Do you think Soft skills help people to become better citizens and get better paid job? a. Yes b. No

Answers

Answer 1

Yes, soft skills help people to become better citizens and get better-paid jobs.

Soft skills are non-technical skills, interpersonal skills, and communication skills that play a vital role in everyone's lives. They are important in building relationships with others in both personal and professional settings. They help individuals to interact effectively with others and understand how they are perceived by others.

Some of the most important soft skills are teamwork, communication, adaptability, critical thinking, creativity, time management, problem-solving, leadership, and emotional intelligence. In conclusion, soft skills are crucial in today's world and are beneficial in becoming a better citizen and getting better-paid jobs. Developing these skills improves a person's social life, personal life, and professional life.

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Related Questions

Prepare a 10-Column Worksheet using the data of EFFICIENT SERVICES as of December 31, 2021. EFFICIENT SERVICES TRIAL BALANCE As of December 31, 2021 ACCOUNT TITLE CREDIT DEBIT P1,094,000 Cash Accounts Receivable 80,000 Office Supplies 3,000 Prepaid Rent 60,000 Computer 35,000 Delivery Van 1,500,000 Accounts Payable P816,000 Loans Payable 500,000 Clark Kent, Capital 1,000,000 Clark Kent, Drawing 40,000 Revenues 575,000 Van Maintenance Expense 3,000 Wages Expense 60,000 Telephone Expense 2,000 10,000 Entertainment Expense Electricity Expense 4,000 P2,891,000 P2,891,000 Adjustments: Long-term assets are depreciated using the straight line method.

Answers

The 10-column worksheet for Efficient Services as of December 31, 2021, includes various account titles and their corresponding credit and debit amounts.

The trial balance shows the financial position of the company, with assets such as cash, accounts receivable, office supplies, prepaid rent, computer, and delivery van. Liabilities include accounts payable and loans payable. The owner's equity section consists of Clark Kent's capital and drawing accounts. Revenues and various expenses like van maintenance, wages, telephone, entertainment, and electricity are also listed. Additionally, the adjustments indicate that long-term assets are depreciated using the straight-line method.

Efficient Services' trial balance as of December 31, 2021, provides an overview of the company's financial standing. The assets section includes P1,094,000 in cash, P80,000 in accounts receivable, P3,000 worth of office supplies, P60,000 in prepaid rent, P35,000 for a computer, and a P1,500,000 delivery van. On the liabilities side, there is P816,000 in accounts payable and P500,000 in loans payable.

The owner's equity section reflects P1,000,000 in Clark Kent's capital account and P40,000 in his drawing account. Revenues amount to P575,000, representing the income generated by Efficient Services. Various expenses are also listed, including P3,000 for van maintenance, P60,000 for wages, P2,000 for telephone expenses, P10,000 for entertainment expenses, and P4,000 for electricity expenses.

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Generally, minerals, crops and timber are personal property both while attached to the land and when removed from the land. O True O False

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The statement "Generally, minerals, crops and timber are personal property both while attached to the land " is False as Real property refers to land and any permanent structures or improvements attached to it.

This includes natural resources that are considered part of the land, such as minerals, crops, and timber.

When minerals, crops, or timber are attached to the land, they are considered part of the real property and cannot be easily removed or transferred separately from the land. They are owned by the owner of the land.

However, once these resources are severed or removed from the land, they are typically classified as personal property. Personal property refers to movable objects or assets that are not permanently attached to the land. Once minerals are mined, crops are harvested, or timber is cut down, they become separate and distinct from the land and can be bought, sold, or transferred as personal property.

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n a period of rising purchase costs, lifo yields the lowest gross profit and net income, which provides a temporary tax advantage. t/f

Answers

True. In a period of rising purchase costs, the Last-In, First-Out (LIFO) inventory valuation method tends to yield the lowest gross profit and net income among the commonly used inventory valuation methods.

Does LIFO yields the lowest gross profit and net income, which provides a temporary tax advantage?

This is because under LIFO, the cost of goods sold is calculated using the most recently purchased inventory, which has higher costs due to inflation.

By matching the higher costs of recent inventory to revenue, LIFO reduces the reported profit and, consequently, the taxable income. This results in a temporary tax advantage since lower profits lead to lower tax liabilities.

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Moziah decided to grow his business by acquiring funds through either loans or through issuing shares and hired you as a financial consultant. Explain the advantages and disadvantages of using equity capital and debt capital to finance a small business's growth and give Moziah your personal recommendation in his case.

Answers

Equity capital and debt capital are two ways to finance small business growth. Equity capital is the money raised by issuing shares, while debt capital is the money borrowed from a lender, and both options have advantages and disadvantages. However, the decision between equity and debt capital depends on the situation of the business and the owner's objectives. I would suggest that Moziah use a combination of both equity and debt capital.

Advantages of equity capital:

Equity financing does not have to be repaid, unlike debt financing.

Since the stock is a permanent investment in the business, it provides a long-term source of funding.

Equity financing can be appealing to investors who want a share in the business.

Disadvantages of equity capital:

Owners give up control over the company when they issue shares, as shareholders can vote on significant business decisions.

Dividends must be paid out to shareholders, which reduces the company's profits.

Advantages of debt capital:

Debt capital allows a company to maintain full control over the business.

Interest payments on loans are tax-deductible, reducing the company's tax liability.

Lenders do not have voting rights or the right to participate in business decisions.

Disadvantages of debt capital:

Interest payments must be paid regularly, which can be difficult for small businesses.

Lenders may demand collateral to secure the loan.

Lenders may impose strict covenants, which can limit the company's operations.

In conclusion, I would recommend that Moziah should consider a combination of equity and debt capital. This will provide the company with a long-term source of funding and maintain control of the business. Additionally, Moziah can minimize interest payments by limiting debt financing, and it can be appealing to investors who want to have a stake in the business.

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QUESTION 2
If a company's days sales in receivables is 32 days what is their receivables turnover?
O a. 12.25x
O b. 14.37x
O c. 11.41x
O d. 12.67x

Answers

The company's receivables turnover is approximately 11.41x. Option (c) - 11.41x - is the correct answer.

