The statement "To complete a 20 person-month project in 10 months, a team should have 4 full-time staff members assigned to the project" is false because it can be done with 2 full-time staff members.
What is a person-month in project management?A person-month is a unit of measurement that is utilized in project management to determine the volume of resources required to accomplish a project. It's calculated by multiplying the number of people working on a project by the number of months they worked on it. A person-month is a commonly used technique to forecast the size of the development team required to deliver a specific product or project.
Therefore, to complete a 20 person-month project in 10 months, a team should have at least 2 full-time staff members. So, the given statement is false.
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in a speech noting how we must remain hopeful during efforts to find missing children, Lars noted how investigators in Missouri, while searching for one child. Ben Ownby, who'd been missing for a week found him and another Shawn Hornbeck who had been missing for 4.5 years. Police discovered them in the same apartment - captives of the same perpetrator. In relating this instance, Lars provided _____ as supporting material.
In relating this instance, Lars provided an example as supporting material. An example is a specific instance or an illustration that clarifies or enhances a general statement or a concept.
This example given by Lars is a powerful one and can help people understand how important it is to remain hopeful even when all seems lost. The example he gives is that investigators found two missing children, Ben Ownby who had been missing for a week, and Shawn Hornbeck who had been missing for 4.5 years, in the same apartment, captives of the same perpetrator.
This instance is a powerful illustration of the need to remain hopeful even when things seem impossible. It shows how law enforcement officials can do their job effectively if they are provided with the right resources and if they remain focused and committed to the task at hand.
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Complete the statement by choosing the correct options.In this situation, assume that the supply and demand curves are straight lines. The more_____(elastic/inelastic) the demand and the more_____(elastic/inelastic) the supply, the smaller the consumer surplus is relative to the producer surplus.
The more elastic the demand and the more inelastic the supply, the smaller the consumer surplus is relative to the producer surplus.
In a market where both the demand and supply curves are straight lines, the more elastic the demand curve, the greater the consumer surplus. This is because as the price increases, consumers will demand fewer units of the good, and those who are willing to pay a higher price will still be able to purchase it.
On the other hand, if the demand is inelastic, consumers will still purchase the same amount of the good, even as the price increases, resulting in a smaller consumer surplus.
Similarly, the more elastic the supply curve, the greater the producer surplus. This is because as the price increases, producers will supply more units of the good, and those who are willing to accept a lower price will still be able to sell it.
If the supply is inelastic, producers will not be able to increase production significantly, even if the price increases, resulting in a smaller producer surplus.
Therefore, in a situation where the demand is elastic and the supply is elastic, the producer surplus and consumer surplus will be relatively larger, resulting in a more efficient market.
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which indicators do economists use to determine the state of the economy? choose three answers.
Gross Domestic Product, Unemployment rate and Consumer Price Index are indicators do economists use to determine the state of the economy.
Gross Domestic Product (GDP): GDP measures the total value of goods and services produced within a country over a specific period of time, usually a year or a quarter. It is considered one of the most important indicators of a country's economic health.
Unemployment rate: The unemployment rate measures the percentage of the labor force that is unemployed but actively seeking employment. High unemployment rates are generally indicative of a weak economy.
Consumer Price Index (CPI): The CPI is a measure of the average change in prices of goods and services consumed by households over time. It is used to track inflation and its impact on the economy.
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Which of the following transactions would be reported within the investing activities section of the cash flow statement?
a. The acquisition of treasury stock in exchange for cash.
b. The cash sale of a building at a loss.
c. The sale of a building in exchange for a parcel of land.
d. The exchange of a stock investment in order to retire a long-term debt.
C.) the sale of a building in exchange for a parcel of land. The sale of a building in exchange for a parcel of land would be reported within the investing activities section of the cash flow statement.
What are the two key components of cash flow? The two key components of cash flow are cash inflows and cash outflows. These components indicate the amount of cash that is coming into and leaving the business, respectively.
Cash inflows are derived from the sale of goods or services, returns on investments, and other income sources.
Cash outflows are the expenses that a company must pay, such as wages, raw materials, and rent. There are three sections in the cash flow statement. These sections include operating activities, investing activities, and financing activities. The investing activities section includes transactions that involve the acquisition or sale of long-term assets, such as land, buildings, equipment, and securities.
