So, the correct option is A (Earned income) Christie operates a small cookie business, her income is Earned income.
Small Business
Generally speaking, a small business is a privately held corporation, partnership, or sole proprietorship with fewer employees and lower yearly income than a corporation or regular-sized business.
In terms of being eligible for government assistance and advantageous tax treatment, the meaning of "small" differs by nation and sector. According to a set of criteria based on particular industries, the U.S. Small Business Administration determines what constitutes a small business.
To learn more about Small Business
https://brainly.com/question/27968241
#SPJ4
Which of the following is an advantage of renting over
advantage of renting over buying a home?
Answer:
having to make a down payment..
An advantage of renting over buying a home and having to make a down payment. The correct option is D. Financial risks are lower when renting. You are aware of the precise monthly rent payment you will be making.
What is the most significant advantage of renting?The three biggest advantages of staying a renter, in Ramsey's opinion, are having more flexibility if you decide to move, not having to pay for home maintenance, and not having to spend as much money initially. Additionally, your landlord will handle all necessary repairs, upkeep, and other costs. There is no additional cost.
Renting offers convenience, consistent monthly costs, and maintenance assistance. Along with the concrete advantages of tax deductions and equity, home ownership also offers intangible advantages like a feeling of security and pride in one's possession.
Thus, the ideal selection is option D.
Learn more about Renting here:
https://brainly.com/question/15057676
#SPJ2
When sierra thinks about Chick-fil-A, she Emily thinks about the high-quality chicken that she last ate there, served hot and fresh by fast and friendly employees. Next, she recalls the clever cows that she is used to seeing on local billboards and in stores or promote the brand. The _____________ of the Chick-fil-A brand is firmly established in her mind, based on how the brand communicates with her and ultimately provides a positive experience.
a) Targeting
b) Segmentation
c) Equity
d) Positioning
e) Loyalty
Answer:
Positioning
Explanation:
Which type of business does not hold owners accountable for the debts of
the business?
OA. Sole proprietorship
OB. LLC
OC. Partnership
A
OD. Private company
Answer:
Limited Liability Company (LLC)
Explanation:
A limited Liability Company (LLC) is a business structure in the United States that protects its owners from the personal responsibility for its repayment of debts and liabilities. It is a hybrid entity that has the characteristics of a corporation, partnership and sole proprietorship. The regulation of LLC's varies from one state to another. An entity or individual can be a member of an LLC with notable exceptions from banks and insurance companies. The primary reason for registering a business under LLC is to limit the personal liability of the owners as well as the partners. LLC may have some attractive features but they also possess some great disadvantages as well. Depending upon the state law, an LLC may be dissolved upon the death or bankruptcy of a member.
how 2 impactful statistics relating to social media use?
As of January 2021, there were over 4.2 billion active social media users worldwide, representing around 53% of the global population. This figure has been steadily increasing over the past few years.
This highlights the significant role social media now plays in modern society, with individuals using these platforms to connect with friends and family, stay up-to-date with news and current events, and engage with brands and businesses.
A recent survey by the Pew Research Center found that around 72% of U.S. adults use social media. However, this figure is not evenly distributed across different demographic groups. For example, younger adults are more likely to use social media than older adults, with around 90% of 18-29-year-olds using social media compared to just 40% of those aged 65 and over. In addition, social media use varies by race and ethnicity, with around 65% of white adults using social media compared to 72% of Black adults and 79% of Hispanic adults. These statistics demonstrate the importance of considering demographic factors when analyzing social media use and its impact on society.
To learn more about social media, visit here
https://brainly.com/question/20246782
#SPJ4
Find an article dealing with an opinion poll on a local, state ,or national issue. Write a paragraph summary of when and how the poll was conducted, and what the results indicated.
Which of the following statements are correct?
Select the correct option(s) and click submit.
Agile and Design Thinking are same
Design Thinking is about Product Development. Agile Manifesto is about Software Development
Design Thinking is finding the right things and Agile is about building the right things
Design Thinking is building the right things and Agile is about finding the right things
Submit
Product Development is the focus of Design Thinking. The Agile Manifesto is concerned with software development.
