The expected growth rate of BDR Industries' dividend is 2.32%. This is calculated using the Dividend Discount Model (DDM).
To calculate the expected growth rate of BDR Industries' dividend, we can use the Dividend Discount Model (DDM), which is a widely used valuation method for stocks that pay dividends. The formula for DDM is:
Current Share Price = (Dividend * (1 + g)) / (Discount Rate - g)
Where g is the expected growth rate. In this case, the current share price is $22, the dividend is $1.50, and the discount rate is 9%. Plugging in the values, we get:
$22 = ($1.50 * (1 + g)) / (0.09 - g)
Now, we need to solve for g. Multiplying both sides by (0.09 - g), we get:
$22 * (0.09 - g) = $1.50 * (1 + g)
Expanding and rearranging terms, we find:
g = 0.0232 or 2.32%
So, the expected growth rate of BDR Industries' dividend is 2.32%.
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Clay offers to pay Dot $50 for a golf lesson for Eula. They agree to meet the day after tomorrow to exchange the cash for the lesson. These parties have
Clay offers to pay Dot $50 for a golf lesson for Eula. They agree to meet the day after tomorrow to exchange the cash for the lesson. These parties have entered into a unilateral contract.
Clay is a type of sedimentary material composed of fine-grained minerals, mainly composed of hydrated silicates of aluminum. It is commonly found in areas with high levels of rainfall or water saturation, as it forms from the weathering and erosion of rocks rich in aluminum silicates. Clay has been used by humans for thousands of years for a wide range of purposes, including pottery, construction, and as a binder in ceramics and building materials. It is also used in industries such as paper, pharmaceuticals, and cosmetics.
Clay has unique physical and chemical properties that make it an ideal material for various applications. It is plastic when wet and can be molded into different shapes, but hardens when heated, making it useful for creating durable objects like pottery. Clay also has excellent adsorption properties, which make it useful for filtering and purifying water and other liquids. In addition, its ability to retain water makes it a popular material for soil amendment and horticulture.
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exercise 10-9a record common stock, treasury stock, and cash dividends (lo10-2, 10-4, 10-5) power drive corporation designs and produces a line of golf equipment and golf apparel. power drive has 100,000 shares of common stock outstanding as of the beginning of 2021. power drive has the following transactions affecting stockholders' equity in 2021. march 1 issues 55,000 additional shares of $1 par value common stock for $52 per share. may 10 purchases 5,000 shares of treasury stock for $55 per share. june 1 declares a cash dividend of $1.50 per share to all stockholders of record on june 15. (hint: dividends are not paid on treasury stock.) july 1 pays the cash dividend declared on june 1.
The cash dividend declared on June 1 by the company is $3,965,000.
What is cash dividend?A cash dividend is a payment made from a company's current earnings or accumulated profits that is normally distributed to stockholders. Most brokers provide you the option of reinvesting dividends or taking cash instead. Cash dividends are a standard means for businesses to provide money back to their shareholders in the form of regular cash payments; normally, these payments are made quarterly, while some stocks may make these payments monthly, annually, or semiannually. While many businesses distribute dividends on a monthly basis, some sometimes give shareholders extraordinary cash dividends in response to one-time, one-time events like court settlements or borrowing money for significant, one-time cash distributions.
Dr Cash 4,030,000
Cr Common stock 65,000
Cr Additional paid in capital(cash dividend) 3,965,000
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which organizational structure issue is most apparent at authentic brew based on the survey results and organizational structure draft
The most apparent organisational structure would be hierarchical structure as authentic brew is a new company.
Hierarchical organizational structure is a common form of organizing a company or any other type of organization. It is characterized by a pyramid-like structure in which power, authority, and decision-making are concentrated at the top and flow down through various levels of management.
In a hierarchical structure, employees are grouped into different levels or layers based on their roles, responsibilities, and positions within the organization.