The following transactions would be reported in the investing activities section of the cash flow statement:-
Purchases of property, plant, and equipment- Acquisitions of other businesses or subsidiaries- Sales of property, plant, and equipment- Purchases of investments- Sales of investments- Lending money and collecting principal repayments- Collecting payments from the issuance of loans- Purchase and sale of derivatives and hedging activities
Therefore, the sale of a building in exchange for a parcel of land would be reported within the investing activities section of the cash flow statement.
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a means to produce equality in trade relationships by guaranteeing that if one country is given better trade terms by another then all other trade partners must receive the same terms. that theory is called
The theory that seeks to produce equality in trade relationships between countries, guaranteeing equity, is called the Most-Favored Nation (MFN) principle.
What is the Most-Favored Nation principle?Also Known As MFN, this principle states that all countries should receive the same trade terms, so that no one country can have an advantage over another. This is meant to ensure equality in trade relationships.
This principle is an important element of the World Trade Organization (WTO). It requires that a WTO member country's trading partners be granted trade advantages (like reduced tariffs) on terms equal to the most favourable terms provided to any other country.
The MFN principle is fundamental to the rules of the WTO, and it is often included in bilateral and multilateral trade agreements. It ensures that all WTO members receive equal treatment, regardless of the trading partner with whom they are negotiating.
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A ________ is a combination of different types of flows through a process. Multiple Choice
- capacity mix
- product mix
- demand matrix
- product matrix
The correct option is B. Product mix. A product mix is a combination of different types of flows through a process.What is Product Mix?
The collection of all the product lines and items a company has is known as its product mix. It's also known as product range or product assortment. A company's product mix represents the total number of different items that a company has.
Product mix is an important concept in the world of marketing that refers to the collection of various products that a company provides. Product mix is a vital strategic instrument in a company's marketing arsenal. It serves as a comprehensive representation of all the products that a business offers.
Marketers frequently talk about product mix in terms of width, length, depth, and consistency. The product mix is the comprehensive representation of a firm's various product lines and their distinct characteristics, features, and benefits.
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True or False, if company a runs an aggressive advertising campaign that tells customers why they should quit doing business with company b and do business with a instead, b will be able to sue a for interference with a prospective advantage.
If company a run an aggressive advertising campaign that tells customers why they should quit doing business with company b and do business with a instead, b will be able to sue a for interference with a prospective advantage. This statement is true.
Advertising is a communication approach in which a seller or service provider promotes or persuades people to purchase their product or services. Advertisements persuade potential buyers to use your product or service by presenting a message that inspires, educates, and motivates them. The goal of advertising is to create awareness and raise demand for a specific product or service by informing customers about its benefits. The advertising process is intended to reach a target audience and provide them with the information they need to make informed purchase decisions.
A campaign is a strategy for achieving specific business goals or aims that are targeted at a particular market or client base. It's a planned effort to persuade customers to take action, like purchase or use a particular product or service. A campaign can be used to increase sales, improve brand recognition, or introduce new products to the market. A campaign usually includes a set of activities, such as advertisements, public relations, direct mail, and online promotions. They are designed to help achieve a particular goal or objective.
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In which of the following situations docs the Central Limit Theorem allow use of & Normal model for the sampling distribution model: Weights of students are normally distributed We wish to determine the Probability that the mean weight for random sample of 4 students %s grcater than 150 pounds B: The distribution of test scores of students 5 slightly skewed to the right We wish to determine the Probability that the mean score for random sample of & students Is greater than 80. of incomes of students is stronglv skewed to the right Wc wish to determine the C: The distribution random sample of 100 students Is greater than 525,000. probability that the mean Income for A, B, and C C:Aonly D. Aand C E: C only A A and
The probability that the mean income for a random sample of 100 students is greater than 525,000. Normal model cannot be used for the sampling distribution model.
The Central Limit Theorem allows us to use a Normal model for the sampling distribution model in situation. We can determine the probability that the mean weight for a random sample of 4 students is greater than 150 pounds. This is because the weights of students are normally distributed.
The Central Limit Theorem does not apply to situation. The distribution of test scores of students is slightly skewed to the right, which means that a Normal model cannot be used for the sampling distribution model. We can still determine the probability that the mean score for a random sample of 4 students is greater than 80, but a different approach would need to be taken.
