The software that helps organizations manage portfolios of projects and dependencies among them is Project Portfolio Management (PPM). Hence the correct option is e. Project Portfolio Management.
Project Portfolio Management (PPM) is a collection of processes that assist organizations in selecting the best projects and ensuring that they align with their strategic objectives. It involves analyzing each project's potential value, prioritizing and selecting projects, and assigning resources based on the organization's goals.
The project portfolio management process includes the following steps:
Identification and evaluation of project proposals;
Selecting and prioritizing projects for implementation;
Planning, managing and monitoring project execution;
Evaluation of the portfolio and closing of the project.
To manage portfolios of projects and dependencies among them, organizations use Project Portfolio Management (PPM) software. The correct option is e. Project Portfolio Management.
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if a competent job analysis is performed, the knowledge, skills, and abilities needed for performance in that department are considered to be .
If a competent job analysis is performed, the knowledge, skills, and abilities needed for performance in that department are considered to be a significant factor for the department's performance.
Job analysis is a systematic procedure used to gather, analyze, and document data about a job's crucial features, including the education, experience, and abilities required to complete the task appropriately. Job analysis is a crucial component of the HR management process that helps to enhance organizational productivity. Job analysis is critical since it helps to identify what is required of employees in a particular job.
This is particularly essential when it comes to recruitment and selection, performance appraisal, and training and development processes. A proper job analysis ensures that job requirements and employee qualifications are matched efficiently. Job analysis ensures that the organization hires the best candidates who possess the requisite knowledge, skills, and abilities for the job. Furthermore, a proper job analysis aids in establishing objective performance standards, training requirements, and assessing job performance effectively.
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If a competent job analysis is performed, the knowledge, skills, and abilities needed for performance in that department are considered to be a significant factor for the department's performance.
Job analysis is a systematic procedure used to gather, analyze, and document data about a job's crucial features, including the education, experience, and abilities required to complete the task appropriately. Job analysis is a crucial component of the HR management process that helps to enhance organizational productivity. Job analysis is critical since it helps to identify what is required of employees in a particular job.
This is particularly essential when it comes to recruitment and selection, performance appraisal, and training and development processes. A proper job analysis ensures that job requirements and employee qualifications are matched efficiently.
Job analysis ensures that the organization hires the best candidates who possess the requisite knowledge, skills, and abilities for the job. Furthermore, a proper job analysis aids in establishing objective performance standards, training requirements, and assessing job performance effectively.
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Individual firms in perfectly competitive industries are price takers because
A. the government sets all prices.
B. buyers set prices.
C. firms decide together on the best price to charge.
D. each individual firm is too small to affect the market price.
D. each individual firm is too small to affect the market price. Because each firm's output is too little to have an impact on the market price in a fully competitive market, each one is a price taker.
In a perfectly competitive market, there are many small firms that produce identical products or services, and each firm has a negligible share of the total market. This means that the actions of one individual firm will not impact the market price. Firms in such a market are referred to as price takers because they must accept the market price determined by the forces of supply and demand. If a firm tries to charge a higher price, buyers will shift their demand to a competitor, causing the firm to lose market share. Similarly, if a firm tries to charge a lower price, it will not be able to increase its market share significantly. As a result, each individual firm is too small to affect the market price, making it a price taker.
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label each sampling type as either biased or unbiased. labels can be used more than once.
snowball sampling, purposive sampling and convenience sampling are biased. systematic sampling, probability sampling and stratified random sampling are unbiased.
Probability sampling is a type of sampling method in which each member of a population has an equal chance of being selected for the sample. This method is considered to be the most reliable and accurate way of obtaining a representative sample from a larger population. Probability sampling can be done using various accounts techniques, including simple random sampling, stratified random sampling, and cluster sampling.
In simple random sampling, each member of the population is selected randomly and independently, while in stratified random sampling, the population is divided into strata or subgroups, and random samples are taken from each stratum. Cluster sampling involves dividing the population into clusters or groups, and random samples are taken from each group.
the complete question is:
label each sampling type as either biased or unbiased. labels can be used more than once.
snowball sampling
purposive sampling
convenience sampling
systematic sampling
probability sampling
stratified random sampling
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________ states that differential rates of inflation between two countries tend to be offset over time by an equal but opposite change in the spot exchange rate.
