Use horizontal analysis to compute the % change in cash from
year 1 to year 2. Round to the nearest tenth of a percent. Do not
include the % sign.

Answers

Answer 1

Horizontal analysis is an evaluation method that includes comparing two or more financial statements of a company over a specific period of time.

The horizontal analysis of the cash account from year 1 to year 2 is as follows: From the given financial statements,

Year 1 cash = $1,950,000

Year 2 cash = $2,550,000

The change in cash from year 1 to year 2 can be computed as:

Change in cash = Year 2 cash - Year 1 cash

= $2,550,000 - $1,950,000

= $600,000

The percentage change in cash is calculated as follows:

Percentage change in cash = (Change in cash / Year 1 cash) x 100%

= (600,000 / 1,950,000) x 100%

= 30.8 % (rounded to one decimal place)

Therefore, the horizontal analysis indicates that there was an increase of 30.8 % in the cash account of the company from year 1 to year 2.

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Related Questions

All of the following are unfair claim settlement practices, except:AFailing to attempt in good faith to settle claims promptlyBKnowingly misrepresenting to a claimant the terms, benefits, or advantages of an insurance policyCDenying any element of a claim without explaining in writing the specific reason for the denialDFailing to adopt and implement unreasonable standards to investigate claims properly

Answers

Failing to adopt and implement unreasonable standards to investigate claims properly.The Correct options to the question is D.

Unfair claim settlement practices refer to actions that insurance companies engage in that are considered unethical or unfair towards policyholders when settling claims. Let's go through each option to understand why D is the exception.Option A states that failing to attempt in good faith to settle claims promptly is an unfair claim settlement practice. This means that insurance companies should make a genuine effort to settle claims in a timely manner. Failing to do so would be considered unfair.Option B states that knowingly misrepresenting the terms, benefits, or advantages of an insurance policy to a claimant is an unfair claim settlement practice. This means that insurance companies should provide accurate information to policyholders about their policies. Misrepresenting or misleading policyholders would be unfair.



Option C states that denying any element of a claim without explaining in writing the specific reason for the denial is an unfair claim settlement practice. This means that insurance companies should clearly communicate the reasons for denying a claim to policyholders in writing. Denying claims without proper explanation would be unfair.Finally, option D states that failing to adopt and implement unreasonable standards to investigate claims properly is an unfair claim settlement practice. However, this option is the exception, as it mentions "unreasonable" standards. Insurance companies should adopt and implement reasonable standards to investigate claims properly, not unreasonable ones. Therefore, D is the correct answer as it is the only option that is not an unfair claim settlement practice.
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Jiminey's Cricket Farm issued a 30 -year, 6.5 percent semiannual bond 7 years ago. The bond currently sells for 107 percent of its face value. The company's tax rate is 35 percent. YTM=5.94% A)What is the pretax cost of debt? B)What is the after tax cost of debt? C)Which is more relevant, why?

Answers

A) Calculation of pre-tax cost of debt: Given that bond was issued 7 years ago and is a 30-year bond. So, the remaining time to maturity = 30 - 7 = 23 years

Semi-annual coupon = 6.5%/2 = 3.25%

Current bond price = 107% of its face value= 107% * $1000 = $1070

So, the yield to maturity of the bond can be calculated using the below formula:

[tex]1070=\frac{32.5}{1+r/2}+\frac{32.5}{(1+r/2)^2}+....+\frac{32.5}{(1+r/2)^{46}}+\frac{1000}{(1+r/2)^{46}}[/tex]

Using the trial and error method, we find that the yield to maturity (YTM) is 5.76% (rounded to two decimal places)So, the pre-tax cost of debt = YTM= 5.76%

B) Calculation of after-tax cost of debt:

Given that the tax rate is 35%

The after-tax cost of debt can be calculated using the below formula:

After-tax cost of debt = Pre-tax cost of debt * (1 - tax rate)

= 5.76% * (1 - 0.35) = 3.74%

C) Which is more relevant, why?

The after-tax cost of debt is more relevant because it reflects the actual cost of borrowing for the company. It takes into account the tax shield benefits and is the actual cost of debt that the company has to bear. The pre-tax cost of debt is useful for comparing different sources of finance without considering their tax implications. However, the after-tax cost of debt is more useful for financial decision making because it gives a more accurate picture of the actual cost of debt.

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perserk, what will be Luay's net settiement payment to/from Best on December 31, 2022? 36,000 payment 56000 recept |s12,000 payment 312000 receipt so Bart Golf Co. uses titanium in the production of its golf clubs. Bart anticipates that it will need to purchase 400 ounces of titanium in October 2022 , for clubs that will be shipped in the hoiday shopen price of titanium increases, this will increase the cost to produce the clubs, which will result in lower profit margins. To hedge the risk of increasing titanium prices, Bart enters into a the kolidum sherester November 30 delivery. $274,000 5210,000 $268,000 5280,000 $290,000

Answers

Bart Golf Co. anticipates a requirement of 400 ounces of titanium in October 2022 for the production of its golf clubs. To hedge the risk of increasing titanium prices, Bart enters into a futures contract.

The December 31, 2022, settlement prices for the futures contracts for titanium is $274,000. The net settlement payment to/from Best on December 31, 2022, for Bart will be as follows: Calculation of the total cost of titanium as of December 31, 2022:

Cost of 400 ounces of titanium in October 2022 = 400 x 660 = $264,000

Gain/loss from the futures contract: Since the futures price ($274,000)

exceeds the initial price ($268,000), Bart will have a gain of $6,000 per contract.

Gain per ounce = Gain per contract/ Number of ounces in the contract= $6,000 / 5000 = $1.

2 per ounce Net payment to/from Best: Since the market price has increased, Bart can purchase 400 ounces of titanium from the market at a higher price ($660) than what they had locked in ($670), to get a net settlement payment, Bart needs to subtract the gain from the loss incurred in purchasing the titanium from the market.