Design Thinking is about discovering the right things, while Agile Manifesto is about creating the right things. Hence, option b) is correct.
Design thinking is a problem-finding methodology, whereas agile is a problem-solving methodology. It requires a high level of end-user empathy and comprehension, as well as an iterative process of developing new ideas, debunking assumptions, and redefinition of problems.
Agile Manifesto and Design thinking fosters a user-centric environment that emphasizes rapid iterations to achieve the best results. Use agile development to collaboratively build solutions to problems identified through design thinking.
Design thinking prioritizes the needs of the user, and Agile is an excellent method for delivering solutions gradually. The user's needs are considered throughout the design and development process.
To learn more about Agile Manifesto, please refer:
https://brainly.com/question/25820251
#SPJ4
What does the world bank hope will result from the loans it makes to developing countries?
a. stabilized exchange rates for their national currencies
b. increased ability to profit from exports
c. a reduction in the taxes charged to their citizens
d. an improved climate for foreign investment
The World Bank hopes that its loans to developing countries will lead to a number of positive outcomes. These include stabilized exchange rates for their national currencies, increased ability to profit from exports, and reduced taxes for their citizens.
In addition, the World Bank hopes that its loans will also create a better climate for foreign investment by providing developing countries with the resources and financing needed for economic growth and development. The World Bank firmly believes that by supporting developing countries through lending, it can help reduce poverty and create a fairer global economy. In addition, the World Bank hopes that its loans will encourage more foreign investment in developing countries, which will ultimately lead to higher living standards.
To know more about world bank click here
https://brainly.com/question/3520105
#SPJ4
Answer: Increased ability to profit from exports
Explanation:
Which domain suffix is most frequently used by businesses?
A. .com
B. .edu
C. .gov
D. .org
Answer:
.com
Explanation:
.edu means education
.gov means government website
.org websites are mostly personal or local
.com means commercial
The domain .com is most frequently used by businesses.
What is a business?
Business refers to an enterprising entity or organization that carries out professional activities. They can be commercial, industrial or others. The purpose of a business is to organize some sort of economic production(of goods and services).
The business strategy plays an important role in survival and growth of a business. Business strategy refers to the set of plans, actions and strategies that helps the organization attaining the goals and objectives. The two types of business strategies are the business unit strategy and corporate strategy.
Businesses can be for-profit entities or non-profit entities. Business types range from limited liability companies to sole proprietorships, corpirations and partnerships.
Learn more about Business here:
https://brainly.com/question/2190762
#SPJ6
When james received his paycheck, he planned to cash it at a check cashing store. You advise him to cash it at his own bank if possible. Why?.
When James received his paycheck, he planned to cash it at a check cashing store. You can definitely advise him to cash it at his own bank if possible because they typically charge high fees.
What is the reason behind this process?The reason behind this process is that check-cashing typically stores and usually charges high fees in order to cash checks and sometimes encourages consumers to take out high-interest rate payday loans.
A paycheck additionally spelled paycheque, pay test, or pay cheque, is historically a paper report (a cheque) issued by an organization to pay an employee for services rendered. In recent times, the bodily paycheck has been increasingly replaced by using electronic direct deposits to the worker's targeted financial institution account or loaded onto a payroll card.
Therefore, you can definitely advise him to cash it at his own bank if possible because they typically charge high fees.
To learn more about Paychecks, refer to the link:
https://brainly.com/question/4993817
#SPJ1
if the firm is facing the threat of trade barriers such as high import tariffs or quotas and the firm has proprietary technology, the firm should consider multiple choice exporting. foreign direct investment. licensing.
If a company possesses proprietary technology and is threatened by trade restrictions like high import taxes or quotas, the company should think about FDI.
How do trade restrictions impact FDI?
Technical trade barriers (TBTs) may increase the cost of border certification, inspection, and compliance, which encourages MNEs to make foreign direct investments (FDIs) in the host market rather than exporting to that market.
What connection is there between FDI and trade?
FDI and trade are different but linked forms of transactions that play vital roles in the global economy. The global economy is driven by both international trade and foreign direct investment (FDI), which makes it possible to transfer commodities, services, and capital across national borders.