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A person who earns $30,000 per year has $2,000 in childcare costs. As a
result, the state only taxes $28,000 of that person's income.
This is an example of a
A. tax deduction
B. tax assessment
C. tax dependent
D. tax credit
When a person's taxable income are reduced by things like childcare costs, this is known as A. tax deduction.
What is a tax deduction?When the taxable income of a person is reduced as a result of them having to pay for a particular expense, this is a deduction.
The person here saw their taxable income reduced because they paid for child costs so this is a tax deduction.
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alright, anyone got any chocalate
Answer:
No, I don't really like chocolate.
Explanation:
Answer:
Yes.
Explanation:
But sadly I can't give them away.
#teamtrees #WAP (Water And Plant)
Peggy started work after graduation and started investing.
Why do you think Peggy would have decided to invest?
A. to keep her finances liquid for emergencies
B. to earn compound interest
C. to minimize the risk of losing money
D. to build on her retirement fund
E. to take out a student loan for further education
Answer:
c
Explanation:
Under which type of policy does the government reduce its expenditures and increase tax rates? A. contractionary monetary policy B. contractionary fiscal policy C. expansionary fiscal policy D. expansionary monetary policy
Answer:
B. contractionary fiscal policy
Explanation:
The government influences economic direction through fiscal policy measures of increasing or decreasing its expenditure and taxation. Therefore, fiscal policies involve the government's actions of adjusting its spending and taxation to achieve desired economic objectives.
Fiscal policies can either be contractionary or expansionary. Contractionary measures are applied to control rising inflation and moderate the rate of growth. These policies aim at reducing liquidity in the market, thereby achieving stable prices. A reduction in government spending and an increase in taxation reduces liquidity or money circulation.
Answer:
b
Explanation:
The No Doze Cafe coffee shop sells 50 different types of coffee to its patrons. It costs $4 for a cup of coffee. Each day it sells on average 500 cups of coffee. On the weekends it sells closer to 1000 cups of coffee. Here is a breakdown of the shop’s expenses per cup of coffee: Variable Costs Item Amount Coffee/Water $1.50 Paper Cup $0.30 Sweetener $0.20 Fixed Costs Item Amount Labor $100/day per employee Store Space Rent $800/month If the shop sells 1000 cups on Saturday and there are 3 employees working, what is Saturday’s contribution margin?
Answer:
The right response is "$2". A further explanation is given below.
Explanation:
Here Price per cup will be:
= $4 and Variable cost per cup
= cost of coffee + cost of sweetener + cost of paper cup
= \(1.5 + 0.3 + 0.2\)
= \(2\) ($)
The contribution of margin will be:
⇒ \(Contribution \ margin = Price - Variable \ cost\)
On putting the values, we get
⇒ \(=4-2\)
⇒ \(=2\) ($)
discuss the differences in madison’s current year inventory balance to prior year and industry inventory balances. what is one reason for the differences in inventory balance?
Madison Company's June 30 balance sheet Cash Accounts receivable, net; $160,000 in merchandise inventory; $300,000,000 490 000 in total current assets Equipment and machinery, net 810,000 overall assets $1 ,300,000 Accounts Payable and Stockholders' Equity Currently held liabilities $ 200,000 10% Bonds Payable 300,000 500,000 total liabilities Common stock, $5 par value is the stockholders' equivalent.
Account balances at the start of the company's fiscal year were $140,000 for accounts receivable and $260,000 for inventory. Every sale was on account.
The term "inventory" refers to both the raw materials utilised in production and the finished products that are offered for sale. Because the turnover of an organization's inventory is one of the main sources of revenue creation and, consequently, profitability for the firm's shareholders, it is one of the most significant assets a company has. Finished commodities, work-in-progress, and raw materials are the three different categories of inventory. A company's balance sheet classifies it as a current asset.
Both the raw materials required to make products and the products that are on hand for purchase are included in inventory .A company's balance sheet designates it as a current asset.
