financing cash flows include which of the following? multiple choice cash received from the sale of a used company truck. cash paid for supplies. cash received from the issuance of common stock. cash received from a customer.

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Answer 1

Financing cash flows include cash received from the issuance of common stock

What is financing activities

Financing activities refer to transactions that involve the acquisition or repayment of long-term liabilities and equity.

These activities include borrowing money, issuing stock, and repurchasing stock. Cash received from the issuance of common stock is a financing cash flow because it involves the sale of equity in the company to investors.

The other options listed in the question - cash received from the sale of a used company truck, cash paid for supplies, and cash received from a customer - are examples of operating cash flows or investing cash flows, not financing cash flows.

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true or false: relative to a global tariff, the effect of creating a customs union in liechtenstein is negative.

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The answer is true. The result of establishing a customs union in Lichtenstein is detrimental as compared to a global tariff.

The overall result is a decrease in trade with the effective, cost-effective producer. Trade creation is the term sometimes used to describe the increased trade in a customs union.

Common markets, economic unions, and federations are additional types of economic integration. Moreover, there may be dynamic benefits from customs unions. These are the same as the dynamic gains from freer trade in general, which also include the advantages of higher competition, economies of scale, investment stimuli, and labour and capital mobility advantages.

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as of march 31, outstanding checks total $52,000 and deposits in transit total $34,000. assuming there are no other reconciling items, what was the march 31 cash balance on fcc's books?

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The march 31 cash balance on fcc's books was min( X- $ 18,000,$ 100,000). Without knowing the value of X, cannot determine the reconciled cash balance on March.

A company's cash balance is the total amount of money it currently has on hand. This money is kept on hand as a reserve to pay for any unanticipated cash outflows. A company might find itself unable to pay its bills without such a financial safety net. Cash holdings are typically used to pay down debt or distribute dividends to shareholders. Cash, a liquid asset, is the first item on a company's balance sheet. Using cash, the most liquid of all commodities, is the simplest way to buy other assets.

Balance per bank statement= $X.

Outstanding checks= $52,000

Deposits in transit=$34,000

Adjust balance per bank statement= Balance per bank statement - outstanding checks + Deposits in transits

Adjust balance per bank statement= X -  $52,000+ $34,000

Adjust balance per bank statement= X -  $18,000

Reconciled cash balance on March 31=min ( Adjust balance per bank statement, Balance per books)

Reconciled cash balance on March 31=min (X -  $18,000, $10,0000).

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netflix enjoys the triple scale advantage of the largest customer base, the largest selection, and the largest network of distribution centers. this can be attributed to:

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Netflix's triple scale advantage can be attributed to several factors.

Firstly, the company has been able to build a massive customer base over the years by offering a wide range of high-quality content at affordable prices. This has allowed them to attract and retain a large number of subscribers, giving them a significant advantage over their competitors.

Secondly, Netflix has invested heavily in content production, licensing, and acquisition, which has enabled them to offer the largest selection of movies and TV shows among streaming services. This extensive library of content further strengthens their position in the market and makes it more difficult for competitors to catch up.

Lastly, Netflix has built the largest network of distribution centers globally, which allows them to efficiently deliver their content to their customers. This has resulted in faster delivery times, reduced shipping costs, and an overall better customer experience. The combination of these factors has given Netflix a significant competitive advantage over other streaming services.

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if the owner odf the drugstore hired a manager for $16 an hour to take his place, how much of a change would show up in

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The change that would show up in the drugstore is dependent on several factors, such as how much the owner was being paid before he or she decided to hire a manager, and how much money the drugstore generates in sales.

The difference between the owner's wage and the manager's wage will be the key factor to be considered. When a change is made, the change in the drugstore can be calculated by comparing the earnings of the previous owner with the new manager's salary. If the owner was making more than $16 an hour, then hiring a manager for $16 an hour would result in a decrease in the drugstore's earnings. The difference between the owner's salary and the new manager's salary is the change that would appear.

For instance, if the owner was paid $20 an hour, then hiring a manager for $16 an hour would result in a $4 decrease per hour. So, the change that would show up in this situation is $4 per hour.

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what is measured on the vertical axis of the aggregate demand/aggregate supply model? the price level nominal income real gross domestic product (gdp) the interest rate

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The aggregate demand / aggregate supply model is an economic model that represents two opposing forces that determine macroeconomic equilibrium. The model shows the interaction between the aggregate supply and aggregate demand curves, which form the short-run equilibrium, as well as long-run equilibrium.

