South Beach Apparel issued 15,000 shares of $3 par value for $15 per share. What is true about the journal entry to record the issuance? Credit Additional Paid-In Capital $180,000 Credit Common Stock $225,000 Debit Common Stock $45,000 Credit Cash $225,000 On December 2, Coley Corp. reacquired 1,500 shares of its $4 par value common stock for $20 each. On December 20, Coley Corp. reissued 1,100 shares for $11 each. Which of the following is correct regarding the journal entry for the reissued shares? Credit Treasury Stock $22,000 Debit Cash $16,500 Credit Additional Paid-in Capital $7,700 Credit Treasury Stock $12,100 The ending Retained Earnings balance of Lambert Inc. increased by $1.5 million from the beginning of the year. The company's net income earned during the year is $4.5 million. What is the amount of dividends Lambert Inc. declared and paid? $1 $4.5 million. $6.0 million. $3.0 million.

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Answer 1

The amount of dividends Lambert Inc. declared and paid is $3.0 million.

The correct journal entry to record the issuance of 15,000 shares of $3 par value for $15 per share is:

Credit Common Stock $45,000 (15,000 shares x $3 par value)

Credit Additional Paid-In Capital $180,000 (15,000 shares x ($15 market price - $3 par value))

Debit Cash $225,000

Regarding the reissued share's journal entry:

Credit Treasury Stock $16,500 (1,500 shares x $20 reacquisition cost)

Debit Cash $12,100 (1,100 shares x $11 reissuance price)

Credit Additional Paid-in Capital $7,700 (plug)

To find the amount of dividends declared and paid, we need to use the following formula:

Dividends = $4.5 million - $1.5 million

Dividends = $3.0 million

Therefore, the amount of dividends Lambert Inc. declared and paid is $3.0 million

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Which type of "cookies" enables a user to stay logged to a site and keeps your shopping cart intact as you click from page to page? out of Select one:

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The type of cookie that enables a user to stay logged to a site and keeps their shopping cart intact as they click from page to page is called a session cookie. This type of cookie is created when a user first visits a website and is stored temporarily in their browser's memory.

Session cookies work by assigning a unique identifier to each user's session on a website. This identifier is used to keep track of the user's actions on the site, such as adding items to their shopping cart, without requiring them to constantly re-enter their login credentials. As long as the user stays on the website, their session cookie remains active, allowing them to navigate the site without any interruptions to their shopping experience. However, once the user closes their browser or logs out of the site, the session cookie is deleted and their session ends.

Overall, session cookies are a convenient and efficient way for websites to provide a personalized user experience, allowing users to stay logged in and keep their shopping carts intact as they navigate the site.

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capital is to investment as a. hard is to soft. b. a flow is to a stock. c. a stock is to a flow. d. paper is to metal.

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Capital is to investment as :b. a flow is to a stock.

The correct answer to the question is b. A flow is to a stock. The terms "capital" and "investment" are often used interchangeably, but they refer to slightly different things. Capital refers to the resources that a company or individual has at their disposal, including money, equipment, and other assets. Investment, on the other hand, refers specifically to the allocation of these resources in a way that is expected to generate a financial return. Similarly, a flow is a measure of the rate at which resources are being used or generated, while a stock is a measure of the total amount of a resource that is available at a given point in time. In the context of investing, the flow of capital refers to the rate at which money is being invested or withdrawn from a particular asset or portfolio, while the stock of capital refers to the total value of that asset or portfolio. To illustrate the difference between these terms, consider the example of a stock portfolio. The value of the portfolio at any given time represents the stock of capital, while the transactions that take place over time, such as buying and selling individual stocks, represent the flow of capital. In conclusion, the relationship between capital and investment can be likened to the relationship between a stock and a flow. While they are related, they represent different aspects of the same underlying concept. Understanding these differences is crucial for making informed investment decisions and managing financial resources effectively. Therefore option B) is correct.

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Capital is to investment as A flow is to a stock.

Capital is to investment as a stock is to a flow. Investment refers to the creation of new capital goods or the addition of value to the existing ones, while capital refers to the stock of resources, including financial and physical assets, available for production. Similarly, a flow refers to a quantity measured over time, such as an investment or consumption expenditure, while a stock refers to a quantity measured at a specific point in time, such as the level of capital. Therefore, capital and stock are both accumulated over time, while investment and flow are both measured over time.