Learn more about proprietary here:
https://brainly.com/question/13502276
#SPJ4
Find+the+equivalent+taxable+yield+of+the+municipal+bond+for+tax+brackets+of+zero,+10%,+20%,+and+30%,+if+it+offers+a+yield+of+3.30%.+(round+your+answers+to+2+decimal+places.)
The equivalent taxable yields for tax brackets of zero, 10%, 20%, and 30% for a municipal bond offering a yield of 3.30% are as follows: 3.30%, 3.67%, 4.12%, and 4.71% respectively.
How do the equivalent taxable yields vary across different tax brackets for a municipal bond with a 3.30% yield?The equivalent taxable yield of a municipal bond refers to the yield that would be required on a taxable bond to provide the same after-tax return as the tax-free municipal bond.
Municipal bonds are typically exempt from federal income tax and, in some cases, state and local taxes as well.
To calculate the equivalent taxable yield for different tax brackets, we need to consider the tax rate applicable to the investor's income.
For a municipal bond with a yield of 3.30%, the equivalent taxable yields can be computed using the formula: Equivalent Taxable Yield = Tax-Free Yield / (1 - Tax Rate).
For a tax bracket of zero, where no income tax is applicable, the equivalent taxable yield remains the same as the tax-free yield of 3.30%. As the tax bracket increases, the equivalent taxable yield also increases since a higher yield is required to compensate for the tax liability.
For a 10% tax bracket, the equivalent taxable yield would be 3.67%. This means that a taxable bond would need to offer a yield of 3.67% to provide the same after-tax return as the tax-free municipal bond.
Similarly, for 20% and 30% tax brackets, the equivalent taxable yields would be 4.12% and 4.71% respectively.
In summary, the equivalent taxable yields for a municipal bond with a 3.30% yield vary across different tax brackets, increasing as the tax rate increases.
Investors in higher tax brackets require higher taxable yields to achieve the same after-tax return as tax-free municipal bonds.
Learn more about equivalent taxable yields
brainly.com/question/30460790
#SPJ11
to be considered an mnc, a company based in the united states earns of its total sales revenues from operations outside the united states.true or false?
The statement regarding to be considered an MNC, a company based in the united states earns of its total sales revenues from operations outside the united states is the false.
What is multinational corporation (MNC) about?To be considered a multinational corporation (MNC), a company based within the United States does not fundamentally need to gain a particular parcel of its total deals incomes from operations outside the Joined together States.
Whereas working internationally may be a common characteristic of MNCs, there's no strict necessity with respect to the rate of deals income created exterior the home nation.
The key defining characteristic of an MNC is that it has commerce operations in different nations, with backups or members working in several markets around the world. The scale and degree of universal operations can change among MNCs.
Learn more Multinational corporation (MNC)
https://brainly.com/question/494475
#SPJ4
The main source for recruiting members into the FBLA is through school guidance counselors and teachers.
True
False
Answer:
That statement is false.
Explanation:
FBLA stands for Future Business Leaders of America. It's an organization that was created to focus on preparing its members for future careers / leaderships position.
Currently, the FBLA recruited most of its members through a campaign that they personally do in campuses. They sent out design posters, flyers, banners, and other advertisement medium to spread awareness of their group/.
According to the phillips curve, unemployment and inflation are positively related in.
The Phillips Curve is an economic theory that describes the relationship between inflation and unemployment. The theory suggests that when unemployment is low, inflation tends to be high, and vice versa.
This is because low unemployment means that there are fewer available workers, which can lead to higher wages and increased demand for goods and services. This increased demand can then lead to higher prices and inflation. Conversely, when unemployment is high, there are more available workers, which can drive down wages and reduce demand for goods and services, leading to lower prices and deflation. It is important to note, however, that the Phillips Curve is not a fixed relationship and can be influenced by a variety of factors, including changes in government policy, shifts in global economic conditions, and technological advancements. Therefore, while the Phillips Curve can be a useful tool for understanding the relationship between inflation and unemployment, it should be viewed as just one of many factors that can affect the economy.