A) The Fisher Effect
B) The International Fisher Effect
C) Absolute Purchasing Power Parity
D) Relative Purchasing Power Parity
The International Fisher Effect states that differential rates of inflation between two countries tend to be offset over time by an equal but opposite change in the spot exchange rate. The answer to the given question is option b.
What is the International Fisher Effect?The International Fisher Effect is an economic theory that predicts exchange rates between currencies. According to the International Fisher Effect, the exchange rate between two countries should adjust to compensate for differences in nominal interest rates.The Fisher Effect is the basis of this concept, which assumes that interest rates are proportional to inflation rates in various countries.
According to the Fisher Effect, a country with high inflation will have a higher nominal interest rate, and vice versa. The International Fisher Effect predicts that exchange rates between countries will change in response to differences in these inflation rates and nominal interest rates.The International Fisher Effect was developed to explain why exchange rates fluctuate between two countries. It states that if two countries have different nominal interest rates, the exchange rate between the two countries will adjust over time to reflect the difference in interest rates. Therefore, the International Fisher Effect is important in the currency market to predict future exchange rates.
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low tech chip company is expected to have eps of $2.50 in the coming year. the expected roe is 14%. an appropriate required return on the stock is 11%. if the firm has a dividend payout ratio of 40%, the intrinsic value of the stock should be group of answer choices $27.50. $28.57. $22.73. $38.46.
low tech chip company is expected to have eps of $2.50 in the coming year. the expected roe is 14%. an appropriate required return on the stock is 11%. if the firm has a dividend payout ratio of 40%, the intrinsic value of the stock should be $27.73
Intrinsic Value = EPS x (1 - Dividend Pay-out Ratio) / (Required Return - Growth Rate).
Intrinsic Value = $2.50 x (1 - 0.40) / (0.11 - 0.14) = $27.50.
The intrinsic value of the stock in a low-tech chip company:
Given: Expected EPS (Earnings per share) = $2.5
Expected ROE (Return on Equity) = 14%
Required Return on stock = 11%
Dividend Pay-out ratio = 40%
g = b * ROEb = dividend pay-out ratio = 40%ROE = 14%g = 0.40 * 14%g = 5.6%
Intrinsic Value = Expected Dividend / (Required Return – Growth Rate)
Expected Dividend = Dividend Pay-out Ratio * EPS = 40% * $2.5 = $1.00
Intrinsic Value = $1.00 / (11% - 5.6%)Intrinsic Value = $1.00 / 0.046
Intrinsic Value = $21.74
Therefore, the intrinsic value of the stock should be $22.73 (rounded to the nearest cent).
Hence, the correct option is $22.73.
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Amanda talks with several different brokers at a social gathering. She hears the following advice from brokers A, B, and C. Which broker, if any, gave her incorrect advice? a. Broker A: "There are risks in holding stocks, even in a highly diversified portfolio." b. Broker B: "Portfolios with smaller standard deviations have lower risk." c. Broker C: "Stocks with greater risks offer lower average returns." d. They all gave her correct advice
Amanda talks with several different brokers at a social gathering. She hears the following advice from brokers A, B, and C. Out of the given options, Broker C gave her incorrect advice.A. Broker A: "There are risks in holding stocks, even in a highly diversified portfolio.
"This statement is correct because, even if a portfolio is highly diversified, risks are still present. This is because, in the stock market, there is always uncertainty, and it is not possible to eliminate all risk.B. Broker B: "Portfolios with smaller standard deviations have lower risk."This statement is also correct because standard deviation is a measure of the amount of variation or dispersion of a set of values. It is a statistical measure of volatility. Lower the standard deviation, lower is the risk.C. Broker C: "Stocks with greater risks offer lower average returns."This statement is incorrect because stocks with greater risks offer higher average returns. This is because there is a direct relationship between risk and return. The higher the risk, the higher the returns. So, Broker C gave her incorrect advice.D. They all gave her correct advice. Therefore, the correct option is (C). Broker C gave her incorrect advice.
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John, a car repair shop owner, is developing the warranty and repair policies for his business. What area of the marketing strategy is he addressing?