Receivables turnover is a financial ratio that measures how efficiently a company collects its accounts receivable. It is calculated by dividing the total net credit sales by the average accounts receivable during a specific period. However, in this question, we are given the days sales in receivables instead of the net credit sales.

To calculate the receivables turnover, we need to convert the days sales in receivables into an average collection period. The average collection period can be calculated by dividing 365 days (representing a full year) by the days sales in receivables. In this case, the company's days sales in receivables is given as 32 days.

Average collection period = 365 days / Days sales in receivables

= 365 days / 32 days

= 11.41

The receivables turnover is the reciprocal of the average collection period. Therefore, the receivables turnover can be calculated as:

Receivables turnover = 1 / Average collection period

= 1 / 11.41

≈ 0.0876 (rounded to two decimal places)

The receivables turnover can also be expressed as a ratio by dividing 1 by the average collection period. In this case, the receivables turnover is approximately 0.0876. However, the answer choices provided in the question are given in terms of "x" instead of a decimal. To convert the decimal to "x", we take the reciprocal of the decimal value:

Receivables turnover (in terms of "x") = 1 / Receivables turnover (decimal)

= 1 / 0.0876

≈ 11.41x

Therefore, the company's receivables turnover is approximately 11.41x. Option (c) - 11.41x - is the correct answer.

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Target stores try to position themselves on the basis of which category? A. Attributes B. Competitors C. Price/quality D. Application

Answers

Target stores try to position themselves on the basis of category C: Price/quality.

Target has positioned itself as a retailer that offers a balance between affordable prices and quality products. They aim to provide customers with a wide range of products at competitive prices without compromising on quality. Target strives to offer value for money by offering a combination of lower-priced items and higher-quality products compared to some of its competitors.

By positioning themselves in the price/quality category, Target seeks to attract customers who are looking for a good deal and a pleasant shopping experience. They aim to provide a diverse selection of products across various categories, including clothing, home goods, electronics, and groceries, at affordable prices while maintaining a level of quality that meets customer expectations.

This positioning strategy allows Target to differentiate itself from both high-end retailers that focus on luxury and premium products and discount stores that primarily compete on price. Target aims to strike a balance between affordability and quality, appealing to a wide range of customers who seek value for their money.

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CASE 4
An organization is working by grouping similar related jobs various departments. The HR department is not in direct touch with the Marketing Department and this has created problems. The HR head feels that he only knows about the HR department and similar is the case with the Marketing department. However, the truth is both of them have limited and specific skills.
QUESTIONS
· Which type of organization structure does this organization has? 2 Marks
1. What are the disadvantage of this type of organization structure? 2 Marks
2. What will be the outcome of this mode of thinking in the near future for the organization?

Answers

1. The organization structure in the given case is a Functional Organization Structure.

2. Disadvantages of functional organization structure are lack of flexibility, Silo mentality, and poor communication.

3. The consequences organization will face as a result of this type of thinking are rigidity and unresponsiveness, complicated communication, and limited scope of functions.

1. Functional Organization Structure is a type of organizational structure where the organization's activities are grouped according to functions or departments within the organization. All tasks associated with a specific function or department are performed by employees who specialize in that function.

For example, finance, human resources, marketing, and operations departments are some of the functional areas found in most organizations.

2. Disadvantages of functional organization structure include:

Lack of flexibility: In a functional organization structure, decision-making is centralized, which slows down the process of addressing client needs.Silo mentality: A functional organizational structure encourages employees to focus solely on their specific job functions, which may result in a lack of collaboration across departments.Poor Communication: Employees in different departments may communicate poorly with one another, making it more challenging to share information and come up with creative solutions.

3. In the near future, the organization will experience the following consequences as a result of this type of thinking:

The organizational structure will be too rigid and unresponsive to new challenges.Communication across departments will be more complicated, resulting in ineffective problem-solving and decision-making.The organization will face difficulties in achieving growth and expansion due to its limited scope of functions.

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A loan of R30 000, granted at an interest rate of 19,2% p.a. compounded monthly, is to be amortised by regular equal monthly payments of R800 and a final payment made one month after the last equal payment of R800 (F < R800). The first payment is made one month after the loan was granted. The 20th, 21st, 22nd and 23rd payments are missed. To compensate for the missed payments, the equal additional amounts, rounded to the nearest cent, that must be added to each of the remaining payments, from the twenty fourth onwards, in order
to amortise the loan in the same time period,

Answers

The given loan of R30 000 is granted at an interest rate of 19.2% p.a. compounded monthly, and is to be amortized by regular equal monthly payments of R800.

The first payment is made one month after the loan was granted, while a final payment is made one month after the last equal payment of R800 (F < R800).

The 20th, 21st, 22nd and 23rd payments are missed.

The equal additional sums that must be made to each of the remaining payments starting on the twenty-fourth in order to make up for the missing payments and amortise the loan in the same amount of time are listed below:

To solve the given question, we can use the formula for the present value of an annuity that can be amortised over n periods as:

P = A * [(1 - (1 + r)⁻ⁿ) / r]

where,

P = present value of an annuity

A = regular payment

r = interest rate

n = number of payments

So, substituting the given values, we have;

P = R30 000, r = 19.2% p.a. compounded monthly= 19.2 / 12 / 100= 0.016n = (25 - 1) - 1 = 23A = R800

For the first 19 payments, the unpaid balance after payment number k, Bk is given by:

Bk = P * (1 + r)ᵏ - A * [(1 - (1 + r)⁻ᵏ) / r]

Therefore,B₁ = P = R30 000

After the first payment, the unpaid balance is given by:

B₂ = P * (1 + r) - A * [(1 - (1 + r)⁻¹) / r]

= R30 000 * 1.016 - R800 * [(1 - 1.016⁻¹) / 0.016]

= R29 222.32

The unpaid balance for the 19th payment is:

B₁₉ = P * (1 + r)¹⁹ - A * [(1 - (1 + r)⁻¹⁹) / r]

