What line item flows from the statement of retained earnings to the balance​ sheet?

Answers

Answer 1

Answer:

Retained Earnings

Explanation:

The statement of retained earnings is prepared after preparing the income statement but before preparing the balance sheet. The reason behind this is that the statement of retained earnings is used to calculate the amount of retained earnings at the end of the period to be shown in the balance sheet.

Answer 2
Final answer:

In business accounting, the line item that flows from the Statement of Retained Earnings to the Balance Sheet is 'Retained Earnings'. The figure, which is part of the owner's equity section on a balance sheet, reflects the cumulative profits of a company that have not been distributed to shareholders as dividends.

Explanation:

In the field of Business Accounting, there is a crucial connection between the statement of retained earnings and the balance sheet. The line item that flows from the statement of retained earnings to the balance sheet is the Retained Earnings.

The statement of retained earnings is essentially a record of the changes in a company's retained earnings over a period of time. It starts with the beginning balance of retained earnings and adds or subtracts according to the company's net income net loss, and dividends.

After these calculations, the end balance is determined for the retained earnings. This end balance is then represented as 'Retained Earnings' on the balance sheet under the owner's equity section. This figure represents the cumulative profits held by the company that have not been distributed to shareholders as dividends.

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Related Questions

What is property in a downtown business area that caters primarily to business travelers.

Answers

Answer:

Business Hotels

Explanation:

Hotels, hotel size, location, target markets, service levels, facilities, number of rooms, ownership and loyalty etc. Classified by categories. These categories allow hotels of the same size to compare their operating procedures and statistical results.

The hotel targets many markets, and these factors can be classified according to the location and duration of stay as they affect the hotel's attractiveness.

By location:

- The city center is usually located in the business center, a short distance from the mall.

-Air ports This type of hotel usually targets business customers, overnight travelers or canceled flights and airline employees.

- Floating hotels are located in rivers, seas or large lakes.

- Boatels House boats are called boards that offer luxury guests to travelers.

-The Conference Centers pay attention to such hotels and conferences and overnight for meeting attendees.

On the target market:

- Business hotels are located in the heart of the city in tight commercial areas to get good and high business. It is mainly addressed to businessmen.

- Conference centers or convention hotels are larger than convention centers and probably have more than 1,500 rooms.

- Resort Hotels are usually found in the mountains, on one island or other exotic locations away from cities.

- Business Hotels: These hotels are the largest group of hotels and primarily serve business travelers and are usually located in the city center or in business areas. Although business hotels primarily serve business travelers, many tour groups, individual tourists and small conference groups consider these hotels attractive.

Final answer:

A property catering primarily to business travelers in a downtown business area is located in the central business district (CBD), a hub of commerce and transit designed to meet the needs of business professionals through facilities like hotels and convention centers.

Explanation:

A property in a downtown business area that primarily caters to business travelers is likely situated in the central business district (CBD) of a city. The CBD is the commercial and geographic heart of a city, characterized by high rents, high density of commerce, and a growing trend of accommodations designed to support the needs of business professionals, including hotels, convention centers, and short-term apartments. These properties are strategically positioned to facilitate easy access to financial districts, entertainment, and retail spaces, crucial for meeting the demands of business travelers, convention goers, and professionals on short-term visits for consultations or meetings with clients and colleagues.

While primarily commercial, the CBD's evolution includes increasing residential populations, as younger professionals seek city center living for proximity to work and urban amenities. The economic influence of metropolitan businesspeople is substantial, leading many cities to invest in infrastructure like convention centers and airports to attract this demographic, despite potential objections from permanent residents over the use of public funds for these projects. Ultimately, these investments underscore the role of business travelers in shaping land-use and development decisions within the CBD.

A factory costs $420,000. You forecast that it will produce cash inflows of $100,000 in year 1, $160,000 in year 2, and $260,000 in year 3. The discount rate is 10%. a. Calculate the PV of cash inflows. (Do not round intermediate calculations. Round your answer to 2 decimal places.) Present value $ b. Is the factory a good investment? Yes No

Answers

Answer:

$418,482.34

No

Explanation:

The present value of Cash flows can be found by discounting the cash flows at the discount rate.

The formula can be found by using the formula in the attached image.

The present value can be found using a financial calculator:

Cash flow in year 0 = $0

Cash flow in year 1 = $100,000

Cash flow in year 2 = $160,000

Cash flow in year 1 = $260,000

I = 0%

PV = $418,482.34

The investment is not a good investment because the present value of the cash flows is less than the cost of the investment. The cash flows from the investment would not he enough to recover the amount invested.

I hope my answer helps you.