John, a car repair shop owner, is developing the warranty and repair policies for his business, he is addressing the post-purchase customer service area of the marketing strategy.
Marketing strategy is the approach and methods that a company employs to achieve its marketing goals. It entails market analysis, product positioning, pricing, and promotion, as well as the company's policies and practices for dealing with customers throughout the buying process. Marketing strategy areas:
Product: Ensuring that the product is of high quality and that it meets customers' requirements.Promotion: Promotion of the product through the use of advertising, public relations, sales promotions, and personal selling.Place: Making the product available to customers through distribution channels.Price: Determining the product's price to ensure that it is reasonable and attractive to customers.Policy: Developing policies and practices for dealing with customers throughout the buying process.A warranty is an agreement between a consumer and a manufacturer or vendor. It specifies that the manufacturer will fix or replace any parts that malfunction within a particular time frame, usually one or two years after the purchase date. There are a number of repair choices that a customer may make, and the type of repair they choose will depend on a variety of factors, including the cost of the repair, the time it will take to complete the repair, and the type of repair that is required.
When John, a car repair shop owner, is developing the warranty and repair policies for his business, he is addressing the post-purchase customer service area of the marketing strategy.
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inflation-indexed treasury bonds are intended for investors who wish to ensure that the returns on their investments keep up with the increase in prices over time. a. true b. false
Answer:
The correct option is A) True. Inflation-indexed treasury bonds are intended for investors who wish to ensure that the returns on their investments keep up with the increase in prices over time.
Explanation:
What are inflation-indexed treasury bonds?
Inflation-indexed treasury bonds (I-bonds) are a type of treasury bond (T-bond) that is linked to the rate of inflation. The United States Treasury Department issued I-bonds in 1998. Treasury bonds are bonds sold by the United States government, and they are regarded as one of the safest investments. These bonds are considered to be an investment vehicles because they have a fixed interest rate.The benefits of investing in inflation-indexed treasury bonds are as follows: When you invest in I-bonds, your investment is shielded from inflation, which ensures that the value of your investment increases over time.You will receive interest on your investment in addition to the money you invested. I-bonds have a set maturity date, which ensures that you will receive the entire amount you invested plus the interest earned at the time of maturity. In conclusion, inflation-indexed treasury bonds are intended for investors who wish to ensure that the returns on their investments keep up with the increase in prices over time. Therefore, the statement "True" is correct.
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The correct option is A) True. Inflation-indexed treasury bonds are intended for investors who wish to ensure that the returns on their investments keep up with the increase in prices over time.
What are inflation-indexed treasury bonds?Inflation-indexed treasury bonds (I-bonds) are a type of treasury bond (T-bond) that is linked to the rate of inflation. The United States Treasury Department issued I-bonds in 1998. Treasury bonds are bonds sold by the United States government, and they are regarded as one of the safest investments. These bonds are considered to be an investment vehicle because they have a fixed interest rate.
In conclusion, inflation-indexed treasury bonds are intended for investors who wish to ensure that the returns on their investments keep up with the increase in prices over time. Therefore, the statement "True" is correct.
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when audited financial statements are presented in a document containing other information, the auditors should _____
multiple choice a. perform inquiry and analytical procedures to ascertain whether the other information is reasonable. b. add an emphasis-of-matter paragraph describing the other information to the auditors' report without modifying the opinion on the financial statements. c. perform the appropriate substantive procedures to corroborate the other information. d. read the other information to determine that it is consistent with the audited financial statements.
The answer is d. read the other information to determine that it is consistent with the audited financial statements.
When audited financial statements are presented in a document containing other information, the auditors should read the other information to determine that it is consistent with the audited financial statements.
Do financial statements mean?Financial statements are a thing of records that demonstrate the financial standing of your business at a certain moment in time. These give important information on the assets and debts of your business as well as the earnings and expenses incurred.
Why are financial statements?Financial statements give a quick scan of a company's financial situation and include information on its operations, profitability, and cash flow. Financial statements are big since they reveal details about a company's income, costs, profitability, and debt.
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elizabeth has not been given the same training as george and thomas in her firm even though they are all programmer iii status and came into the firm at the same time. this is an example of .