Inventory often loses value because of obsolescence, theft, decrease in consumer demand, damage, spoilage, misplacement and shifts in the market.
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what is the future value of an ordinary $1,565 annuity payment over 17 years if the interest rates are 9.5% (assume annual compounding)
The future value of a $1,565 annuity payment over 17 years with an interest rate of 9.5% is approximately $54,452.35. It can be calculated using the future value of an annuity formula:
FV = P * [(1 + r)^n - 1] / r,
Where:
FV = future value of the annuity
P = annuity payment ($1,565)
r = interest rate (9.5% or 0.095)
n = number of years (17)
Step 1: Convert the interest rate from percentage to decimal form by dividing it by 100. In this case, 9.5% ÷ 100 = 0.095.
Step 2: Calculate (1 + r)^n by adding 1 to the interest rate and raising the result to the power of the number of years. In this case, (1 + 0.095)^17 ≈ 4.3051.
Step 3: Subtract 1 from the result obtained in step 2. In this case, 4.3051 - 1 = 3.3051.
Step 4: Divide the result obtained in step 3 by the interest rate. In this case, 3.3051 ÷ 0.095 = 34.79.
Step 5: Multiply the annuity payment by the result obtained in step 4. In this case, $1,565 × 34.79 = $54,452.35.
The future value is approx $54,452.35.
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since most people are right-handed, for maximum efficiency, servers through the kitchen or customers through a cafeteria line should be routed in a counterclockwise direction. group of answer choices
a. true
b. false
The statement that servers through the kitchen or customers through a cafeteria line should be routed in a counterclockwise direction for maximum efficiency based on the fact that most people are right-handed is b. false. The efficiency of the routing does not depend on the handedness of individuals.
Efficiency in routing through a kitchen or cafeteria line is typically determined by factors such as flow management, space utilization, and ease of movement. While it is true that most people are right-handed, it does not necessarily mean that counterclockwise routing is more efficient.
The design and layout of the kitchen or cafeteria line should consider factors such as the overall flow of customers or servers, minimizing congestion points, and optimizing the use of available space. Routing can be planned based on these considerations rather than relying solely on the assumption of right-handedness.
Therefore, the efficiency of routing through a kitchen or cafeteria line should be determined by practical considerations rather than the handedness of individuals, making the statement false.
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a) Explain how changes in the film industry led to blockbuster movies becoming more limited creatively and oriented to making money [worth 5 marks]
b) Then explain how changes in industry practices and technological capabilities led to a new kind, and quality, of television programming [worth 5 marks]
c) Is television today a superior, more culturally relevant medium than fiim, such that more people talk about the shows they're watching than the movies theyve seen? Do you agree that television makers are producing more original, sophisticated content, compared to Hollywood's blockbusters? Or is television still the "small screen" compared to the "yiliver screen" of cinema [worth 5 marks]?
Note: you do not need to provide an introduction, conclusion, titte, or citations and a works cited page (unless you quote or reproduce text from the Powerpoint slides or readings without rewording or paraphrasing in which case you must provide citations and a works cited page using APA citation stylel
You may use paragraph beeakers, headings, bullets, or numbers to separate the different parts of your answer, but point.form replies are
Changes in the film industry led to blockbuster movies becoming more limited creatively and oriented to making money.
a) Changes in the film industry have led to blockbuster movies becoming more limited creatively and oriented towards making money. One key change is the rise of big-budget productions driven by studios' desire to maximize profits. This has resulted in a focus on formulaic storytelling and reliance on established franchises or intellectual properties that have a built-in fan base. These blockbusters often prioritize spectacle and special effects over originality and creativity. Additionally, the increased influence of marketing and market research has led to a safer approach, where studios prioritize movies that have proven to be successful in the past. This can result in a lack of risk-taking and a homogenization of content.