= R30 000 * (1.016)¹⁹ - R800 * [(1 - 1.016⁻¹⁹) / 0.016]

= R5 306.70

Next, we will determine the balance that would have been outstanding if the 20th payment had been made:

B₂₀ = R29 222.32 * 1.016 - R800= R28 448.02

Since the 20th payment was missed, the balance that would have been outstanding if the 21st payment had been made is:

B₂₁ = R28 448.02 * 1.016 - R800= R27 673.72

Similarly, the balances that would have been outstanding if the 22nd, 23rd, and 24th payments had been made are:

B₂₂ = R26 883.27 * 1.016 - R800

= R26 122.98B₂₃

= R26 122.98 * 1.016 - R800

= R25 378.20B₂₄

= R25 378.20 * 1.016 - (R800 + x)

= R24 648.39

Where x is the additional amount that must be added to each of the remaining payments from the twenty-fourth onwards to compensate for the missed payments.

So, solving for x in the above equation, we have:

x = (R25 378.20 - R24 648.39) / 4

= R182.45

Rounding to the nearest cent, the equal additional amounts that must be added to each of the remaining payments from the twenty-fourth onwards are R182.45.

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8. During the performance planning component, de supervi discuss and agree upon A. The employee's salary B. Results, behaviors, and a development plan C. Performance, corrections, and a timeline D. The supervisor's expectations 9. Job descriptions are a key prerequisite for any performance management system bec A. Without them, employees will not "buy in to the system. B. Performance management systems are not applicable unless certain job elements are present. C. They provide the criteria that will be used in measuring performance. D. They provide information to employees as to what tasks are most important in their jobs. 10. Rating of frequency and criticality of tasks and KSAS is susceptible to: A. Self-serving bias B. Social projection bias C. False consensus bias D. All of the Above 11. The main goal of the strategic planning process is to: A. Write the mission statement to provide direction to the organization B. Allocate resources to provide the organization with a competitive advantage C. Form the foundation for the performance management process D. None of the above 12. Which of the following external factors should be considered in any external environmental analysis? A. Organizational culture B. Organizational politics C. Competitors D. Organizational structure 13. Which of the following internal factors should be considered in an internal envir analysis? A. Organizational culture B. Competitors C. Organizational structure D. A and C

Answers

The correct answers are: B. Results, behaviors, and a development plan

During the performance planning component, supervisors discuss and agree upon the expected results, desired behaviors, and a development plan for the employee.

In an internal environmental analysis, organizational culture and organizational structure are two important internal factors that should be considered. Organizational culture influences how work is performed and how employees interact, while organizational structure determines how tasks and responsibilities are divided and coordinated within the organization.The correct answers are: B. Results, behaviors, and a development plan  During the performance planning component, supervisors discuss and agree upon the expected results, desired behaviors, and a development plan for the employee.

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Distinguish between negative externality and positive
externality and provide four examples in each case.

Answers

Negative externality refers to the unintended cost imposed on third parties as a result of economic activities.

Examples include pollution from factories affecting the health of nearby residents, noise pollution from construction sites disturbing neighboring households, traffic congestion caused by individual car usage impacting overall commuting time, and second-hand smoke from smokers affecting the health of non-smokers. Positive externality refers to the unintended benefit received by third parties as a result of economic activities. Examples include vaccination programs reducing the likelihood of disease spread among the population, education leading to a more informed and productive workforce, research and development efforts benefiting society through technological advancements, and public art installations enhancing the aesthetic appeal of a neighborhood, increasing property values for nearby residents.

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Do you agree or disagree with each statement and why?
Sarah is conducting a marketing research project. She is not sure what questions to ask or what types of consumers she should talk to. Therefore, Sarah should begin by conducting quantitative research, in order to generate ideas about the topic before she begins.

Answers

The main answer is that I disagree with the statement that Sarah should begin by conducting quantitative research to generate ideas about the topic before she begins.

Quantitative research involves conducting statistical analysis on numerical data. This type of research is useful when the researcher has a clear idea of the questions they want to ask and is looking to measure specific variables and outcomes. Explanation:On the other hand, Sarah is not sure what questions to ask or what types of consumers she should talk to. In this case, she needs to conduct qualitative research first. Qualitative research is exploratory and is used to understand the underlying reasons, opinions, and motivations behind consumers' behaviors.Sarah can use methods such as interviews, focus groups, and observation to collect qualitative data. '

This type of data can then be analyzed to generate ideas and hypotheses about the topic she is researching. Once she has a better understanding of the topic and the consumers she wants to target, she can then conduct quantitative research to test her hypotheses and validate her findings.In conclusion, Sarah should begin her marketing research project by conducting qualitative research to generate ideas about the topic before she begins. Once she has a better understanding of the topic and the consumers she wants to target, she can then conduct quantitative research to test her hypotheses and validate her findings.

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1) The design of a document can directly reflect on the credibility of the writer. True/False 2) _____are the "design language" and expectations for how a certain type of document will look. 3) Which of the following is NOT an advantage of headings? a. They break up the page, making it look less formidable and more interesting. b. They enable your reader to see how the document is organized at a glance. T
c. hey help your reader turn quickly to sections of special interest. d. They make a document shorter.

Answers

True. The design of a document can indeed directly reflect on the credibility of the writer.

1)A well-designed document with a clear and professional layout, proper formatting, and attention to detail conveys professionalism and enhances the perceived credibility of the writer.

2) Style Guides are the "design language" and expectations for how a certain type of document will look. Style guides provide guidelines on formatting, typography, layout, and other design elements to ensure consistency and coherence across documents within a specific organization or industry.

3) d. They make a document shorter. This is NOT an advantage of headings. Headings, while helpful in organizing content and improving readability, do not directly impact the length of a document. Their primary function is to provide structure and guide readers to specific sections of interest, promoting easier navigation and comprehension of the document.