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with increasing complexity in relationships between companies and customers, many sales organizations are using more:

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Finally, the direct threat to jobs posed by removing complexity stiffens resistance to change. Organisations frequently become more complex over time for all of the aforementioned reasons. As a result, a company's ability to reinvent itself and grow sustainably is less likely the bigger and older it is.

Less than a third of salespeople's time is usually spent dealing with clients. This is a significant opportunity. You might extend your sales reps' selling time by an additional 10% to 20% if you modify your sales model to place them where they can have the greatest impact. That would significantly increase the total addressable market in the majority of firms.

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Martin, the unit manager, receives complaints from community agencies that patients who have been discharged from his unit seem to lack understanding about their disorder and immediate strategies for managing elements of their care. Martin checks the patient teaching sheets and notes that the sheets are initialed by staff. He calls the agencies and indicates that teaching has been done. Martin's follow-up to complaints from the community is:

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As the unit manager, Martin needs to take a proactive approach to address the complaints from community agencies regarding the lack of patient understanding of their disorder and care management strategies.

He could conduct a thorough review of the patient teaching sheets to identify any potential gaps in the information provided. Additionally, Martin could implement a quality assurance program to ensure that all staff members are following the same protocol for patient education. Martin could also consider organizing a meeting with representatives from the community agencies to gain a better understanding of their concerns and feedback. This would provide an opportunity for Martin to clarify any confusion and demonstrate his commitment to addressing the issue. Furthermore, Martin should consider providing additional training to his staff members on effective patient education techniques.

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The measurement of how well a CRM program prioritizes customers based on each customer's profitability is referred to as.

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The measurement of how well a CRM (Customer Relationship Management) program prioritizes customers based on their profitability is referred to as customer profitability analysis or customer profitability measurement.

Customer profitability analysis involves evaluating the financial contribution of individual customers to the company's bottom line. It takes into account not only the revenue generated by each customer but also the associated costs, such as marketing, sales, and service expenses, to determine the net profitability of the customer. By analyzing customer profitability, companies can identify high-value customers who contribute significantly to their profitability and prioritize their efforts towards serving and retaining those customers. This analysis helps in allocating resources effectively, tailoring marketing strategies, and making informed decisions regarding customer acquisition, retention, and relationship management. CRM programs that incorporate customer profitability analysis enable companies to segment their customer base, identify profitable customer segments, and design strategies to maximize the profitability of their customer relationships.

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Using the CAPM, calculate the Expected Return for the Nittany Company: Alpha = 2.5%; Beta = 0.8 T-Bill Rate = 5%; S&P 500 average return rate = 8%; WACC = 7%.
A. 7.4% B. 8.1% C. 6.3% D. 8.5% E. 9.4%

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The expected return for the Nittany Company using the CAPM is 7.4%. Therefore, the correct option is A.

To calculate the expected return for the Nittany Company using Capital Asset Pricing Model (CAPM), we can use the following formula:

Expected Return = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)

Where,

Risk-Free Rate = 5%

Beta = 0.8

Market Return = S&P 500 average return rate = 8%

Plugging in the values, we get:

Expected Return = 5% + 0.8 * (8% - 5%)

Expected Return = 5% + 0.8 * 3%

Expected Return = 5% + 2.4%

Expected Return = 7.4%

Therefore, the expected return for the Nittany Company using CAPM is 7.4%. Option A is the correct answer.

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which shoe company was the first to introduce a microchip?

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The first shoe company to introduce a microchip in their shoes was Nike.

In the mid-1980s, Nike introduced the Nike Air Pressure, a basketball shoe that featured a built-in pump system to adjust the shoe's fit. The pump system utilized a microchip to control the inflation and deflation of air chambers within the shoe. This innovation allowed athletes to customize the fit and support of the shoe to their preference. The introduction of the microchip in footwear was a significant advancement in athletic shoe technology and showcased Nike's commitment to innovation and performance-enhancing features.

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For many ipos, the lead underwriter has a(an) _______ option, which allows it to allocate an additional 15 percent of the firm’s shares for a period of up to 30 days after the ipo.

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For many ipos, the lead underwriter has a(an) greenshoe option, which allows it to allocate an additional 15 percent of the firm’s shares for a period of up to 30 days after the ipo.

This option allows the lead underwriter to purchase up to an additional 15 percent of the firm’s shares for a period of up to 30 days after the IPO. This additional allocation of shares is used to meet the increased demand for the company’s stock. If the stock prices increase after the IPO, the lead underwriter can sell these additional shares at a higher price, thereby profiting from the difference.

