Peter is on his way to class and doesn't really enjoy it very much and would rather go out to lunch with his friends; however, Peter goes to class anyway. If the purpose of life is to get as much utility as possible in life given our scarce resources, then how can we explain Peter's decision to go to class from an economic perspective?
Peter is forgoing the hedonic-type utility he could get right now and investing in human capital enhancing activities (getting an education) because it will have a bigger eudemonic-type utility payoff in the future.
Economically speaking, Peter is being irrational; to get the most utility he should go to lunch with his friends.
The elephant part of Peter's brain is more powerful than the rider part of his brain, so this explains why he has the economic drive to go to class rather than have lunch with his friends.
The "Be Proactive" habit has a central focus of:
Self-Paradigm: Response Ability
Physical Creation: Traveling the Path
Mental Creation: Destination and Path Planning
In terms of a rewarding career, the _______ hypothesis requires the existence of pre-existing passion while the _______ hypothesis posits that passion evolves over time with mastery.
Craftsman, Passion
Passion, Craftsman
Actualization, Craftsman
Passion, Actualization

Answers

Answer 1

From an economic perspective, Peter's decision to go to class can be explained through the concept of opportunity cost. Opportunity cost is the value of the next best alternative that is given up when a choice is made. In this case, Peter is giving up the immediate utility of going to lunch with his friends in order to invest in his human capital by going to class.

In terms of the "Be Proactive" habit, the central focus is on self-paradigm and response ability. This means that an individual should take responsibility for their own actions and choices, rather than blaming external factors or circumstances.

Finally, in terms of a rewarding career, the Passion hypothesis requires the existence of pre-existing passion while the Craftsman hypothesis posits that passion evolves over time with mastery. This means that the Passion hypothesis suggests that an individual should pursue a career that they are already passionate about, while the Craftsman hypothesis suggests that passion will develop as an individual becomes more skilled and knowledgeable in their chosen field.

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Related Questions

A CPA was engaged to audit the financial statements of a municipality that received federal financial assistance and that required a single audit for compliance with the terms of the financial assistance. Which of the following guidelines should the CPA consider?1 Generally accepted auditing standards and generally accepted government auditing standards2 Generally accepted auditing standards3 Generally accepted government auditing standards4 Neither generally accepted auditing standards nor generally accepted government auditing standards

Answers

The CPA should consider Generally Accepted Auditing Standards (GAAS) and Generally Accepted Government Auditing Standards (GAGAS). The correct option is 1.

The CPA should consider GAAS and GAGAS when auditing the financial statements of a municipality that received federal financial assistance and that required a single audit for compliance with the terms of the financial assistance.

A CPA was engaged to audit the financial statements of a municipality that received federal financial assistance and that required a single audit for compliance with the terms of the financial assistance. He/she should consider Generally Accepted Auditing Standards (GAAS) and Generally Accepted Government Auditing Standards (GAGAS).

Hence, the correct option is 1. Generally accepted auditing standards and generally accepted government auditing standards.

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When payment is received before services have been performed?

Answers

When payment is received before services have been performed, it is known as prepaid revenue. This type of transaction is recorded as a liability in the company's financial statements until the services are provided.What is prepaid revenue?

Prepaid revenue is a revenue account that represents advance payments received by a business. This type of transaction is recorded as a liability in the company's financial statements until the services are provided. The payments are made by customers or clients before services have been provided or goods have been delivered. As a result, prepaid revenue is classified as a liability in a company's balance sheet. The liability is decreased as revenue is generated, and the amount of prepaid revenue included in a company's balance sheet decreases as the revenue is earned by providing services or selling goods.

Company ABC receives a $1000 advance payment from a client for services to be provided over the next six months. The $1000 is recorded as prepaid revenue on Company ABC's balance sheet as a liability. As Company ABC performs services and invoices the client for $500 of work completed, it is recorded as revenue, and the prepaid revenue liability is reduced by $500. After three months, Company ABC has earned $1500 in revenue, and the balance sheet now reflects $500 in prepaid revenue.

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What times should you assess the Shift Touchpoints while on your

shift? Select all that apply, then click Submit.

2:00pm

8:00pm

5:00pm

Check zones at Shift Change

7:00am

Check zones as needed

11:00am

Answers

Click "Submit" after checking all applicable boxes. 2 pm, 8 pm, and 5 pm. Check zones at 7:00 a.m. shift change. 11:00am Zone checks as necessary.

What do zones mean?

A TV programme called "The Twilight Zone" featured strange occurrences. In a similar vein, every zone is a location with a unique characteristic. Compare the Torrid Zone, South Wintry Zone, South Humid Zone, and North Frigid Zone. Biogeography.

What do clocks do?

The hour, quarter, and second hands of a clock move to indicate the time. A large enough clock could be placed within a tower. A watch is the term for a clock that is tiny enough to be worn on the wrist.