b) Changes in industry practices and technological capabilities have led to a new kind of television programming with higher quality. Streaming platforms, such as Netflix and Amazon Prime, have disrupted traditional television models by providing more creative freedom and resources to creators. This has led to the production of original, sophisticated content that pushes boundaries and challenges conventional storytelling. Additionally, advancements in technology have improved the production value of television shows, allowing for cinematic visuals and complex narratives. This has attracted talented filmmakers and actors who see television as a platform for artistic expression and meaningful storytelling.
c) Television today is indeed a superior and more culturally relevant medium compared to film in terms of popularity and the quality of content being produced. With the advent of streaming platforms and the rise of binge-watching culture, television shows have become a significant part of our daily conversations. More people now discuss the shows they are watching rather than the movies they have seen. Television makers are producing more original and sophisticated content, pushing boundaries and exploring diverse themes. This stands in contrast to Hollywood's focus on blockbuster franchises and formulaic storytelling. While film still holds its place as a cinematic experience, television has emerged as a medium that offers a wider range of storytelling and allows for more nuanced character development. Thus, television can no longer be considered the "small screen" compared to cinema's "silver screen."
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write an APA style paragraph reporting all 3 F statistics, the
means for each F statistic and then explain the Simple effects in
words. You need not calculate the Bonnforoni t test for this
assignment
In APA style, to report the F statistics, means, and simple effects for a study, the paragraph should be organized as follows:The F statistic results are shown in Table 1. The overall F statistic for the main effect of [independent variable] was significant, F(df1, df2) = [F value], p = [p value].
The means for the [independent variable] variable were [mean 1] and [mean 2], with a difference of [mean difference] units.The simple effects were also significant. For the [first level of independent variable], the F statistic was F(df1, df2) = [F value], p = [p value]. The mean for [first level of independent variable] was [mean 1], and the mean for [second level of independent variable] was [mean 2]. For the [second level of independent variable], the F statistic was F(df1, df2) = [F value], p = [p value]. The mean for [first level of independent variable] was [mean 1], and the mean for [second level of independent variable] was [mean 2].
These results indicate that there is a significant effect of [independent variable] on [dependent variable]. Additionally, there were significant differences between the means for each level of the independent variable. Specifically, for the [first level of independent variable], [mean 1] was significantly different from [mean 2], with a difference of [mean difference] units. For the [second level of independent variable], [mean 1] was significantly different from [mean 2], with a difference of [mean difference] units.
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A sous chef starts a retirement savings plan by depositing $350 per month at the beginning of each month into an account that earns an annual interest rate of 5.5% compounded monthly. Find the value (in dollars) of this investment after 20 years. (Round your answer to the nearest cent.)How much interest (in dollars) will she pay over the term of the loan? (Round your answer to the nearest cent.)
After 20 years, the retirement savings plan of the sous chef will have a value of approximately $182,590.72. Over the term of the plan, she will pay approximately $92,590.72 in interest.
To calculate the value of the investment after 20 years, we can use the formula for compound interest:
A = P(1 + r/n)^(nt)
Where:
A = the final amount
P = the initial deposit
r = the annual interest rate (expressed as a decimal)
n = the number of times the interest is compounded per year
t = the number of years
In this case, the initial deposit (P) is $350 per month, the annual interest rate (r) is 5.5% or 0.055, the interest is compounded monthly (n = 12), and the investment period (t) is 20 years.
First, we need to calculate the total number of monthly deposits:
20 years x 12 months = 240 months
Next, we substitute the values into the formula and calculate the final amount (A):
A = $350 * (1 + 0.055/12)^(12*20)
A ≈ $182,590.72
Therefore, after 20 years, the retirement savings plan of the sous chef will have a value of approximately $182,590.72.
To calculate the amount of interest paid over the term of the plan, we subtract the total amount deposited from the final amount:
Interest = A - (P * number of deposits)
Interest = $182,590.72 - ($350 * 240)
Interest ≈ $92,590.72
Therefore, over the term of the loan, the sous chef will pay approximately $92,590.72 in interest.