The greenshoe option also helps to stabilize the stock price by lowering the volatility of the stock price. This helps to ensure that the IPO is successful and that the stock prices do not suffer from extreme volatility. The greenshoe option also allows the lead underwriter to adjust the IPO’s price range to better suit the current market conditions.

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in the convict lease system, counties and states leased thousands of prisoners to private individuals and companies to work in cotton fields, mines, and forests of the deep south.truefalse

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The statement that "in the convict lease system, counties and states leased thousands of prisoners to private individuals and companies to work in cotton fields, mines, and forests of the deep south" is true, because This system was prevalent in the Southern United States after the Civil War and was a way for local governments to generate revenue

The convict lease system was a practice in which prisoners were leased to private individuals and businesses to perform labor, often under harsh conditions. This system was prevalent in the Southern United States after the Civil War and was a way for local governments to generate revenue while also addressing labor shortages in the region.

Prisoners who were part of the convict lease system worked in various industries, including cotton fields, mines, and forests, which were all integral to the economy of the deep south at that time. This exploitative practice was eventually replaced by chain gangs and prison farms in the early 20th century, but its legacy continues to affect the American criminal justice system today.

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Complete question:

in the convict lease system, counties and states leased thousands of prisoners to private individuals and companies to work in cotton fields, mines, and forests of the deep south.

true

false

How does a marketable permit program encourage innovation? a) By lowering the total allowable pollution each year. b) By rewarding companies that reduce pollution.

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A marketable permit program is a policy tool used by governments to reduce pollution in a cost-effective way. Option B

This program sets a cap on the total amount of pollution allowed in a given year and then distributes a fixed number of permits to companies that allow them to emit a certain amount of pollution. The permits are tradable, which means that companies that emit less pollution can sell their excess permits to companies that emit more.

This program encourages innovation by providing a financial incentive for companies to reduce their pollution levels. By setting a cap on the total allowable pollution, companies are encouraged to find innovative ways to reduce their emissions in order to stay below their allotted permit levels.

Companies that are able to reduce their emissions below their permitted levels can then sell their excess permits for a profit. This creates a financial reward for companies that are able to innovate and reduce their pollution levels.

In addition, the marketable permit program provides companies with flexibility in how they choose to reduce their emissions. Instead of mandating specific pollution control measures, the program allows companies to choose the most cost-effective methods for reducing their emissions.

This flexibility encourages companies to invest in new technologies and processes that may not have been feasible under a more rigid regulatory approach.

Overall, the marketable permit program encourages innovation by providing financial incentives for companies to reduce their emissions and allowing them flexibility in how they choose to achieve those reductions.

This creates a market-based approach to reducing pollution that rewards innovation and encourages companies to invest in new technologies and processes that can lead to further reductions in emissions over time. So Option B is correct.

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A marketable permit program encourages innovation by rewarding companies that reduce pollution through the issuance of tradable permits. The correct answer is (b).

Under a marketable permit program, companies are allocated a certain number of permits that allow them to emit a certain amount of pollution. If a company emits less pollution than their allocated permits allow, they can sell the excess permits to other companies that need them. This creates a market for pollution permits, which encourages companies to innovate and find ways to reduce their emissions in order to sell their excess permits and earn a profit.

By rewarding companies that reduce pollution, a marketable permit program encourages innovation in several ways. First, it provides a financial incentive for companies to invest in new technologies and processes that can help them reduce their emissions. Second, it encourages companies to find creative solutions to reduce emissions in ways that are most cost-effective, rather than simply meeting regulatory requirements. Third, it promotes competition among companies to reduce emissions, which can lead to further innovation and cost savings.

In contrast, lowering the total allowable pollution each year (answer a) may encourage companies to find ways to comply with the new regulations, but it does not necessarily provide a direct incentive for companies to innovate and develop new technologies or processes to reduce pollution.

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The ledger of Kingbird, Inc. at the end of the current year shows Accounts Receivable $82,000; Credit Sales $810,000; and Sales Returns and Allowances $42,000.(a) If Kingbird uses the direct write-off method to account for uncollectible accounts, journalize the adjusting entry at December 31, assuming Kingbird determines that Matisse’s $850 balance is uncollectible.(b) If Allowance for Doubtful Accounts has a credit balance of $1,350 in the trial balance, journalize the adjusting entry at December 31, assuming bad debts are expected to be 10% of accounts receivable.(c) If Allowance for Doubtful Accounts has a debit balance of $450 in the trial balance, journalize the adjusting entry at December 31, assuming bad debts are expected to be 8% of accounts receivable.