To know more about Phillips Curve visit:
https://brainly.com/question/29220442
#SPJ11
a stock has a beta of 1.5, the market risk premium is 6%, and the risk-free rate is 2%. what is the lowest return the company should accept on a new investment? multiple choice 7.50% 11.00% 15.25% 10.50%
Equity is possession of assets that can have debts or other liabilities connected to them. Equity is measured for accounting functions via way of means of subtracting liabilities from the fee of the assets.
Required Return on Equity = Risk loose price of Return + ( Beta * Market hazard premium)
So, required return = 2% + (1.5*6%) = 9%
So, enterprise need to pick out challenge which having Return more than 9%
Out of alternatives furnished more than 9% is 10.50%, 12.50% and 15.25%
So, the bottom return, enterprise need to take delivery of the Investment is 10.50%
The term "fairness" describes this sort of possession in English as it become regulated thru the gadget of fairness law that advanced in England at some point of the Late Middle Ages to satisfy the developing needs of business activity.
To know about Equity click here
https://brainly.com/question/463498
#SPJ4
in the long run, a firm will exit a competitive industry if question 4 options: a) total revenue exceeds total cost. b) the price exceeds average total cost. c) average total cost exceeds the price. d) both a and b are correct.
In the long run, a firm will exit a competitive industry if average total cost exceeds the price (the right option is option C).An industry that is competitive has few entry barriers and permits enterprises to readily enter and depart the market.
Since anyone can choose to create a new pizza shop and existing owners can choose to close their doors whenever they like, the market for pizza restaurants in a particular large city, for instance, may be very price competitive. In long run to customer demand for products and services, a competitive market develops. Due to the competition created by this market system, businesses must assess their costs of production, pricing policies, and product output. A business competes and operates in a dynamic external system known as a competitive environment.
To learn more about market, click here.
https://brainly.com/question/13414268
#SPJ4
Maximizing owners' equity value means carefully considering all:_________
Maximizing owners' equity value means carefully considering all aspects of the business, including its assets, liabilities, revenues, and expenses.
Maximizing owners' equity value means carefully considering all aspects of the business that contribute to the financial well-being and growth of the company. This involves taking into account various factors that impact owners' equity and making strategic decisions to optimize its value.
One important consideration is the management of assets. This includes assessing the composition and quality of the company's asset base, such as cash, investments, inventory, property, and equipment. Maximizing owners' equity value requires efficiently utilizing these assets to generate revenue and profitability.
Liabilities also play a crucial role. It is essential to carefully manage and monitor the company's debt obligations, such as loans, lines of credit, and other liabilities. Effective management of liabilities ensures the company can meet its financial obligations while minimizing interest expenses and preserving equity.
Revenue generation is another critical aspect. Maximizing owners' equity value involves identifying and pursuing opportunities to increase sales, expand market share, and improve pricing strategies. This may involve developing new products, entering new markets, enhancing customer relationships, or improving marketing and sales efforts.
Controlling expenses is equally important. Monitoring and managing costs, including operational expenses, salaries, and overhead, can have a significant impact on profitability and, consequently, owners' equity value. Implementing cost-saving measures, improving operational efficiency, and seeking ways to streamline processes contribute to enhancing owners' equity.
Furthermore, effective financial planning and budgeting are vital. Careful analysis of financial data, forecasting, and setting realistic financial goals can help align business operations and resource allocation with the objective of maximizing owners' equity value.
Ultimately, maximizing owners' equity value requires a comprehensive and holistic approach, taking into account all relevant factors that influence the financial performance and position of the company. By considering assets, liabilities, revenue generation, expense control, and financial planning, businesses can make informed decisions to optimize owners' equity value and achieve long-term sustainable growth.
for more such questions on liabilities
https://brainly.com/question/14921529
#SPJ11
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
Learn more about Communication at:
brainly.com/question/25645043
#SPJ4
marks corporation has two operating departments, drilling and grinding, and an office. the three categories of office expenses are allocated to the two operating departments using different allocation bases. the following information is available for the current period: office expenses total allocation basis salaries $ 39,000 number of employees depreciation 24,500 cost of goods sold advertising 53,500 percentage of total sales department number of employees sales cost of goods sold drilling 1,720 $339,625 $88,500 grinding 2,580 496,375 147,500 total 4,300 $836,000 $236,000 the amount of the total office expenses that should be allocated to grinding for the current period is (do not round your intermediate calculations.)