The price level is plotted on the vertical axis of the graph, while the output or real GDP is plotted on the horizontal axis. In the short run, the aggregate demand curve represents the level of aggregate demand that is consistent with the existing supply of goods and services, and the economy's output adjusts to meet this level of demand.

The supply of goods and services is fixed in the short run, so changes in demand affect the price level rather than the level of output. In the long run, the aggregate supply curve shifts to meet the demand, and the output returns to its natural level. This shift is caused by changes in the factors of production, such as labor, capital, and technology.In conclusion, the aggregate demand / aggregate supply model represents two forces that determine macroeconomic equilibrium, and the price level is plotted on the vertical axis.

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if bac is $85,000, duration is 75 days, pv is $21,000, ac is $20,000, and % complete is 27%, how far is the project ahead or behind schedule?

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The project team should take appropriate actions to bring the project back on track and complete it within the scheduled time frame. To determine whether a project is ahead or behind schedule, we need to calculate the project's schedule variance (SV).

The formula for SV is as follows:

SV = % complete x BAC - EV

where EV (earned value) is equal to % complete x BAC.

First, we can calculate the EV using the given information:

EV = % complete x BAC = 0.27 x $85,000 = $22,950

Next, we can calculate the project's actual cost (AC) using the given information:

AC = $20,000

Using the PV (planned value) of $21,000, we can calculate the project's cost variance (CV):

CV = EV - AC = $22,950 - $20,000 = $2,950

Since the CV is positive, we can conclude that the project is currently under budget. However, to determine whether the project is ahead or behind schedule, we need to calculate the SV:

SV = % complete x BAC - EV = 0.27 x $85,000 - $22,950 = -$2,250

A negative SV indicates that the project is behind schedule. In this case, the project is $2,250 behind schedule. Therefore, the project team should take appropriate actions to bring the project back on track and complete it within the scheduled time frame. This could involve increasing the rate of progress to catch up with the planned schedule or revising the schedule to reflect the actual progress made.

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arca company reports the following for its product for its first year of operations.direct materials $ 88 per unitdirect labor $ 68 per unitvariable overhead $ 38 per unitfixed overhead $ 103,200 per yearvariable selling and administrative expenses $ 8 per unitfixed selling and administrative expenses $ 58,000 per yearthe company sells its product for $390 per unit. compute gross profit using absorption costing assuming the company produces 2,580 units and sells 2,180 units.

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The gross profit using absorption costing assuming the company produces 2,580 units and sells 2,180 units is calculated to be  $265,146.20.

To compute gross profit using absorption costing, we need to allocate all manufacturing costs (both fixed and variable) to the units produced.

Total manufacturing cost per unit = direct materials + direct labor + variable overhead + fixed overhead per unit

= $88 + $68 + $38 + ($103,200 / 2,580)

= $88 + $68 + $38 + $40

= $234 per unit

Thus, the total manufacturing cost for 2,580 units produced is:

2,580 units x $234 per unit = $603,720

We also need to allocate the fixed selling and administrative expenses to the units sold.

Total selling and administrative cost per unit = variable selling and administrative expenses + (fixed selling and administrative expenses / units sold)

= $8 + ($58,000 / 2,180)

= $8 + $26.61

= $34.61 per unit

The cost of goods sold (COGS) is the sum of the manufacturing cost and the selling and administrative cost per unit:

COGS per unit = manufacturing cost per unit + selling and administrative cost per unit

= $234 + $34.61

= $268.61 per unit

Thus, the COGS for the 2,180 units sold is:

2,180 units x $268.61 per unit = $585,053.80

The gross profit is the difference between the revenue and the COGS:

Gross profit = Revenue - COGS

= (2,180 units x $390 per unit) - $585,053.80

= $850,200 - $585,053.80

= $265,146.20

Therefore, the gross profit using absorption costing is $265,146.20.

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a company sells life insurance policies for $573. if the policyholder dies in the next 10 years, then the company will pay out $21,232 to the benefactor. otherwise, the company pays out nothing. what is the expected profit per policy for the company, given that the probability of death for a policyholder in the next 10 years is 0.017?

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To calculate the expected profit per policy for the company, we need to take into account the probability of death and the payout amount.