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(a) Debit Bad Debt Expense: $850 Credit Accounts Receivable - Matisse: $850

(b) Debit Bad Debt Expense: $6,850 Credit Allowance for Doubtful Accounts: $6,850

(c)  Debit Bad Debt Expense: $7,010 Credit Allowance for Doubtful Accounts: $7,010

(a) The direct write-off method does not use an allowance for doubtful accounts. Instead, the bad debt expense is recognized at the time of writing off the uncollectible account. Therefore, the adjusting entry on December 31 to write off Matisse's $850 balance would be:

Bad Debt Expense $850
  Accounts Receivable - Matisse $850

(b) If Allowance for Doubtful Accounts has a credit balance of $1,350 in the trial balance and bad debts are expected to be 10% of accounts receivable, the adjusting entry on December 31 would be:

Bad Debt Expense $6,350 ($82,000 x 10% - $1,350)
  Allowance for Doubtful Accounts $6,350

(c) If Allowance for Doubtful Accounts has a debit balance of $450 in the trial balance and bad debts are expected to be 8% of accounts receivable, the adjusting entry on December 31 would be:

Bad Debt Expense $6,150 ($82,000 x 8% + $450)
  Allowance for Doubtful Accounts $6,600 ($6,150 + $450) [to bring the balance to a credit of $6,600]


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largo company recorded for the past year sales of $409,500 and average operating assets of $273,000. what is the margin that largo company needed to earn in order to achieve an roi of 10.5%?

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The margin that Largo Company needed to earn in order to achieve an ROI of 10.5% is 12.63%.

To calculate this margin, we can use the ROI formula and rearrange it to find the required margin.

The ROI (Return on Investment) formula is:

ROI = (Margin × Asset Turnover)

In this case, Largo Company has sales of $409,500 and average operating assets of $273,000. The desired ROI is 10.5%. To find the margin, we first need to calculate the asset turnover, which is the ratio of sales to average operating assets:

Asset Turnover = Sales / Average Operating Assets
Asset Turnover = $409,500 / $273,000
Asset Turnover ≈ 1.50

Now, we can rearrange the ROI formula to solve for the margin:

Margin = ROI / Asset Turnover
Margin = 10.5% / 1.50
Margin ≈ 0.1263 or 12.63%

So, Largo Company needed to earn a margin of 12.63% in order to achieve an ROI of 10.5% with the given sales and average operating assets.

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Answer each of the following questions assuming the economy is experiencing a negative output gap because of the demand shock.
a. In the short-run inflation and unemployment are (select one) (both decreasing, both increasing, increasing and decreasing respectively, decreasing and increasing respectively)
b. This can be shown as a (select one) an upward movement along the short-run Phillips curve, an upward shift of the short-run Phillips curve, a downward movement along the short-run Phillips curve, a downward shift of the short-run Phillips curve

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Assuming the economy is experiencing a negative output gap because of the demand shock, in the short run, inflation and unemployment are both decreasing. This is because the negative output gap means that there is an excess supply of goods and services in the economy, leading to a decrease in prices.

As a result, firms have less revenue and are forced to lay off workers, leading to an increase in unemployment. However, the decrease in prices and wages also means that there is less pressure on prices to rise, resulting in lower inflation. This can be shown as a downward movement along the short-run Phillips curve. The Phillips curve is a graphical representation of the inverse relationship between unemployment and inflation in the short run. A negative output gap results in lower inflation and higher unemployment, causing a movement along the Phillips curve in a downward direction. This indicates that the economy is experiencing a short-term tradeoff between inflation and unemployment. However, in the long run, the Phillips curve is vertical, indicating that there is no tradeoff between inflation and unemployment, and the economy will tend towards its natural rate of unemployment.

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lessee company enters into a lease on january 1, 2024, that is accounted for as a finance lease. the lease calls for quarterly payments of $15,000, beginning on january 1, 2024, and continuing for 5 years. the last payment is due on october 1, 2028. the lease has an implicit annual interest rate of 8%. the present value of an annuity due at 8% per period for 5 periods is 4.312; the present value of an annuity due at 2% per period for 20 periods is 16.678. what amount will lessee report as a lease payable (not including accrued interest) in its balance sheet on december 31, 2024?