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Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to O*NET, what are some common tasks performed by Financial Analysts? Check all that apply. drawing charts and graphs to illustrate reports comparing insurance policies to determine the best choice informing investment decisions by analyzing financial information investigating cases of fraud helping families create realistic budgets
Answer:
A and C
Explanation:
BECAUSE I AM BIG BRAIN
Answer:
create client presentations of plan details
advise clients on aspects of capitalization, such as amounts, sources, or timing
Explanation:
A pension fund manager is holding a portfolio with 4.6 years duration and the interest rate is currently 8.8 % What loss would the fund be exposed to if interest rate rises by 0.8 % ? Write your answer in decimals format (it should be rounded to the nearest thousandth
The loss that the pension fund would be exposed to if the interest rate rises by 0.8% is approximately -0.037 or -3.7% (in decimal format).
Duration measures the sensitivity of a portfolio to changes in interest rates. The formula to calculate the approximate percentage change in the value of a portfolio due to a change in interest rates is:
Percentage change in portfolio value = - (Duration) * (Change in interest rate)
Given:
Duration = 4.6 years
Current interest rate = 8.8%
Change in interest rate = 0.8%
Using the formula, we can calculate the loss:
Percentage change in portfolio value = - (4.6) * (0.008)
Percentage change in portfolio value ≈ -0.0368
Rounding to the nearest thousandth, the loss would be approximately -0.037.
Therefore, the loss that the pension fund would be exposed to if the interest rate rises by 0.8% is approximately -0.037 or -3.7% (in decimal format).
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What is cold calling?
A. Calling people who have not shown interest in the product and asking them to buy it
B. Performing customer profile surveys over the telephone
C. Calling competitors and pretending to be a potential customer
D. Asking past customers whether they are satisfied with the product
Answer:
Explanation:
It's A and it is very hard to do. You are talking to someone whom you don't know and interrupting their day when they might be expecting someone important to them to be calling.
The others might be describing something, but it is not cold calling.
D is a survey
C is potentially a hazard. If the competitor ever finds it out, you can be in a pile of trouble.
B might be a cold call. It might be the reason for making a cold call, but you have to define the term more generally.
who wanan be mark as brainiest
Answer:
meeee I think i can do it
Explanation:
plz
suppose the fed purchases a $1,000 government bond from you. if you deposit the entire $1,000 in your bank, what is the total potential change in the money supply as a result of the fed's action if reserve requirements are 20 percent?
The total potential change in the money supply as a result of the fed's action if reserve requirements are 20 percent less because a smaller amount of each loan gets redeposited to be available to be loaned again.
The change in potential energy is the charge multiplied by the potential difference (Equation 20-2). A change in potential energy corresponds to an increase in kinetic energy, which can be used to find velocity.
Potential difference is the difference in the amount of energy charge carriers have between two points in a circuit. Potential Change Orders (PCOs) identify project cost burdens. This can be the result of RFIs with cost implications, change requests from contractors, requests from contractors, future optional protocols, etc. User can attach supporting documents to her PCO.
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Activities involved in buying and selling goods on a large scale.
a) gross domestic product
b) inflation rate
c) labor force
d) business cycle
e) recession
f) monopoly
g) fiscal policy
h) monetary policy
i) commerce
j) price fixing
Answer:
I think answer is price fixing
Identify which component of e-mail messages and memos is described.
a. Effective e-mail messages and memos usually discuss only one topic.
b. Writing the subject line
c. Explaining in the body
d. Opening with the main idea
Your question asks to identify which component of e-mail messages and memos is described. Here are the answers for each option:
a. Effective e-mail messages and memos usually discuss only one topic - This component refers to keeping the content focused and organized.
b. Writing the subject line - This component is crucial for giving the recipient an overview of the e-mail's content and purpose.
c. Explaining in the body - This component refers to providing detailed information and explanations about the topic discussed in the e-mail message.
d. Opening with the main idea - This component emphasizes the importance of starting the e-mail message or memo with a clear, concise statement of the main topic or purpose.