The probability of death for a policyholder in the next 10 years is 0.017, which means that the company expects to pay out $21,232 * 0.017 = $361.44 per policy on average. Therefore, the expected profit per policy is the difference between the premium and the expected payout, which is $573 - $361.44 = $211.56. This means that the company can expect to earn an average profit of $211.56 per policy sold, taking into account the likelihood of death and the payout amount.

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kelly inc. purchased equipment for $400,000, the useful life of the equipment is 10 years and the residual value is $20,000. using the double-declining method what is the depreciation expense in the first year?

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For an equipment worth $400,000 with useful life of 10 years and residual value of $20,000, using the double-declining method, the depreciation expense in the first year is  $80,000.

The double-declining method calculates depreciation as a percentage of the book value of the asset.

The depreciation expense in the first year for Kelly Inc.'s equipment, using the double-declining method, can be calculated as follows:

1. Determine the straight-line depreciation rate:

Divide 100% by the useful life of the equipment.

  Straight-line rate = 100% / 10 years = 10%

2. Double the straight-line rate to get the double-declining rate.

  Double-declining rate = 2 * 10% = 20%

3. Apply the double-declining rate to the initial cost of the equipment.

  Depreciation expense (first year) = $400,000 * 20% = $80,000

So, the depreciation expense in the first year using the double-declining method is $80,000.

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unearned revenues are: expenses incurred because a customer has paid in advance. decreases in an asset. transferred to revenue when products and services are delivered. increases in assets as a result of delivering products or services to a customer. assets that will be used over time.

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Unearned revenues are costs incurred as a result of a customer's upfront payment. shrinkage of an asset. supplied goods and services are converted to revenue. assets grow as a result of providing customers with goods or services. things that will be utilized in the future. is accurate.

Unearned income is money that a person or business receives in exchange for a good or service that hasn't yet been offered or provided. An account in financial accounting is unearned revenue. It is regarded as a liability, or a sum that the company owes. On a company's balance sheet, a standard financial report in accounting, it is listed as a current liability. In conclusion, unearned revenue is an asset that the firm receives, but that must first be used to provide a service or deliver goods before it can be considered completely earned. The business will invest time and money into this project. liabilities

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is the set of processes and managerial behaviors that involve defining, monitoring, measuring, evaluating, and providing consequences for performance expectations. group of answer choices performance appraisal performance management learning and development socialization

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The correct answer is "performance management." Performance management refers to the set of processes and managerial behaviors that involve defining performance expectations.

monitoring and measuring performance, evaluating performance, and providing consequences, such as feedback, rewards, or consequences, based on performance outcomes. Performance management is an ongoing process that aims to align individual and team performance with organizational goals and objectives, and it involves various activities such as goal setting, performance feedback, performance appraisal, and performance improvement.

Learning and development, socialization, and performance appraisal are related concepts, but they are not the specific group of processes and behaviors that involve defining, monitoring, measuring, evaluating, and providing consequences for performance expectations, which is performance management. ​ ​ ​

​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​ ​

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the perry company reported accounts receivable, net of $65,600 at the beginning of the year and $73,100 at the end of the year. if the company's net sales revenue during the fourth year was $886,000, what are the days to collect during year? (round all calculations to 1 decimal place.)

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Receivables Average = Beg Receivables + End Receivables / 2 =65,800+73,000/2 =138,800/2 =69,400

Receivable turnover is calculated as Net Sales/Average Receivables (884,000/69,400 =12.74 days to collect during the year/365/12.7 =28.6 days). A company's legally enforceable claims for payment for goods delivered or services rendered that customers have requested but haven't paid for are referred to as "accounts receivable," also known as "AR" or "A/R." The accounts receivable process includes several processes, including customer onboarding, billing, collections, withholdings, exception management, and eventually cash posting after payment collection. Usually, they come in the form of invoices, which a business issues and sends to the client for payment within a specific amount of time. This accounting transaction is a part of a series that addresses billing a customer for the products and services they have ordered. These can be compared to receivable notes, which are considered legal obligations.

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what role did analysis of the variation in the ice cream freezers and the extrusion process play in their application of lean six sigma methods to their operations? 1. how did casper's analysis of their use of nitrogen in their conveyor belt system to freeze the ice cream result in changes? what savings were they able to realize, based on their projects?