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as of december 2005, trading licenses are required to conduct trades on the floor of the nyse. which of the following statements about these trading licenses is/are correct? i. licenses are auctioned off in a special type of auction called a dutch auction. ii. only a member organization of the nyse is eligible to bid for a trading license. iii. the sec determines the maximum bid price. iv. trading licenses are good for 10 years.

Answers

The following statements about trading licenses are correct:

i. Licenses are auctioned off in a special type of auction called a Dutch auction.

ii. Only a member organization of the NYSE is eligible to bid for a trading license.

iii. The SEC determines the maximum bid price.

iv. Trading licenses are good for 10 years.

What are trading licenses?

Trading licenses are financial instruments or documents that grant a broker, bank, or trader the right to purchase and sell shares on behalf of clients or for their own account. They are required to participate in specific exchanges and trade financial instruments.

Trading licenses were auctioned off in a special type of auction called a Dutch auction as of December 2005 in the NYSE. Dutch auctions are similar to typical auctions, except they're conducted in reverse, with the price decreasing as the bidding progresses. Bids are placed in ascending order, with the highest bidder winning the auction.

The NYSE trading license auction, on the other hand, is a Dutch auction in which member organizations of the NYSE are eligible to participate. The SEC (Securities and Exchange Commission) determines the highest bid price for the trading licenses that are put up for auction in this auction. These trading licenses are valid for ten years.

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Devin has $70,000 of protection under his employer's group term life insurance plan, for which he makes a monthly contribution of $1. 50. Lana is the named beneficiary. The actual cost to the employer for his protection is $0. 20 per month per $1,000 of insurance, and the uniform premium for group term insurance under the internal revenue code is $0. 09 per month per $1,000 of insurance. Under section 79, what is the annual amount that devin, who is not a key employee, must report for federal income tax purposes because of his group term insurance protection?

Answers

Under section 79 of the Internal Revenue Code, Devin must report an annual amount of $840 for federal income tax purposes because of his group term insurance protection.

In the United States, federal taxes is governed by a series of laws known as the Internal Revenue Code (IRC). It is also referred to as the U.S. Tax Code and is a complicated and comprehensive body of rules that specifies how the federal government taxes people, companies, and other entities.

This is calculated by taking the cost to the employer ($0.20 per month per $1,000 of insurance) multiplied by the amount of coverage ($70,000) and then multiplied by the number of months in a year (12). This works out to be $840.

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3. Should Bank of America change its compensation strategy to include more subjective assessments of performance and a greater emphasis on cross-selling? What effect might this have on its success in the bidding war for top brokers? 5 Marks

Answers

Bank of America can change its compensation strategy to include more subjective assessments of performance and a greater emphasis on cross-selling. Of course, it has its advantages and disadvantages, so Bank of America should consider other factors that they know before deciding.

A subjective assessment is an evaluation that is based on personal opinions, judgments, and perceptions rather than objective measures or standards. The key point is that subjective assessments are based on the judgment of the evaluator rather than on objective measures or standards.

There are many potential benefits of subjective assessment. It will make a manager evaluate their employees with a fair perspective. It will help to better understand the company's core objectives and deliverables, including knowledge of its strategic roadmap. The assessment may also help employees to attain new skills that will help them in their future performance. The cross-selling emphasis will also help the company to earn new clients and increase revenue.

However, there are also many potential drawbacks. One disadvantage is that it may be tough for a company to explain to employees how they will be assessed, which will hurt employee morale. There is a possibility that favoritism may arise when managers are required to give feedback or make decisions based on subjective factors. This could harm the organization's brand image and lead to a loss of talented employees.

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When is it usually acceptable to provide written notice of bad news to external partners?

Answers

Giving bad news in writing to external partners is not advised because it can sour the company relationship and leave a terrible impression. It is preferable to communicate such news over the phone.

When would it be OK to use the direct approach while writing a bad news message?

The direct approach is frequently employed when the audience values conciseness, the message must be brief, the message is complex and may not be easily understood, the message relates to an existing issue or problem (and bad news won't come as a surprise), or you're ending a commercial partnership.

When would you approach an external audience with an indirect way to convey news?

indirect strategy. once the  bad news may have a significant impact on the recipient or you don't know them very well, you may prefer to use the indirect approach.

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mr. tyler nall is president and ceo of a retail chain that is about to begin operations in numerous major cities across the united states. the stores will sell home furnishings that are considered moderately priced for the average-income buyer. during the last few months he has been working to lay out directions for the managers of the stores. mr. nall and his vice presidents have decided that each store should have sales equal to or greater than $100 per square foot, per day. when setting goals for the plan, what should mr. nall do after he evaluates available resources?

Answers

Mr. Nall should develop strategies to help meet the goals of having sales equal to or greater than $100 per square foot, per day.

After evaluating available resources, he can then set specific objectives and determine what actions are necessary to achieve them.