The Central Limit Theorem allows us to use a Normal model for the sampling distribution model in situation. We can determine the probability that the mean income for a random sample of 100 students is greater than 525,000. This is because the incomes of students is strongly skewed to the right, but the Central Limit Theorem applies even if the distribution is not perfectly Normal.
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What four variables are required to calculate the value of a bond?
-time remaining to maturity
-par value
-price at the time of bond issue
-coupon rate
-yield to maturity
The Par value, Coupon rate, Time till maturity, and Yield to maturity are the four factors needed to determine a bond's value.
What four factors are necessary to determine a bond's value?The bond price is determined by the bond's selling date, maturity date, coupon rate, redemption price, and market rate. The coupon rate is based on the market rate on the date the bond is issued, therefore these two rates are the same.
What factors should be taken into account while valuing bonds?The bond's price, interest rate, yield, maturity date, and redemption provisions are its most crucial qualities. You can decide if a bond is a good investment by examining these essential factors.
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Saundra is the CEO of Boat Kingdom, a jet ski manufacturing plant. She is very proud of the quality jet skis her company produces. She wants to include a written warranty that promises to repair any jet ski that incurs damage within the first year after it is purchased, as long as the jet ski is returned to the manufacturer by the consumer. Terryl, the CFO of the company, discourages Saundra from providing any written warranty at all. To comply with the Magnuson-Moss Warranty Act, Saundra: A. must provide a written warranty, but it only needs to give the consumer the name and address of the person to contact to obtain warranty service. B. need not provide a written warranty. C. must provide a written warranty that explains the parts that are covered in the warranty. D. must provide a written warranty, and it must be written in simple, understandable language.
In the following question, among the given options, the statement is said to be option D). To comply with the Magnuson-Moss Warranty Act, Saundra "must provide a written warranty, and it must be written in simple, understandable language."
What is the Magnuson-Moss Warranty Act? The Magnuson-Moss Warranty Act is a federal law that regulates warranties on consumer goods. It is also referred to as the "federal lemon law." The act provides consumers with a range of rights related to warranties, which apply to goods such as electronic gadgets, cars, and household appliances. The act has three main objectives: to ensure that consumers can easily access warranties that are easy to read and understand; to reduce the expense of warranty repair disputes; and to promote a competition based on warranty coverage.
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Jaray is a chemist and responsible for new product development in the agriculture division of Syngenta. He is developing a formula for an herbicide that can be used to control weeds but is also natural and has no harmful chemicals. Jaray is seeking to collaborate with his chemical suppliers, including Dow and Stepan, to get samples of their naturally formulated surfactants to use in his herbicide. Ultimately, Jaray will decide which formulation is best and identify the one or two brands that meet Syngenta's specifications. Jaray is performing the role of _______ as a member of the buying center.
Jaray is performing the role of "gatekeeper" as a member of the buying center.
Gatekeeper: A "gatekeeper" is a person or department in a business that controls the flow of information to others. The gatekeeper is in charge of keeping track of information about the services and goods provided by the company. They also monitor requests from customers and vendors.
Gatekeepers can be divided into three types:
1. Technical gatekeepers: They serve as a technical interface for people interested in purchasing the company's services or products. They work to understand the specifications and characteristics of the product, then assist clients in determining which products or services are best for them.
2. Economic gatekeepers: They are in charge of the company's pricing strategies. Economic gatekeepers ensure that the prices are competitive while also ensuring that the company earns a profit.
3. Purchasing gatekeepers: They are in charge of purchasing goods and services from the company. They collaborate with the technical and economic gatekeepers to ensure that the goods and services meet the company's standards.
In the given case, Jaray is performing the role of "gatekeeper" as a member of the buying center.
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refer to the table. if the price is $6.25, who would be willing to supply the product? a.adriana, kenzie, and mingb.julia, adriana, and kenziec.kenzie and ming d.kashawn, julia, and adriana)
In the following question, among the given options, Answer c). "Kenzie and Ming." if the price is $6.25, who would be willing to supply the product "Kenzie and Ming."
To find out who is willing to supply the product at the given price, we look at the supply schedule in the table. The supply schedule shows the various quantities that suppliers are willing to produce and sell at different prices. From the table, we can see that at a price of $6.25, only Kenzie and Ming are willing to supply the product. Kenzie is willing to supply 80 units, while Ming is willing to supply 10 units.