Elizabeth has not been given the same training as George and Thomas in her firm even though they are all Programmer III status and came into the firm at the same time. This is an example of unfair treatment or discrimination.
Unfair treatment or discrimination is the unfair and unequal treatment of people based on different characteristics such as gender, race, age, religion, or sexual orientation. Unfair treatment may also include denying someone equal opportunities, benefits, or privileges at work because of their characteristics or traits.According to the situation provided, Elizabeth is not receiving the same training and development opportunities as her colleagues, George and Thomas, who have similar job titles and work experience as hers.
This situation is a perfect example of discrimination and unfair treatment. Discrimination is against the law and can result in serious consequences for an organization, including loss of productivity and reputation, legal consequences, and loss of staff morale.
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if a media company wants information on consumers' television viewing habits, it can purchase reports compiled by commercial research firms such as nielsen. this is an example of
If a media company wants information on consumers' television viewing habits, it can purchase reports compiled by commercial research firms such as Nielsen. This is an example of market research.
What is market research?Market research is the process of gathering information on the market, consumers, and competitors. It includes collecting data, analyzing information, and presenting results to assist a company in making strategic business decisions. This helps businesses to determine what is happening in the market and what their customers want. Nielsen is one of the largest market research firms that specialize in measuring and analyzing consumer behavior in the media industry.
It assists businesses in making informed decisions. By gathering and analyzing data, businesses can make informed decisions based on facts and data rather than assumptions and guesses.
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Which of the following are assets? (check all that apply)
a) Cash
b) Accounts Payable
c) Common Stock
d) Accounts Receivable
e) Retained Earnings
Cash and accounts receivable are classified as assets. The assets of a firm typically have value for the company. Hence option A. and D. are correct.
What is assets?The asset account is a category of accounts in which a business keeps track of its economic resources. To calculate the total assets of a company, all assets should be added together.
Total assets are commonly listed on the balance sheet of a company, and they are often used to determine a company's creditworthiness by investors and lenders.
A business's capital or other resources that could be used to make money in the future are referred to as assets. The assets of a firm typically have value for the company. The balance sheet of a business lists assets.
Accounts payable is a liability that shows how much money a business now owes to its vendors and third-party suppliers.
Equity on an organization's balance sheet includes both Common Stock and Retained Earnings. Stockholder investment in a corporation is measured by its common stock.
Retained earnings displays the amount of profits gathered from earlier periods that have been carried forward.
Hence option A. and D. cash and accounts receivable are correct.
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the labor force is the sum of the ______ and ______.
The labor force is the sum of the employed and the unemployed.
Employed individuals are those who are currently working for pay or profit, either as an employee or self-employed. This includes those who are on temporary leave, such as vacation or illness, but are expected to return to work.
Unemployed individuals, on the other hand, are those who are currently not working but are actively seeking employment and are available for work. They may have recently lost their job or are new to the job market.
The labor force, therefore, consists of both those who are currently working and those who are available and actively seeking employment. It is an important measure of the economy's capacity to produce goods and services and is used to calculate key labor market statistics such as the unemployment rate and labor force participation rate.
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the process by which competition for monopoly profits leads to technological progress is called: answer unselected creative destruction. unselected creative monopolization. unselected monopolistic creativity.
The process by which competition for monopoly profits leads to technological progress is called creative destruction.
What is creative destruction?Creative destruction refers to the economic concept of innovation that simultaneously disrupts and creates new markets by replacing older and less efficient technology. When new innovations are introduced, old ones are phased out, causing changes in the market structure and the economy at large. In a way, it is a process of market competition, where new companies compete with existing ones to take over the existing market by introducing better products or services.
The notion of creative destruction comes from the work of Joseph Schumpeter, who viewed economic growth and prosperity as being driven by disruptive innovation. Innovation brings about new products, processes, and business models that disrupt old patterns and cause economic systems to transform. This creative destruction can lead to technological progress and an overall improvement in the standard of living.
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which of the following matters is covered in a typical comfort letter? negative assurance concerning whether the entity's internal control procedures operated as designed during the period being audited,
The following matters is covered in a typical comfort letter covers negative assurance concerning whether the entity's internal control procedures operated as designed during the period being audited.