He should also consider any external factors that could impact the store's success, such as competition, location, and customer preferences.

He can then create a timeline for implementation and a system for measuring progress and success. Finally, he should provide clear direction and support to the store managers to ensure that they can meet the desired goals.

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Hi, how do I work this out
On 1 January 20X8, Coconut acquired 80% of the share capital of Rice for £100,000 when Rice had retained earnings of £30,000. At 31 December 20X9, retained earnings of Coconut were £390,000 and for Rice they were £50,000. NCI is measured using the share of net assets method and goodwill has impaired by £7,280 to date.
What amount should be presented in the consolidated statement of financial position at 31 December 20X9, as the retained earnings of the group?

Answers

To determine the retained earnings of the group, it is necessary to consolidate the financial statements of Coconut and Rice.

First, NCI's share of Rice's retained earnings must be calculated:

Rice retained earnings = £50,000NCI share = (1 - 0.8) = 0.2NCI Retained Earnings at Rice = £50,000 x 0.2 = £10,000

Then, the retained earnings of Coconut and Rice must be added, taking into account the participation of the NCI:

Group Retained Earnings = Coconut Retained Earnings + Rice Retained Earnings - NCI Retained Earnings at RiceGroup retained earnings = £390,000 + £50,000 - £10,000Group retained earnings = £430,000

Finally, the accumulated profit of the group must be adjusted for the impairment of goodwill:

Group Retained Earnings = Group Retained Earnings - Goodwill ImpairmentCumulative group earnings = £430,000 - £7,280Cumulative group earnings = £422,720

Therefore, the amount to be presented in the consolidated statement of financial position at 31 December 20X9, as retained earnings of the group, is £422,720.

In conclusion, the consolidation of the financial statements is important in determining the retained earnings of the group, which is affected by several factors, including the participation of the NCI and the impairment of goodwill. It is important to consider these factors when preparing accurate and complete consolidated financial statements.

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ALM 811S 1st Opp June 2018 Question 4 (a) Assess any five sources of risk that can impact on the vulnerability of global logistics activities. [15 marks] (b) Justify five arguments in favour of local sourcing in preference to global sourcing. (10 marks)

Answers

The five sources of risk that may impact the vulnerability of global logistics activities are:

Political RiskNatural DisastersSupply Chain RiskSecurity RiskEconomic Risk

The five arguments in favor of local versus global sourcing:

Reduced Lead TimeImproved Quality ControlReduced Logistics CostsBetter Corporate Social ResponsibilityEnhanced Flexibility

Explanation of the five sources of risk that can affect the vulnerability of global logistics activities:

Political Risk: Political instability, conflicts, and changes in government policies can significantly impact logistics operations, including transportation, customs clearance, and supply chain management.Natural Disasters: Natural disasters such as earthquakes, tsunamis, and hurricanes can disrupt global logistics activities by damaging infrastructure, disrupting transportation networks, and delaying cargo shipments.Supply Chain Risk: Supply chain risk refers to the risks associated with sourcing raw materials, production, and distribution. This can include supplier bankruptcies, quality control issues, and shipping delays.Security Risk: The risk of theft, piracy, and terrorism can impact the safety and security of goods in transit, as well as the safety of personnel involved in logistics operations.Economic Risk: Economic conditions, such as currency fluctuations, interest rate changes, and inflation, can impact the cost of transportation, raw materials, and other logistics-related expenses.

Explanation of the five arguments in favor of local versus global sourcing:

Reduced Lead Time: Local sourcing allows for shorter lead times, which can result in faster turnaround times, reduced inventory carrying costs, and improved responsiveness to customer demand.Improved Quality Control: Local sourcing can improve quality control by allowing for closer collaboration and monitoring of suppliers, ensuring consistent quality of materials and finished products.Reduced Logistics Costs: Local sourcing can reduce logistics costs by minimizing transportation costs, custom duties, and other associated expenses, resulting in improved profitability.Better Corporate Social Responsibility: Local sourcing can improve a company’s social responsibility efforts by supporting local economies, reducing carbon footprint, and promoting ethical and sustainable sourcing practices.Enhanced Flexibility: Local sourcing allows for greater flexibility in responding to changing market conditions, customer preferences, and government regulations. This can help companies adapt to changing business environments and remain competitive.

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Applying Lewin's force field model to stress, what is the restraining force that acts to counter stressors and inhibit pathological results?A) Time managementB) ResiliencyC) CommunityD) Reactive strategies

Answers

According to Lewin's force field model, the restraining force that acts to counter stressors and inhibit pathological results, The correct answer is Option B)

Resiliency is the ability to adapt to and recover from stressful situations. It acts as a protective factor against the negative effects of stress and helps prevent the development of negative outcomes such as anxiety or depression. The correct answer is Option B)

Resiliency can be built through practices such as self-care, building social support networks, and developing healthy coping strategies. By increasing resiliency, an individual can better manage stress and prevent the development of negative outcomes.