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The lessee company will report a lease payable of $163,565.39 in its balance sheet on December 31, 2024.

To calculate the lease payable for the lessee company on December 31, 2024, we need to determine the present value of the lease payments made during the year. Since the lease is accounted for as a finance lease, we need to use the implicit interest rate of 8%.
First, we need to calculate the present value of the quarterly payments for one year. We can use the formula for the present value of an annuity due to calculate this:
PV = PMT x [(1 - (1 + r)^-n) / r] x (1 + r) Where PV is the present value, PMT is the payment amount, r is the interest rate per period, and n is the number of periods.
Using the given values, we get: PV = $15,000 x [(1 - (1 + 0.08/4)^-4) / (0.08/4)] x (1 + 0.08/4) = $55,121.72
This means that the present value of the lease payments for one year is $55,121.72.
To find the lease payable for December 31, 2024, we need to subtract the present value of the lease payments made from January 1, 2024, to December 31, 2024, from the total lease obligation. The total lease obligation is the present value of the lease payments for the entire lease term, which is 20 quarters or 5 years. We can use the formula for the present value of an annuity due again to calculate this:
PV = PMT x [(1 - (1 + r)^-n) / r] x (1 + r) Using the given values, we get:
PV = $15,000 x [(1 - (1 + 0.08/4)^-20) / (0.08/4)] x (1 + 0.08/4) = $218,687.11 Therefore, the lease payable on December 31, 2024, is: $218,687.11 - $55,121.72 = $163,565.39
Therefore, the lessee company will report a lease payable of $163,565.39 in its balance sheet on December 31, 2024.

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If you hit a deer on the road, your collision coverage would take care of your expenses. a. trueb. False

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The statement "If you hit a deer on the road, your collision coverage would take care of your expenses" is generally true. Collision coverage is an optional type of car insurance.

That pays for damages to your vehicle if you hit another car, object, or if your car flips over. Hitting a deer on the road is considered a collision, and as long as you have collision coverage, it should cover the cost of repairs or replacement of your car. However, it's important to note that there may be certain limitations or exclusions in your policy, such as a deductible or a maximum payout amount. It's also important to report the accident to your insurance company as soon as possible and provide any necessary documentation, such as a police report or photos of the damage.
In conclusion, while there may be some caveats to consider, generally speaking, if you hit a deer on the road and have collision coverage, your insurance should cover your expenses.

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what is the process of retraining an employee to return to the workforce called

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The process of retraining an employee to return to the workforce is commonly referred to as "reskilling" or "retraining." It involves equipping individuals with new or updated skills and knowledge to adapt to changes in their job roles or industries.

Reskilling or retraining typically begins with assessing the employee's existing skills and identifying areas where improvement or additional training is needed. This evaluation helps determine the specific skills gap that needs to be addressed. Once the skill gaps are identified, a customized training plan is developed to provide the necessary education and training.

The retraining process can involve a variety of methods, such as classroom training, online courses, workshops, on-the-job training, mentoring programs, or even job rotations. The goal is to provide employees with the knowledge and skills required to meet the demands of their new or updated job roles effectively. Ongoing support and guidance are often provided throughout the retraining process to ensure the employee's successful transition back into the workforce.

Overall, reskilling or retraining is a proactive approach to help employees adapt to changing work environments, technological advancements, or evolving job requirements. By investing in their development, organizations can enhance employee productivity, job satisfaction, and overall competitiveness in the market.

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TRUE/FALSE. When the lessee guarantees an estimated residual value of $75,000, the amount the lessee records as a right-of-use asset and as a lease liability is increased by $75,000.

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The given statement " When the lessee guarantees an estimated residual value of $75,000, the amount the lessee records as a right-of-use asset and as a lease liability is increased by $75,000 " is False.

When a lessee guarantees an estimated residual value of $75,000, it does not increase the amount that the lessee records as a right-of-use asset and as a lease liability. The reason is that the guaranteed residual value is considered a separate asset or liability and should be accounted for separately from the right-of-use asset and lease liability.

Instead, the lessee should recognize a separate asset or liability for the estimated residual value of the leased asset. If the estimated residual value is guaranteed by the lessee, the lessee should recognize a liability for the present value of the guaranteed amount. Conversely, if the estimated residual value is guaranteed by a third party, the lessee should recognize a receivable for the present value of the guaranteed amount.