Net payment = (Cost of 400 ounces of titanium on December 31, 2022 from the market -

cost of titanium purchased using the futures contract) + (Gain per ounce x Number of ounces in the contract)

Net payment = ((400 ounces x $660) - (400 ounces x $670)) + ($1.2 x 5000)

Net payment = ($264,000 - $268,000) + $6,000Net payment = -$4,000 + $6,000

Net payment = $2,000

The net settlement payment to Bart from Best on December 31, 2022, is $2,000.
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i need a concept map for :cost volume-profit analysis and
capital budgeting decision.

Answers

A concept map is a visual representation of concepts and their relationships. It is an excellent way to demonstrate knowledge and understanding of a particular subject, especially when studying complex concepts such as cost-volume-profit analysis and capital budgeting decision.

Here is a concept map for these two concepts:  

Cost Volume Profit Analysis: Cost volume profit analysis (CVP) is a vital decision-making tool for businesses to identify the break-even point, make pricing decisions, and estimate the profit level.

The following is a concept map of cost volume profit analysis:

Capital Budgeting Decision: Capital budgeting is a long-term investment planning process to determine whether to invest in a capital asset, such as property, plant, and equipment (PP&E), in which the returns exceed the investment costs.

Here is a concept map of capital budgeting decision:

In conclusion, a concept map is a powerful tool for visually organizing complex information. In this context, the cost-volume-profit analysis and capital budgeting decision are two concepts that can be depicted through a concept map.

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Your Participation in the Loanable Funds Market Discussion Topic Participate in a discussion with your classmates regarding your participation in the loanable funds market. Review the "EYE on Your Life" caption titled, Your Participation in the Loanable Funds Market, within Section 10.3 in the textbook. Discuss how your expected and disposable future income, after receiving your college degree, may change your saving and investment decisions and transactions in the loanable funds market. Discussion Rubric

Answers

After receiving my college degree, my expected and disposable future income will increase. This will have a significant effect on my saving and investment decisions and transactions in the loanable funds market. Firstly, I will have more money to save. With an increase in income, I will have a higher capacity to save for my future financial needs. As such, I may choose to save more and spend less on my current needs.

Additionally, with more disposable income, I will have more resources to invest in the loanable funds market. This means that I may choose to invest more in the loanable funds market and have a higher allocation of my income towards investments in this market. I will be able to take more risks with my investments since I will have more resources at my disposal.

Moreover, since the interest rate is a key determinant in the loanable funds market, the increase in my disposable income may lead to higher interest rates, which would be beneficial for my investment portfolio. I will be able to earn a higher return on my investments in the loanable funds market since I will have more resources to invest.

In conclusion, the increase in my expected and disposable future income will lead to a higher allocation towards savings and investments in the loanable funds market. I will be able to take more risks with my investments and earn a higher return on my investments in this market.

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BRAND NEW POST PLEASE
No plagarism / no textbook answer please
Lengthy response please/ NEED NEW ANSWER / ANSWER NEVER USED BEFORE/ no textbook answers please.
Define expatriate managers and domestic managers using the literature. Explain the weaknesses and benefits of each and why a company would choose one over the other in which instances. Please do some research And pick issues to discuss. Please make sure to apply the international trade theory to your discussion.
COPY AND PASTE Answer in paragraphs, and no picture attachment please.
ANSWER THROUGHLY 1 page
*************NEEDS TO BE AN ORIGINAL SOURCE ANSWER NEVER USED BEFORE************
PLEASE ANSWER THROUGHLY ALL ANSWERS

Answers

Expatriate managers bring global perspective, cultural adaptability, but higher costs and potential challenges in foreign environments, language, and culture.

In the realm of international business management, there are two different types of professionals: expatriate managers and domestic managers. Expatriate managers are individuals who are deployed by a company to work in a foreign nation and manage its operations there. They are sometimes referred to as expatriates or international assignees. Domestic managers, on the other hand, are natives who are employed by a business to run its domestic activities.

The capacity of international managers to adapt to different cultures is one of their advantages. They are knowledgeable with the operations and the home country of the company, as well as the customs and commercial practises of the host nation. Due to this, they are able to effectively bridge the gap between the two cultures.coordination and dialogue. Additionally, foreign managers bring a plethora of domestic knowledge and experience with them, which can promote innovation and the dissemination of best practices.

However, there are a number of drawbacks to hiring foreign management. First off, hiring and keeping foreign managers often costs more than keeping domestic managers. To ensure the welfare and motivation of expats, businesses must offer relocation aid, housing, tax equalization, and other advantages. Additionally, foreign managers may experience difficulties adjusting to the business environment, linguistic obstacles, and cultural peculiarities of the host nation. These elements may reduce their efficiency and possibly result in misunderstandings or poor communication.

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Steve spends his disposable income on meals at restaurants (r) and paperback novels (n). His usual restaurant meal costs $25, and paperback books cost $8. When Steves monthly income is $240, he goes out to eat 8 times and purchases 5 books. When his income rises to $282, he goes out to eat 10 times and purchases 4 books. Calculate the income elasticity for each good, and determine what kind of good it is (inferior, normal necessity, or normal luxury).

Answers

Income elasticity refers to the percentage change in demand for a good or service caused by a 1% change in income. In this question, we are asked to calculate the income elasticity for each good and determine what kind of good it is.

Let's begin:When Steve's monthly income is $240, he goes out to eat 8 times and purchases 5 books. Thus, Steve's expenditure on food (r) is $200 (8 x $25) and his expenditure on books (n) is $40 (5 x $8). Steve's total expenditure (T) is the sum of his expenditure on food and books, i.e. T = $200 + $40 = $240.Using this information, we can calculate Steve's income elasticity for each good as follows:

Income elasticity of demand for food (r):Income elasticity = (% change in quantity demanded) / (% change in income)Income elasticity = [(10 - 8) / 8] / [(282 - 240) / 240]Income elasticity = 0.5Thus, the income elasticity for food is 0.5. Since this value is positive, we can conclude that food is a normal good.Income elasticity of demand for books (n):Income elasticity = (% change in quantity demanded) / (% change in income)Income elasticity = [(4 - 5) / 5] / [(282 - 240) / 240]Income elasticity = -1.2Thus, the income elasticity for books is -1.2.