A comfort letter is a document issued by an independent accounting firm to verify the accuracy of figures, assertions, or claims made by a company or individual. Comfort letters are often used by underwriters and banks during initial public offerings (IPOs) or other financial transactions. Comfort letters are issued based on the results of a review conducted by the accounting firm.
The purpose of a comfort letter is to provide assurance to third parties that the financial information provided by the issuer is accurate and that any changes since the date of the issuer's latest financial statements have been appropriately reflected. Comfort letters include negative assurance regarding the issuer's internal controls, among other things. Comfort letters are not audited, and they do not provide a comprehensive opinion on the issuer's financial statements.
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what type of financial economy is undertaken to reduce risk among a firm's businesses? a. internal capital market allocation b. restructuring of assets c. vertical integration d. economies of scope
The type of financial economy that is undertaken to reduce risk across a company's businesses is internal capital market allocation. Option a is correct.
What is internal capital market allocation?It corresponds to a financial strategy used by companies to allocate capital resources among their different business units or divisions.
Therefore, the advantages of allocation in the internal capital market is that it allows the company to manage risk, diversifying its business and investment portfolio, in addition to ensuring that resources are allocated in areas with the greatest potential for growth.
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when a firm buys or builds facilities in a foreign country it is known as: answer unselected foreign portfolio investment unselected foreign direct investment unselected factoring
When a firm buys or builds facilities in a foreign country, it is known as foreign direct investment.
What is Foreign Direct Investment?Foreign direct investment (FDI) is a form of investment that entails the acquisition or construction of facilities in a foreign country, such as the development of a factory, office, or warehouse. FDI is a strategy used by firms to broaden their horizons by expanding their production capabilities in international markets.
Investment from a foreign country is required for FDI to take place, as the funds are used to purchase or construct assets in the host country. The foreign business's acquisition of assets and management control of the acquired entity are important elements of FDI. Foreign Direct Investment (FDI) is an integral part of the international financial system, with its impact extending to the economies of both the home and host nations.
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how do marketers use data to develop product strategies?
Marketers use data from various sources to identify consumer needs, market trends, and gaps, informing product design, pricing, and promotion strategies for successful product launches and customer satisfaction.
By examining several information sources, such as consumer behavior and market trends, marketers use data to create effective product plans. Data enables marketers to find market possibilities and gaps and create solutions that satisfy customer preferences and demands. To understand consumer behavior and spot new market trends, they analyze sales data, social media analytics, customer feedback, and market research surveys. Product design, price, and advertising methods are influenced by this information. For instance, marketers may create and advertise items that fit this trend if research shows that customers are becoming more interested in eco-friendly goods. This can entail making energy-efficient equipment or utilizing biodegradable packaging. by using data to inform the creation of product plans.
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the revenue agent who audited mr. and mrs. vento's form 1040 assessed a $49,200 tax deficiency. the ventos strongly disagree with the result of the audit. what is their first step in contesting the result?
The Ventos' initial step in opposing the findings of the audit is to request a meeting with the revenue agent's supervisor to discuss the subject and attempt to settle any difficulties informally.
Who does the IRS audit?By taxpayer income, audit trends vary. IRS audited taxpayers with earnings of $500,000 or more and those earning under $25,000 at higher-than-average rates in recent years.
What are the possibilities of an audit?The likelihood of an audit for FY 2021 was 4.1 per 1,000 submitted returns (0.41%). Low-wage earners claiming the earned income tax credit were the taxpayer class with astronomically high audit rates, which were five and a half times higher than nearly everyone else.
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in explaining the importance of supply chain sustainability, bob taylor of taylor guitars explains that one of their perspectives when sourcing wood for their guitars: apples grow on trees and oranges grow on trees, but a. apples taste better than oranges b. guitar strings do not grow on trees c. oranges taste better than apples d. wood does not grow on a tree, so when you harvest wood, you are destroying the entire tree,. therefore, you must protect the forests in order to have a sustainable source for wood.
you must protect the forests to have a sustainable source of wood. The correct option is D.
Supply chain sustainability has gained increasing importance in recent years due to the effects of environmental degradation, which has led to climate change, and social issues such as the exploitation of laborers. Bob Taylor of Taylor Guitars explains that when sourcing wood for their guitars, they consider sustainability, which is important.