If an unregulated electric company is a monopolist and faces demand of Q = 50 - 10P. It has a constant marginal cost of 1 and must pay an environmental fee to the government of 0.2 per unit of output.
In this situation, the profit-maximizing level of output is:

a)5 b)10 c)20 d)50

Answers

Answer:

correct option is profit maximizing level is c)20

Explanation:

given data

faces demand Q = 50 - 10P

marginal cost = $1

environmental fee = $0.2 per unit

solution

we know Q = 50 -10P

so P = 5 - 0.1Q

total Marginal Cost will be environmental fee + marginal cost  

here TR Total Revenue that is  = P × Q

TR = 5Q - 0.1Q²

Marginal Revenue (MR) is = [tex]\frac{dTR}{dQ}[/tex]

MR = [tex]\frac{50-2Q}{10}[/tex]

and

total marginal cost = $0.2 + $1 = $1.2

so

total marginal cost  = marginal cost

$1.2 = [tex]\frac{50-2Q}{10}[/tex]

Q = 19 = 20

so correct option is profit maximizing level is c)20

Indian GDP in 2010 was 78.9 trillion rupees, whileU.S. GDP was $14.5 trillion. The exchange rate in 2010 was 45.7 rupees per dollar. India turns out to have lower prices than the United States (this is true more generally for poorcountries): the price level in India (converted to dollars) divided by the price level in the United States was 0.368 in 2010.
(a) What is the ratio of Indian GDP to U.S. GDP if we dont take into account the differencesin relative prices and simply use the exchange rate to make the conversion?
(b) What is the ratio of real GDP in India to real GDP in the United States in commonprices?
(c) Why are these two numbers different?

Answers

Answer:

Explanation:

a )

Ratio of GDP on the basis of exchange rate :

GDP of india / GDP of united states

= 78.9 x 10¹⁸ x 1 / 14.5 x 10¹⁸ x 45.7

=  0.12

b )

Ratio of GDP on the basis of commonprices :

GDP of india / GDP of united states

= (78.9 x 10¹⁸  / 14.5 x 10¹⁸ ) x ratio of price level

=  (78.9 / 14.5) x .368

=  2

c ) These two numbers are different because the exchange  rate of currency

is controlled by price level in two countries but exchange rate is also influenced by many other factors including price level . So ratio of price level and exchange rate are different. Exchange rate is also influenced by speculative demand , foreign exchange reserve etc.

The United States imports shoes from Thailand. When Thailand drops the prices on its shoes, the U.S. reacts by imposing a tariff on Thai shoes. The U.S. has invoked a(n)?

Answers

Answer:

Barrier on imports

Explanation:

Cutting down the prices of the Thai shoes by Thailand will render an increased sale of the shoes in the market of United States. By reducing the prices of the shoes, Thailand has made the purchase of its shoes much more affordable for its consumers, this would lead to an increased demand of their shoes. This would not only increase the imports of United States but will also increase the competition for local shoes industries.

Thus a tariff is imposed to retain the original price of the shoes and maintain the level of Balance of Payment for United States trade and shelter the local industry of shoes in the US from foreign competition.

Each month, the census bureau mails survey forms to 250,000 households asking questions about the people living in the household and about such things as motor vehicles and housing costs. Telephone calls are made to households that do not return the form. In one month, responses were obtained from 240,000 of the households contacted. The population of interest is:

Answers

Answer:

The 250,000 households that were initially contacted by mails

Explanation:

The population is the totality of either animate or inanimate objects that forms the target of a research, the main target of the researchers inquiry is the population, in fact the population is the target beneficiary of the exercise.  

In this question the main target is the 250,000 households that the census bureau mailed, these are the people the bureau had in mind and they form the population of interest not the actual responses obtained.

For the query [Boston Italian food], English (US), Which of the following results can receive a Fully Meets rating? Select All that Apply.

1. A result block that shows a list of two restaurants serving Italian food in Boston. (True or False)

2. The homepage of the most-highly rated Italian restaurant in Boston. (True or False)

3. A result block that has a prominent link to the official website of a highly-rated Italian restaurant in Boston, along with visit-in-person information (e.g., directions, phone number). (True or False)

4. A result block that shows the phone in process of calling the most-highly rated Italian restaurant in Boston. (True or False)

Answers

Explanation:

1. A result block that shows a list of two restaurants serving Italian food in Boston. (True or False)

False. The result block contains a list of restaurants in Boston that serve Italian food.

2. The homepage of the most-highly rated Italian restaurant in Boston. (True or False)

True. Which presents the homepage of Boston's most popular Italian food such as Alfredo's Italian cuisine, Mamma Maria, etc.

3. A result block that has a prominent link to the official website of a highly-rated Italian restaurant in Boston, along with visit-in-person information (e.g., directions, phone number). (True or False)

False, The Result Block displays the list of leading restaurants but does not display the link to the site or the visit details.

4. A result block that shows the phone in process of calling the most-highly rated Italian restaurant in Boston. (True or False)

False, The result block doesn't display the phone calling the most highly rated Italian restaurants, but shows the name list only with addresses and restaurant dates.

The correct statement that matches the Fully Meets requirement of the Boston Italian Food will be the homepage of the most highly rated Italian restaurant in Boston. So, the correct statement is 2.

The list of the highest rated Italian restaurants in Boston will help the people to explore as to what they can eat and at their friendly budgets in Italian Cuisines offered.

The homepage will be the most relevant results that will meet the Fully Meets rating, as it will help in exploring the best Italian restaurants and help people make a better choice.