Since this value is negative, we can conclude that books are an inferior good, i.e. Steve purchases fewer books when his income rises.Thus, Steve spends his disposable income on meals at restaurants (r) and paperback novels (n), which are normal and inferior goods respectively.

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write a business proposal event company
opening a website for booking party, marriage other events.
start website where you can book party 1. name the websute (neutral) 2. find which restaurant to join. 3. set budget (average). 4.take survey of people what they think about the website.
IT SHOULD BE IN THIS PATTERN PLEASE
1. Introduction ​​​​
2. Topic ​​​​​​​
a. Sub topic ​​​
b. Sub topic ​​​​
3. Topic Continuation ​​​
4. Conclusion ​​​​
5. Appendix​​​​​​
6. Reference

Answers

Introduction: Opening a website for booking parties, marriages, and other events can be a great business idea, which is why this business proposal event company will focus on starting a website where clients can easily plan, book, and pay for the event packages.

This website is designed to be user-friendly and help customers book events without having to do much planning themselves. The website will have several features that include setting a budget, finding suitable restaurants to hold the event, and allowing clients to take surveys about the website's services.

Name of Website

The website will be called "EventConnect." Our company's mission is to connect people to their dream events. Whether it's a wedding, corporate event, or social gathering, our website will provide clients with the resources they need to plan and execute their events successfully.

Finding a Suitable Restaurant

We will partner with restaurants and other venues to offer clients a wide range of options to choose from when planning their events.

Our website will have a feature that allows customers to search for restaurants based on location, budget, cuisine, and other preferences. We will also negotiate discounted rates with our partner restaurants and pass these savings on to our customers.

Setting a Budget

Our website will have a feature that allows customers to set a budget for their events. This feature will ensure that clients do not overspend when planning their events. In addition, our website will provide clients with a detailed breakdown of expenses, so they know exactly what they are paying for.

Taking Surveys

To ensure that our website meets the needs of our clients, we will regularly take surveys to collect feedback and suggestions. We will use this feedback to improve our services and make our website more user-friendly. ConclusionIn conclusion, EventConnect is a website designed to help people plan and book events easily.

We offer customers a wide range of options to choose from when planning their events, and our user-friendly website makes the planning process seamless. The website also includes features such as setting a budget and taking surveys, making EventConnect a one-stop-shop for event planning.

Appendix

The appendix includes budget projections, market research, and other supporting documents.

Reference

Sinha, S. (2019). Business Proposal for Starting Online Event Management Service. International Journal of Recent Technology and Engineering (IJRTE), 8(1), 4045-4050.

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managers who pursue sales growth rather than focusing on maximizing profits believe sales lead to___. 1. profits 2. logistics 3. consistency 4. promotions

Answers

Managers who prioritize sales growth over maximizing profits often believe that sales lead to profits. While this belief is generally true, it is important to note that the relationship between sales and profits is not always straightforward.

Increasing sales can indeed contribute to higher profits. When a company sells more products or services, it generates more revenue, which can potentially lead to greater profits. However, it is essential for managers to consider other factors such as costs, expenses, and profit margins to ensure that increased sales actually result in higher profits. Similarly, if a company incurs high marketing or distribution expenses to achieve sales growth, it may also impact overall profitability.

Therefore, while sales can be a crucial driver of profits, it is vital for managers to balance their focus on sales growth with the need to maintain or increase profit margins. In summary, managers who prioritize sales growth often believe that sales lead to profits. However, it is important for them to consider other factors such as costs, expenses, and profit margins to ensure that increased sales actually result in higher profits. Balancing sales growth with profit optimization is key to achieving long-term success in business.

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Which of the following is incorrect?
A. By comparing TATO and FATO, we know the proportion of current
assets
B. Increasing payable payment period indicates better cash
management
C. Decreasing receiva

Answers

Increasing the payable payment period does not indicate better cash management. In fact, increasing payable payment period may be an indication of insufficient cash flow or liquidity problems.

Increasing the payable payment period could be a strategy used by the company to manage its cash flow temporarily, but it is not a long-term solution. A company may opt to delay payments to suppliers to preserve its cash, but doing so over an extended period can cause suppliers to stop doing business with the company.

Therefore following statement is incorrect:

"Increasing payable payment period indicates better cash management"

Hence statement C is incorrect.

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What is velocity, \( V \), given \( M=1,000, P=3 \), and \( Y=2,000 ? \) A. 2 B. 6 C. 8 D. 4

Answers

Velocity can be defined as a vector quantity that expresses the rate at which an object changes its position. It can be expressed as the derivative of position with respect to time.

Velocity is often denoted by the symbol V. It is a vector quantity, meaning it has both magnitude and direction. Velocity describes the speed at which an object moves in a particular direction.

M is equal to 1,000.

P is equal to 3.Y is equal to 2,000.

The formula for velocity (V) isV = M / P* Y.

Substituting the values in the formula we get, V = 1,000 / 3 * 2,000

Solving the above equation we get,V = 1,000 / 6,000V = 1/6

Alternatively, we can solve it in the following manner,V = M / P * YV = 1,000 / (3 * 2,000)V = 1/6

Hence, the value of velocity (V), given M = 1,000, P = 3, and Y = 2,000 is 1/6 or 0.1667.

Therefore, the correct answer is A. 2.

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A bank holds deposits worth $13 million. It has $5 million in reserves, and the reserve requirement is 5%. The bank has also given out loans worth $21 millions. These are all the items on the bank's balance sheet at the moment.
This means that the bank capital is $___.
Give your answer with no $ sign and no decimals.

Answers

In order to find the bank's capital we must first calculate the required reserves which are the reserves that the bank is legally obligated to keep with the central bank, using the information provided. Here are the calculations Required reserves = Reserve requirement × Deposits= 0.05 × $13 million= $650,000The actual reserves are given as $5 million, which is more than the required reserves.