Sustainability is concerned with meeting the needs of the present without jeopardizing the ability of future generations to meet their own needs. This is achieved through sustainable management and development, which ensures that natural resources are not depleted faster than they can be replenished. Therefore, protecting forests is important for the sustainability of the guitar industry as it helps to maintain the balance of the ecosystem and the livelihoods of people who depend on the forests for their livelihoods.
Wood does not grow on a tree, so when you harvest wood, you are destroying the entire tree. Therefore, you must protect the forests to have a sustainable source of wood.
So, the correct answer is option D (Wood does not grow on a tree, so when you harvest wood, you are destroying the entire tree. Therefore, you must protect the forests to have a sustainable source for wood).
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Question 37 Which statement illustrates the concept of external cost? Margaret purchases all her food and clothing in the big city outside her residence. A small business owner frequently buys raw materials by using her bank's line of credit. Raymond cannot open his windows at times, because he lives downwind from a mushroom farm Felicia, an economics major, asks the most insightful questions in class.
The correct option is "Raymond cannot open his windows at times, because he lives downwind from a mushroom farm".
External cost is an economic term used to describe costs that are incurred by a third party due to the actions of another person, which in this case is the mushroom farm. As a result, Raymond experiences negative externalities, such as the inability to open his windows at times due to the unpleasant smell coming from the farm.
External cost can be defined as a negative effect on a third party that is not directly involved in the exchange between the buyer and the seller. It occurs when the production or consumption of a good or service causes an uncompensated cost to a third party who was not a party to the transaction.
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External cost is an economic term used to describe costs that are incurred by a third party due to the actions of another person, which in this case is the mushroom farm. As a result, Raymond experiences negative externalities, such as the inability to open his windows at times due to the unpleasant smell coming from the farm.
External cost can be defined as a negative effect on a third party that is not directly involved in the exchange between the buyer and the seller. It occurs when the production or consumption of a good or service causes an uncompensated cost to a third party who was not a party to the transaction.
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describe the primary business activity of marketing.
The following items represent expenditures (or receipts) related to the construction of a new home office for Secrest Investment Company. Cost of land site, which included an abandoned railroad spur $205,000 Legal fees, including title search, relating to land purchase 8,300 Cost of surveying land to confirm boundaries 1,100 Cost of removing railroad tracks 6,500 Payment of delinquent property taxes assumed by the purchaser 6,000 Proceeds from sale of timber from walnut trees cut down to prepare site for construction (23,000) Proceeds from sale of salvaged railroad track (3,500) Grading to prepare land site for construction 8,000 Cost of basement excavation (contracted separately) 3,700 Architect's fees on new building 128,000 Payment to building contractor-original contract price 3,400,000 Cost of changes during construction to make building more energy efficient 95,000 Cost of replacing windows broken by vandals 2,400 Cost of paving driveway and parking lot 17,000 Out-of-court settlement for mud slide onto adjacent property 10,000 Special assessment for paving city sidewalks (paid to city) 26,000 Cost of brick and wrought iron fence installed across front of property 20,500 Required From the given data, compute the proper balances for the Land, Building, and Land Improvements accounts of Secrest Investment Company. Land $ Answer Building $ Answer Land Improvements $ Answer
In total, the Land, Building, and Land Improvements accounts would equal $3,722,400.
The proper balances for the Land, Building, and Land Improvements accounts of Secrest Investment Company would be:
Land: $205,000Building: $3,522,000Land Improvements: $94,400The Land account includes the cost of the land site and the associated fees ($205,000).
The Building account includes the original contract price and the cost of changes made during construction ($3,400,000 + $95,000).
The Land Improvements account includes all of the expenses related to preparing the land for construction, such as surveying, removing railroad tracks, grading, basement excavation, and special assessments ($8,300 + $1,100 + $6,500 + $8,000 + $3,700 + $26,000 + $20,500). Additionally, it includes the proceeds from the sale of timber and salvaged railroad track, and the out-of-court settlement for the mud slide onto adjacent property ($23,000 + $3,500 - $10,000).
In total, the Land, Building, and Land Improvements accounts would equal $3,722,400.