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The role of analyzing variation in ice cream freezers and the extrusion process in applying Lean Six Sigma methods to operations involved identifying inefficiencies, reducing waste, and improving overall performance.

Casper's analysis of nitrogen use in the conveyor belt system led to process optimization, resulting in significant cost savings for the company.

To explain further, Casper's analyzed the variations in the ice cream freezers and the extrusion process by using Lean Six Sigma techniques such as process mapping, data analysis, and root cause analysis.

These techniques helped them identify areas of inefficiency and potential improvements. In the case of nitrogen use in the conveyor belt system, the analysis revealed opportunities to optimize the freezing process and reduce nitrogen consumption.

By implementing changes based on this analysis, Casper's was able to save costs on nitrogen and energy, improve product quality, and increase production capacity. These savings and improvements were a direct result of applying Lean Six Sigma methods to their operations.

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44. a company has sales of $132 million, net income of $24 million, a total asset turnover of 0.84, and a leverage multiplier of 1.6. what is the company\s return of equity, using the dupont formula?

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The company's return on equity using the DuPont formula is 24.4%

The DuPont formula is a way to decompose the return on equity (ROE) into three parts: the profit margin, the total asset turnover, and the leverage multiplier. We can use the formula to calculate the company's ROE as follows:

ROE = Net Income / Total Equity

ROE = (Net Income / Sales) x (Sales / Total Assets) x (Total Assets / Total Equity)

ROE = (Profit Margin) x (Total Asset Turnover) x (Leverage Multiplier)

Given the information in the question, we can calculate the three components of ROE as follows:

Profit Margin = Net Income / Sales

Profit Margin = $24 million / $132 million

Profit Margin = 0.1818 or 18.18%

Total Asset Turnover = Sales / Total Assets

Total Asset Turnover = $132 million / Total Assets

We do not have the information on the total assets of the company, but we are given the total asset turnover ratio, which is 0.84. Therefore, we can set up the equation:

0.84 = $132 million / Total Assets

Solving for Total Assets, we get:

Total Assets = $132 million / 0.84

Total Assets = $157.14 million

Leverage Multiplier = Total Assets / Total Equity

Leverage Multiplier = ($157.14 million / Total Equity) x 1.6

Solving for Total Equity, we get:

Total Equity = $157.14 million / (Leverage Multiplier / 1.6)

We are not given the total equity of the company, but we can solve for it using the leverage multiplier, which is 1.6. Therefore, we can set up the equation:

ROE = 0.1818 x 0.84 x (157.14 / (Total Equity x 1.6))

Solving for Total Equity, we get:

Total Equity = $157.14 million / (ROE / (0.1818 x 0.84 x 1.6))

Plugging in the given values and solving for ROE, we get:

ROE = 0.1818 x 0.84 x (157.14 / (Total Equity x 1.6))

ROE = 0.244 or 24.4%

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a bank makes a 30 year fully amortizing frm for $1,000,000 at an annual interest rate of 4.25% compounded monthly, with monthly payments. what is the market value of this loan after 7 years of payments if the annual interest rate for this loan is 7% compounded monthly?

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The market value of the loan after 7 years of payments, with an annual interest rate of 7% compounded monthly, is approximately $852,716.82.

Calculate the monthly interest rate for the new interest rate of 7% compounded monthly:

i = 7% / 12 = 0.5833%

Next, calculate the number of remaining payments on the loan after 7 years:

n = (30 years × 12 months per year) - (7 years × 12 months per year) = 276

Using the formula for the monthly payment on a fully amortizing loan, can calculate the monthly payment on the loan:

P = A / [(1 - (1 + i)⁻ⁿ / i]

Where:

P = monthly payment

A = loan amount

i = monthly interest rate

n = total number of payments

Plugging in the values, we get:

P = $1,000,000 / [(1 - (1 + 0.5833%)⁻²⁷⁶) / 0.5833%]

P = $5,838.45

Using the formula for the present value of an annuity, calculate the market value of the remaining payments on the loan:

PV = P × [(1 - (1 + i)⁻ⁿ) / i] × (1 + i)

Where:

PV = present value

P = monthly payment

i = monthly interest rate

n = number of remaining payments

Plugging in the values, get:

PV = $5,838.45 × [(1 - (1 + 0.5833%)⁻²⁷⁶) / 0.5833%] ×(1 + 0.5833%)

PV = $852,716.82

Therefore, the market value of the loan after 7 years of payments, with an annual interest rate of 7% compounded monthly, would be approximately $852,716.82.