In conclusion, when the lessee guarantees an estimated residual value, it does not directly impact the initial measurement of the right-of-use asset and lease liability. Instead, it should be accounted for separately as a guarantee liability or guarantee receivable.

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Abercrombie and Fitch is a leading retailer of casual apparel for men, women, and children. Assume that you are employed as a stock analyst and your boss has just completed a review of the new Abercrombie annual report. She provided you with her notes, but they are missing some information that you need. Her notes show that the ending inventory for Abercrombie in the current and previous years was $424,393,000 and $399,795,000, respectively. Net sales for the current year were $3,492,690,000. Cost of goods sold was $1,408,848,000. Income before taxes was $55,161,000.
Required: Determine the amount of purchases for the year. (Hint: Use the cost of goods sold equation or the inventory T-account to solve for the needed value.)'

Answers

The answer is , the amount of purchases for the year was $1,451,991,000.

How to find?To determine the amount of purchases for the year, we can use the cost of goods sold equation, which is: Beginning Inventory + Purchases - Ending Inventory = Cost of Goods Sold. We have the ending inventory for both the current and previous years, which are $424,393,000 and $399,795,000, respectively. We also have the cost of goods sold for the current year, which is $1,408,848,000. Using these numbers, we can solve for the purchases by rearranging the equation: Purchases = Beginning Inventory + Cost of Goods Sold - Ending Inventory. However, we do not have the beginning inventory, so we need to use the T-account method to calculate it. By doing so, we can determine that the beginning inventory for the current year was $382,250,000.

Therefore, the amount of purchases for the year was $1,451,991,000 ($382,250,000 + $1,408,848,000 - $424,393,000).

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which of the following is not an objective of managerial accounting? multiple choice question. assessing the organization's competitive position. providing information for decision making and planning. motivating employees to meet the organization's goals. providing information for creditors and investors.

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The objective of managerial accounting that is not listed in the given options is motivating employees to meet the organizations goals. Managerial accounting is the process of identifying, measuring, analyzing, interpreting, and communicating financial information that is useful to the internal management of an organization.

The primary objectives of managerial accounting are to provide relevant and timely information for decision-making, planning, and controlling organizational activities. Assessing the organizations competitive position is an important objective of managerial accounting because it helps managers to understand the strengths and weaknesses of their organization relative to its competitors. This information can be used to develop strategies that will help the organization to achieve a sustainable competitive advantage. Providing information for decision making and planning is another critical objective of managerial accounting.

This objective involves the preparation of financial reports and analysis that help managers to make informed decisions about resource allocation, investment opportunities, and performance evaluation. Providing information for creditors and investors is also an important objective of managerial accounting. Managers need to communicate the financial performance and position of the organization to external stakeholders, such as creditors and investors. This information can help these stakeholders to make informed decisions about lending or investing in the organization. Motivating employees to meet the organization's goals, however, is not an objective of managerial accounting. While managerial accounting information can be used to evaluate employee performance and provide feedback, the primary responsibility for motivating employees lies with the human resources function and the management team.

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You purchased a share of stock for $65. One year later you received $2.37 as a dividend and sold the share for $63. What was your holding-period return?
A. 0.57% B. -0.2550% C. -0.89% D. 1.63% E. none of the options

Answers

The correct answer is B. -0.2550%.

To calculate the holding-period return, we need to use the formula:
Holding-period return = (Ending value - Beginning value + Dividend) / Beginning value
In this case, the Beginning value is $65 (the price at which the share was purchased), the Dividend is $2.37 (the amount received after one year), and the Ending value is $63 (the price at which the share was sold after one year).
So, the holding-period return = ($63 - $65 + $2.37) / $65 = -$0.2550 or -0.2550%.
Therefore, the correct answer is B. -0.2550%.
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Using put-call parity, you can form a synthetic long stock position by:A) Buying a risk-free bond, buying a call option, and buying a put optionB) Buying a risk-free bond, selling a call option, and selling a put optionC) Buying a risk-free bond, buying a call option, and selling a put optionD) Buying a risk-free bond, selling a call option, and buying a put option

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Using put-call parity, you can form a synthetic long stock position by: Buying a risk-free bond, buying a call option, and selling a put option. The correct option is option C.

This combination allows you to replicate the payoff of holding the stock, without actually owning it. The risk-free bond provides the initial investment, the purchased call option gives you the right to buy the stock at a specific price, and selling the put option generates income that helps offset the cost of the call option while obligating you to buy the stock if it falls below a certain price.