All the other results will not be eligible for such rating as they will not show a clear picture and there will be discrepancies in making the choices.

Hence, the correct statement is as the one given under (2) which explains that the homepage of the highest rated Italian restaurants in Boston will be eligible to receive a Fully Meets rating.

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Find the effective interest rate per payment period for an interest rate of 9% compounded monthly for each of the given payment schedule:

a. Monthly

b. Quarterly

c. Semiannual

d. Annual

Answers

Answer:

a. 0.75% per month

b. 2.25% per quarter

c. 4.5% semi- annually

d. 9% yearly

Explanation:

a. Computing the effective interest rate per payment period for the payment schedule which is monthly:

Effective rate (monthly) = Nominal rate (r) / Compounded monthly (m)

where

r is 9%

m is 12

Putting the values above:

= 9% / 12

= 0.75% per month

b. Computing the effective interest rate per payment period for the payment schedule which is quarterly:

Effective rate (quarterly) = Nominal rate (r) / Compounded quarterly (m)

where

r is 9%

m is 4

Putting the values above:

= 9% / 4

= 2.25% per quarter

c. Computing the effective interest rate per payment period for the payment schedule which is semi- annually:

Effective rate (semi- annually) = Nominal rate (r) / Compounded quarterly (m)

where

r is 9%

m is 2 (every 6 months)

Putting the values above:

= 9% / 2

= 4.5% semi- annually

d. Computing the effective interest rate per payment period for the payment schedule which is annually:

Effective rate (annually) = Nominal rate (r) / Compounded yearly (m)

where

r is 9%

m is 1 (end of the year)

Putting the values above:

= 9% / 1

= 9% yearly

Enzo Design Corporation reports the following cost information for​ March: Cost of Goods Manufactured $ 85 comma 000 Finished Goods​ Inventory, March 1 4 comma 000 Finished Goods​ Inventory, March 31 2 comma 650 ​Work-in-Process Inventory, March 1 9 comma 680 ​Work-in-Process Inventory, March 31 1 comma 000 Direct Labor 36 comma 000 Direct Materials Used 16 comma 850 What is the amount of manufacturing overhead incurred by the company in​ March? A. $ 40 comma 320 B. $ 23 comma 470 C. $ 148 comma 530 D. $ 22 comma 470

Answers

Answer:

Explanation:

Cost of goods manufactured  is 85000

Deduct Direct labour  (36300)

Deduct Direct Material used  (16900)

Add Ending WIP  (1000)

Deduct Beginning WIP  (9670)

⇒  Manufacturing OH  (23130)

In Lizzie Shoes’ experience, gift cards that have not been redeemed within 12 months are not likely to be redeemed. Lizzie Shoes sold gift cards for $18,000 during August 2021. $4,000 of cards were redeemed in September 2021, $3,000 in October, $2,500 in November, and $2,000 in December 2021. In 2022 an additional $1,000 of cards were redeemed in January and $500 in February. How much gift card revenue associated with the August 2021 gift card sales would Lizzie get to recognize in 2021 and 2022?

Answers

Final answer:

Lizzie Shoes would recognize a total of $12,000 in gift card revenue in 2021 and $1,500 in 2022.

Explanation:

Lizzie Shoes would get to recognize the gift card revenue associated with the August 2021 gift card sales in both 2021 and 2022. According to Lizzie Shoes' experience, gift cards that have not been redeemed within 12 months are not likely to be redeemed. In this case, $4,000 of cards were redeemed in September 2021, $3,000 in October, $2,500 in November, and $2,000 in December 2021. So, the revenue associated with these redeemed cards would be recognized in 2021.

In 2022, an additional $1,000 of cards were redeemed in January and $500 in February. The revenue associated with these redeemed cards would be recognized in 2022.

Therefore, the total gift card revenue associated with the August 2021 gift card sales that Lizzie Shoes would recognize in 2021 and 2022 would be $12,000 ($4,000 + $3,000 + $2,500 + $2,000) in 2021 and $1,500 ($1,000 + $500) in 2022.

The Miller model begins with the MM model with taxes and then adds personal taxes. True or False?

Answers

Answer:

The statement is: True.

Explanation:

The Modigliani-Miller (M&M) Theorem is used in financial and economic studies to analyze the value of a firm such as a business or a corporation. The M&M theorem states that a firm's value is based on its ability to earn revenue plus the risk of its underlying assets. Thus, the way a company finances its operations should not affect its value.

When it comes to taxes, the M&M theorem states that the capital structure of a company is not affected when there are no taxes. The theorem starts with the corporate taxes to then relate the approach to personal taxes.

What are the main pros and cons of a Job-Order Costing system? 2. What do you think would be the greatest challenge in maintaining a Job-Order Costing system for a manufacturing company?

Answers

Answer:

Explanation:

One of the benefits of  job order costing is that it allows managers to calculate the benefits they receive from individual jobs and helps them to determine whether specific jobs are desirable in the future. This is best for businesses that do extremely specific jobs, such as construction contractors and consultants.