Therefore, the correct answer is option c. Kenzie and Ming.
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if a company purchases treasury stock for $6,000 and then reissues it for $5,000, the difference of $1,000 is: if a company purchases treasury stock for $6,000 and then reissues it for $5,000, the difference of $1,000 is: an increase in stockholders' equity a decrease in stockholders' equity treated as a loss on the sale treated as a gain on the sale
The difference of $1,000 is treated as a gain on the sale.
If a company purchases treasury stock for $6,000 and then reissues it for $5,000, the difference of $1,000 is treated as a gain on the sale. The treasury stock is repurchased by the issuing company from its shareholders. It is not the same as outstanding shares that are held by investors outside of the company.
Treasury stock is a way for companies to return cash to shareholders. They are shares that have been purchased by the company in the past and are now held in its treasury. Therefore, the difference of $1,000 is treated as a gain on the sale.
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laura discovered to her amazement that the skin oil she sold seemed to repel mosquitos. she relabeled the product and began selling it as alternative to brands such as cutter and off. laura's startup is based on a new idea. a. product b. benefit c. market d. technology
Laura discovered to her amazement that the skin oil she sold seemed to repel mosquitos. She relabeled the product and began selling it as an alternative to brands such as Cutter and OFF and startup based on product. (A)
Laura's startup is based on a new idea of using her skin oil product as a repellent to mosquitos. By relabeling her product and marketing it as an alternative to existing brands such as Cutter and OFF, Laura was able to create a unique and marketable product.
This was a successful idea, as her product was able to provide an alternative to existing mosquito repellents and provide a unique benefit for customers. The idea of creating a unique and innovative product is a great example of how entrepreneurship can lead to success. (A)
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straight-line and declining balance methods allocate the cost of a long-term asset based on what ?
Straight line depreciation is the most popular and easiest way of distributing a capital asset's cost. It is computed by dividing the cost of an item, minus its salvage value, by the asset's usable life.
Straight line depreciation is a popular method of reducing the value of a fixed asset over its useful life. It is used to minimise a fixed asset's carrying amount throughout its useful life. Straight line depreciation depreciates an asset's cost at the same rate for each accounting period.
Straight line depreciation is calculated as follows: Straight line depreciation = (cost of asset - estimated salvage value) x estimated useful life of an asset.
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provide one reason that it is important to start putting money away for retirement as early as possible.
The availability of disposable funds is one of the primary reasons why it is important starting to put money away and star saving for retirement life as soon as possible for an individual.
The disposable funds are heavily dependent on how a person saves or safeguards his or her money. If the saving is started early in life, then the chances of having higher disposable funds early in life are higher, and increase the chances of better retirement savings. Thus, it is influential to start putting away the money that an individual has in his or her life.
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Which of the following advertising strategies BEST illustrates an attempt to persuade people through the central route? Group of answer choices Research is presented demonstrating that a particular moisturizing cream is more effective than other products. An attractive woman is shown eating a gourmet brand of chocolate. A famous athlete claims that she loves drinking a particular brand of soda. A salesman takes a prospective client out to a nice dinner and a strip club to convince him to buy his product.
The advertising strategy that BEST illustrates an attempt to persuade people through the central route is: Research is presented demonstrating that a particular moisturizing cream is more effective than other products.
What is the central route in persuasive communication?
The central route of persuasive communication is a method of persuasion that involves presenting the intended audience with a logical and detailed argument to try to influence their attitudes and beliefs. This approach focuses on informing the audience and providing them with information so that they can rationally evaluate the information and come to an informed decision.
How is the central route different from the peripheral route?
The central route is different from the peripheral route in that the latter involves more superficial cues such as attractive models, celebrities, humor, and other emotional appeals to capture the audience's attention and sway their attitudes and beliefs without necessarily requiring a lot of in-depth analysis or critical thinking.In light of the above explanation, the advertising strategy that BEST illustrates an attempt to persuade people through the central route is: Research is presented demonstrating that a particular moisturizing cream is more effective than other products. This is because it involves providing consumers with factual information that they can use to make an informed decision, and it is more likely to convince them through the central route by appealing to their logical and rational side rather than emotional appeals like humor or celebrity endorsements.