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The wages of factory maintenance personnel would usually be considered to be: Indirect labor Manufacturing Overhead A. No Yes B. Yes No С. Yes Yes D. No No a. Option A b. Option B c. Option C d. Option D

Answers

Available choice C's "Manufacturing overhead cost" is the realistic solution. The term "manufacturing overhead" refers to the indirect expenses incurred by a corporation during its production process.

Do manufacturing overheads include indirect factory labor?

Manufacturing overhead, sometimes referred to as production overhead, factory overhead, or factory burden, is the collective term for all the supplemental expenses needed to run your firm. They could consist of: indirect labor, such as cleaning and maintenance staff

What are the components of indirect labor costs?

Wages paid to employees who carry out tasks that assist others in producing goods and rendering services are referred to as indirect labor costs. The cost of labor is the component that is not directly related to production.

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which of the following is appropriate content for the conclusion of a report? check all that apply. an informational report should conclude with a list of contributor acknowledgments. an analytical report should conclude with a review of the major findings and answers to the research questions. an informational report should conclude with a summary of the data presented.

Answers

An analytical report should conclude with a review of the major findings and answers to the research questions is appropriate content for the conclusion of a report. Thus, option (b) is correct.

An analytical report's conclusion should give readers a clear grasp of the significance of the data offered in the results and discussion sections.

It should be a synthesis of essential themes and, if appropriate, a general summary of the study's implications and significance, rather than merely a synopsis of the major topics covered or a restatement of the research problem.

Therefore, option (b) is correct.

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Your question is incomplete, but most probably the full question was.

Which of the following is appropriate content for the conclusion of a report? check all that apply.

An informational report should conclude with a list of contributor acknowledgments. An analytical report should conclude with a review of the major findings and answers to the research questions. An informational report should conclude with a summary of the data presented.

Kenneth Cole (KCP) had sales of $507.3 mlon in 2005. Based on KCP's past profitability and investment needs, you expect EBIT to be 9% of sales, increases in net working capital requirements to be 10% of any increase in sales, and net investment (capital expenditures in excess of depreciation) to be 8% of any increase in sales. KCP has $93.1 million in cash, $2.5 million in debt, 20.8 million shares outstanding, a tax rate of 37%, and a weighted average cost of capital of 11% a. Suppose you believe KCP's initial revenue growth rate will be between 4% and 11%" ("with growth slowing in equal steps to 4% by year 2011). What range of share prices for KCP is consistent with these forecasts? b. Suppose you believe KCP's EBIT margin will be between 7% and 10% of sales. What range of share prices for KCP is consistent with these forecasts (keeping KCP's initial revenue growth at 9% with growth slowing in equal steps to 4% by year 2011)? c. Suppose you believe KCP's weighted average cost of capital is between 10% and 12%. What range of share prices for KCP is consistent with these forecasts keeping KCP's initial revenue growth and EBIT margin at 9% with growth slowing in equal steps to 4% by year 2011)? d. What range of share prices is consistent if you vary the estimates as in parts (a), (b), and (c) simultaneously? That is

Answers

d. To calculate the range of share prices consistent with the varying estimates from parts (a), (b), and (c) simultaneously, we need to calculate the range of share prices for each individual scenario and then take the intersection of those ranges.

How to calculate?

a. To calculate the range of share prices consistent with revenue growth between 4% and 11%, we need to forecast KCP's free cash flows (FCFs) for the next six years and then calculate the present value of those cash flows using KCP's weighted average cost of capital (WACC). We can then divide the present value by the number of shares outstanding to get the range of share prices.

Using the given assumptions, we can calculate the FCFs for each year as follows:

FCF = EBIT(1 - Tax rate) + Depreciation - Net capital expenditures - Increase in net working capital

Assuming a starting revenue growth rate of 9%, the FCFs for the next six years are:

Year 1: FCF = $35.4 million

Year 2: FCF = $49.5 million

Year 3: FCF = $62.4 million

Year 4: FCF = $70.2 million

Year 5: FCF = $72.6 million

Year 6: FCF = $69.9 million

We can then calculate the present value of these cash flows using a WACC of 11%:

PV = FCF / (1 + WACC)²t

where t is the number of years from today.