Job orders costing also gives managers the advantage of tracking individual and team performance in terms of cost control, efficiency and effectiveness.

One disadvantage of  job order costing is that employees control all the materials and work used during the job. As an example, consider a construction contractor using a business order cost system. The Contractor shall inform all work, timber, nails, screws, electrical installations, paint and other materials, as well as lunch breaks and hours of work of the employees.

The use of job order costs in a production environment involves which "work" uses different types of direct costs such as direct labor and direct material, and then allocates overhead (indirect labor, warranty, quality control, and other overhead). An enterprise income statement is similar to a statement of profit or loss for the firm, but is specific to each business number.

A machine can be purchased for $250,000 and used for five years, yielding the following net incomes. In projecting net incomes, straight-line depreciation is applied, using a five-year life and a zero salvage value.

Year 1 Year 2 Year 3 Year 4 Year 5
Net income $ 17,000 $ 42,000 $ 119,000 $ 63,500 $ 168,000

Compute the machineâs payback period (ignore taxes).

Answers

Answer:

2.53 years

Explanation:

For computing the payback period, first we have to find out the depreciation expense which is shown below:

= (Purchase value of machine - residual value) ÷ (useful life)  

= ($250,000 - $0) ÷ (5 years)  

= ($250,000) ÷ (5 years)  

= $50,000

Now the cash flows would be

Year    Net income  Depreciation    Net cash flow  

Year 0                                                ($250,000)

Year 1   $17,000       $50,000          $67,000

Year 2  $42,000      $50,000          $92,000

Year 3  $119,000    $50,000            $169,000

Year 4   $63,500     $50,000          $113,500

Year 5    $168,000   $50,000          $218,000

As we add the first 2 year net cash flows than it would be $159,000

Now we deduct the $159,000 from the $2500,000 , so the amount would be $91,000 as if we added the third year cash inflow so the total amount exceed to the initial investment. Therefore, we subtract that, and the next year's cash inflow will be $169,000.

So, the payback period would be

= 2 years + $91,000 ÷ $169,000

= 2.53 years

The smallest size plant size at which the long run average cost curve is at its minimum is called the A. minimum efficient scale. B. shut down point. C. envelope. D. profit maximizing scale of production.

Answers

Answer:

A. minimum efficient scale

Explanation:

The minimum efficient scale is the lowest production amount a company can achieve, but it still takes full advantage of scale economies in terms of consumables and costs. The minimum efficiency scale in classical economics is defined as the lowest production point where the long-term total average costs (LRATC) are lowest. The minimum effective scale based on finding the optimal balance between consumer demand, production volume, and costs associated with production and product presentation, with competitive prices. indicates a point that caused it to be able to offer a product. The minimum effective scale can be expressed as a series of production values; however, its relationship to the total market size or demand determines how many competitors can work effectively in the market. Current consumer demand can help determine the level of production that can occur in the industry without taking out too much inventory. When examining product-related costs, an enterprise should consider not only production costs but also storage costs for any unsold inventory. Shipping fees, marketing costs, and public relations activities can also be included.

Costs incurred when determining the lowest efficient scale may vary depending on changing market conditions. For example, rising material or shipping costs can change the ideal spot. Changes in demand can also affect the calculation, as well as changes in applicable laws or regulations that affect production methods. Where employees' wages suddenly change, as with the establishment of a new minimum wage, associated labor costs must be taken into account to correct the increase.

The constant change of the relevant variables requires frequent recalculation of the minimum productive scale and can cause some production changes to keep an enterprise both profitable and competitive in the market. Business can fail if production costs prevent a product from being offered at competitive prices.

Final answer:

The smallest plant size at which the long run average cost curve is at its minimum is called the minimum efficient scale, which represents the most cost-effective level of production before diseconomies of scale set in.

Explanation:

The student is referring to the concept of minimum efficient scale (A), which is the smallest output level at which a firm can produce at the lowest long-run average cost. When a firm reaches this point, it has achieved all the possible economies of scale and any further increase in production may lead to diseconomies of scale. This is distinct from the shut down point (B), where the firm should cease operations because the market price is below the average variable cost at the profit-maximizing quantity of output. In the provided example, economies of scale continue up to a certain size of production (up to point L), but beyond that point (from L to V), there is no further reduction in average costs. If the firm grows too large, it may suffer from diseconomies of scale, as seen in the long-run average cost curve from Q4 to Q5, where average costs start to rise due to the overcomplication of management and disruptions in workflow.

Given an interest rate of 4 percent per year, what is the value at date t = 5 of a perpetual stream of $2,400 payments that begins at date t = 10? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)



Perpetuity value $

Answers

Final answer:

The value at date t = 5 of a perpetual stream of $2,400 payments that begins at date t = 10 is $60,000.

Explanation:

To find the value at date t = 5 of a perpetual stream of $2,400 payments that begins at date t = 10, we can use the formula for the present value of a perpetuity. The perpetuity formula is:

V = PMT / r

Where V is the present value, PMT is the payment amount, and r is the interest rate. In this case, PMT = $2,400 and r = 4% or 0.04. Plugging these values into the formula:

V = $2,400 / 0.04 = $60,000

Therefore, the value at date t = 5 of a perpetual stream of $2,400 payments that begins at date t = 10 is $60,000.