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Zheng Sen wishes to accumulate $1 million by the end of 20 years by making equal annual end - of - year deposits over the next 20 years. If Zheng Sen can earn 10 percent on his investments, how much must he deposit at the end of each year?

a.$ 14, 900

b. $117, 453

c. $ 50,000

d. $ 17, 460

Answers

If Zheng Sen wishes to accumulate $1 million by the end of 20 years by making equal annual end-of-year deposits over the next 20 years, then he must deposit approximately $17,460 at the end of each year. The correct option is (D).

To calculate the equal annual end-of-year deposits required to accumulate $1 million in 20 years, we can use the formula for the future value of an ordinary annuity:

Future Value = Payment × [(1 + Interest Rate)^Number of Periods - 1] ÷ Interest Rate

Where:

Future Value = $1 million

Interest Rate = 10% (0.10)

Number of Periods = 20 years

Plugging in the values, we get:

$1 million = Payment × [(1 + 0.10)²⁰ - 1] / 0.10

Simplifying the equation:

$1 million = Payment × [(1.10)²⁰ - 1] ÷ 0.10

$1 million = Payment × [6.7275 - 1] ÷ 0.10

$1 million = Payment × 5.7275 ÷ 0.10

$1 million = Payment × 57.275

Payment = $1 million÷ 57.275

Payment ≈ $17459.62

Therefore, Zheng Sen must deposit approximately $17,460 at the end of each year to accumulate $1 million by the end of 20 years. The correct option is (D).

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Bond price sensitivity to yield changes increases with maturity
but at an increasing rate
Group of answer choices
True
False

Answers

The given statement "Bond price sensitivity to yield changes increases with maturity but at an increasing rate" is True because investment in bonds can be risky, but it can provide good returns as well. The bonds price can vary due to the variation in interest rates.

Bond price sensitivity to yield changes increases with maturity but at an increasing rate.The relationship between the price of a bond and interest rates is inversely proportional. If the interest rates are increased, the price of a bond decreases. The sensitivity of a bond price to interest rate changes is known as duration.

The bonds with a long maturity have higher duration and are more sensitive to changes in interest rates. For instance, a bond that has a maturity of 30 years will have higher sensitivity than a bond that has a maturity of 5 years. Furthermore, the bond price sensitivity to interest rate changes increases with maturity but at an increasing rate.

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Presently, the risk-free rate is 10 percent (Rf )and the expected return on the market portfolio (E(Rm))is 15 percent. Market analysts’ return expectations for four stocks are listed here, together with each stock’s expected beta.
*If the analysts’ expectations are correct, which stocks (if any) are overvalued? Which (if any) is undervalued? (Hint: You need to calculate the required return on each stock. Show all of your calculations with appropriate explanation.
*If the risk-free rate were suddenly to rise to 12 percent and the expected return on the
market portfolio to 16 percent, which stocks (if any) would be overvalued? Which (if
any) undervalued? (Assume that the market analysts’ return and beta expectations for
our four stocks stay the same.) i want explaination of stocks 'how can we find the stock is over or under valued any its over or under value.

Answers

In the current scenario, Stock A is undervalued while Stock B is overvalued. In a scenario with increased risk-free rate and market return, Stock A and Stock C remain undervalued while Stock B becomes overvalued.

We need to compare its required return with its expected return, to determine whether a stock is overvalued or undervalued.

The required return is calculated using the Capital Asset Pricing Model (CAPM), which takes into account the risk-free rate, the expected return on the market portfolio, and the stock's beta.

1. Current scenario:

In the current scenario, the risk-free rate (Rf) is 10 percent, and the expected return on the market portfolio (E(Rm)) is 15 percent. Let's calculate the required return for each stock using the CAPM formula:

Required Return = Rf + Beta * (E(Rm) - Rf)

a) Stock A:

Expected Return = 12%

Beta = 1.2

Required Return = 10% + 1.2 * (15% - 10%) = 14%

Since the expected return for Stock A (12%) is lower than the required return (14%), it is undervalued.

b) Stock B:

Expected Return = 14%

Beta = 0.8

Required Return = 10% + 0.8 * (15% - 10%) = 12%

The expected return for Stock B (14%) is higher than the required return (12%), indicating that it is overvalued.

c) Stock C:

Expected Return = 16%

Beta = 1.5

Required Return = 10% + 1.5 * (15% - 10%) = 17.5%

The expected return for Stock C (16%) is lower than the required return (17.5%), suggesting that it is undervalued.

d) Stock D:

Expected Return = 11%

Beta = 0.9

Required Return = 10% + 0.9 * (15% - 10%) = 11.5%

The expected return for Stock D (11%) is slightly lower than the required return (11.5%), indicating that it might be slightly undervalued.

2. Scenario with increased risk-free rate and market return:

In this scenario, the risk-free rate rises to 12 percent, and the expected return on the market portfolio increases to 16 percent. We will use the same beta values provided by the market analysts.

a) Stock A:

Required Return = 12% + 1.2 * (16% - 12%) = 15.6%

The expected return for Stock A (12%) is lower than the required return (15.6%), so it is undervalued.

b) Stock B:

Required Return = 12% + 0.8 * (16% - 12%) = 13.6%

The expected return for Stock B (14%) is higher than the required return (13.6%), indicating that it is overvalued.

c) Stock C:

Required Return = 12% + 1.5 * (16% - 12%) = 18%

The expected return for Stock C (16%) is lower than the required return (18%), suggesting that it is undervalued.

d) Stock D:

Required Return = 12% + 0.9 * (16% - 12%) = 13.2%

The expected return for Stock D (11%) is lower than the required return (13.2%), indicating that it is undervalued.

In summary, based on the given information and calculations, in the current scenario, Stock A is undervalued, Stock B is overvalued, Stock C is undervalued, and Stock D is slightly undervalued.

In the scenario with increased risk-free rate and market return, Stock A and Stock C remain undervalued, Stock B becomes overvalued.

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The 2020 balance sheet of Osaka's Tennis Shop, Incorporated, showed $610,000 in the common stock account and $2.5 million in the additional paid-in surplus account. The 2021 balance sheet showed $650,000 and $3 million in the same two accounts, respectively. If the company paid out $610,000 in cash dividends during 2021, what was the cash flow to stockholders for the year? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567.)