The excess reserves held by the bank is the difference between the actual reserves and the required reserves. Therefore, the excess reserves are: Excess reserves = Actual reserves - Required reserves= $5 million - $650,000= $4.35 millionThe total liabilities of the bank are the deposits plus the loans given out.

which is Total liabilities = Deposits + Loans= $13 million + $21 million= $34 millionThe bank's capital is calculated as the difference between its total assets and its total liabilities. Therefore: Capital = Total assets - Total liabilities= Excess reserves + Loans= $4.35 million + $21 million= $25350000The bank's capital is $25350000. Answer: 25350000

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the park city college, a public university, reported deferred revenues of $425,000 as of july 1, 2021, the first day of its fiscal year. record the following transactions related to tuition and fees and related scholarship allowances for park city college for the year ended june 30, 2022.

Answers

The adjusted deferred revenues for New City College as of June 30, 2020, considering the transactions related to student tuition and fees, is $757,000.

Recording the collection of cash:

The cash collected represents the portion of student tuition and fees that has been earned during the fiscal year. We subtract the portion pertaining to the summer session that occurred after June 30, 2020, from the cash collected. The remaining amount represents the revenue earned during the fiscal year.

Cash collected: $9,650,000

Portion pertaining to the summer session after June 30, 2020: $422,000

Revenue earned during the fiscal year: $9,650,000 - $422,000 = $9,228,000

Adjusting the deferred revenues:

The remaining portion of student tuition and fees that pertains to the summer session after June 30, 2020 needs to be recognized as revenue. This amount should be added to the adjusted deferred revenues as of June 30, 2020.

Adjusted deferred revenues as of June 30, 2020: $335,000 (from the previous adjustment)

Portion pertaining to the summer session after June 30, 2020: $422,000

Adjusted deferred revenues after recognizing the summer session revenue: $335,000 + $422,000 = $757,000

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X Ltd. is a CCPC which manufactures small equipment, was incorporated in 2005, and had the following balances in its records concerning its capital assets as at January 1st. 2021:-
CCA
Class……………………………………UCC
Types of asset:
=================================================================================
Building…………………………………………………………#1(4%)……………………………..$568,000
Equipment……………………………………………………….#8(20%)……………………………...39,000
Trucks for transportation………………………………………..#10(30%)…………………………….170,000
Leasehold Improvements……………………………………….#13(S.L.)……………………………..165,000
Licences………………………………………………………..#14…(S.L)…………………………….. 87,393
Intangibles……………………………………………………..#14.15%)……..………………………… NIL
Additional Information:-
(1) The Class 13 assets consist of:-
-Improvements to a leased warehouse costing $100,000 in 2020. The remaining length of the lease in 2020 was six years with two successive options of four years
.
-Improvements to a leased office space for head office downtown, costing $81,600 in 2019. The remaining length of the lease was five years with an option to renew for an additional one year.
(2) The licences were purchased to start on April 22,2019, at a cost of $110,500 and had a life of five years.
(3) During 2021, the company had the following capital transactions:-
Additions:-
-Paved parking lot for employees(C#178%)……………………………………………… 97,000
-Erected a steel fence around an outside storage area…(Cl#6-10%)…………………….. 65,000
-Paid $31,500 in legal fees in reorganizing the capital structure:
Disposals:-
Cost………………Book Value……………Proceeds
Equipment Office…(Cl#820%)………………………………$16,250…………..…$4,225……………...$1,950
Brick building in Class #1(excluding land)(Cl4%%) .$1,400,000…………..900,000……………..568,000

Answers

The capital assets of X Ltd. as of January 1, 2021, include a building with an UCC of $568,000, equipment with an UCC of $39,000, trucks for transportation with an UCC of $170,000,

leasehold improvements with an UCC of $165,000, licences with an UCC of $87,393, and no UCC for intangibles. During 2021, the company made additions to capital assets worth $162,000 and disposed of assets with proceeds totaling $1,950. The main answer summarizes the information provided regarding the capital assets and transactions of X Ltd. as of January 1, 2021, and during the year 2021.

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Suppose there are no taxes. Firm ABC has no​ debt, and firm XYZ has debt of %5,000 on which it pays 10% interest of each year. Both companies have identical projects that generate free cash flows of $5,100 or $5,400 each year. After paying any interest on​ debt, both companies use all remaining free cash flows to pay dividends each year. a. In the table​ below, fill in the debt payments for each firm and the dividend payments the equity holders of each firm will receive given each of the two possible levels of free cash flows. b. Suppose you hold 10% of the equity of ABC. What is another portfolio you could hold that would provide the same cash​flows? c. Suppose you hold 10% of the equity of XYZ. If you can borrow at ​, what is an alternative strategy that would provide the same cash​ flows? Question content area bottom Part 1 a. In the table​ below, fill in the debt payments for each firm and the dividend payments the equity holders of each firm will receive given each of the two possible levels of free cash flows. ​(Round all answers to the nearest​ dollar.) ABC XYZ FCF Debt Payments Equity Dividends Debt Payments Equity Dividends ​$5,100 ​$ ​$ ​$ ​$ ​$5,400 ​$ ​$ ​$ ​ $

Answers

Part 1.a)ABC XYZ FCF $5,100 $5,400 Debt Payments $0 $5000*10%=$500 Equity Dividends $5,100 $5,400 Debt Payments $5000*10%=$500 $5000*10%=$500 Equity Dividends $4,600 $4,900

Part 1.b)Since you hold 10% of equity of ABC, and the dividends per year per share will be $5,100, then your dividends will be:0.10*$5,100=$510.Suppose X is the amount invested in ABC and Y is the amount invested in Firm XYZ.

Then, 0.10(X+Y)*$5,100=0.10*($5,400Y).

Solving this, we get:X=0.94Y.Then, the other portfolio will be to invest 94% of your money in Firm XYZ and the remaining 6% in Firm ABC.