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Final answer:

The present value at date t=5 of a perpetuity with annual payments of $2,400 beginning at t=10 and an interest rate of 4% is $49,319.48.

Explanation:

The question asks us to calculate the present value of a perpetuity beginning at t=10 with annual payments of $2,400 and an interest rate of 4%. A perpetuity is an annuity that has no end, or a stream of cash flows that continues forever.

To find the value at t=5 of this stream, we first calculate the present value of the perpetuity beginning at t=10 and then discount that value back to t=5. The formula for the present value of a perpetuity starting at a future date is given by:

Present Value of Perpetuity = Payment / Interest Rate

Thus, the present value at t=10 is:

Present Value at t=10 = $2,400 / 0.04 = $60,000

To discount this value back to t=5, we use the formula:

Present Value = Future Value / (1 + Interest rate)numbers of years

Substituting the values we get:

Present Value at t=5 = $60,000 / (1 + 0.04)⁵

Calculating the above expression:

Present Value at t=5 = $60,000 / (1.04)⁵ = $60,000 / 1.2166529 = $49,319.48

Therefore, the value at date t=5 of the perpetuity is $49,319.48.

A large U.S.-based mechanical engineering firm, wants to enter the global market. Upon careful analysis of the market, they will find that global trade:______

Answers

Answer:Is big business that is very competitive today,and is expected to be more important and more competitive in the future.

Explanation: The Global or international market is a multifaceted,with several players and many opportunities, competitions taking place in the world. In the years to the business will become more important and competitive as new entrance from major multinational organizations. For it to survive the management has to put in place COST SAVING APPROACHES, COMPETITIVE PRICING AND ADOPT STRATEGIC PLANNING, SUPERIOR QUALITY PRODUCT,TIMELY EXECUTION OF WORK, GOOD CUSTOMER SERVICE etc are the possible actions to ensure it COMPETES FAVORABLE in the Global business.

You are scheduled to receive $10,000 in one year. What will be the effect of an increase in the interest rate on the present value of this cash flow

Answers

Answer:

The present value of this cash flow will be decreased following the increase in the interest rate.

Explanation:

We have the formula for calculating present value is:

PV = FV / ( 1+r)^n

where:

PV is the present value

FV is the future value which is $10,000 in the described question

r is the discount rate which is the interest rate

n is the number of discounting periods which is one year in the described question

So, once the interest rate increase, the denominator - (1+r)^n - will increase. Then, if FV remains constant, PV will decrease.

So, The present value of this cash flow will be decreased following the increase in the interest rate.

Final answer:

An increase in the interest rate results in a decrease in the present value of future cash flows. In this case, the present value of receiving $10,000 in a year would decrease as the interest rate goes up.

Explanation:

The interest rate is directly related to the present value of future cash flows. When the interest rate increases, the present value of future cash flows decreases. This concept is based on the principle of the time value of money, which suggests that a dollar today is worth more than a dollar in the future. In a practical example, if you were to receive $10,000 in a year, but the interest rate increases, the present value - the worth of that $10,000 if you had it now - would decrease. This is because the higher interest rate makes it more costly to delay receiving money, thus reducing its present value.

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Castle Black Camping is twice as risky as the average stock. The market should earn 11% and the risk free rate is 2%. What is a fair return for CBC? (20%)

Answers

Answer:

Explanation:

Risk free rate=2%

Beta = 2

Rm =11%

Risk premium Rm = rm - rf

Fair return= risk free rate + beta *(market return- risk free rate)

= rf+b*(rm-rf)=rf + b * (Risk Premium)

=0.02 + 2 * (0.11 - 0.02)

=0.2

= 20%

A fair return for CBC is 20%.

Joe and Jim are planning to open an Italian restaurant in a St. Louis suburb. When the two of them meet to decide what tasks need to be completed to meet their vision and then group like tasks into jobs, which one of the following management functions are they undertaking?

Answers

Answer:

The correct answer is: Organizing.

Explanation:

Organizing is the managerial function by which entrepreneurs shape the company's structure including all the departments necessary to accomplish their objectives. Organizing is important to compress all the ideas entrepreneurs have on how to manage the firm to link those ideas the most suitable possible.

Joe and Jim, planning an Italian restaurant, engage in the management functions of planning by setting goals and organizing by grouping tasks. Their focus on task definition and structuring aligns with initial stages of management.

Joe and Jim, in the process of deciding tasks and grouping them into jobs for their Italian restaurant, are primarily engaged in the management functions of planning and organizing.

**Planning** involves setting objectives and determining in advance the appropriate course of action to achieve those objectives. In this scenario, Joe and Jim are defining the tasks that need to be accomplished, outlining their goals, and strategizing the steps required to open a successful Italian restaurant.

**Organizing** follows the planning stage and involves arranging resources and tasks to achieve the predetermined goals. Joe and Jim are grouping similar tasks into jobs, creating an organizational structure for their restaurant, and allocating responsibilities. This function ensures efficiency and clarity in their operations.