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TRUE OR FALSE 27) Identifying the stakeholders—people who have a vested interest in the outcome of the decision—is the last step in analyzing an ethical issue.
Identifying the stakeholders—people who have a vested interest in the outcome of the decision—is the last step in analyzing an ethical issue. The statement is false.
Analyzing ethical problems is a systematic approach that examines moral decisions in any case or circumstance. It consists of a sequence of actions used to identify problems.
The majority of those affected by moral harm or any ethical imbalance are stakeholders. Stakeholders are individuals who have an ownership stake in the outcome of the decision. Acknowledging stakeholders is the first step in recognizing an ethical issue.
Therefore, the statement is False.
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a) Explain the first two (2) steps in Cross Industry Standard Process of Data Mining (CRISPDM) b) Discuss if the following activities are a data mining task. i) Monitoring and predicting failure of hydropower plant. ii) Dividing the customers of the company according to their profitability. c) Dataset with missing values is common problem faced by the data miners. State two (2) methods to handle this problem and explain.
a) The first two steps in the Cross Industry Standard Process of Data Mining (CRISP-DM) are:
1. Business Understanding: In this step, the focus is on understanding the business objectives, goals, and requirements of the data mining project. It involves defining the problem statement, identifying the relevant stakeholders, and determining the project's scope. The key questions to answer in this step include: What is the business problem we are trying to solve? What are the goals and objectives of the project? What are the constraints and limitations?
2. Data Understanding: Once the business objectives are clear, the next step is to gather and understand the available data. This involves identifying the relevant data sources, collecting the data, and performing initial data exploration and analysis. The goal is to gain insights into the data, understand its structure, quality, and completeness, and assess its suitability for the data mining project. This step helps in identifying data quality issues, missing values, outliers, and understanding the variables and their relationships.
b) i) Monitoring and predicting the failure of a hydropower plant can be considered a data mining task. Data mining techniques can be applied to historical data collected from the hydropower plant to identify patterns, anomalies, and indicators of failure. By analyzing sensor data, maintenance logs, and other relevant data sources, data mining models can be built to predict potential failures, enabling proactive maintenance and minimizing downtime.
ii) Dividing customers of a company according to their profitability can also be considered a data mining task. By analyzing customer transaction data, purchasing patterns, and other customer-related variables, data mining techniques can be applied to segment customers into groups based on their profitability. This can help in identifying high-value customers, understanding their characteristics, and tailoring marketing strategies to maximize customer value.
c) Dealing with missing values is a common challenge in data mining. Two methods to handle this problem are:
1. Deletion: In this method, the incomplete rows or columns containing missing values are removed from the dataset. If the missing values are random and do not introduce significant bias into the analysis, this approach can be effective. However, it can result in a loss of valuable data and may not be suitable if the missing values are systematically related to the target variable or other important variables.
2. Imputation: Imputation involves filling in the missing values with estimated or imputed values. This can be done using various techniques such as mean imputation, median imputation, mode imputation, or regression imputation. The choice of imputation method depends on the nature of the data and the underlying assumptions. Imputation helps in retaining the complete dataset and can provide more accurate results if done appropriately. However, it introduces uncertainty and potential bias if the imputation process is not properly handled.
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A bond has $1,000 face value, coupon rate of 5.6%, and yield to maturity (YTM) of 5.8%. It will mature in 15 years and the interest rate will compound semiannually. What is this bond’s current yield?
4.99%
2.50%
5.71%
2.86%
The bond's current yield is d)2.86%.
The current yield of a bond is calculated by dividing the annual coupon payment by the current market price of the bond. In this case, the annual coupon payment can be calculated as 5.6% of the $1,000 face value, which is $56.
The current market price of the bond needs to be determined using the yield to maturity (YTM). Since the bond has a YTM of 5.8% and compounds semiannually, the semiannual interest rate can be calculated as 5.8% divided by 2, which is 2.9%.