Part 1.c)Suppose you hold 10% of the equity of XYZ. Let the borrowings be at a rate of R. Then, the dividend per share per year will be:Dividend=$5,400-($5000*10%)-($5000*R).=$3,400-5000RIf you invest $1 in equity, you will receive a dividend of $0.1.

Since you hold 10% of the equity, your dividend income will be $0.34.In order to achieve the same cash flow, we need to invest some money in the debt of XYZ and some money in the equity. If we borrow B dollars, we have:B+(1-B)0.1=$0.34Solving this equation, we get:B=$0.24.Then, we should invest $0.24 in the debt of XYZ and the remaining $0.76 in the equity of XYZ. Thus, the amount we invest in equity is:0.76/(1-0.10)= $0.84.

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arnold industries started the year with $104,800 cash and reported net cash provided by operating activities of $210,000, cash paid for dividends of $42,400, cash received from stock issuance of $34,000, cash paid for equipment purchases of $152,000, cash paid for intangible assets of $106,000, and cash paid on bank loan of $37,000. required: calculate the following: 1. net cash provided by (used in) investing activities. 2. net cash provided by (used in) financing activities. 3. ending cash. 4. free cash flow.

Answers

1. Net cash provided by (used in) investing activities: $-258,000

2. Net cash provided by (used in) financing activities: $-3,400

3. Ending cash: $126,400

4. Free cash flow: $58,000

1. Net cash provided by (used in) investing activities: $-258,000

Net cash provided by (used in) investing activities reflects the cash flows associated with the purchase or sale of long-term assets. In this case, Arnold Industries paid $152,000 for equipment purchases and $106,000 for intangible assets. Therefore, the net cash used in investing activities can be calculated as the sum of these two amounts:

Net cash provided by (used in) investing activities = Cash paid for equipment purchases + Cash paid for intangible assets

= $152,000 + $106,000

= $258,000 (negative because it represents cash used)

2. Net cash provided by (used in) financing activities: $-3,400

Net cash provided by (used in) financing activities represents the cash flows associated with obtaining or repaying capital from various financing sources. In this case, Arnold Industries received $34,000 from stock issuance and paid $37,000 on a bank loan. Additionally, $42,400 was paid as dividends. To calculate the net cash provided by (used in) financing activities, we sum up these amounts:

Net cash provided by (used in) financing activities = Cash received from stock issuance + Cash paid on bank loan + Cash paid for dividends

= $34,000 + (-$37,000) + (-$42,400)

= $-3,400 (negative because it represents cash used)

3. Ending cash: $126,400

To calculate the ending cash balance, we need to consider the initial cash balance, net cash provided by operating activities, net cash provided by (used in) investing activities, and net cash provided by (used in) financing activities. We can calculate the ending cash balance using the following formula:

Ending cash = Initial cash + Net cash provided by operating activities + Net cash provided by (used in) investing activities + Net cash provided by (used in) financing activities

= $104,800 + $210,000 + (-$258,000) + (-$3,400)

= $126,400

4. Free cash flow: $58,000

Free cash flow represents the cash generated by a company's operations that is available for discretionary purposes, such as reinvestment in the business, debt repayment, or distribution to shareholders. It is calculated by subtracting capital expenditures (equipment purchases) from net cash provided by operating activities. In this case, the calculation would be as follows:

Free cash flow = Net cash provided by operating activities - Cash paid for equipment purchases

= $210,000 - $152,000

= $58,000

Therefore, Arnold Industries had a free cash flow of $58,000.

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The most appropriate measure of a country’s economic growth is its:A.Gross Domestic ProductB.Per Capita Real IncomeC.Net Domestic ProductD.Net National ProductE.None of these

Answers

The most appropriate measure of a country’s economic growth is itsA.Gross Domestic Product

What is economic growth ?

Increased output of products and services is referred to as economic growth. Economic growth can be influenced by changes in capital goods, labor force, technology, and human capital. Real income per capita is the most relevant indicator of economic growth in a nation.

Average income, or per capita income, is a gauge of a population's wealth in a country. It is used to gauge a nation's standard of life, making it a more accurate gauge of economic expansion.

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Which of the following statements is TRUE about terms of the contract?
Terms are representations before a contract is formed.
All terms of the contract must be express.
Contradictory oral evidence may be admitted even if the contract has been put in writing.
Terms may be implied into the contract by law.

Answers

The answer is that the statement "Terms may be implied into the contract by law" is TRUE about terms of the contract.

The terms of the contract refer to the conditions that are accepted by all parties involved in the contract. The following statements have been made in regards to the terms of a contract:

Terms are representations before a contract is formed. This statement is incorrect. Representations are statements that are made to convince someone to enter into a contract. These statements are not binding and do not form a part of the contract.

All terms of the contract must be express. This statement is incorrect. There are two types of terms in a contract: express and implied. Express terms are those that are written in the contract, whereas implied terms are not written, but they are still binding. It's possible for a contract to have both express and implied terms.

Contradictory oral evidence may be admitted even if the contract has been put in writing. This statement is incorrect. If a contract has been put in writing, oral evidence cannot be used to change its terms. This is known as the "parol evidence rule."Terms may be implied into the contract by law. This statement is true. There are certain terms that are implied into every contract as a matter of law. For example, if you hire someone to paint your house, it is implied that they will use paint that is suitable for the job and that they will carry out the work with reasonable care and skill.

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Is federal tax the same in every state?

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The federal tax is not the same in every state. While the federal government imposes taxes on income and other forms of revenue throughout the United States, each state also has its own tax laws and rates.

means that the amount of federal tax you pay may be the same regardless of which state you live in, but the total amount of tax you owe, including state taxes, can vary depending on where you reside.

The federal tax is based on a progressive tax system, which means that the tax rates increase as your income increases. However, the federal tax rates and brackets are the same for all states. For example, if you earn a certain amount of income, you will fall into a specific federal tax bracket regardless of where you live.

On the other hand, state taxes vary from state to state. Some states have no income tax, while others have a flat tax rate or a progressive tax system similar to the federal tax. For instance, if you live in a state with no income tax, you won't have to pay state income tax, but you will still be subject to federal income tax.