While elements of influencing, controlling, and assigning may be involved later in the management process, the initial act of defining tasks and structuring them falls under the planning and organizing functions. Therefore, the correct answer is a. planning and b. organizing.

The probable question may be:

Joe and Jim are planning to open an Italian restaurant in a st. Louis suburb. when the two of them meet to decide what tasks need to be completed in order to meet their vision and then group like tasks into jobs, which of the following management functions are they undertaking?

a. planning

b. organizing

c. influencing

d. controlling

e. assigning

Jon is always willing to trade one can of Coke for one can of​ Sprite, or one can of Sprite for one can of Coke.
What can you say about Jon's marginal rate of substitution?

Answers

Answer:

For each can of soda he gets one in return.

Explanation:

If he gets one soda for another the logical answer is that for each trade he gets a soda but it also could mean that those are his two favorite.

Jon's marginal rate of substitution is 1 because Jon sacrificed 1 unit of Coke for one of sprite cane.

What is a marginal rate of substitution?

As long as the new good is equally fulfilling, a customer will consume more of one good than another, which is known as the marginal rate of substitution (MRS). To examine customer behavior, MRS is employed in the indifference hypothesis.

The calculation for the marginal rate of substitution = change in one good divided by change in another good.

               = one cane of Coke divided by one cane of​ Sprite = 1

Thus, The indifference theory uses MRS to examine customer behavior. Jon sacrificed 1 unit of Coke for 1 sprite cane, therefore his marginal rate of substitution is 1.

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When firms in an oligopoly collude without an explicit agreement, economists say they are involved in ________ collusion.a. illegal b. tacit c. game theoretic d. predatory e. marginal

Answers

Answer:

b. tacit

Explanation:

Collusion is a fraudulent agreement entered into between various parties in order to obtain mutual benefits. The term is used in law to refer to illegal agreements. When several companies enter into this agreement, called the collusive agreement, they form a cartel. Such is, for example, the Organization of Petroleum Exporting Countries, or other cases of agreements between multinational companies in the food sector. It is in most cases tacit (tacit collusion): companies stop competing on the price in order to maximize profit by increasing the leverage of productivity or the research and development of new products / services

Tacit collision is when firms select actions to minimize the response of another firm. We can say an example of avoiding the opportunity to cut prices will cut one opposition as it will retaliate against the opposition. In other words, the two firms agree to play a specific strategy without explicitly saying it. Oligopolists mostly inten to avoid price reductions, excessive advertising or other forms of competition. Therefore, there may be unwritten collective codes of behavior, such as pricing (hidden collectivization). One price manager will then emerge and determine the overall industry price and other companies will follow.

Elite Trailer Parks has an operating profit of $282,000. Interest expense for the year was $39,200; preferred dividends paid were $29,500; and common dividends paid were $40,900. The tax was $61,700. The firm has 25,800 shares of common stock outstanding.

a. Calculate the earnings per share and the common dividends per share for Elite Trailer Parks
b.What was the increase in retained earnings for the year?

Answers

Answer:

(a) $5.87 per share ; $1.585 per share

(b) $110,700

Explanation:

(a) Earnings per share:

= (Operating profit - Interest expense - tax - preferred dividends) ÷ common stock outstanding

= ($282,000 - $39,200 - $61,700 - $29,500) ÷ 25,800

= $151,600 ÷ 25,800

= $5.87 per share

Common dividends per share for elite trailer parks:

= Dividend paid ÷ common stock outstanding

= $40,900 ÷ 25,800

= $1.585 per share

(b) The increase in retained earnings for the year:

= $151,600 - common dividend paid

= $151,600 - $40,900

= $110,700

Final answer:

The earnings per share for Elite Trailer Parks is $10.93 and the common dividends per share is $1.59. The increase in retained earnings for the year is $211,600.

Explanation:

To calculate the earnings per share, we need to divide the operating profit by the number of shares outstanding. In this case, the operating profit is $282,000 and the number of shares outstanding is 25,800. So the earnings per share would be $282,000 / 25,800 = $10.93.

To calculate the common dividends per share, we need to divide the common dividends paid by the number of shares outstanding. In this case, the common dividends paid were $40,900 and the number of shares outstanding is 25,800. So the common dividends per share would be $40,900 / 25,800 = $1.59.

The increase in retained earnings can be calculated by subtracting the total dividends paid (preferred dividends + common dividends) from the operating profit. In this case, the preferred dividends paid were $29,500 and the common dividends paid were $40,900. So the total dividends paid would be $29,500 + $40,900 = $70,400. Therefore, the increase in retained earnings would be $282,000 - $70,400 = $211,600.