Total Expenses $ 56,053.13
Marks Corporation
Office Expenses Total Allocation Basis
Salaries $31,000 Number of employees
Depreciation 20,500 Cost of goods sold
Advertising 41,500 Net sales
Item Drilling Grinding Total
Number of employees 1080 1620 2700
Cost of goods sold $76,500 127,500 $204,000
Net sales $326,625 477,375 $804,000
Using ABC, we determine the costs associated with the grinding. This is accomplished by multiplying the ratio of the allocation basis for the grinding with the total by the associated expense.
Office Expenses Total Grinding
Salaries $31,000 (1620/2700)* $31,000
= $ 18600
Depreciation 20,500 (127,500 /$204,000 )20,500
=12812.5
Advertising 41,500 (477,375/ $804,000) 41,500
= 24640.63
Total Expenses $ 56,053.13
Learn more about expenses:
https://brainly.com/question/27961230
#SPJ4
17. When her daughter was born, Sonia took out life insurance on her own life. Two yeara later, she had a son with a congenital disease that will affect him lon life. Sonia is relieved to know that her life insurance policy has a clause that will allow her son to remain insured throughout his life despite his health. Which rider or supplementary benefit did Sonia add to her policy at the time of purchase? A critical illness benefit. A guaranteed insurability benefit (GiB) rider. A paid-up additions (PUA) rider. A convertible child coverage rider.
Sonia added the Convertible Child Coverage Rider to her life insurance policy, which allows her son to remain insured throughout his life despite his health condition.
When Sonia's son was born with a congenital disease that will affect him throughout his life, she was relieved to discover that her life insurance policy included a clause to ensure his continued coverage. This provision is known as the Convertible Child Coverage Rider. By adding this rider to her policy at the time of purchase, Sonia secured the lifelong coverage of her son, regardless of his health condition. The rider guarantees that her son's insurance will remain in force, providing financial protection and security for his future.
The Convertible Child Coverage Rider is a supplementary benefit designed to address the specific needs of insuring children, particularly those with pre-existing health conditions. It ensures that Sonia's son will be able to maintain coverage under the same policy, even as he grows older and his health condition persists. This rider offers peace of mind to parents like Sonia, knowing that their child's insurance coverage will not be jeopardized by their health status. It provides a valuable layer of protection and financial support throughout the child's lifetime, offering stability and reassurance for the future.
To learn more about insurance policy, Click Here: brainly.com/question/24984403
#SPJ11
The website leftyslefthand. Com markets products to left-handed consumers only. Which targeting strategy does this represent?.
The website leftyslefthand. Com markets products to left-handed consumers only Concentrated marketing targeting strategy does this represent.
An individual or group that does not directly engage in entrepreneurial or business operations but who intends to order or uses purchased items, products, or services primarily for personal, social, family, or household needs is referred to as a consumers. A consumers purchases goods or services primarily for personal use in an economy rather than for resale or other business objectives. Customers make a financial (or comparable) payment for goods or services. Marketing is the process of identifying, producing, and providing value to satisfy a target market's wants for goods and services. Marketing is normally carried out by the seller, who is usually a retailer or manufacturer. A specialized marketing company or advertising agency may be hired on occasion to complete responsibilities.
Learn more about marketing here :
https://brainly.com/question/13414268
#SPJ4
________ is an after-sale support provided to customers.
a. customer service
b. production
c. distribution
d. marketing
Customer service is an after-sale guide provided to customers.
A customer is an individual or enterprise that purchases any other business enterprise's goods or offerings. customers are important due to the fact they drive sales; without them, agencies can't continue to exist.
The definition of a customer is someone who buys products or services from a store, restaurant, or another retail seller. An instance of a patron is someone who goes to an electronics save and buys a tv. (Casual) a person, in particular one engaging in a few types of interaction with others.
