw Peanuts is approximately $80,543 ($85,000/($100,000 + $85,000 + $58,000) x $240,000), and for Peanut Butter is approximately $101,743 ($58,000/($100,000 + $85,000 + $58,000) x $240,000).
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Which of these aggregate planning strategies adjusts capacity to match demand? a back ordering b. using part-time workers C. counterseasonal product mixing d. changing price
The aggregate planning strategy that adjusts capacity to match demand is B. using part-time workers. This approach allows businesses to flexibly increase or decrease their workforce based on the current demand, ensuring a better alignment between capacity and demand.
A strategy is a well-thought-out plan or approach designed to achieve specific goals or objectives. It involves determining the best course of action, allocating resources, and making decisions to maximize success. Strategies are commonly used in various domains, including business, military, sports, and personal development. A good strategy considers internal and external factors, identifies opportunities and challenges, and outlines a roadmap for achieving desired outcomes. It involves setting clear objectives, analyzing the current situation, formulating action plans, and adapting to changes along the way. Effective strategies provide direction, guide decision-making, and help individuals and organizations navigate complex environments to attain their desired outcomes.
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Statement of retained earnings Hayes Enterprises began 2019 with a retained earnings balance of $937,000. During 2019, the firm earned $386,000 after taxes. From this amount, preferred stockholders were paid $49,700 in dividends. At year-end 2019, the firm's retained eamings totaled $1,054,000. The firm had 148,000 shares of common stock outstanding during 2019. a. Prepare a statement of retained earnings for the year ended December 31, 2019, for Hayes Enterprises. (Note: Be sure to calculate and include the amount of cash dividends paid in 2019.) b. Calculate the firm's 2019 eamings per share (EPS). c. How large a per-share cash dividend did the firm pay on common stock during 2019? KIE
The per-share cash dividend paid on common stock during 2019 is:
Common Dividend = (Total Dividends Paid - Preferred Dividends) / Number of Common Shares Outstanding
= ($49,700 - $49,700) / 148,000
= $0.00
a. Statement of Retained Earnings for Hayes Enterprises for the year ended December 31, 2019:
Retained Earnings, January 1, 2019: $937,000
Add: Net Income for 2019: $386,000
Subtotal: $1,323,000
Less: Preferred Dividends: $49,700
Retained Earnings, December 31, 2019: $1,273,300
Therefore, the statement of retained earnings for Hayes Enterprises for the year ended December 31, 2019 is as follows:
Hayes Enterprises
Statement of Retained Earnings
For the Year Ended December 31, 2019
Retained Earnings, January 1, 2019: $937,000
Add: Net Income for 2019: $386,000
_________
Subtotal: $1,323,000
Less: Preferred Dividends: $49,700
_________
Retained Earnings, December 31, 2019: $1,273,300
b. Earnings per share (EPS) for 2019 can be calculated as follows:
Net Income Available to Common Shareholders = Net Income - Preferred Dividends
= $386,000 - $49,700
= $336,300
Earnings per Share (EPS) = Net Income Available to Common Shareholders / Average Number of Common Shares Outstanding
Average Number of Common Shares Outstanding = [(Number of Common Shares at the Beginning of the Year + Number of Common Shares at the End of the Year) / 2]
= [(148,000 + 148,000) / 2]
= 148,000
EPS = $336,300 / 148,000 = $2.27
c. The per-share cash dividend paid on common stock during 2019 can be calculated as follows:
Total Dividends Paid = Preferred Dividends + Common Dividends
= $49,700 + Common Dividends
We know that the retained earnings increased from $937,000 to $1,273,300 during the year. Therefore, the amount of dividends paid must be equal to:
Dividends Paid = Net Income - Retained Earnings
= $386,000 - ($1,273,300 - $937,000)
= $49,700
Hence, the per-share cash dividend paid on common stock during 2019 is:
Common Dividend = (Total Dividends Paid - Preferred Dividends) / Number of Common Shares Outstanding
= ($49,700 - $49,700) / 148,000
= $0.00
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Swifty Company purchases an oil tanker depot on January 1, 2020, at a cost of $648,500. Swifty expects to operate the depot for 10 years, at which time it is legally required to dismantle the depot and remove the underground storage tanks. It is estimated that it will cost $79,920 to dismantle the depot and remove the tanks at the end of the depot’s useful life.