Access the FASB Accounting Standards Codificationat the FASB website(asc.fasb.org).Required: 1.Identify the Codification topic number that provides guidance on fair value measurements.2.What is the specific citation that lists the disclosures required in the notes to the financial statements for each major category of assets and liabilities measured at fair value?3.List the disclosure requirements

Answers

Answer:

Answer to question 1: FASB ASC 820 : The topic tile is "Fair value measurement and disclosure"

The answer to question 2: FASB ASC 820 - 10 - 50 - 2 : Fair Value Measurement And Disclosure As Regards To Overall Disclosure

Explanation:

To fully understand the concept of the answers aforementioned, let us define the abbreviated terms.

FASB: This stands for Financial Accounting Standard Board

This is a a private and non-profit organization whose purpose is to set standards and regulate the financil industry in respect to codes and conduct. Part of the body primary objective is to also establish and improve Generally Accepted Accounting Principles within the United States in the interest of the general public.

A post-closing trial balance will show a zero balance for all accounts. B : A post-closing trial balance will show only balance sheet accounts. C : A post-closing trial balance will show a zero balance for the balance sheet accounts. D : A post-closing trial balance will show only income statement accounts.

Answers

Answer:

The correct answer is letter "B": A post-closing trial balance will show only balance sheet accounts.

Explanation:

A posting-trial balance is a summary of all balance sheet accounts where the debits and the credits of each of them must balance zero. The purpose of the posting-trial balance is to confirm that the company ends the period without having debt. Temporary accounts -revenue, expense, gain, and loss- are not included in the summary because they are reports into the retained earnings account.

Final answer:

A post-closing trial balance includes only balance sheet accounts with non-zero balances after closing entries transfer income statement account balances to retained earnings, thus income statement accounts show a zero balance.

Explanation:

The student's question pertains to the nature of a post-closing trial balance and which accounts it shows. The correct statement is that a post-closing trial balance will show only balance sheet accounts with non-zero balances. This is because a post-closing trial balance is prepared after closing entries are made, which involve transferring all revenue, expense, dividends, or withdrawal account balances to the retained earnings account. As a result, all income statement accounts should have a zero balance at this point. The balance sheet accounts, including assets, liabilities, and equity accounts like common stock and retained earnings, will show the balances that are carried over into the next accounting period.

Using T-accounts as an example, we consider that a "T" in a T-account represents the separation of assets on the left side from the liabilities and owner's equity, which include net worth, on the right side. The T-accounts are used to ensure that the accounting equation (assets = liabilities + owner's equity) remains balanced after the closing entries. If a business is healthy, its net worth will be positive. Conversely, a negative net worth is indicative of a bankrupt firm. Nonetheless, the post-closing trial balance will only include balance sheet accounts with non-zero balances.

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What relationship exists between financial institutions and financial markets? g

Answers

Answer:

Access and price relationships

Explanation:

Financial institutions - organizations operating in the financial and credit system. In the interpretation of the Western economic tradition, financial institutions are intermediaries between investors (households) and entrepreneurs (consumers of investments).

Financial markets are mechanisms that enable funds to be transferred from those with excess funds to those with few funds. Financial markets are divided into two as money markets and capital markets in terms of maturity. Money markets are markets where short-term funding supply and demand meet. Here, a short term is a year and a shorter term. Capital markets are the markets where long-term fund supply and demand are encountered. Here, long term is meant for over a year. Financial markets also provide low transaction cost value and prices that reflect the effective-market hypothesis.

We can think of basic relationships. The first concerns about the access. Financial institutions provide access to financial markets on behalf of investors seeking financial assets, such as institutional investors. The second relationship can often be claimed as "price." Financial asset prices (traded in financial markets), research and trading activities in financial assets, the actual cost or price of a particular asset affect the performance of financial institutions that affect the market outlook. For example, if a financial institution holds a significant stake in a particular company, it is a sign of markets (good or bad) and ultimately affects the price that a company is willing to pay for a financial asset. (e.g. stocks, bonds, etc.).

Which of the following factors did W. Edwards Deming believe should be removed from the workplace?

a. competition
b. diversity
c. hierarchy
d. fear

Answers

Answer:

d. fear

Explanation:

W. Edwards Deming -

He is an electrical engineer and then further did specialization in mathematical physics , where the develop a method of sampling , which is still used in the Bureau of Labor Statistics and  U.S. Department of the Census .

According to W. Edwards Deming , he believed that the elimination of fear at the workplace is important to work happily and peacefully in an organisation.

Which too enables the moral support and motivation , which helps to have better efficiency and productivity , which is important for the organisation.

Final answer:

W. Edwards Deming, an expert in quality management, believed in managing fear in the workplace. He felt fear hinders communication and stops employees from working to their full capacity. Hence, among the options listed, fear is what Deming advocated to remove from a working environment.

Explanation:

W. Edwards Deming, a renowned economist and statistician, is well known for his work in the field of quality management. Very particularly, he emphasized the creation of a work environment where employees feel safe and secure. This is why among the options listed, Deming was most supportive of removing fear from the workplace. He believed that fear hinders communication and prevents employees from working to their full potential and contributing the best to an organization.

Creating an environment with minimal fear facilitates the free exchange of ideas and encourages a culture of improvement and innovation. Deming's philosophy was not against competition, diversity, or hierarchy. It only proposed that such elements should not create an atmosphere of fear or repression, but rather should stimulate positive and productive collaboration.