Use the time period customer, with an apostrophe before the “s” to reveal a possessive shape for an unmarried consumer. Use the term clients', with an apostrophe after the “s” to expose the possessive plural shape of a couple of patrons. Do no longer use an apostrophe if there's no possessive indication needed. clients save often but base shopping for selections frequently on markdowns. need-based total customers: customers with the purpose of purchasing a specific product. Wandering clients: customers that aren't sure of what they need to shop for.
Learn more about customers here:
brainly.com/question/12831236
#SPJ4
Which of the following are advantages of working for a for-profit healthcare facility? Check all of the boxes that apply.
a friendlier work environment
potentially higher income
better-trained doctors
newer equipment and facilities
Answer: potentially higher income
newer equipment and facilities
Explanation:
First and foremost, we should note that a feature of a for-profit healthcare facility is that it is owned by the individual and not the government. Private citizens set up hospitals in order to generate profit.
The advantages of working for a for-profit healthcare facility are potentially higher income. This is due to the fact that it's for profit motive, hence, there's possibility of getting a higher income unlike working for the government. Also, newer equipment and facilities can be gotten as well.
Answer:
B , D
Explanation:
edge
Suppose a panel of economists is predicting that a nation's real GDP per capita will have an average annual growth rate of 2%. Based upon the Rule of 70, how many years will it take for this nation's real GDP per capita to double?
A.
35
B.
70
C.
140
D.
20
E.
50
B. 70 years.
The Rule of 70 is a quick way to estimate the number of years it takes for a variable to double, given its annual growth rate. To apply the rule, simply divide 70 by the annual growth rate. In this case, 70 divided by 2 equals 35, so it would take 35 years for the nation's real GDP per capita to double.
The Rule of 70 is a mathematical shortcut that helps to estimate the doubling time of a variable based on its growth rate. It assumes that the growth rate is constant over time, and it is derived from the mathematical equation for exponential growth. The formula for the Rule of 70 is:
Number of years to double = 70 / annual growth rate
For example, if a country's GDP is growing at an annual rate of 3%, the Rule of 70 predicts that it will take approximately 23.3 years (70 / 3) for the GDP to double. The Rule of 70 is a useful tool for understanding the impact of compound growth over time, but it should be noted that it is an approximation and may not be accurate for all scenarios.
Learn more about rule of 70 here:
https://brainly.com/question/30747883
#SPJ11
MARIGOLD COMPANY Statement of Cash Flows For the Year Ended December 31, 2020 (Indirect Method) Cash Flow from Operating Activities Net Income 760 Adjustments to recondle net income to Net Cash Provided by Operating Activities V Depreciation Experte V $ 20.00 Gainon Sale of investments 19000) Increase in Accounts Receivable (43000) Decrease in Inventory V 250.00 Increase in Accounts Payable 320.00 Decrease in Accrued Liabilities 50.00 30 Cash Flows from Operating Activities > 790 Cash Flows from thistine Activities V Purchase of Plant Assets V (130001 Sale of restents 220,00 Cash Flows from Operatin Activities 90 Cash Flows from investing Activities Purchase of Plant Assets (130.00 Sale of Investments 220.00 Cash Flows from Operating Activities 90 Cash Flows from Financing Activities Payment of Cash Dividends -260 Sale of Bonds Payable 140 Issuance of Capital Stock 190 Cash Flows from Financing Activities -210 Cash Flows from Financing Activities 670 670 1130 Net Cash Used by investing Activities Decrease in inventory $ 1800 hu Media Condensed financial data of Teal Company for 2020 and 2019 are presented below. TEAL COMPANY COMPARATIVE BALANCE SHEET AS OF DECEMBER 31, 2020 AND 2019 2020 2019 Cash $1,800 $1,130 Receivables 1.770 1,320 Inventory 1.560 1.890 Plant assets 1.900 1.700 Accumulated depreciation (1.220 (1.180) Long-term investments (held-to-maturity) 1.300 1.430 $7 110 $6,290 Accounts payable $1 220 $890 Accrued liabilities 190 250 Bonds payable 1410 1.520 Common stock 1.870 1.730 Retained earnings 2.420 1.900 $7A110 $6,290 TEAL COMPANY INCOME STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2020 Sales revenue $6.860 Cost of goods sold 4,710 $7110 $6.290 TEAL COMPANY INCOME STATEMENT FOR THE YEAR ENDED DECEMBER 31, 2020 Sales revenue $6,860 4.710 Cost of goods sold Gross margin 2.150 Selling and administrative expenses 920 Income from operations 1.230 Other revenues and gains 80 Gain on sale of investments Income before tax 1,310 Income tax expense 530 Net income 780 Cash dividends 260 Income retained in business $520 Additional Information: During the year $70 of common stock was issued in exchance for plant assets No plant assets were sold in 2020 Prepare a statement of cash flows using the indirect method. (Show amounts that decrease cash flow with either a signes -15 parenthesises (15,0001) TEAL COMPANY Statement of Cash Flows (Indirect Method) TEAL COMPANY Statement of Cash Flows (Indirect Method) Adjustments to reconcile net income to < $ < > V V > > < > > > > > < < < << e Textbook and Media
The statement of cash flows using the indirect method shows that cash flows from operating activities are $1,090, cash flows from investing activities are $130, cash flows from financing activities are $(-10), and the net increase in cash is $1,210.