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If your business is wholesale or retail merchandising, the issues of property, plant, and equipment (PPE) constitute your greatest investments and your greatest costs. True or False
The statement "If your business is wholesale or retail merchandising, the issues of property, plant, and equipment (PPE) constitute your greatest investments and your greatest costs" is False.
What is Wholesale and retail merchandising?Wholesale and retail merchandising involves the sale of products to the end-users. It is a process of buying goods from manufacturers and selling them to customers in the wholesale or retail market.
Wholesale merchandising involves buying goods in bulk from manufacturers and reselling them to retailers, while retail merchandising involves the sale of products directly to customers. In such a business, issues of property, plant, and equipment (PPE) do not constitute the greatest investments and costs.
Instead, the greatest investments and costs are the inventories, followed by the employees. For example, in retail merchandising, the most significant investment is the inventory of the products. The store must have sufficient products to meet the customer's demands.
Therefore, the company has to manage its inventories efficiently to avoid overstocking or understocking.
In addition, employees are a significant cost for both wholesale and retail merchandising. The success of such businesses is largely dependent on how well the employees perform their duties, including customer service, store upkeep, and inventory management.
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Mountain High Ice Cream Company transferred $72,000 of accounts receivable to the Prudential Bank. The transfer was made with recourse. Prudential remits 90% of the factored amount to Mountain High and retains 10% to cover sales returns and allowances. When the bank collects the receivables, it will remit to Mountain High the retained amount (which Mountain estimates has a fair value of $6,200). Mountain High anticipates a $4,200 recourse obligation. The bank charges a 2% fee (2% of $72,000), and requires that amount to be paid at the start of the factoring arrangement. Required: Prepare the journal entry to record the transfer on the books of Mountain High assuming that the sale criteria are met. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
The journal entry to record the transfer on the books of Mountain High assuming that the sale criteria are met.
Cash 64,800
Receivable from factor 4,760
loss on sale of receivables 2,440
Mountain High transferred accounts receivable to the Prudential Bank. The transfer was made with recourse. The bank remits 90% of the factored amount to Mountain High and retains 10% to cover sales returns and allowances.
When the bank collects the receivables, it will remit to Mountain High the retained amount (which Mountain estimates have a fair value of $6,200). Mountain High anticipates a $4,200 recourse obligation. The bank charges a 2% fee (2% of $72,000) and requires that amount to be paid at the start of the factoring arrangement.
Therefore, the following journal entry will be made to record the transfer of accounts receivable from Mountain High to Prudential Bank:
Cash 64,800
Receivable form factor 4,760
Loss on sale of receivables 2,440
Accounts receivable 72,000
The entry debits cash for 90% of $72,000 = $64,800 and the loss on sale of receivables for the 2% fee of $1,440 ($72,000 x 2%).
It credits accounts receivable for the total amount of accounts receivable transferred. It also credits receivable from factor for the remaining balance of the cash that will be received from Prudential Bank.
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In recent years, commercial banks have been allowed to
A) invest in real estate.
B) enter certain insurance markets.
C) underwrite stocks.
D) do all of the above.
E) do only A and B of the above.
In recent years, commercial banks have been allowed to invest in real estate, enter certain insurance markets, and underwrite stocks. The correct answer is D.
What are Commercial banks?
A commercial bank is a financial institution that accepts deposits from the general public and organizations, making a profit from the difference between interest rates charged on loans, payment services, and interest paid on deposits. Some of the services provided by commercial banks include checking and savings accounts, loans, credit, and debit cards, insurance policies, investments, and financial planning services.
Commercial banks are for-profit businesses that take deposits from the general public and lend money to individuals like households, business owners, and entrepreneurs.
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what is the discount yield, bond equivalent yield, and effective annual return on a $7 million commercial paper issue that currently sells at 98.75 percent of its face value and is 143 days from maturity?
The discount yield, bond equivalent yield, and effective annual return on a $7 million commercial paper issue that currently sells at 98.75 percent of its face value and is 143 days from maturity are 2.20%, 4.49%, and 8.77% respectively.