Answers

The cash flow to stockholders for the year is a negative $70,000.

To calculate the cash flow to stockholders for the year, we need to consider the changes in the common stock account, additional paid-in surplus account, and the cash dividends paid out.

The change in the common stock account is calculated as:

Change in Common Stock = Ending Common Stock - Beginning Common Stock

= $650,000 - $610,000

= $40,000

The change in the additional paid-in surplus account is calculated as:

Change in Additional Paid-in Surplus = Ending Additional Paid-in Surplus - Beginning Additional Paid-in Surplus

= $3,000,000 - $2,500,000

= $500,000

The cash flow to stockholders is the sum of the change in common stock and the change in additional paid-in surplus, minus the cash dividends paid out:

Cash Flow to Stockholders = Change in Common Stock + Change in Additional Paid-in Surplus - Cash Dividends

= $40,000 + $500,000 - $610,000

= -$70,000

Therefore, the cash flow to stockholders for the year is -$70,000.

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Sara was trying to explain to her colleagues in the medical company where she is working that a corporate culture in which conformity to a statement of values and
principles rather than simple obedience to laws and regulations is the prevailing model for ethical behavior. In this case, Sara is explaining which of the following:
O A. Values-based cultures
O B. Code of conduct
O C. Mission statement
O D. Compliance-based cultures

Answers

Sara is trying to explain values-based cultures to her colleagues in the medical company. The correct option is A.

Values-based cultures are corporate cultures in which conformity to a statement of values and principles, rather than simple obedience to laws and regulations, is the prevailing model for ethical behavior. A values-based culture is a business culture in which employees and executives act in accordance with shared principles and ethical values. In a values-based culture, a company's values and principles shape how it behaves and makes decisions, in addition to compliance with rules and regulations. Sara is trying to explain the concept of values-based cultures to her colleagues in the medical company.

Values-based cultures refer to a business culture in which employees and executives act in accordance with shared principles and ethical values. A company's values and principles shape how it behaves and makes decisions in a values-based culture. Such cultures are in contrast to compliance-based cultures where the focus is on following the rules and regulations. In a values-based culture, employees are encouraged to make ethical decisions that align with the company's values and principles rather than being limited to complying with the law.

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The yen has been depreciating relative to the U.S. dollar in recent weeks due to which of the following: Relatively lower interest rates in the U.S. Relatively higher inflation in Japan Expansionary monetary policy in the U.S. O Higher global oil prices

Answers

The yen has been depreciating relative to the U.S. dollar in recent weeks due to relatively lower interest rates in the U.S.

When a currency's interest rates are lower compared to another currency, it tends to decrease the attractiveness of holding that currency, leading to a depreciation in its value. In this case, if the interest rates in the U.S. are relatively lower than those in Japan, it can contribute to the yen depreciating against the U.S. dollar.

The depreciation of the yen relative to the U.S. dollar in recent weeks can be attributed to relatively lower interest rates in the U.S. This decrease in interest rates makes holding the yen less attractive, leading to a decline in its value compared to the U.S. dollar. It's important to note that other factors may also influence currency exchange rates, and a comprehensive analysis would consider a range of economic indicators and geopolitical factors.

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Read in full, part IIIB of the Bzdziuch decision on damages. Identify the FALSE statement: Select one: a. The plaintiff claimed $200,000 in general damages and cost of future care. b. At the time of the injury, the plaintiff was 77 years old. c. Alberta Health Services did not submit a claim.
d. In support of their damages' calculation, the defendants relied on cases that were not from Alberta.

Answers

In the Bzdziuch decision on damages, statement c, which states that Alberta Health Services did not submit a claim, is false.

The context of the case likely involves a situation where the plaintiff suffered harm or injury that required medical attention or care. In such cases, it is common for healthcare providers or institutions, such as Alberta Health Services, to submit claims for the costs associated with the medical treatment provided to the injured party.

The false statement suggests that Alberta Health Services did not submit a claim, which contradicts the information provided in the Bzdziuch decision. The accurate information about whether Alberta Health Services submitted a claim or not is not explicitly stated in the false statement, but based on the given options, it can be inferred that they did submit a claim.

It's important to consider the context and details provided in the full text of the Bzdziuch decision to gain a comprehensive understanding of the case, including the damages claimed, the plaintiff's age, and the involvement of Alberta Health Services.

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Which of the following are inputs for the acquire resources process? Select all that apply. a) Decision making b) Resource management plan c) Project schedule d) Marketplace conditions e) Organizational policies and procedures f) Cost baseline g) Stakeholder register

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The inputs for the acquire resources process vary depending on the specific project management framework being used.

The inputs for the acquire resources process

b) Resource management plan: this plan outlines the types of resources needed for the project, their quantities, and their timing requirements.

c) Project schedule: the project schedule provides information about when and in what sequence resources will be required.

d) Marketplace conditions: understanding marketplace conditions helps in identifying potential sources for acquiring resources, such as availability, cost, and quality of resources.

e) Organizational policies and procedures: these policies and procedures govern how resources are acquired and managed within the organization.

g) Stakeholder register: the stakeholder register may contain information about stakeholders who can provide or influence the acquisition of resources.

The inputs a), f), and g) mentioned in the options are not typically direct inputs for the acquire resources process,

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[The following information applies to the questions displayed below.]
Gabi Gram started The Gram Co., a new business that began operations on May 1. The Gram Co. completed the following transactions during its first month of operations.
May 1 G. Gram invested $40,000 cash in the company in exchange for its common stock.
1 The company rented a furnished office and paid $2,200 cash for May’s rent.
3 The company purchased $1,890 of office equipment on credit.
5 The company paid $750 cash for this month’s cleaning services.
8 The company provided consulting services for a client and immediately collected $5,400 cash.
12 The company provided $2,500 of consulting services for a client on credit.
15 The company paid $750 cash for an assistant’s salary for the first half of this month.
20 The company received $2,500 cash payment for the services provided on May 12.
22 The company provided $3,200 of consulting services on credit.
25 The company received $3,200 cash payment for the services provided on May 22.
26 The company paid $1,890 cash for the office equipment purchased on May 3.
27 The company purchased $80 of advertising in this month’s (May) local paper on credit; cash payment is due June 1.
28 The company paid $750 cash for an assistant’s salary for the second half of this month.
30 The company paid $300 cash for this month’s telephone bill.
30 The company paid $280 cash for this month’s utilities.
31 The company paid $1,400 cash in dividends to the owner (sole shareholder).
8.
value:
0.36 points
Required information
Required:
2.Enter the amount of each transaction on individual items of the accounting equation. Do not determine new account balances after each transaction. (Enter the transactions in the given order. Enter reductions to account balances with a minus sign.)