A statement of cash flows using the indirect method is prepared by following these steps:Firstly, net income is reconciled by removing non-cash activities from the income statement. Secondly, changes in balance sheet accounts other than cash are used to adjust the cash balance.
Finally, the net change in cash is reconciled by subtracting the opening cash balance from the closing cash balance.
Let's prepare a statement of cash flows using the indirect method for Teal Company: TEAL COMPANY Statement of Cash Flows (Indirect Method)For the Year Ended December 31, 2020Cash Flows from Operating Activities: Net Income $780 Adjustments to Reconcile Net Income to Net Cash Provided by Operating Activities:
Depreciation Expense$40Loss on Sale of Investments$0Decrease in Receivables$(-450) Decrease in Inventory $330Increase in Accounts Payable$330Decrease in Accrued Liabilities $60Cash Flows from Operating Activities $1,090 Cash Flows from Investing Activities:
Purchase of Plant Assets($0)Sale of Investments$130Cash Flows from Investing Activities$130Cash Flows from Financing Activities: Payment of Cash Dividends($260)Sale of Bonds Payable$110Issuance of Common Stock$140 Cash Flows from Financing Activities$(-10)Net Increase in Cash$1,210Add: Beginning Cash Balance$1,130Ending Cash Balance$2,340 .
Therefore, the statement of cash flows using the indirect method shows that cash flows from operating activities are $1,090, cash flows from investing activities are $130, cash flows from financing activities are $(-10), and the net increase in cash is $1,210.
To know more about Financing visit :
https://brainly.com/question/10024737
#SPJ11
Every day, Eloise talks with patients who suffer from drug abuse and helps them with their treatment plans. She sometimes works with Franklin who plans social events and outdoor activities on the drug facility grounds. Because some of the patients are there for months or years, Eloise and Franklin also work with Jessup, who takes care of patients’ hair care and other grooming needs. Which best describes the workers’ career pathways based on their tasks?
A.Eloise works in Family and Community Services, Franklin works in Counseling and Mental Health Services, and Jessup works in Personal Care Services.
B.Eloise works in Counseling and Mental Health Services, Franklin works in Personal Care Services, and Jessup works in Family and Community Services.
B.Eloise works in Personal Care Services, Franklin works in Family and Community Services, and Jessup works in Counseling and Mental Health Services.
C.Eloise works in Counseling and Mental Health Services, Franklin works in Family and Community Services, and Jessup works in Personal Care Services.
Answer:
D: Eloise works in Counseling and Mental Health Services, Franklin works in Family and Community Services, and Jessup works in Personal Care Services.
Explanation:
Its a wild guess, but it makes sense since Eloise deals with drug abuse which would be mental health and counseling, Franklin works on organizing local events (ive done this type of volunteering job before) so it would be a job that is apart of the community, and finally Jessup works (maybe) at a hair salon which would be more hair/personal care.