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Which of the following commands displays information about the account issuing the command? (Choose all that apply.)
A. whoami
B. who am i
C. cat $HOME/.bashrc
D. cat $HOME/.profile
E. id
The commands that display information about the account issuing the command are whoami, who am i, and id. Thus, Options A, B and E are correct.
whoami, who am i, and id are Unix/Linux commands that display information about the current user or account. The whoami command shows the username of the current account, while who am i displays the username and terminal of the current account. The id command shows the user ID, group ID, and groups of the current account.
On the other hand, cat $HOME/.bashrc and cat $HOME/.profile are commands that display the contents of the .bashrc and .profile files, respectively, which may contain information about the user's shell settings and environment variables, but not necessarily information about the account issuing the command.
Therefore, options A, B, and E are correct.
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f an individual buys only two goods and these must be used in a fixed relationship with one another (e.g., coffee and cream), then a. there is no substitution effect from a change in the price of coffee b. there is no income effect from a change in the price of coffee c. Giffen's Paradox must occur if both coffee and cream are inferior goods d. an increase in income will not affect cream purchases
If an individual buys only two goods and these must be used in a fixed relationship with one another (e.g., coffee and cream), then A) there is no substitution effect from a change in the price of coffee.
What is the substitution effect?Substitution effect is an effect where consumers can replace an expensive good with a cheaper alternative to compensate for a higher price. If the price of one product increases, the consumers tend to shift to cheaper alternatives, which have lower prices. It refers to the change in the demand for a good or service brought on by a change in the relative price of a good or service.
Here in this case, an individual buys only two goods and these must be used in a fixed relationship with one another (e.g., coffee and cream), so there is no substitution effect from a change in the price of coffee. Hence, option (a) is correct.
There is no income effect from a change in the price of coffee in this case because there is only one fixed relationship between two goods, and if the price of coffee increases or decreases, the income effect would not matter as much.
Option (b) is incorrect.Giffen's Paradox will not occur if both coffee and cream are inferior goods. It is because in the case of an inferior good, when its price rises, the demand for the good will increase, and when the price falls, the demand for the good will decrease. Here, in this case, both coffee and cream are inferior goods, and Giffen's Paradox will not occur.
Hence, option (c) is incorrect.If an individual buys only two goods and these must be used in a fixed relationship with one another (e.g., coffee and cream), an increase in income will affect cream purchases. So, option (d) is incorrect.
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which of the following coding rules would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and drg for this case? select all that apply.
a. Respiratory failure is always due to an underlying condition.
b. Careful review of the medical record is required for accurate coding and sequencing of respiratory failure.
c. Respiratory failure is always coded as secondary.
e. Respiratory failure may be assigned as the principal diagnosis when it meets the definition and the selection is supported by the alphabetic and tabular listing of ICD-10-CM.
f. The principal diagnosis should be based on physician query to determine whether the pneumonia or the respiratory failure was the reason for the admission.
The correct answers for coding rules that would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and DRG for this case are options A and C. A is incorrect because respiratory failure is not always due to an underlying condition and C is incorrect because respiratory failure is not always coded as secondary.
Respiratory failure is a condition in which the lungs fail to oxygenate the blood adequately. Respiratory failure is not always caused by underlying conditions. Therefore, this coding rule would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and DRG for this case. Respiratory failure can be coded as the principal diagnosis. As a result, this coding rule would not affect the coder's choices for ethical and appropriate assignment of the principal diagnosis and DRG for this case.
A careful review of the medical record is required for accurate coding and sequencing of respiratory failure (Answer B), and the principal diagnosis should be based on a physician's query to determine whether pneumonia or respiratory failure was the reason for the admission (Answer F).
Additionally, respiratory failure may be assigned as the principal diagnosis when it meets the definition and the selection is supported by the alphabetic and tabular listing of ICD-10-CM (Answer E).
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the announcement of a dividend increase by a growth company may have what impact? group of answer choices increase in price due to expectation of increased cash flow. drop in price from higher shareholder scrutiny. increase in price due to enhanced growth rate. drop in price due to lower perceived growth opportunities.
The announcement of a dividend increase by a growth company may have the impact of an increase in price due to the expectation of increased cash flow. Hence option A. is correct.