(a)
Prepare the journal entries to record the depot and the asset retirement obligation for the depot on January 1, 2020. Based on an effective-interest rate of 6%, the present value of the asset retirement obligation on January 1, 2020, is $44,627. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually.)
On January 1, 2020, Swifty Company purchased an oil tanker depot for $648,500 and incurred an estimated asset retirement obligation of $79,920 to dismantle the depot and remove the underground storage tanks after 10 years.
The present value of the asset retirement obligation on January 1, 2020, based on an effective-interest rate of 6%, is $44,627. Journal entries are required to record the acquisition of the depot and the recognition of the asset retirement obligation.
To record the acquisition of the depot on January 1, 2020, the following journal entry is made:
Depot Account $648,500
Cash Account $648,500
This entry recognizes the purchase of the depot at its cost of $648,500.
To record the asset retirement obligation on January 1, 2020, the following journal entry is made:
Depot Account $44,627
Asset Retirement Obligation Account $44,627
This entry recognizes the liability for the asset retirement obligation at its present value of $44,627 based on the effective-interest rate of 6%.
These journal entries appropriately record the acquisition of the depot and the recognition of the asset retirement obligation on January 1, 2020, in accordance with the given information.
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What is Vendor Rating? Explain the role played by ‘Sourcing’ as
a driver in the success of supply chains? (6m)
The sourcing team must be proactive in identifying potential supply chain disruptions and working with suppliers to minimize the impact.Sourcing also plays a critical role in vendor rating. The sourcing team is responsible for evaluating supplier performance and providing feedback to the supplier. The feedback can be used to improve supplier performance and build a stronger relationship between the supplier and the company.
Vendor rating is a method of evaluating the suppliers' performance, and it is a vital element in managing supply chains. Vendor rating is essential in selecting the right supplier for a firm's operations. It involves evaluating supplier performance and comparing suppliers to select the best one for a company.What is Vendor Rating?Vendor Rating refers to the assessment of supplier performance, reliability, and financial stability. The supplier's ability to provide goods and services timely, reliably, and at a reasonable price is evaluated. A supplier's performance can be assessed by the number of defects, timely delivery of products, and response to complaints. This provides a picture of the supplier's ability to meet the customer's needs.Explain the role played by ‘Sourcing’ as a driver in the success of supply chains.Sourcing plays a significant role in the success of supply chains. Sourcing is concerned with finding suppliers for goods and services needed by the company. It involves selecting suppliers that meet the quality and cost requirements of the company. A good sourcing strategy should focus on suppliers that can deliver quality products at the lowest cost.The sourcing department is responsible for managing supplier relationships and ensuring that suppliers meet the required standards. The sourcing team has to work closely with other departments such as finance and quality assurance to ensure that suppliers are delivering the right quality of goods at the right price. The sourcing team must be proactive in identifying potential supply chain disruptions and working with suppliers to minimize the impact.Sourcing also plays a critical role in vendor rating. The sourcing team is responsible for evaluating supplier performance and providing feedback to the supplier. The feedback can be used to improve supplier performance and build a stronger relationship between the supplier and the company.
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Ratio Analysis Assignment Critical Thinking (201.docx la 11 194 13 6 18 19 10 F Ratio Analysis Assignment Firn Current Year Prior Year Net Income 16,000 14,000 Net Sales 75,000 66,000 Current Assets 90,000 79,000 Current Liabilities 19,000 17,000 Listed above is information for a company called Fim. Follow the prompts below listed a-f. 3 12 13 14 17,000 Listed above is information for a company called Fim. Follow the prompts below listed a-f. 1. For Firn calculate the current ratio for the current and prior year. 2. Explain why the current ratio can be a useful metric. 3. Suppose a competitor, Fred, had a current ratio of 1.1 for the current year and 1.1 for the prior year. 4. What does it mean when a company's current ratio is close to 17 5. Which company (Firm or Fred) appears to have better ability to pay short term obligations? Explain your answer. 6. Suppose the industry average current ratio is 2.0. How does this information help you analyze the current ratio for Fir? 7. List three stakeholders who might be interested in using information about a company's current ratio. For each stakeholder, list a type of decision in which the current ratio might be useful. 8. What if there was an economic downturn and Firn is now having trouble collecting its accounts receivable. How would a downturn most likely impact the company's current ratio? Explain. Source: Prof. Deanna Foster, Nichols College MacBook Air >11 44
1. For Firn, calculate the current ratio for the current and prior year.
Current Ratio = Current Assets / Current Liabilities
Current Ratio (Current Year) = $90,000 / $19,000 = 4.74
Current Ratio (Prior Year) = $79,000 / $17,000 = 4.65
2. The current ratio can be a useful metric because it provides insight into a company's short-term liquidity and its ability to cover its current liabilities with its current assets. It helps assess whether a company has enough resources to meet its short-term obligations and indicates the company's financial health in the near term.