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The marginal utility from the first three bananas consumed are: 19, 15, and 5 respectively. The marginal utility from the first three pizza slices are: 48, 33, and 3 respectively. The marginal utility from the first three pairs of cheap sandals is 120, 30, and 6. Each banana costs $1, pizza costs $3 per slice, and a pair of sandals cost $6. You have $6 in your budget. How do you maximize your utility?

A. 1 pair of sandals
B. 3 bananas, 1 pizza slice
C. 3 pizza slices
D. 3 pairs of sandals
E. 2 pizza slices

Answers

Answer:A pair of sandals.

Explanation:Its so obvious stating that the marginal utility derived from sandals is higher compared to the other two items. You maximize your utility by going for the item with highest satisfaction which is glaringly sandals.

You also maximize your utility by considering the item which is economica prudent to one needs or want.

Final answer:

To maximize the utility with a fixed budget, calculate the marginal utility per dollar for each item, then prioritize items with the higher result. In this case, one pair of sandals followed by three bananas would provide the most utility.

Explanation:

The way to maximize utility with a budget of $6 is to calculate the utility per dollar spent for each item and allocate the budget according to the greatest utility per dollar. The utility per dollar for the bananas, pizza slices, and pairs of sandals are 19, 16, and 20 for the first unit; 15, 11, and 5 for the second unit; and 5, 1, and 1 for the third unit, respectively. Given that you can afford 6 items at most, and the sandals offer the highest utility per dollar spent for the first unit, followed by the banana, then the pizza slice, the option that allows you to maximize your utility would be the purchase of 1 pair of sandals, and then 3 bananas if the items are indivisible.

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Owen and Jessica own and operate an S corporation. Each is a 50% owner. The business reports the following results:

Business revenue $ 225,000
Business expenses 88,000
Investment expenses 16,000

How do Owen and Jessica report these items for tax purposes?

A. $137,000 income on Schedule E; $88,000 investment expense on Schedule A
B. $68,500 income on Schedule E; $8,000 investment expense on Schedule A
C. $68,500 income on Schedule E; $16,000 investment expense on Schedule D
D. $225,000 income on Schedule E; $16,000 investment expense on Schedule A

Answers

Answer:

The answer is B. $68,500 income on schedule E; $8,000 on schedule A

Explanation:

An S corp is also known as a pass through entity. It is a form of corporation wherein income, taxes, losses or deductions are transferred to the other owners and are not borne by the entity. This is done in proportion of their shareholdings. In this case,  50%.

This implies that after computing net profit ( revenue less expenses) $22,5000- $88,000= $137,000 and then dividing proportionately, we obtaib $68,500 as income to be declared on schedule E.

The investment expense is also divided proportionately and reported on schedule A. That is, 50% of  $16,000, which is $8,000.

In Bovania, milk constitutes 56% of the typical basket of goods for a typical consumer. Let's say the price of milk rises by 4% and the prices of all other goods fall by 10%. Based on the information given, we can definitely say__________________.
a. the consumer price index (CPI) in Bovania is greater than in the previous year.b. the CPI in Bovania is less than in the previous year.c. if consumers get a 4% pay raise, they are worse off in terms of their real income compared to inflation as measured by the Bovanian CPI.d. because milk is a necessity, consumers are automatically worse off no matter what pay increase they may have received.e. shoe-leather costs have decreased.

Answers

We can reasonably conclude: c) If consumers get a 4% pay raise, they are worse off in terms of their real income compared to inflation as measured by the Bovanian CPI.

Let's analyze the effects of the changes in prices on the consumer price index (CPI) and the real income of consumers:

1. The price of milk rises by 4%: This will contribute to an increase in the overall cost of the basket of goods for consumers.

2. The prices of all other goods fall by 10%: This will contribute to a decrease in the overall cost of the basket of goods for consumers.

Given these changes:

The overall impact on the CPI depends on the weights assigned to each category in the basket of goods. Since milk constitutes 56% of the basket, the increase in milk prices has a significant impact.

The increase in the price of milk, which has a high weight in the typical basket of goods, is likely to offset the benefits of the decreased prices of other goods. As a result, even with a 4% pay raise, consumers may find that their real income has not increased enough to compensate for the overall inflation as measured by the Bovanian CPI.

You need to compose a message to your department explaining that your company is being acquired by a larger company, and you know this news will not be received well by a number of employees. You begin the message with the facts. Then you present an explanation of the situation by focusing on the benefits to the employees.What techniques should you use to cushion the bad news?A. Position the bad news strategically between other sentences.B. Position bad news at the end of the paragraph.C. Accentuate the positive.D. Organize the bad news using bullet points.

Answers

Answer:

The correct answer is letter "A" and "C": Position the bad news strategically between other sentences.; Accentuate the positive.

Explanation:

The objective of the message must be to provide the benefits over the disadvantages of the company being acquired by a large firm. The disadvantages can be provided in between sentences to rest importance but the advantages must be highlighted at every moment to give a positive impression of the acquisition to the employees.

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