This strategy allows you to benefit from the stock's potential upside while limiting your downside risk. The correct option is option C.

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Complete question:

Using put-call parity, you can form a synthetic long stock position by:`

A) Buying a risk-free bond, buying a call option, and buying a put option

B) Buying a risk-free bond, selling a call option, and selling a put option

C) Buying a risk-free bond, buying a call option, and selling a put option

D) Buying a risk-free bond, selling a call option, and buying a put option

The shape of the advertising response function follows a(n)_________ a. inverted "U" curve b. straight line with a positive slope o elongated "S" c. inverse curve d. exponential curve

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The inverted "U" curve is the most common shape, but other shapes may be seen depending on the product, target audience, and level of competition. By identifying the shape of the curve, marketers can determine the optimal level of advertising expenditure to maximize sales and ROI.

The shape of the advertising response function can have a significant impact on marketing strategies. This function helps in identifying the relationship between the amount of advertising expenditure and the sales that are generated as a result of that advertising. It essentially measures the effectiveness of advertising campaigns. The shape of this curve can vary depending on different factors such as the type of product being advertised, the target audience, and the level of competition.
The most common shape of the advertising response function is the inverted "U" curve. This curve suggests that sales increase as advertising expenditure increases up to a certain point, but beyond that point, further advertising expenditure results in diminishing returns. This means that at a certain point, consumers may become saturated with advertising messages and are less likely to respond to additional advertising.
However, in some cases, the advertising response function may follow an elongated "S" shape. This curve suggests that there is a slow start to the response function, but as advertising expenditure increases, sales increase at an increasing rate until a saturation point is reached, after which further advertising expenditure results in diminishing returns.
The function can also take the form of an exponential curve, which suggests that a small increase in advertising expenditure can result in a significant increase in sales. This shape of the curve is usually seen in industries where there is high competition and advertising is used to differentiate products from competitors.
In conclusion, understanding the shape of the advertising response function is critical to developing effective marketing strategies.

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28. true or false? findings of the center for financial services studies indicate that employee financial stress permeates the workplaces of virtually all industries and professions.

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True. The findings of the Center for Financial Services Studies suggest that employee financial stress is present in workplaces across various industries and professions.

The Center for Financial Services Studies has conducted research indicating that employee financial stress is a pervasive issue affecting workplaces in virtually all industries and professions. Financial stress can arise from various factors, such as mounting debt, insufficient savings, or unstable financial situations. This stress can significantly impact employees' well-being, productivity, and overall job performance.

The study suggests that financial stress does not discriminate based on job type or industry. It affects employees at all levels, from entry-level positions to senior executives. This phenomenon highlights the universal nature of financial stress and its ability to permeate workplace environments.

Employers are increasingly recognizing the detrimental effects of financial stress on their employees and the overall success of their organizations. As a result, many companies are implementing financial wellness programs and initiatives to support their employees in managing their finances effectively. These programs may include financial education workshops, access to financial advisors or counselors, and assistance with debt management or savings strategies.

By addressing employee financial stress, organizations can create a more supportive and productive work environment. Helping employees alleviate financial concerns can lead to improved job satisfaction, reduced absenteeism, increased focus and engagement, and enhanced overall well-being. Recognizing and addressing the pervasiveness of financial stress is crucial for employers seeking to create a positive and thriving workplace culture.

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some economists believe that the benefits of regional integration are determined by the extent of trade blank______, as opposed to trade blank______.

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Some economists believe that the benefits of regional integration are determined by the extent of trade creation, as opposed to trade diversion.

Regional integration refers to the process of countries within a geographic region coming together to form agreements and partnerships that promote economic cooperation, trade, and investment. Two key concepts associated with regional integration are trade creation and trade diversion. Trade creation occurs when regional integration leads to the creation of new trade flows between member countries, resulting in increased economic activity and welfare gains.

On the other hand, trade diversion occurs when regional integration diverts trade away from more efficient non-member countries towards less efficient member countries, leading to economic inefficiencies and welfare losses. Some economists argue that the benefits of regional integration are determined by the extent to which it stimulates trade creation, as this leads to overall economic growth and positive welfare effects for participating countries.

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a $1,000 face value bond with a quoted price of 98 is selling for group of answer choices $1,000. $980. $908. $98.

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A $1,000 face value bond with a quoted price of 98 is selling $980.