Correct me if iam wrong, and if iam right iam glad to have helped (if i did) :)
People do have careers. The option that best describes the workers’ career pathways based on their tasks is that;
Eloise works in Counseling and Mental Health Services, Franklin works in Family and Community Services, and Jessup works in Personal Care Services.A career path is known to be a kind of forward roadmap with short or long-term bench marks.
It is known to be a maps the ways an employee often takes from a lower-level position via a kind of successive roles to reach their ultimate goal.
Learn more about workers’ career pathways from
https://brainly.com/question/9719007
If P1 million is placed in a time deposit account for 90 days at 0.75% interest, (use 360 for t)
1. Find the maturity value of the placement after the tax is deducted.
If P250,000 is invested for two years, what is the maturity value
2. If during the year he held the stock, Dan received P2.25 dividend per share, what is his total stock ROI (excluding charges)?
1. The maturity value of the time deposit account after tax deduction is P801,500. 2. Dan's total stock ROI (excluding charges) would be 44.5% if he received a dividend of P2.25 per share, and the stock price increased from P10 to P12 per share during the year.
To calculate the maturity value of P1 million time deposit account after tax deduction, we can use the formula:
Maturity value = Principal x (1 + (interest rate x t/360)) x (1 - tax rate)
Here, the principal is P1 million, the interest rate is 0.75%, the time period is 90 days, which is 3 months or 0.25 years (as 360 is used as a basis for calculation), and the tax rate is not given. Assuming a tax rate of 20%, we can calculate the maturity value as:
Maturity value = P1,000,000 x (1 + (0.0075 x 0.25)) x (1 - 0.20)
= P1,000,000 x 1.001875 x 0.80
= P801,500
To calculate the maturity value of P250,000 invested for two years, we need to know the interest rate offered by the investment. As the interest rate is not given in the question, we cannot calculate the maturity value.
Assuming a hypothetical interest rate of 3%, we can calculate the maturity value as:
Maturity value = Principal x (1 + (interest rate x t))
= P250,000 x (1 + (0.03 x 2))
= P277,500
Therefore, if the interest rate offered by the investment is 3%, the maturity value of P250,000 invested for two years would be P277,500.
To calculate Dan's total stock ROI (excluding charges) if he received P2.25 dividend per share, we need to know the initial cost of the stock and the number of shares he held.
Assuming Dan bought 1000 shares of a stock at a cost of P10 per share, the initial cost of his investment would be P10,000. If he received a dividend of P2.25 per share, his total dividend income would be P2,250 (P2.25 x 1000 shares).
If the stock price increased to P12 per share during the year, the market value of his investment would be P12,000 (P12 x 1000 shares). His capital gain would be P2,000 (P12,000 - P10,000), and his total ROI (excluding charges) would be:
Total ROI = (Capital gain + Dividend income) / Initial cost x 100%
= (P2,000 + P2,250) / P10,000 x 100%
= 44.5%
For more such questions on stock price, click on:
https://brainly.com/question/28539863
#SPJ11
Assess three factors that have had a positive impact on e-business in recent years
We proposed the factors influencing SMEs' adoption of e-commerce. The six elements are perceived value, perceived ease, relative advantage, perceived risk, perceived trust, and compatibility.
What advantages do firms receive from online shopping?One of the primary advantages of e-commerce for firms that motivate sellers to engage in online selling is cost reduction. A large portion of vendors' budgets goes toward maintaining their physical stores. For items like rent, upkeep, store design, inventory, etc., they might need to make extra upfront payments.
How has the corporate world been affected by e-commerce so far?E-commerce will represent 20.4% of all retail sales globally by the end of 2022, according to the industry analysis. Yet, just 10% of e-commerce companies are using social media platforms to spread the word of mouth about their products. By 2023, 14.1% to 22% more people are expected to make purchases online.
Learn more about e-commerce: https://brainly.com/question/29732698
#SPJ9
in what year did starbucks serve its first caffè latte?
Answer:
1984
Explanation:
EEEEEEEEEEEEEE
EE
why did more american women hold paying jobs in mid-2009 than men?
Answer:
Men were more likely to lose their jobs during the great recession