Using these calculations, we get a range of share prices between $6.85 and $9.55.

b. To calculate the range of share prices consistent with an EBIT margin between 7% and 10% of sales, we can use the same approach as in part (a), but with the FCFs calculated based on the different EBIT margins. Assuming a starting revenue growth rate of 9%, the FCFs for the next six years are:

Year 1: FCF = $29.7 million

Year 2: FCF = $44.6 million

Year 3: FCF = $56.2 million

Year 4: FCF = $63.3 million

Year 5: FCF = $65.3 million

Year 6: FCF = $62.6 million

Using a WACC of 11%, we get a range of share prices between $6.29 and $8.78.

c. To calculate the range of share prices consistent with a WACC between 10% and 12%, we can use the same approach as in part (a), but with the present value calculations done using the different WACCs. Assuming a starting revenue growth rate of 9% and an EBIT margin of 9%, the FCFs for the next six years are:

Year 1: FCF = $35.4 million

Year 2: FCF = $49.5 million

Year 3: FCF = $62.4 million

Year 4: FCF = $70.2 million

Year 5: FCF = $72.6 million

Year 6: FCF = $69.9 million

Using a WACC of 10%, we get a range of share prices between $7.67 and $10.69. Using a WACC of 12%, we get a range of share prices between $6.28 and $8.75.

d. To calculate the range of share prices consistent with the varying estimates from parts (a), (b), and (c) simultaneously, we need to calculate the range of share prices for each individual scenario and then take the intersection of those ranges. Using the calculations from parts (a), (b), and (c), we get a range of share prices between $6.29 and $8.78.

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According to the question  the range of share prices for KCP is $20.63 - $24.84.

What is share?

Share is the action of dividing or distributing something among a number of recipients. It usually refers to a physical object, such as food or money, but it can also refer to intangible items, such as knowledge or information.

a. The range of share prices for KCP that is consistent with the initial revenue growth rate of between 4% and 11% is calculated using the following formula:

Share Price = (Net Present Value of Operating Cash Flows) / (Number of Outstanding Shares)

Net Present Value of Operating Cash Flows = (Revenue Growth Rate * EBIT Margin * (1 - Tax Rate)) / (WACC - Revenue Growth Rate)

Therefore, the range of share prices for KCP is calculated as follows:

4% Revenue Growth Rate:

Share Price = ((4% * 9% * (1 - 37%)) / (11% - 4%)) / (20.8 million shares) = $20.63 - $24.84

11% Revenue Growth Rate:

Share Price = ((11% * 9% * (1 - 37%)) / (11% - 11%)) / (20.8 million shares) = $24.84 - $29.65

b. The range of share prices for KCP that is consistent with the EBIT margin of between 7% and 10% is calculated using the same formula as above:

7% EBIT Margin:

Share Price = ((9% * 7% * (1 - 37%)) / (11% - 9%)) / (20.8 million shares) = $18.43 - $22.63

10% EBIT Margin:

Share Price = ((9% * 10% * (1 - 37%)) / (11% - 9%)) / (20.8 million shares) = $22.63 - $27.04

c. The range of share prices for KCP that is consistent with the weighted average cost of capital of between 10% and 12% is calculated using the same formula as above:

10% WACC:

Share Price = ((9% * 9% * (1 - 37%)) / (10% - 9%)) / (20.8 million shares) = $20.63 - $25.04

12% WACC:

Share Price = ((9% * 9% * (1 - 37%)) / (12% - 9%)) / (20.8 million shares) = $17.23 - $21.43

d. The range of share prices that is consistent if you vary the estimates as in parts (a), (b), and (c) simultaneously is calculated using the same formula as above:

4% Revenue Growth, 7% EBIT Margin, 10% WACC:

Share Price = ((4% * 7% * (1 - 37%)) / (10% - 4%)) / (20.8 million shares) = $18.43 - $22.63

11% Revenue Growth, 10% EBIT Margin, 12% WACC:

Share Price = ((11% * 10% * (1 - 37%)) / (12% - 11%)) / (20.8 million shares) = $17.23 - $21.43

Therefore, the range of share prices for KCP is $17.23 - $22.63, if you vary the estimates as in parts (a), (b), and (c) simultaneously.

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A good defense for Kari against any lawsuit by Susan for age discrimination is the ________ defense.
a) Same department
b) Same gender
c)Same company
d) Same actor

Answers

A good defense for Kari against any lawsuit by Susan for age discrimination is the Same actor defense. d) Same actor.

What is Same actor?

The "Same actor defense" is a legal defense that can be used by an employer in an age discrimination lawsuit. It argues that the employer did not discriminate against the employee based on their age, but rather based on other legitimate factors.

In this case, if Kari can argue that she would have made the same decision regardless of the employee's age, then the Same actor defense can be used to defend against the lawsuit.

Therefore the correct option is D.

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inventory costing $6,300 is sold for $7,800 with terms 2/10, n/30. if the buyer pays within the discount period, what amount will be reported on the income statement as net sales?

Answers

The amount reported on the income statement as net sales is $7,644.

The net sales amount reported on the income statement can be calculated using the formula:

Net Sales = Sales - Sales Discounts

In this case, the sales amount is $7,800 and the discount percentage is 2%. Therefore, the amount of the discount is:

Discount = $7,800 x 2% = $156

The net sales amount is then:

Net Sales = $7,800 - $156 = $7,644

Therefore, the net sales amount reported on the income statement is $7,644 if the buyer pays within the discount period. This is the amount that the company actually receives from the sale after taking into account any discounts given to the buyer for early payment.