A bond is a fixed-income investment in which an investor lends money to an entity, typically a corporation or government, for a specified period at a fixed or variable interest rate.

The face value of a bond is the amount that the issuer will pay back to the bondholder at maturity, and it is usually set at $1,000 for corporate bonds.

The quoted price of a bond represents the percentage of its face value that an investor is willing to pay for the bond. In this case, a bond with a face value of $1,000 has a quoted price of 98, which means that the investor is willing to pay 98% of the face value, or $980, for the bond.

Therefore, the bond is selling for $980. It is important to note that the quoted price of a bond can vary depending on market conditions, interest rates, creditworthiness of the issuer, and other factors that can affect the demand and supply of bonds.

Investors should always consider the risks and benefits of investing in bonds and seek professional advice before making any investment decisions.

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FILL IN THE BLANK. The PSLRA changes the legal liability standard for auditors from ___________-and-several liability to _______________ liability.

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The PSLRA changes the legal liability standard for auditors from joint-and-several liability to proportionate liability.

The Private Securities Litigation Reform Act (PSLRA) introduced changes to the legal liability standard for auditors. Prior to the PSLRA, auditors were held under joint-and-several liability, which meant that if multiple defendants were found liable for damages, each defendant could be held responsible for the entire amount of the damages. However, the PSLRA shifted the liability standard to proportionate liability. Proportionate liability means that each defendant is responsible for a portion of the damages that corresponds to their degree of fault or contribution. This change aimed to reduce the potential for auditors to face excessive liability and encourage a more equitable distribution of liability based on individual responsibility.

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and are best described as ________ that sell products and services directly to final buyers via the internet. group of answer choices search engines

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The best description for the term in question is "online retailers" that sell products and services directly to final buyers via the internet.

Online retailers are businesses that sell products and services directly to final buyers via the internet. They operate through e-commerce platforms and websites, providing customers with the convenience of shopping and making purchases online.

Online retailers offer a wide range of products, from consumer goods to digital services, and they often employ various marketing strategies to attract customers to their online stores.

Customers can browse and compare products, read reviews, and make secure transactions online. Examples of well-known online retailers include Amazon, eBay, and Alibaba, among many others.

These platforms have revolutionized the retail industry by offering convenience, accessibility, and a vast array of options for consumers.

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Under what circumstances are the effective annual interest rate and the period interest rate equal?

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The effective annual interest rate and the effective period interest rate are equal under the circumstance where: the number of compounding periods per year is one. The correct option is B.

In this case, the interest is compounded only once per year, meaning that there is no difference between the effective annual interest rate and the effective period interest rate. The effective annual interest rate represents the actual annual growth rate of an investment, taking into account the compounding effect.

When the number of compounding periods per year is one, there is no compounding effect, so both rates are equal. For other scenarios, such as multiple compounding periods per year or continuous compounding, the two rates will not be equal.  The correct option is B.

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Complete question:

Under what circumstances are the effective annual interest rate and the effective period interest rate equal?

a. Never true

b. If the number of compounding periods per year is one

c. If the number of compounding periods per year is infinite

d. Always true

who is accountable for social responsibility within a firm? multiple choice the board of directors management investors the financial market

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The management of a firm is accountable for social responsibility. Option B is answer.

Social responsibility refers to a business's ethical and moral obligations towards society, including its impact on the environment, employees, customers, and communities. The management team of a firm plays a crucial role in determining and implementing the company's social responsibility initiatives. They are responsible for making decisions that align with ethical standards, promoting sustainability, and ensuring the firm's actions positively contribute to society.

Option B, management, is the correct answer as they are directly responsible for formulating and implementing social responsibility strategies within a firm. While the board of directors, investors, and the financial market may influence and support these initiatives, the ultimate accountability lies with the management team in executing and overseeing social responsibility practices.

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FILL IN THE BLANK _____ costs represent other sources of sacrifice perceived by consumers when buying and using a service.

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Psychological costs represent other sources of sacrifice perceived by consumers when buying and using a service.

These costs encompass the mental effort, stress, and emotional factors associated with the decision-making process, purchase, and use of a service. For example, a customer may feel anxious about trying a new service or feel overwhelmed by numerous options.

Psychological costs can also include the perception of risk and potential negative consequences. To reduce these costs, service providers can build trust, offer clear and concise information, and provide testimonials or guarantees to alleviate customer concerns. In this way, consumers will be more likely to perceive the overall value of the service as favorable.

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