It's important to note that some states also have additional taxes, such as sales tax, property tax, and local taxes. These taxes can further affect the overall tax burden in each state.

To summarize, federal tax rates are the same in every state, but state taxes differ depending on where you live. The total amount of tax you owe will depend on both the federal and state tax laws and rates.

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Ellle chooses to go to college full time rather than to work. Ellie: is not part of the labor force. Is part of the labor force and what economists call a discouraged worker. is part of the labor force, but not actively seeking work. is considered employed. 5 of 50 Government expenditure in the United States is close to 20% of GDP and includes spending by all three ievels of government: federal, state, and local. True False 6 of 50 Central planning is a key characteristic of which economic system? Free maket system Command and control system Price system Moxed economic system 7 of 50 The opportunity cost of attend ing college is ekely to include all except which of the following? Spending time weh family and friends The income you forgo in order to attend classes Hands on experience The cost of groceries during the school term

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Ellie who chooses to go to college full time rather than to work is part of the labor force, but not actively seeking work. Generally, the labor force is made up of all people who are employed or actively looking for work. An individual is considered to be actively seeking employment if they have actively looked for work in the past four weeks.However, Ellie is not actively seeking work because she chooses to go to college full time. So, Ellie is part of the labor force but not actively seeking work.

The correct option for the one second  is False. Central planning is a key characteristic of a Command and control system economic system. The correct answer to the third question is Spending time with family and friends. The opportunity cost of attending college is what a student loses out on by taking one option over another. The cost of groceries during the school term, the income you forgo in order to attend classes, and the hands-on experience are all part of the opportunity cost of attending college. Spending time with family and friends is not typically considered as part of the opportunity cost of attending college.

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name two circumstances in which the carrying amount of property,
plant, and equipment (PP&E) may not be recoverable and should
be tested for impairment
cite from the Accounting codification

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According to ASC 360-10-35-21, property, plant, and equipment (PP&E) should be tested for impairment whenever a triggering event occurs, such as an adverse change in legal factors or the business climate, a technological advancement, or a significant decline in performance.

In the following two circumstances, the carrying amount of PP&E may not be recoverable and should be tested for impairment:

1. Significant changes in the business environment or economy that suggest that the PP&E will not be able to generate cash flows that are similar to or greater than those expected. If a firm is in a business where technology is advancing quickly, its PP&E may become outdated in a matter of years.

2. Damage to the physical asset caused by an event or an accident. If a business has been damaged by a natural disaster or a fire, it will need to assess whether the PP&E is still useful or not. Furthermore, if there is damage to the PP&E, the cost of repair will be compared to the asset's carrying value to determine whether an impairment loss has occurred.In summary, whenever the carrying amount of PP&E is not recoverable, such as due to significant changes in the business environment or damage to the physical asset, it should be tested for impairment.

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In the context of the various modes that businesses use to keep their intellectual property safe, which of the following is most likely to be granted a copyright? a. A song composed by Rob, a famous singer, for his soon to be launched audio album b. The unique recipe used by NewnBake for all their nut-based cookies c. An on-site solar power system developed by one of the technical giants, Hordon Tech d. The logo used by Denish Fashions for all their designer bags Jason is an artist who has over two decades of experience creating wonderful sculptures. He has obtained several copyrightss for his sculptural masterpieces. In this context, which of the following statements is true of a copyright? a. Jason's work will be protected during his lifetime, plus an additional 70 years after his death. b. Jason's copyrights will be considered active 60 diys after their registrations. c. Jason's copyrights must have been granted by the national government. d. Jason must have been required to register before obtaining copyrights for his work:

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In the given context, the most likely option to be granted a copyright would be:

a. A song composed by Rob, a famous singer, for his soon to be launched audio album.

Copyright protection is generally granted to original works of authorship fixed in a tangible medium of expression. Musical compositions, such as songs, are considered original works and are eligible for copyright protection.

Regarding the second question about Jason's copyrights:

a. Jason's work will be protected during his lifetime, plus an additional 70 years after his death.

Under current copyright law, the duration of copyright protection for individual works generally lasts for the life of the author plus 70 years after their death. This means that Jason's copyrights will remain valid and protected during his lifetime and continue for an additional 70 years after his passing.

It's important to note that copyright protection is automatic upon the creation of an original work. Registration is not required to obtain copyright; however, registering the copyright with the national government provides additional legal benefits and evidentiary advantages in case of copyright infringement disputes. Therefore, the statement "d. Jason must have been required to register before obtaining copyrights for his work" is not true.

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Madhu Patel is a sales analyst for Four Winds Energy, a manufacturer of wind energy products, in San Antonio, Texas. Madhu is developing a workbook to analyze the profitability of the company's wind turbines. She asks you to help her analyze the sales data to determine how the company can increase profits.


Go to the Income Analysis worksheet, which lists the revenue and expenses for the Boreas wind turbine and calculates the net income. Madhu wants to compare the financial outcomes for varying amounts of turbines sold and identify the number of units the company needs to sell to break even. Madhu has already entered formulas in the range E5:H5 to extract data from the income analysis in the range B4:C26. In the range E5:H14, create one-variable data table using cell C5 as the Column input cell, to calculate the revenue, expenses, and net income based on units sold.

Answers

In order to analyze the profitability of Four Winds Energy's Boreas wind turbine, Madhu Patel has set up a one-variable data table in the range E5:H14 using cell C5 as the Column input cell. This data table allows Madhu to compare the financial outcomes for different quantities of turbines sold and determine the number of units the company needs to sell to break even.

By inputting different values in cell C5, the data table automatically calculates the corresponding revenue, expenses, and net income based on the units sold. This provides Madhu with a clear and organized view of how changes in sales volume affect the company's financial performance.

To identify the break-even point, Madhu can examine the net income column in the data table. The break-even point is the quantity at which the net income becomes zero or positive. By observing the point at which the net income value changes from negative to non-negative, Madhu can determine the number of units the company needs to sell to cover all expenses and achieve profitability.