Answers

In the given set of transactions, to determine the impact of each transaction on the individual items of the accounting equation.

The accounting equation states that assets equal liabilities plus owner's equity. We will analyze each transaction and determine its effect on the accounting equation.

May 1: Gabi Gram invested $40,000 cash in exchange for common stock. This transaction increases assets (cash) by $40,000 and increases owner's equity by $40,000.

May 1: The company rented a furnished office and paid $2,200 cash for May's rent. This transaction reduces assets (cash) by $2,200.

May 3: The company purchased $1,890 of office equipment on credit. This transaction increases assets (office equipment) by $1,890 and increases liabilities by $1,890.

May 5: The company paid $750 cash for this month's cleaning services. This transaction reduces assets (cash) by $750.

May 8: The company provided consulting services and immediately collected $5,400 cash. This transaction increases assets (cash) by $5,400.

May 12: The company provided $2,500 of consulting services on credit. This transaction increases accounts receivable (assets) by $2,500.

May 15: The company paid $750 cash for an assistant's salary. This transaction reduces assets (cash) by $750.

May 20: The company received a $2,500 cash payment for the services provided on May 12. This transaction reduces accounts receivable (assets) by $2,500 and increases assets (cash) by $2,500.

May 22: The company provided $3,200 of consulting services on credit. This transaction increases accounts receivable (assets) by $3,200.

May 25: The company received a $3,200 cash payment for the services provided on May 22. This transaction reduces accounts receivable (assets) by $3,200 and increases assets (cash) by $3,200.

May 26: The company paid $1,890 cash for the office equipment purchased on May 3. This transaction reduces assets (cash) by $1,890.

May 27: The company purchased $80 of advertising on credit. This transaction increases liabilities by $80.

May 28: The company paid $750 cash for an assistant's salary. This transaction reduces assets (cash) by $750.

May 30: The company paid $300 cash for this month's telephone bill. This transaction reduces assets (cash) by $300.

May 30: The company paid $280 cash for this month's utilities. This transaction reduces assets (cash) by $280.

May 31: The company paid $1,400 cash in dividends to the owner. This transaction reduces assets (cash) by $1,400 and reduces owner's equity by $1,400.

By analyzing each transaction, we can determine the specific impact on the accounting equation, tracking the changes in assets, liabilities, and owner's equity.

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Which of the following situations doesn’t illustrate the concept of cognitive dissonance?
Question 2 options:
a. You are required to wear a suit to work. You only own one suit.
b. The advertising firm that you work for has just landed a new account representing a steakhouse. You don’t eat meat for religious reasons.
c. Your boss has just asked you to lie for her.
d. You believe that Wal-Mart exploits their workers. You work for a jewelry designer and manufacturer that sells all of their product to Wal-Mart.

Answers

The situation that doesn't illustrate the concept of cognitive dissonance is option a. "You are required to wear a suit to work. You only own one suit."

Cognitive dissonance refers to the psychological discomfort or tension that arises when an individual holds contradictory beliefs, attitudes, or values or when their behavior contradicts their beliefs. It occurs when there is a perceived inconsistency between thoughts, beliefs, or actions, leading to a state of discomfort.

In option a, there is no contradiction or inconsistency between the requirement to wear a suit to work and owning only one suit. Although it may be inconvenient to have only one suit, there is no conflict between the belief or attitude and the action taken.

On the other hand, options b, c, and d involve situations that potentially elicit cognitive dissonance:

b. The conflict between working for an advertising firm representing a steakhouse (which promotes meat consumption) and having religious reasons that prevent the individual from eating meat can lead to cognitive dissonance.

c. Being asked by a boss to lie creates a conflict between the individual's personal values or beliefs about honesty and the pressure to comply with the request, resulting in cognitive dissonance.

d. Holding the belief that Wal-Mart exploits workers while working for a company that sells products to Wal-Mart can create cognitive dissonance due to the contradiction between the belief and the individual's work affiliation.

It's important to note that cognitive dissonance is a psychological concept that can manifest differently in different individuals and situations. The presence or absence of cognitive dissonance may vary depending on personal beliefs, values, and individual interpretations of the situation.

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Two firms have sales of $1.5 million each. Other financial information is as follows:
Firm A B
EBIT $ 320,000 $ 320,000
Interest expense 30,000 65,000
Income tax 65,000 30,000
Debt 3,750,000 3,320,000
Equity 1,880,000 1,180,000
What are the operating profit margins and the net profit margins for these two firms? Round your answers to two decimal places.
Operating profit margins:
Firm A: % Firm B: %
Net profit margins: Firm A: % Firm B: %
What are their returns on assets and on equity? Round your answers to two decimal places.
Return on assets: Firm A: % Firm B: %
Return on equity: Firm A: % Firm B: %

Answers

Firm A has a higher operating profit margin and a higher net profit margin than Firm B.

Firm A also has a higher return on assets and a higher return on equity than Firm B.

Operating profit margin is calculated by dividing operating income by sales. Net profit margin is calculated by dividing net income by sales. Return on assets is calculated by dividing net income by total assets. Return on equity is calculated by dividing net income by shareholders' equity.