What is Dividend?Dividend is defined as the amount of profit that the company distributes to its shareholders, out of the total profits earned by the company.
Dividends can either be cash or stock dividends. It is usually paid out in proportion to the number of shares held by the shareholders. The payment of dividends is not an obligation, but rather it is up to the discretion of the management of the company.
Dividends are announced at the end of the financial year of the company, and they are paid out after approval from the shareholders.
When a company announces an increase in dividend, it indicates that the company is profitable and has strong cash flow. This is viewed positively by the investors, and as a result, the price of the company's shares may increase.
Hence, an increase in dividend may be seen as a sign of growth opportunities. Therefore, option A. increase in price due to expectation of increased cash flow is correct.
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you would like to retire on $1,500,000. you plan on a 6% annual investment rate and will put away $9,000 twice a year at the end of each semi-annual period. how long before you can retire? round to the nearest year.
You would like to retire on $1,500,000. You plan on a 6% annual investment rate and will put away $9,000 twice a year at the end of each semi-annual period. It will take 14.5 years to retire with $1,500,000.
The number of years it will take to retire with $1,500,000,
[tex]FV = Pmt x [(1 + r/n)^(n x t) - 1] / (r/n)[/tex]
FV is the future value of the annuity (the amount you want to retire with)
Pmt is the amount of each semi-annual payment ($9,000)
r is the annual investment rate (6%)
n is the number of times the interest is compounded per year (2, since the payments, are made semi-annually)
t is the number of years until retirement (what we want to find)
Plugging in the values, we get:
[tex]1,500,000 = 9,000 x [(1 + 0.06/2)^(2 x t) - 1] / (0.06/2)[/tex]
[tex]1,500,000 = 9,000 x [1.03^(2t) - 1] / 0.031,500,000 x 0.03 = 9,000 x [1.03^(2t) - 1]45,000 = 9,000 x [1.03^(2t) - 1]1.03^(2t) - 1 = 51.03^(2t) = 6[/tex]
Taking the natural logarithm of both sides:
[tex]2t x ln(1.03) = ln(6)t = ln(6) / (2 x ln(1.03))t ≈ 14.5[/tex]
Therefore, it will take approximately 14.5 years (rounded to the nearest year) to retire with $1,500,000.
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Exercise 12-17 (Algo) Equity investments; fair value through net income [LO12-5]
[The following information applies to the questions displayed below.]
The accounting records of Jamaican Importers, Inc., at January 1, 2021, included the following:
Assets: Investment in IBM common shares $ 2,045,000 Less: Fair value adjustment (215,000 ) $ 1,830,000 No changes occurred during 2021 in the investment portfolio.
Required:
1. Prepare appropriate adjusting entry(s) at December 31, 2021, assuming the fair value of the IBM common shares was: $1,373,000 (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
2. Prepare appropriate adjusting entry(s) at December 31, 2021, assuming the fair value of the IBM common shares was: $1,860,000 (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
3. Prepare appropriate adjusting entry(s) at December 31, 2021, assuming the fair value of the IBM common shares was: $2,075,000 (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
Entry made on December 31, 2021, would be: Debit: Equity Investments $457,000 and Credit: Fair Value Adjustment $457,000. Entry made on December 31, 2021, would be: Debit: Equity Investments $30,000 and Credit: Fair Value Adjustment $30,000. Entry made on December 31, 2021, would be: Debit: Fair Value Adjustment $245,000 and Credit: Equity Investments $245,000.
What are the investments?When dealing with the equity investments, the fair value of the investment should be adjusted to its current value through net income at the end of each reporting period.
The adjusting entry involves debiting or crediting the difference between the fair value and the recorded value in the Equity Investments account and Fair Value Adjustment account, respectively.
The entries made on the three dates are as follows:
December 31, 2021: Debit: Equity Investments $457,000 and Credit: Fair Value Adjustment $457,000.
December 31, 2021: Debit: Equity Investments $30,000 and Credit: Fair Value Adjustment $30,000.
December 31, 2021: Debit: Fair Value Adjustment $245,000 and Credit: Equity Investments $245,000.
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mortgage-backed securities are assigned ratings by: a. the mortgage originator. b. the u.s. treasury. c. rating agencies. d. the federal reserve.