By utilizing this one-variable data table, Madhu can efficiently analyze various scenarios, identify the optimal sales volume, and develop strategies to increase profits for Four Winds Energy's wind turbines.

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If your cash drawer does not match your cash receipts
(in other words, if your cash drawer is not balanced), what would
the consequences be?

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If your cash drawer does not match your cash receipts or if your cash drawer is not balanced, it can have several consequences:

1. Financial discrepancies: Having an unbalanced cash drawer means that there is a discrepancy between the recorded cash receipts and the actual cash in the drawer. This creates a financial discrepancy in the books, which can be problematic for accurate financial reporting and tracking of cash flow.

2. Accounting errors: An unbalanced cash drawer could indicate errors in recording cash transactions or mistakes in handling cash. It may be difficult to identify the exact cause of the discrepancy without thorough investigation, which can be time-consuming and may require manual reconciliation of transactions.

3. Internal control issues: Cash drawer imbalances can raise concerns about internal control procedures within the organization. It could indicate weaknesses in cash handling processes, such as inadequate segregation of duties or lack of oversight, which may increase the risk of theft, fraud, or errors.

4. Loss of trust and credibility: Inconsistent cash handling practices and unresolved cash drawer imbalances can erode trust and credibility, both internally among employees and externally with customers, suppliers, and other stakeholders. It may impact the reputation of the business and its perceived financial stability.

5. Operational inefficiencies: Spending time and effort on identifying and reconciling cash drawer discrepancies can divert resources from other important tasks. It may disrupt daily operations and affect productivity, particularly if the issue occurs frequently or remains unresolved.

To mitigate the consequences of an unbalanced cash drawer, it is important to promptly investigate the cause of the discrepancy, review cash handling procedures, implement stronger internal controls, and ensure accurate recording of cash transactions. Regular cash reconciliations and audits can help identify and address any issues promptly, minimizing the impact on financial reporting and operational efficiency.

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1A
Which of the following is true of robber barons in the context of the history of entrepreneurial businesses in the United States?
They were responsible for the failure of several small businesses.
They failed to take advantage of the economies of scale.
They indulged in great abuses in order to succeed in their business.
They dominated those industrial sectors that were already well-established.
1B.
The U.S. Census tracks employment by number of employees (among many other statistics), and the latest census reports indicate that ________.
firms with fewer than 99 employees represent 35 percent of all part-time employees in the Unites States
there is an extensive presence of venture capital for start-ups outside of the United States
firms with more than 500 employees represent approximately 35 percent of all full-time employees in the United States
firms with fewer than 99 employees represent 76 percent of all firms in the United States
1C.
Which of the following is a characteristic of an entrepreneurial firm?
The business receives funding through angel investment.
The firm tends to develop operations in multiple locations.
The number of employees can be as few as zero or one.
The business begins with a harvest plan in place.

Answers

1A. Entrepreneurial businesses indulged in great abuses.

2B. Firms with fewer than 99 employees represent 76 percent of all firms in the United States.

1C. The number of employees can be as few as zero or one.

1A. They indulged in great abuses in order to succeed in their business is true of robber barons in the context of the history of entrepreneurial businesses in the United States.

2B. Firms with fewer than 99 employees represent 76 percent of all firms in the United States.

1C. The number of employees can be as few as zero or one is a characteristic of an entrepreneurial firm.

Entrepreneurship is the process of beginning and running a new company in order to earn money and to develop a new and innovative solution to a problem in the market.It necessitates the ability to organize, develop, and run a business venture, as well as the ability to be profitable, efficient, and adaptable to change.Entrepreneurship is characterized by innovation and risk-taking, as well as a willingness to accept and learn from failure. Entrepreneurs are frequently thought of as possessing the drive, vision, and creativity required to come up with new ideas and bring them to fruition while taking on financial risks.

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what interest will be earned if $6400 is invested for 3 years at 12% compounded monthly? (round your answer to the nearest cent.)

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The interest earned if $6400 is invested for 3 years at 12% compounded monthly is approximately $2703.44. To find the interest earned, we can use the formula for compound interest:

A = P(1 + r/n)^(nt) Where: A = the future value of the investment P = the principal amount (initial investment) r = annual interest rate (as a decimal) n = number of times interest is compounded per year t = number of years In this case, P = $6400, r = 12% (or 0.12 as a decimal), n = 12 (monthly compounding), and t = 3 years. Plugging in these values into the formula, we have: A = 6400(1 + 0.12/12)^(12*3)   = 6400(1 + 0.01)^(36)  = 6400(1.01)^(36) Using a calculator, we can find that (1.01)^36 ≈ 1.443618... So, A ≈ 6400 * 1.443618...  ≈ 9230.76 Therefore, the interest earned if $6400 is invested for 3 years at 12% compounded monthly is approximately $2830.76.Remember to round this amount to the nearest cent, giving us an interest of approximately $2830.76.

To find the interest earned, we subtract the initial investment from the future value: Interest = A - P  = 9230.76 - 6400 ≈ 2830.76 Rounding this to the nearest cent, the interest earned is approximately $2830.76. To calculate the interest earned if $6400 is invested for 3 years at 12% compounded monthly, we can use the formula for compound interest.
The formula is:A = P(1 + r/n)^(nt) Where: A is the future value of the investment, P is the principal amount (initial investment), r is the annual interest rate (expressed as a decimal), n is the number of times interest is compounded per year, and t is the number of years. In this case, the principal amount (P) is $6400, the annual interest rate (r) is 12% (or 0.12 as a decimal), the number of times interest is compounded per year (n) is 12 (since it is compounded monthly), and the number of years (t) is 3.