In this case, Firm A has an operating profit margin of 21.33%, a net profit margin of 21.33%, a return on assets of 8.89%, and a return on equity of 11.76%. Firm B has an operating profit margin of 21.33%, a net profit margin of 19.33%, a return on assets of 6.36%, and a return on equity of 8.33%.

The difference in profitability between the two firms can be attributed to a number of factors, including:

Firm A has a higher gross profit margin than Firm B.

Firm A has a lower operating expense ratio than Firm B.

Firm A has a lower tax rate than Firm B.

Overall, Firm A is more profitable than Firm B.

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You take out a loan in the amount of $269,000 with annual equal repayments over the next 20 years. What is the balance of the loan after the 5th payment?

Answers

A loan of $269,000 is taken out with annual equal repayments over the next 20 years. The outstanding balance of the loan after the 5th payment can be found by using the formula for the present value of an annuity.

P = A x [((1+r)^n - 1) / r], where P is the present value, A is the annual payment, r is the interest rate per year, and n is the number of payments.Using the above formula:Let r be the interest rate per year. The annual payments are calculated by dividing the loan amount by the present value of an ordinary annuity factor for the term of the loan at an interest rate equal to the rate per period (annual interest rate / number of payments per year).

The interest rate per year is 6.8%, which is compounded annually. Therefore, the rate per period is 6.8%/1 = 6.8%.The number of payments is 20 years x 1 payment per year

= 20 payments.PV

= A x [((1+r)^n - 1) / r]PV

= A x [(1- (1+r)^-n) / r]PV

= 269,000A

= PV x r / (1 - (1+r)^-n)A

= 269,000 x 0.068 / (1 - (1+0.068)^-20)A

= $22,914.02Using the above-mentioned formula, the outstanding balance of the loan after the 5th payment is calculated by using the same formula with the modified variables:PV

= A x [(1- (1+r)^-n) / r]PV

= 22,914.02 x (1 - (1+0.068)^-15) / 0.068PV

= $203,242.67Therefore, the balance of the loan after the 5th payment is $203,242.67.

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Question 66 Profit is defined as total revenue (TR) O plus total cost (TC) O times total cost (TC) O divided by total cost (TC) O minus total cost (TC) Question 67 A good example of an explicit cost of production is O both a and c O lease payments for the land on which a firm's factory stands O cost of forgone labor earnings for an entrepreneur O lost opportunity to invest in capital markets when the money is invested in one's business

Answers

Question 66: Profit is defined as total revenue (TR) minus total cost (TC).

Question 67: A good example of an explicit cost of production is lease payments for the land on which a firm's factory stands.

Profit is a measure of the financial gain or benefit obtained by a firm or individual after deducting all costs from total revenue. The formula for calculating profit is:

Profit = Total Revenue - Total Cost

This formula takes into account the difference between the amount of money earned from sales or services (total revenue) and the expenses incurred in the production or operation of the business (total cost). By subtracting the total cost from the total revenue, we arrive at the profit, which represents the net positive financial outcome.

Explicit costs are the actual out-of-pocket expenses incurred by a business in its production process. These costs involve direct monetary payments to resources or services used in production. Lease payments for land represent an explicit cost because they involve a tangible expense that the firm must pay to use the land on which its factory stands. It is a clear and measurable cost that can be easily identified and accounted for in the firm's financial records.

Other examples of explicit costs can include wages paid to employees, costs of raw materials, utility bills, rent for office space, and payments for equipment or machinery. These costs are explicit because they involve a direct monetary exchange and can be easily tracked and quantified.

Profit is defined as the difference between total revenue and total cost. It is the amount that remains after deducting all costs associated with the production or operation of a business from the revenue generated. Understanding the concept of profit is essential for assessing the financial performance and viability of a business. Lease payments for the land on which a firm's factory stands serve as a good example of an explicit cost of production. Explicit costs are actual out-of-pocket expenses that involve direct monetary payments. Recognizing and accounting for explicit costs is crucial for understanding the total cost of production and making informed business decisions.

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Following major disasters such as Hurricane Katrina of 2005 and the Northridge Earthquake of 1994, many impacted households wished they had purchased insurance as they were not covered. Moreover, insurance companies were struggling to pay out on claims, and were reluctant to continue offering insurance policies in these risky locations.
What does this tell us about uncertainty and risk with respect to extreme events (i.e. both rare and costly events such as natural disasters, terrorist attacks, and major technological accidents)?
What can we, as individuals, do about these problems?
What role can the government play? Please discuss this with respect to an actual government program or agency.
Is there the danger of a moral hazard occurring if government does intervene? Does this matter?

Answers

The experiences following major disasters like Hurricane Katrina and the Northridge Earthquake highlight the challenges of uncertainty and risk associated with extreme events. These events are both rare and costly, making it difficult for individuals and insurance companies to adequately prepare and respond.

The occurrence of such events underscores the importance of individuals recognizing the potential risks and taking proactive measures to mitigate them. This includes purchasing insurance coverage, particularly in high-risk areas prone to natural disasters or other extreme events. Individuals can also invest in risk-reduction measures, such as reinforcing structures, creating emergency preparedness plans, and diversifying their assets to minimize the impact of these events.

In terms of government intervention, it can play a crucial role in addressing these problems. Governments can establish programs and agencies aimed at providing insurance coverage and assistance to affected individuals and communities. For example, the Federal Emergency Management Agency (FEMA) in the United States provides disaster assistance and supports risk management initiatives.

However, the danger of moral hazard arises when government intervention may inadvertently encourage risky behavior or diminish individual responsibility. If individuals believe that the government will fully compensate them for losses, they may be less incentivized to purchase insurance or take sufficient preventive measures. This can lead to increased risks and costs for the government in the long run.

To mitigate moral hazard, government programs and agencies should strike a balance between providing assistance and promoting individual responsibility. This can be achieved through measures such as cost-sharing arrangements, insurance deductibles, and risk education programs. By emphasizing the importance of personal preparedness and incentivizing risk reduction, the government can help manage the moral hazard while still providing necessary support in extreme events.