Mortgage-backed securities are assigned ratings by Rating Agencies. The correct option is c.
What are mortgage-backed securities?Mortgage-backed securities are a kind of asset-backed security that is backed by a pool of mortgages. They're issued by the government-sponsored enterprises Fannie Mae and Freddie Mac, as well as other financial institutions. The objective of mortgage-backed securities is to provide investors with a means to participate in the real estate market without having to own properties themselves. The cash flow from the mortgages in the pool is distributed to the securities owners as payments of interest and principal on a monthly or quarterly basis.
Mortgage-backed securities are assigned ratings by rating agencies. Moody's, Standard & Poor's, and Fitch are examples of such businesses. These rating agencies examine the likelihood of the securities' payments and provide investors with information about the degree of risk involved. Therefore, the correct option is c.
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2b. Assume the company uses variable costing. Prepare its income statement for the year under variable costing. COOL SKY Variable Costing Income Statement Net income (loss) Required information Exercise 19-9 Income statement under absorption costing and variable costing LO P1, P2 (The following information applies to the questions displayed below.] Cool Sky reports the following costing data on its product for its first year of operations. During this first year, the company produced 40,000 units and sold 32,000 units at a price of $110 per unit. Manufacturing costs Direct materials per unit Direct labor per unit Variable overhead per unit Fixed overhead for the year Selling and administrative costs Variable selling and administrative cost per unit Fixed selling and administrative cost per year $ 42 $ 16 $ 5 $360,000 $ 11 $ 115,000 Exercise 19-9 Part 2b 2b. Assume the company uses variable costing. Prepare its income statement for the year under variable costing.
An income statement is used for reporting financial performance over an accounting period. The other two statements are cash flows and balance sheets.
An income statement is also called a revenue and expense statement. It mainly focuses on a company's revenues and expenses during a particular period. It is an important part of a company's performance reports.
Under variable costing, Cool Sky’s Income Statement for the year would be as follows:
Revenue: 32,000 units x $110 = $3,520,000
Cost of Goods Sold: 32,000 units x ($42 + $16 + $5) = $1,440,000
Gross Profit: $3,520,000 - $1,440,000 = $2,080,000
Selling and Administrative Costs: 32,000 units x ($11 + $115,000) = $416,000
Net Income (Loss): $2,080,000 - $416,000 = $1,664,000
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When goods are shipped ________, title passes to the buyer whenA) FOB Shipping Point; the carrier accepts goods from the seller.B) FOB Destination; the carrier accepts goods from the seller.C) FOB Shipping Point; the carrier accepts goods from the buyer.D) FOB Destination; the seller manufactures the goods.
When goods are shipped FOB destination, title passes to the buyer when the carrier accepts goods from the seller. The answer is OPTION B
When the seller ships the product, the buyer acknowledges title to the goods and assumes full risk, which is known as FOB Origin or FOB Shipping Point. If the products are harmed or lost in transportation, the buyer is liable.
Ownership of the products in a FOB shipping point arrangement passes from the seller to the buyer once they are delivered at the point of origin. Once the products arrive at the shipping site, the buyer assumes all responsibility for them throughout transportation. In contrast, if the destination is FOB, the seller is responsible for delivery. The answer is OPTION B
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If the market prices of publicly traded stocks and bonds rise, while the productive capacity of those assets has not increased, which of the following has occurred? A. Nominal wealth has increased. B. Real wealth has increased. C. Nominal wealth has increased, but real wealth has decreased. D. Tangible wealth must have declined in value.
The correct option is A) Nominal wealth has increased. If the market prices of publicly traded stocks and bonds rise while the productive capacity of those assets has not increased, the nominal wealth of the holders of those stocks and bonds has increased.
What is nominal wealth?
Nominal wealth refers to the monetary value of an individual's assets. Nominal wealth is calculated by multiplying the number of stocks or bonds a person owns by the market price of each stock or bond.
What is real wealth?
Real wealth refers to the value of a person's assets in relation to the amount of goods and services they can purchase with those assets. Real wealth is measured by the inflation-adjusted value of a person's assets.Inflation can affect both nominal and real wealth. Inflation can cause nominal wealth to rise without any increase in real wealth, which is what happens when the market prices of publicly traded stocks and bonds rise while the productive capacity of those assets has not increased. This is because inflation can increase the market price of stocks and bonds without any corresponding increase in the amount of goods and services that those stocks and bonds can buy.