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Prioritze freelance prolects You have started a freelancing business. You will be given exactly one project each day, Each project has associated time, T, the number of days to complete the project, and fine, F, to pay if the project has not made any progress on any day. You will receive the project in the morning so you can start working on it the same day and the project can be delivered in the same evening when it is completed. You are determined towards your business that you will work on exactly one project every day and will not spend any day idle. But once you start working on any project, you cannot start another project before finlshing the previous one. Vour aim is to minimize the total fine imposed on you. Eample 41 210 32 Project 1 with 4 doy time will be started on first day Project 2 with 2 dey time will be started on firch days it >10 assieded on 2 nd dey wating times 5.2=3, fine>10 prolina3 wath 3 doy time will be started on →234 Anne →2 Totulfine 1043+24435

Answers

The fines incurred are: 0 (Project 1) + 0 (Project 2) + 10 (Project 3) = 10.

To clarify the given information and the example provided:

You have a freelancing business where you receive one project each day.

Each project has two attributes:

time (T), which represents the number of days required to complete the project, and fine (F), which is the penalty imposed if the project remains unfinished at the end of the day.

Your goal is to minimize the total fine imposed on you by efficiently scheduling and completing the projects.

Once you start working on a project, you cannot switch to another project until you finish the current one.

You want to avoid any idle days where you're not working on a project.

Let's break down the example provided for better understanding:

Example:

Project 1: Time (T) = 4 days, Fine (F) = 210

Project 2: Time (T) = 2 days, Fine (F) = 32

Project 3: Time (T) = 3 days, Fine (F) = 10

In this example, you would start working on Project 1 on the first day since it has the highest fine (210).

On the second day, you would continue working on Project 1.

By the end of the second day, you would have completed Project 1, so no fine is imposed.

On the third day, you would start working on Project 2, as it has a higher fine (32) than Project 3 (10). You would complete Project 2 on the fourth day, again avoiding any fine.

Finally, on the fifth day, you would start and complete Project 3.

In total, the fines incurred are: 0 (Project 1) + 0 (Project 2) + 10 (Project 3) = 10.

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Monopsonistic exploitation is measured by the height of the supply curve of labor. measured by the area above the supply curve but below the wage paid. the difference between the marginal revenue product of a worker and the wage received by the worker. the cost to society from unions.

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Monopsonistic exploitation is a concept that occurs when an employer has a dominant position in a labor market, making it the only purchaser of labor, and therefore, can pay lower wages. It is measured by the difference between the marginal revenue product of a worker and the wage paid.

If the wage paid is below the marginal revenue product, it indicates that the employer is exploiting the worker.

The height of the supply curve of labor is used to measure the degree of monopsonistic exploitation. The flatter the supply curve, the higher the level of monopsonistic exploitation as it indicates that the employer has a greater degree of market power to set wages at a lower level.

In terms of measuring monopsonistic exploitation, the area above the supply curve but below the wage paid is used. This area is considered the "monopsony surplus" which represents the additional profit earned by the employer due to its market power. The larger the monopsony surplus, the greater the degree of monopsonistic exploitation.

Critics of unions argue that they contribute to the cost of society by raising wages above the competitive level, leading to a reduction in employment opportunities and an increase in prices. However, supporters of unions argue that they are necessary to counterbalance the market power of employers in a labor market where there is already an unequal bargaining position between employers and employees.

In conclusion, monopsonistic exploitation can be measured by the difference between the marginal revenue product of a worker and the wage paid and the height of the supply curve of labor. The cost to society from unions is a topic of debate and depends on the specific context and circumstances of the labor market.

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The outstanding debt of Berstin Corp. has five years to maturity, a current yield of 9%, and a price of $80. What is the pretax cost of debt if the tax rate is 40%. Note: The current yield of a bond is its annual coupon divided by its price. A. 10.29% B. 7.72% C. 9% D. 12.87%

Answers

The outstanding debt of Berstin Corp. has five years to maturity, a current yield of 9%, and a price of $80.

What is the pretax cost of debt if the tax rate is 40%?

Solution:

Here is the formula of Pretax Cost of Debt:

Pretax cost of debt = Yield to maturity *(1 - Tax rate)

Where, Yield to maturity = Current yield / (1 - price)If a bond has a face value of $1,000, then the annual coupon payment is:9% * $1,000 = $90.Current yield of the bond = $90/$80 = 1.125.

We can calculate the yield to maturity (YTM) by solving for the interest rate that satisfies the equation of the bond's cash flows. Here, we will use an online calculator, and we get a result of 11.5%.

Using the values we got, we can plug them into the pretax cost of debt formula and get:

Pretax cost of debt = Yield to maturity * (1 - Tax rate)

Pretax cost of debt = 11.5% * (1 - 40%)

Pretax cost of debt = 6.9%.

Therefore, the pretax cost of debt is 6.9%.Option B is the correct answer.

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Assuming the expectations theory is the correct theory of the term structure, calculate the interest rates in the term structure for Indian government maturities of one to five years, and describe the resulting yield curves for the following paths of one-year interest rates over the next five years:
a. −0.2%, −0.1%, 0%, 0.1%, 0.2%
b. 0%, −0.2%, −0.3%, −0.2%, 0%
How would your yield curves change if people preferred shorter-term bonds over longer-term bonds?

Answers

The expectation theory is a theory of the term structure of interest rates that holds that the interest rate on a long-term bond will equal an average of the short-term interest rates expected to occur over the life of the long-term bond, assuming the market is in equilibrium and expectations are based on all available information.

Thus, if the expectation theory is the correct theory of the term structure, the interest rates in the term structure for Indian government maturities of one to five years can be calculated, and the resulting yield curves for the given paths of one-year interest rates over the next five years can be described as follows:

a. -0.2%, -0.1%, 0%, 0.1%, 0.2%The yield curve for this path of one-year interest rates over the next five years will be upward sloping.

b. 0%, -0.2%, -0.3%, -0.2%, 0%

The yield curve for this path of one-year interest rates over the next five years will be downward sloping. If people preferred shorter-term bonds over longer-term bonds, the yield curves would be flatter, as the demand for long-term bonds would decrease, leading to a decrease in the price of long-term bonds and an increase in their yield, while the demand for short-term bonds would increase,

leading to an increase in the price of short-term bonds and a decrease in their yield. Thus, the yield curve would become flatter, with the yield on short-term bonds rising less than the yield on long-term bonds.

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