The number of semiannual periods over the 15-year maturity is 15 * 2 = 30. Using these values, the bond's current market price can be calculated. Finally, the current yield is obtained by dividing the annual coupon payment ($56) by the current market price of the bond. The calculation results in a current yield of 2.86%.
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How does the existence of a large federal debt slow economic growth?
(Select all that apply. )
People are concerned about the future and do not want to invest.
The government may raise taxes to eliminate deficits, which could slow down the economy
People are concerned about the future and do not want to invest.
The government may raise taxes to eliminate deficits, which could slow down the economy.
When someone is concerned, it means they feel worried, troubled, or anxious about a particular issue or situation. Concern often arises when there is a perceived risk, threat, or potential harm involved. It is a natural emotional response to circumstances that require attention, care, or action. Being concerned indicates a genuine interest in the well-being or outcome of someone or something. It can drive individuals to take proactive measures, seek information, or address the underlying issue. Expressing concern demonstrates empathy, compassion, and a desire to ensure the safety, welfare, or resolution of the matter at hand.
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Explain the importance of excellent customer service.
After a bank reconciliation has been completed these transactions are listed as ____ to the cash balance? ? need help taking A p e x quiz now!!! don't have time to be chasing a link!
A. Journal entries
B. Credits
C. Adjustments
D. debits
Answer:
A
Explanation:
After adjusting the balances as per the bank and as per the books, the adjusted amounts should be the same. If they are still not equal, you will have to repeat the process of reconciliation again.
Once the balances are equal, businesses need to prepare journal entries for the adjustments to the balance per books.
Answer:The answer is C
Explanation:
Just took the test
Do you think you can live 30 days with $1,000? Explain
Answer:
Well, what's the situation do I have a place to stay? or am I just out in the wild? But anyway,
yes, I do think you can survive if you use the money wisely along with using your surroundings to your advantage.
Explanation:
2. If changes happen during September or October, which expenses will you be able to change most easily? Give an example of how you could make a change. (5 points)
The correct answer to this open question is the following.
Although the question does not provide any context, references, or give options, we can say that if changes happen during September or October, the expenses you will be able to change most easily are according with the provisions projected in the annual plan, the budget, compared with the monthly expenses.
That is why a company has to elaborate on a good financial plan and overseeing the projections and true sales of the marketing and sales plan. This is important to take the proper control of expenses and revenues. Depending on the volume of sales during September and October, you can decide what kind of changes or adjustments to make in the following months.
Answer:
I would be able to change the variable expenses most easily. Such as food, clothing, and discretionary spending.
I could make the change by
Budgeting in October:
food from spending -$70 back to -$60
cut clothes off since I bought some already from -$40 to $0
budget my discretionary spending from -$60 back to -$40
This would increase my savings to $230
On january 1, 2024, a company began construction of a new warehouse. the building was finished and ready for use on september 30, 2025. expenditures on the project were as follows: january 1, 2024 $ 323,000 september 1, 2024 $ 483,000 december 31, 2024 $ 483,000 march 31, 2025 $ 483,000 september 30, 2025 $ 323,000 the company had $6,100,000 in 15% bonds outstanding through both years. capitalized interest in 2024 was:
In this case, the capitalized interest for 2024 is $202,250. In the case of the aforementioned company, the total cost of the project was $2,235,000, with $323,000 of that amount due on January 1, 2024. The remaining balance of the project was financed by borrowing $6,100,000, which was the amount of bonds the company had in both years of excellent results.
The interest on the bonds was 15%, so the capitalized interest for 2024 is calculated by multiplying the total cost of the project by the annual interest rate and then dividing the result by the total number of days in the year. Capitalized interest is interest that is added to the cost of the project and is considered a capital expenditure rather than an expense. This is done when the company has borrowed to finance the project and the interest cost is part of the total cost of the project.
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