3. Suppose a competitor, Fred, had a current ratio of 1.1 for the current year and 1.1 for the prior year.
A current ratio of 1.1 for both the current and prior year indicates that Fred has just enough current assets to cover its current liabilities. However, it suggests that Fred's liquidity position is relatively weak, as the ratio is close to 1, which implies a limited cushion for meeting short-term obligations.
4. When a company's current ratio is close to 1, it means that its current assets are nearly equal to its current liabilities. This indicates a potential risk of liquidity issues, as there is little margin for unexpected events or financial strain. It suggests that the company may face difficulties in paying off its short-term obligations.
5. Comparing Firm and Fred:
Firm has a current ratio of 4.74 for the current year, while Fred has a current ratio of 1.1. Based on these ratios, Firm appears to have a better ability to pay short-term obligations compared to Fred. Firm's current ratio is significantly higher, indicating a stronger liquidity position and a greater ability to cover its current liabilities with current assets.
6. Suppose the industry average current ratio is 2.0. This information helps analyze the current ratio for Firm by providing a benchmark for comparison. Firm's current ratio of 4.74 is higher than the industry average, suggesting that the company has a stronger liquidity position than its industry peers. It implies that Firm may be better equipped to meet its short-term obligations compared to other companies in the industry.
7. Three stakeholders who might be interested in using information about a company's current ratio are:
Lenders or creditors: They can use the current ratio to assess a company's ability to repay its short-term debts. This information is useful when deciding whether to grant loans or establish credit terms.
Investors: They can consider the current ratio as an indicator of a company's liquidity and financial health. It helps investors assess the company's ability to weather financial downturns and meet its obligations.
Suppliers: Suppliers can evaluate a company's current ratio to determine its ability to pay for goods and services promptly. It helps them assess the creditworthiness and financial stability of the company.
8. In an economic downturn, Firn's ability to collect its accounts receivable may be impacted. If customers struggle to pay their bills or become insolvent, Firn may experience an increase in bad debts and a decrease in cash inflows. This could lead to a reduction in current assets, particularly accounts receivable, without a corresponding decrease in current liabilities. As a result, the company's current ratio may decline, indicating a potential deterioration in its short-term liquidity position.
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What method will you use for your new venture? (State your new Venture, and who is funding your entrepreneurial Start-up company.) If you are planning on self-funding, what would you do to finance ste
self-funding through personal savings and bootstrapping provides an initial foundation for the venture. It allows for greater control, flexibility, and the opportunity to validate the business model before seeking external funding.
For my new venture, I am starting a technology-based delivery service targeting local businesses. The venture aims to provide efficient and cost-effective delivery solutions to small and medium-sized enterprises. Currently, the venture is self-funded.To finance the startup, I would utilize personal savings as the initial source of capital. This approach allows me to retain full control over the business and eliminates the need to seek external financing at the early stages. Personal savings provide the flexibility to invest in the necessary infrastructure, technology, and initial marketing efforts.
In addition to personal savings, I would adopt a bootstrapping approach. This means operating the business with minimal external resources and focusing on generating revenue from early customers to fund the growth and expansion. It involves careful financial management, prioritizing essential expenses, and seeking cost-effective solutions wherever possible.As the business progresses and expands, there may be a need for additional financing beyond personal savings. At that point, I would explore options like angel investors, venture capital, or small business loans to fuel the growth and scale the operations.
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Question 12 1 pts What area in the graph below illustrates the gain to domestic producers as a result of a government placing a tariff to protect the shoe industry? Domestic Supply D E Domestic Demand
The gain to domestic producers as a result of a government placing a tariff to protect the shoe industry is represented by the area between the domestic supply curve and the world supply curve in the graph.