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You work in the editorial department of the Occupational Safety and Health Administration

(OSHA). Based on the Plain Wording Act, which new OSHA document must be written in plain

language?

A. A Congressional act granting OSHA greater authority to set construction safety rules

B. A report to Congress detailing manufacturing safety violations

C. A user's guide to safe workplace practices in agriculture

D. A manual detailing OSHA employee benefits

E. Safety regulations for the railway industry

Answers

Based on the Plain Wording Act A report to Congress detailing manufacturing safety violations, must be written in plain language

Making new products out of parts or raw materials is the process of manufacturing. Manufacturing includes enterprises like bakeries, tailors, shoemakers, and auto manufacturers because they all create products rather than offering services. For example, because they do not turn raw materials into completed goods, mining or logging do not qualify as manufacturing. Although it could appear that construction is a manufacturing process, it is actually seen as a separate business and not a part of manufacturing. Manufacturing is the transformation of raw materials or parts into completed goods using tools, labor, machinery, and chemical processing. The majority of things were produced manually using human labor and basic tools before the Industrial Revolution.

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A publisher entered into a contract with a paper manufacturer who used very fine materials, whereby the publisher was given the right to purchase all paper refined by the paper manufacturer for the next five years at a price set at 95% of the domestic market price at the time of delivery. The publisher agreed to purchase no less than 1,000 pounds of paper a week. At the time this contract was signed, the publisher gave written notice to the paper manufacturer that it intended to buy all paper produced by the paper manufacturer until further notice. The paper manufacturer then sold its business to a lumber-processing company.What is the effect of this sale on the paper manufacturer's obligation to the publisher?A. The sale discharges the paper manufacturer's obligation to the publisher because there has been a full performance.
B. The paper manufacturer is liable for damages if the lumber processing plant fails to deliver paper to the publisher.
C. The paper manufacturer is excused from further performance because it no longer has a factory to produce paper.
D. The paper manufacturer breached its contract with the publisher.

Answers

The effect of this sale on the paper manufacturer's obligation to the publisher is B. The paper manufacturer is liable for damages if the lumber processing plant fails to deliver paper to the publisher.

The paper manufacturer entered into a contract with the publisher to supply paper for the next five years at a set price. The contract included a minimum purchase requirement of 1,000 pounds of paper per week. When the paper manufacturer sold its business to a lumber-processing company, it effectively transferred its obligations under the contract to the new owner. However, if the lumber-processing company fails to deliver the required amount of paper to the publisher, the paper manufacturer is still liable for damages because it was the original party to the contract. The sale of the business does not discharge the paper manufacturer's obligation to the publisher.

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Explain three reasons why the results of market research may not be useful 

Answers

The reasons why market research may not be useful are centered around obtaining the exact accuracy and the cost of conducting the entire research pointing out poor research practices and inexperience which must be accurately managed.

The required three reasons why market research may not be useful are as follows:

Prevalent research methodologies - The prevalent research methodologies that have not been updated with time will always contain sampling errors, faulty differentiation of competitors, the portrayal of low outcomes, and inadequate assessment of market conditions.Time-consuming process -The process of data collection, and financial plan build-up requires a lot of time to complete, as a lot of combinations might be required to derive meaningful information. Time management constraints the client requirement and the said research may turn meaningless with re-designing.Non-adherence to research material protocols - Research methodologies might often violate the protocols pertaining to man, material, large data sets, and environment. On that note, market research may lose its main component to the client's requirement.

Based on the above-mentioned three aforesaid points, the results of market research may not be useful all the time and cause the original output to be less than up to the mark.

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g which of the following statements regarding unusual income statement items is not true? a.in addition to being reported on the income statement, information about discontinued operations should also be reported in a note to the financial statements. b.if a company changes from one generally accepted accounting principle to another, the prior-period financial statements are restated as if the new accounting principle had always been used. c.unusual income statement items do not occur frequently and are typically related to current operations. d.if an error is discovered in a prior period's financial statement, the prior-period statement and all following statements are restated.

Answers

The statement that is not true is C. Unusual income statement items do not occur frequently and are typically related to current operations.  

Unusual income statement items can occur frequently, and are not always related to current operations. For example, a company may report a gain or loss from discontinued operations which is an unusual income statement item.

This item does not necessarily have anything to do with current operations. In addition, a company may report a gain or loss from an extraordinary item, such as a lawsuit verdict or natural disaster, which is also an unusual income statement item. Therefore, unusual income statement items can occur frequently, and they may or may not be related to current operations.

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footsteps company has a bond outstanding with a coupon rate of 6.3 percent and annual payments. the bond currently sells for $968.17, matures in 23 years, and has a par value of $1,000. what is the ytm of the bond?

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The yield to maturity (YTM) of Footsteps Company's bond is 4.51%.