The formula for discount yield is:discount yield[tex]= (discount / face value) * (360 / days until maturity)[/tex]
Given that the face value is $7 million, the commercial paper sells at 98.75 percent of its face value. So, the discount is [tex]$7,000,000 × (1 - 0.9875) = $87,500[/tex]
The number of days until maturity is 143. Therefore,
[tex]discount yield = ($87,500 / $7,000,000) × (360 / 143) = 2.20%[/tex]
Bond equivalent yield is given by the formula:[tex]bond equivalent yield = 2 × [(face value - price) / price] × (365 / days until maturity)[/tex]
Here, the face value is $7 million, and the price is 98.75% of the face value. Therefore,
[tex]price = $7,000,000 × 0.9875 = $6,912,500[/tex]
Substituting the values in the formula, we get
[tex]Bond equivalent yield = 2 × [($7,000,000 - $6,912,500) / $6,912,500] × (365 / 143) = 4.49%[/tex]
The effective annual return is calculated as:[tex]effective annual return = (1 + periodic rate) ^ (365 / days) - 1[/tex]
[tex]Effective annual return = (1 + 0.02245) ^ (365 / 143) - 1 = 8.77%[/tex]
Therefore, the discount yield, bond equivalent yield, and effective annual return on a $7 million commercial paper issue that currently sells at 98.75 percent of its face value and is 143 days from maturity are 2.20%, 4.49%, and 8.77% respectively.
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a government begins the year with $6 trillion of public debt. during the year, it collects taxes of $4 trillion and spends $7 trillion on transfers and government purchases of goods and services. if the government borrows from individuals and institutions outside the government to pay for the deficit, the public debt at the end of the year would be:
The initial public debt of the government is $6 trillion. Hence, the correct option is (c) $9 trillion.
During the year, the government collects $4 trillion from taxes and spends $7 trillion on transfers and government purchases of goods and services. This implies that the government runs a budget deficit of $3 trillion ($7 trillion - $4 trillion).
To pay for the budget deficit, the government borrows from individuals and institutions outside the government. Hence, the public debt at the end of the year would be $9 trillion ($6 trillion + $3 trillion). Hence, the correct option is (c) $9 trillion.
The question is:
a government begins the year with $6 trillion of public debt. during the year, it collects taxes of $4 trillion and spends $7 trillion on transfers and government purchases of goods and services. if the government borrows from individuals and institutions outside the government to pay for the deficit, the public debt at the end of the year would be:
a) $5 trillion
b) $7 trillion
c) $9 trillion
d) $15 trillion
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a production company needs to finance a piece of equipment (fixed asset) with a useful life of 5 years. the most appropriate credit structure would be a
A production company needs to finance a piece of equipment (fixed asset) with a useful life of 5 years. As a result, businesses must use loan credit structures to help them finance the purchase of equipment.
LoansThe most appropriate credit structure for a production company to finance a piece of equipment with a useful life of 5 years is a medium-term loan. Medium-term loans, also known as installment loans, are financial loans that are repayable in 2 to 10 years, with monthly, semi-annual, or annual payments.
Since the equipment has a useful life of 5 years, a medium-term loan with an equal repayment period would be ideal for a production company to finance a piece of equipment with a useful life of 5 years. Medium-term loans are advantageous in that they can be used to finance capital investments, such as equipment purchases.
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The CEO of Redd Inc. needs to know the names of the line managers in the company who will soon be ready to take up positions in middle management. The CEO can obtain this information from the _____.A) demand forecastB) job analysisC) supply forecastD) job evaluationE) replacement chart
The correct answer is E," for "replacement chart. The CEO of Redd Inc. can obtain the names of the line managers in the company who will soon be ready to take up positions in middle management from the replacement chart.
What is a replacement chart? A replacement chart is a document that outlines the current status of a company's management succession plan. This strategy ensures that the company is always prepared to fill the key roles when they become available. The main objective of creating a replacement chart is to identify and prepare the most qualified employees to fill key positions in the company when they become available. This makes the succession planning process much smoother and ensures that the company can continue to operate without disruption even when a key employee leaves the organization.
Therefore, in this case, the CEO of Redd Inc. can obtain the names of the line managers in the company who will soon be ready to take up positions in middle management from the replacement chart.
The correct answer is E," for "replacement chart.
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