In the graph, the domestic supply curve represents the quantity of shoes that domestic producers are willing and able to supply at different prices. The domestic demand curve represents the quantity of shoes that domestic consumers are willing and able to purchase at different prices. When a government places a tariff to protect the shoe industry, it imposes an additional cost on imported shoes, making them more expensive compared to domestic shoes. As a result, the domestic supply curve shifts upward, reflecting the increased price that domestic producers can sell their shoes for. The gain to domestic producers occurs because they can now sell their shoes at a higher price due to reduced competition from imported shoes.
This gain is represented by the area between the domestic supply curve (from point D to point E) and the world supply curve. This area indicates the additional revenue that domestic producers receive as a result of the tariff. By placing a tariff, the government aims to protect domestic producers by giving them a competitive advantage in the market. However, it also leads to higher prices for consumers and potentially reduces overall economic efficiency.
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The Law of Supply holds that all else equal: O Supply is upward sloping because at higher prices, producers want to sell a higher quantity. O Supply is downward sloping because at higher prices, producers want to sell a lower quantity. O Demand is upward sloping because at lower prices, consumers want to buy a lower quantity. O Demand is downward sloping because at lower prices consumers want to buy a higher quantity. Question 9 Price $ S2 190 ↑ S1 110 The graph above illustrates: O A demand increase. At each price, there is a higher quantity demanded. O A demand decrease. At each price there is a lower quantity demanded. O A supply increase. At each price there is a higher quantity supplied. O A supply decrease. At each price a lower quantity is supplied. 89 Q millions of barrels 4 pts 4 pts
The Law of Supply holds that all else equal, supply is upward sloping because at higher prices, producers want to sell a higher quantity.The Law of Supply states that there is a positive relationship between
the price of a good and the quantity supplied, assuming all other factors remain constant. As the price of a good increases, producers are motivated to supply more of that good to the market in order to take advantage of the higher prices and increase their profits. Conversely, when the price decreases, producers have less incentive to supply the good, leading to a lower quantity supplied.In the given graph, the upward-sloping supply curve S1 and S2 indicates that as the price increases from left to right, the quantity supplied also increases. This is consistent with the Law of Supply, as higher prices incentivize producers to supply a greater quantity of the product to the market. Therefore, the graph illustrates a supply increase, as at each price level, there is a higher quantity supplied.
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The table below shows the marginal revenue and costs for a monopolist. Demand, Costs, and Revenues Price Quantity Marginal Revenue (dollars) Demanded (dollars) $85 50 $85 79 150 76 73 250 64 67 350 52 61 450 40 55 550 28 Harginal Cost Average Total Cost (dollars) (dollars) $25 $139.00 85 103.30 64 87.50 61 80.00 67 77.00 77.00 דל Instructions Enter your answer as a whole number. If you are entering a negative number include a minus sign a. What is the monopolist's profit-maximizing level of output? units b. What is the monopolist's profit at the profit-maximizing level of output?
a. The monopolist's profit-maximizing level of output is 350 units. b. The monopolist's profit at the profit-maximizing level of output is -$4,550 (a negative profit indicates a loss).
To determine the monopolist's profit-maximizing level of output, we should look for the quantity where the marginal revenue (MR) is equal to the marginal cost (MC). In the given table, the closest match occurs at a quantity of 350 units, where MR is $52 and MC is $61.
To calculate the monopolist's profit, we can use the following formula:
Profit = (Price - Average Total Cost) x Quantity
At the profit-maximizing output of 350 units, the price is $67, and the average total cost is $80.00.
Profit = ($67 - $80.00) x 350 = -$13 x 350 = -$4,550
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If net cash flows provided from operating activities is $3,900, net cash flows used by investing activities is 5/23,000), and net cash flows provided by financing activities is $24,000 what is the increase in cash? O A. $4,900 OB. $50,900 OC. $1,000 OD. $3,900
To determine the increase in cash, we need to calculate the net cash flows, which is the sum of cash flows from operating, investing, and financing activities.
Net cash flows = Cash flows from operating activities + Cash flows from investing activities + Cash flows from financing activities
Given: Cash flows from operating activities = $3,900
Cash flows from investing activities = -$23,000 (negative because it represents cash flows used)
Cash flows from financing activities = $24,000
Net cash flows = $3,900 + (-$23,000) + $24,000
Net cash flows = $4,900
Therefore, the increase in cash is $4,900.
The correct option is: A. $4,900
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