The YTM is the rate of return that an investor would earn by holding the bond until maturity.

This can be calculated by taking the present value of all cash flows of the bond, including the coupon payments and the face value, and dividing it by the current market price of the bond. In this case, $1,000/(1+0.063/2)^23 + $968.17/1.046^23 = 4.51%.

This means that an investor who buys the bond at the current price and holds it until maturity will receive a 4.51% rate of return.

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11. Suppose that your favorite magazine, The Economist, costs $6 per issue and Peoples magazine costs $4 per issue. If you receive 20 utils when you read People, how many additional utils would you need to get from reading The Economist to prompt you to pony up the extra $2 to purchase it instead of People magazine

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To determine how many additional utils a consumer would need to get from reading The Economist to justify the extra cost of $2, we would need to know the consumer's marginal utility for each magazine.

Assuming that the consumer has a marginal utility of 20 utils for the last issue of People magazine they read, we can estimate their marginal utility for The Economist by considering how much additional utility they would receive from reading it.

If reading The Economist provides the consumer with an additional 10 utils compared to reading People magazine, for example, then the consumer would need to gain at least 10 additional utils to justify the extra cost of $2. If the consumer values each additional util equally, this means they would need to gain at least $0.20 worth of additional utility from reading The Economist to justify the additional cost of $2.

However, it's important to note that marginal utility can vary from person to person and may not be easily quantifiable in monetary terms.

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Do employees in a large-scale bureaucracy (centralized) tend to
have opportunistic behavior? Agree or disagree?
What are the factors that cause bureaucratic opportunism?

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The efficient and effective operation of organizations can benefit from bureaucracies. Large businesses can structure systems and procedures while streamlining processes thanks to this. Processes become less disorganized, and management is easier.

Do workers benefit from bureaucracy?

Absenteeism, high turnover rates, and mediocre levels of performance and productivity are some of the common expenses associated with bureaucracy. Employee anxiety caused by a lack of feedback, along with their dissatisfaction with their jobs, causes them to wish to quit their jobs.

What is a factor in bureaucracy?

The four fundamental characteristics of bureaucracies are a clear hierarchy, specialization, a division of work, and a set of written rules, or standard operating procedures. America's bureaucracy performs three key functions that aid in the smooth operation of the government. It executes the laws and policies passed by elected officials.

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Blossom Incorporated makes track suits that sell for $50 each. Actual sales are $740,000. Management estimates that fixed costs will total $222,000 and variable costs will be $30 per unit this coming year. Calculate the break-even point in sales dollars using the contribution margin ratio. (Round contribution margin ratio to 6 decimal places, e.g. 15.296465\% and final answer to 0 decimal places, e.g. 125.) Break-even point in dollars Calculate the margin of safety in dollars and the margin of safety ratio. (Round margin of safety in dollars to the nearest whole dollar, e.g. 5,275 and margin of safety ratio to 2 decimal places, e.g. 15.25\%.) Margin of safety $ Margin of safety ratio %

Answers

The break-even point in sales dollars using the contribution margin ratio, margin of safety in dollars, and the margin of safety ratio are as follows: Blossom Incorporated makes track suits that sell for $50 each.

Actual sales are $740,000. Management estimates that fixed costs will total $222,000 and variable costs will be $30 per unit this coming year. Calculation of break-even point in sales dollars using the contribution margin ratio: Contribution Margin Ratio (CM Ratio) = (Contribution Margin ÷ Sales)*100CM Ratio = [(50 - 30) ÷ 50] * 100= 40.00%Break-even point in Sales Dollars = (Fixed Costs ÷ CM Ratio)Break-even point in Sales Dollars = (222000 ÷ 40%)= $555,000Calculation of Margin of Safety: Margin of Safety (in dollars) = Total Sales - Break-even Sales Margin of Safety = 740000 - 555000= $185,000Margin of Safety Ratio = (Margin of Safety ÷ Total Sales)*100Margin of Safety Ratio = (185000 ÷ 740000)*100= 25.00%Margin of Safety = $185,000Margin of Safety Ratio = 25.00%

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The expected yield on 1-year bonds over the next 5 years is 2.0%, 2.1%, 2.6%, 3.0%, and 3.8%. The current liquidity premium is 0.25% 1. Using the expectations Theory of term structure, calculate the yield on a 5-year bond today. 2. Using the Liquidity Premium Theory, calculate the yield on a 5-year bond today,

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1. Using the expectations theory of term structure, the yield on a 5-year bond today using the liquidity premium theory is 2.95%.

The expectations theory is one of the three theories of term structure of interest rates. This theory establishes a relationship between long-term and short-term interest rates. The theory is based on the premise that long-term interest rates are the arithmetic average of short-term interest rates that investors expect in the future.The expected yield on a 1-year bond over the next 5 years is given as follows:2.0%, 2.1%, 2.6%, 3.0%, and 3.8%.Therefore, the expected average yield on a 5-year bond today is:

Expected yield on a 5-year bond today = (2.0% + 2.1% + 2.6% + 3.0% + 3.8%) / 5= 2.7%Thus, the yield on a 5-year bond today using the expectations theory of term structure is 2.7%.2. Using the liquidity premium theory, calculate the yield on a 5-year bond today.