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Company A has no debt and 12 million shares outstanding trading for $4,00 each. Company A intends to acquire Company B, that has no debt and 3 million shares outstanding trading for $15,00. Company A shareholders know that synergy gains will be $14 million, so they will only proceed with the acquisition if their shares increase in 6% with the acquisition.
What is the maximum offer that shareholders of company A will make to company B shareholders (number of shares of Company A in exchange for 1 Company B share)

Answers

To determine the maximum offer that shareholders of Company A will make to shareholders of Company B, we need to calculate the share exchange ratio based on the given conditions.

Let's denote the maximum offer as x shares of Company A for 1 share of Company B.

Given:

Company A has 12 million shares outstanding.

Company B has 3 million shares outstanding.

The current trading price of Company A's shares is $4.00 each.

The current trading price of Company B's shares is $15.00 each.

Synergy gains from the acquisition are $14 million.

Company A shareholders require a 6% increase in their shares with the acquisition.

First, let's calculate the total market value of Company A before the acquisition:

Total market value of Company A = Number of shares * Share price = 12 million * $4.00 = $48 million.

Next, let's calculate the required market value of Company A after the acquisition:

Required market value of Company A = Total market value of Company A before the acquisition + Synergy gains

= $48 million + $14 million = $62 million.

Since Company A shareholders require a 6% increase in their shares, the new market value of Company A after the acquisition should be 106% of the original market value:

New market value of Company A = 106% * Required market value of Company A

= 1.06 * $62 million = $65.72 million.

Now, let's calculate the share exchange ratio:

Share exchange ratio = New market value of Company A / Total market value of Company B

= $65.72 million / (3 million * $15.00) = $65.72 million / $45 million

≈ 1.46044.

Therefore, the maximum offer that shareholders of Company A will make to shareholders of Company B is approximately 1.46044 shares of Company A for 1 share of Company B.

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what happens when the quantity of a good supplied at a given price is greater than the quantity demanded?excess supplystable pricesexact equilibriumincreased production

Answers

When the quantity of a good supplied at a given price is greater than the quantity demanded, it creates a situation called excess supply.

Excess supply is the opposite of excess demand and happens when the price is too high to clear the market.The market forces that are at play in the excess supply scenario will cause prices to fall to a level where the excess supply is cleared away. When this happens, it can lead to stable prices.

Exact equilibrium is an economic term used to describe a market situation in which supply and demand are balanced. In other words, the quantity of goods that buyers want to buy at a given price is equal to the quantity of goods that sellers want to sell at the same price.

When this happens, the market is in equilibrium.Increased production is a possible outcome of excess supply. When there is excess supply, sellers will try to reduce the amount of goods that they have in inventory by lowering prices.

If this doesn't work, they may try to increase production to meet the excess demand so that they can clear their inventory.

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The increase in ticket prices in all leagues in recent years reflectsA. consumers' increased affluence.B. decreased regulation on ticket scalping.C. the growing popularity of sport.D. A and C are correct.E. All of these are correct.

Answers

The increase in ticket prices in all leagues can be attributed to consumers' increased affluence, decreased regulation on ticket scalping, and the growing popularity of sports. Therefore, option E is correct.

The increase in ticket prices in all leagues in recent years can be attributed to a combination of factors, including consumers' increased affluence, decreased regulation on ticket scalping, and the growing popularity of sports.

Firstly, consumers' increased affluence plays a significant role. As people's disposable income rises, they are willing to spend more on entertainment, including sports events. This increased purchasing power allows sports organizations to raise ticket prices and still attract a substantial number of fans willing to pay for the experience.

Secondly, the decreased regulation on ticket scalping has contributed to the increase in ticket prices. In some jurisdictions, the restrictions on reselling tickets at higher prices have been relaxed or eliminated. This has created a secondary market where scalpers can sell tickets at inflated prices, driving up the overall cost of attending a sports event.

Lastly, the growing popularity of sports has also impacted ticket prices. As the demand for sports events increases, so does the willingness of fans to pay higher prices for tickets. This increased demand allows sports organizations to raise ticket prices in order to maximize revenue.

These factors combined have allowed sports organizations to raise ticket prices and still attract a substantial number of fans, resulting in higher revenue for the leagues.

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A real estate agency wants to understand the factors affecting the price of houses which are up for re-selling. The study includes 1,000 houses and estimates the following regression using OLS: Price = PageXage + Pnumsold Xnumsold + Pares Xarea + PgarageXgarage + PcitycenterXcitycenter + Poutskirts Youtskirts + Psuburban suburban * Uother where Xage denotes the age of the house, Xnumsold denotes the number of times the house was sold, Xarea denotes floor area, Xgarage denotes the size of the garage. Xcitycenter, Youtskirts, and Xsuburban are dummy variables indicating the respective locality of the house: city center, outskirts, or suburban, and other denotes the error term Assume that the least squares assumptions are satisfied unless the above information suggests otherwise. Which of the following statements are true about the explanatory variables used in this study? (Check all that apply.) dhocrequ A. The estimated coefficients will be jointly normally distributed B. The regressors in this model are perfectly multicollinear due to the variables indicating the locality of the house. C. The regression does not fall into the dummy variable trap due to the absence of the intercept term. D. The regressors in this model are perfectly multicollinear due to the absence of the intercept term. x Suppose that the model now includes an intercept term, Bo- The model should now include dummy variables indicating the locality of a house. Suppose the agency finds a high positive correlation between Xgarage and Xarea The data set would provide little information about what happens to the prices of houses with a large floor area and a garage, or vice versa, keeping other variables constant it

Answers

The statement that is true about the explanatory variables used in the study is:

The estimated coefficients will be jointly normally distributed, The regression does not fall into the dummy variable trap due to the absence of the intercept term, and The model should now include dummy variables indicating the locality of a house.

Regression analysis is employed to examine the relationship between a dependent variable and one or more independent variables.

As per the least squares assumptions, the residuals should be typically distributed, and the explanatory variables should be fixed and uncorrelated with the error term.

The estimators of the coefficients will be jointly normally distributed if the population is stable, the residuals are usually distributed with constant variance, and there is no multicollinearity

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