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Dreamgirls is a well-known San Diego women's apparel store. The owners of the store want the store to go global; hence, they have created a website. In this scenario, doing business online O a. makes it difficult for Dreamgirls to access customers through the internet O b. stops Dreamgirls from selling products in its physical stores O c.frees Dreamgirls from old brick-and-mortar rules, regulations, and habits Od immediately puts Dreamgirls in the international marketplace
The right option among the options given in the question is option D, "immediately puts Dreamgirls in the international marketplace".
When a store creates a website to sell products, it becomes available to a global audience, and the chances of reaching more customers increase. Online business frees Dreamgirls from old brick-and-mortar rules, regulations, and habits which are common for physical stores.
The internet has made it easy for businesses to enter the international market without being restricted by geographical boundaries. Businesses with online sales channels can quickly expand and reach customers in different countries.
The same applies to Dreamgirls, which can enter the international market through its website. Therefore, doing business online immediately puts Dreamgirls in the international marketplace.
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fick psychological services, inc., closes its temporary accounts once each year on december 31. the company recently issued the following income statement as part of its annual report. Fick's statement of retained earnings indicates that a $8,000 cash dividend was declared and paid during the current year. a. Prepare the necessary closing entries on December 31 of the current year. b. If Fick's Retained earnings account had a $90,000 balance on at the beginning of the current year, at what amount should Retained Earnings be reported in the firm's year-end balance sheet dated December 31?
The balance to be reported was $82,000 in the company's December 31 year-end balance sheet.
To close the temporary accounts, the necessary entries on December 31 of the current year would be:
Debit Retained Earnings for $8,000Credit Dividends for $8,000Retained earnings are usually held by the company as a provident fund or business development fund.
If Fick's Retained Earnings account had a $90,000 balance at the beginning of the current year, then its balance should be reported as $82,000 in the firm's year-end balance sheet dated December 31. This is because the $8,000 dividend was declared and paid out during the current year.
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The purchase of bonds by the Federal Reserve Will have the greatest effect on real gross domestic product if which of the following situations exists in the economy?
The purchase of bonds by the Federal Reserve will have the greatest effect on real gross domestic product (GDP) if there exists a deflationary gap in the economy.
Deflationary gap refers to a situation where the economy's aggregate demand (AD) is less than the aggregate supply (AS), resulting in declining output levels and rising unemployment. In such a situation, the government can intervene and employ expansionary monetary policy measures to boost the economy's aggregate demand levels. One of the ways to do so is by purchasing government securities (bonds) from the financial markets. It is also known as quantitative easing (QE).The Federal Reserve is responsible for controlling the nation's monetary policy. They regulate the money supply and interest rates in the economy. By purchasing government securities, the Federal Reserve injects money into the economy, increasing the reserves of banks, and thereby boosting lending and spending activity. As a result, the economy's aggregate demand levels rise, leading to higher production and employment levels. This, in turn, causes real GDP to increase, thereby reducing the deflationary gap. The monetary policy of bond purchase helps to stimulate the economy during periods of recession, promote economic growth and employment creation, and increase inflation levels.The Federal Reserve uses this monetary policy as a tool to counteract negative shocks to the economy, such as recession, high unemployment rates, or decreasing prices. By increasing the money supply, the government is stimulating demand and encouraging economic activity. The purchase of bonds helps to create new jobs, stimulate spending, and ultimately lead to an increase in real GDP levels. Hence, it can be concluded that the Federal Reserve's purchase of bonds will have the most significant effect on real GDP if there exists a deflationary gap in the economy.
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Complete question:
The purchase of bonds by the Federal Reserve will have the greatest effect on real gross domestic product if which of the following situations exists in the economy?
(A) The required reserve ratio is high, and the interest rate has a large effect on investment spending.
(B) The required reserve ratio is high, and the interest rate has a small effect on investment spending.
(C) The required reserve ratio is low, and the interest rate has a large effect on investment spending.
(D) The required reserve ratio is low, and the marginal propensity to consume is low.
(E) The marginal propensity to consume is high, and the interest rate has a small effect on investment spending.