The liquidity premium theory is based on the expectations theory of term structure, but it adds a premium to long-term interest rates to compensate for the lack of liquidity in the long-term market. In this case, the current liquidity premium is 0.25%.Therefore, the yield on a 5-year bond today using the liquidity premium theory is: Yield on a 5-year bond today = 2.7% + 0.25%= 2.95%. Thus, the yield on a 5-year bond today using the liquidity premium theory is 2.95%.

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Candy Games Inc. expects the following numbers for next year:Sales: $59,000,000Costs: $45,000,000 (excluding depreciation)Depreciation: $5,000,000Interest: 2,000,000Tax rate: 29%Total assets: $110,000,000Debt-to-equity ratio: 2What is the expected return on equity?

Answers

Answer: First, we need to calculate the amount of debt and equity based on the debt-to-equity ratio:

Debt-to-equity ratio = Debt / Equity

2 = Debt / Equity

Equity = Debt / 2

Equity = ($110,000,000 - Debt) / 2

Next, we can calculate the amount of interest paid on the debt:

Interest = $2,000,000

We can calculate the amount of earnings before interest and taxes (EBIT):

EBIT = Sales - Costs - Depreciation

EBIT = $59,000,000 - $45,000,000 - $5,000,000

EBIT = $9,000,000

We can then calculate the amount of earnings after taxes (EAT):

EAT = EBIT x (1 - Tax rate)

EAT = $9,000,000 x (1 - 0.29)

EAT = $6,390,000

Finally, we can calculate the return on equity (ROE):

ROE = EAT / Equity

ROE = $6,390,000 / (($110,000,000 - Debt) / 2)

Since we don't have a specific value for the amount of debt, we cannot calculate the exact ROE. However, we can say that as the amount of debt increases, the ROE will decrease because there will be more interest payments to be made, which will reduce the earnings available for equity holders.

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fill in the blank. a(n)___is the fundamental particle of matter, and any further breakdown of this would result in loss of the properties that are unique to its element.

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An Atom is the fundamental particle of matter, and any further breakdown of this would result in loss of the properties that are unique to its element.

An atom is the basic unit of matter. It is the smallest particle that can retain the chemical properties of an element. An atom is the smallest unit of an element that retains the chemical properties of that element. An atom consists of a nucleus and electrons that orbit the nucleus in shells.

The nucleus contains positively charged protons and uncharged neutrons. Electrons are negatively charged particles that surround the nucleus in shells. The number of protons in an atom's nucleus determines the element to which it belongs.

The atomic number of an element is the number of protons in the nucleus of one of its atoms. The number of neutrons may differ from atom to atom of the same element. When the number of electrons in an atom equals the number of protons, the atom is electrically neutral.

The mass of an atom is concentrated in its nucleus, which occupies only a tiny fraction of the atom's volume.

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ABC Company forecasts its long-term sustainable growth rate to be 3.0%. If the firm’s required rate of return is 9.50% and recently paid a $2.00 dividend on each common share, what is its current estimated value per common share?

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The Sustainable Growth Rate (SGR) is the pace at which a company's capital structure (debt/equity) might expand assuming its current capital structure is maintained.

What does it mean to be environmentally friendly?

Sustainability entails meeting the requirements of current generations without jeopardizing the needs of future generations, while maintaining a balance of economic growth, environmental stewardship, and social well-being.

To keep the seas clean, avoid using plastic bags. Planting trees to help safeguard the environment is a way of life on land. Recycling paper, plastic, glass, and aluminum is an example of responsible consumption and manufacturing. Sustainable towns and communities rely on bicycling, walking, and taking public transportation.

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please answer i’ll give points

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Answer:

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taxation 2, George brown college, Canada
Question:
What are your thoughts regarding Capital Gains tax and if it was
up to you would you reduce it? Increase it? Or keep it the same?
(Please justify you

Answers

Capital gains tax is a taxation policy that imposes a tax on capital gains that occur when an asset is sold at a higher value than its original purchase price.  If it were up to me, I would keep the capital gains tax rate the same.

Capital gains refer to the profits earned from the sale of a capital asset, such as stocks, real estate, or a business. Capital gains are calculated by taking the difference between the sale price of the asset and its original purchase price, adjusted for any improvements or expenses incurred during the holding period.

When an individual or a company sells a capital asset for more than its purchase price, the difference represents a capital gain. Capital gains can be short-term or long-term, depending on the holding period of the asset. Short-term capital gains are earned on assets held for less than one year, while long-term capital gains are earned on assets held for more than one year.

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