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you are about to sign an interest swap to pay fixed and receive floating. the quote is 4.5-4.7% against libor flat. the principal is 100,000. what is the value of the swap? (please use a fixed rate to discount the cash flows.) round to the nearest us cent (2 decimal places

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We must predict the anticipated cash flows based on the LIBOR rate in order to determine the present value of the floating payments. The floating amounts would be: Assuming a 2% flat LIBOR rate, they would be:Year 1: $100,000 times 2.

We must identify the fixed rate at which the present value of the fixed payments is equal to the present value of the floating payments in order to calculate the swap's worth. The fixed payments would be $4,600 a year ($100,000 principal x 4.6% fixed rate), assuming a constant rate of 4.6%. We must discount each fixed payment at the set rate in order to determine the present value of the fixed payments. With a discount rate of 4.6%, the following would be the present worth of the fixed payments:

Year 1: $4,600 / (1 + 4.6%)^1 = $4,395.63

Year 2: $4,600 / (1 + 4.6%)^2 = $4,195.08

Year 3: $4,600 / (1 + 4.6%)^3 = $4,001.98

Year 4: $4,600 / (1 + 4.6%)^4 = $3,815.89

Year 5: $4,600 / (1 + 4.6%)^5 = $3,636.47

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todd, a manager at dexter manufacturing, received a grievance filed by a group of his subordinates who are union members. unable to settle the grievance, both sides agree to enter into arbitration. which of the following questions is least relevant for the arbitrator to ask when establishing the fairness of management's actions? group of answer choices what are the right-to-work guidelines involved? has there been lax enforcement of the rule? were the grievants knowledgeable about the rules? what is the past record of the grievants?

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While the two groups are unable to settle the grievances, the least relevant question to the arbitrator while establishing the fairness to the actions of the management will be "What are the right-to-work guidelines involved?"

The correct option is option a.

Human Resource Management or HRM is basically a business management expertise which happens to focus on the hiring, recruiting, training, deploying, as well as managing the employees who are a part of an organization.

Todd who is a manager at Dexter Manufacture got a grievance which were filed by his subordinates. The groups entered into an arbitration. In such case, the least relevant question to them would be "What are  the right-to-work guidelines involved?"

Hence, the correct option is option a.

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a third-grade teacher with a congenital hip dislocation wishes to purchase a disability income policy, but she fears she will not be insurable. what option does she have to get coverage? a)she may purchase a policy if she changes her occupation to something less hazardous. b)she may purchase a limited policy that will cover the disability resulting from accidents that happen at her school. c)she will not receive coverage under any circumstances. d)she may purchase a policy with an extra premium to cover any disability that would involve her hip.

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Third-grade teacher with a congenital hip dislocation to get disability income coverage is to D)  purchase a policy with an extra premium that covers any disability involving her hip. This would allow her to maintain her current occupation and obtain comprehensive coverage for her needs.

A third-grade teacher with a congenital hip dislocation is concerned about her ability to purchase a disability income policy due to her condition. She is considering various options to get coverage. Here is a summary of the possible options and the most suitable one for her situation:

a) She may purchase a policy if she changes her occupation to something less hazardous. This option would involve the teacher changing her job to a different occupation that is considered less risky by the insurance company. However, this may not be the most practical or desirable solution for her, as it could require her to leave a profession she is passionate about.

b) She may purchase a limited policy that will cover the disability resulting from accidents that happen at her school. This option could provide her with some coverage, but it would be limited to specific incidents occurring at her workplace. This might not be the most comprehensive solution, as it would not cover any disability issues that could arise outside of her school environment.

c) She will not receive coverage under any circumstances. This option is incorrect, as there are alternatives available for individuals with pre-existing conditions, such as the teacher with a congenital hip dislocation.

d) She may purchase a policy with an extra premium to cover any disability that would involve her hip. This option is the most suitable for her situation. By paying an additional premium, the teacher could obtain a disability income policy that includes coverage for her pre-existing hip condition. This would provide her with the protection she needs without having to change her occupation or accept a limited policy that only covers specific accidents.

In conclusion, the best option for the third-grade teacher with a congenital hip dislocation to get disability income coverage is to purchase a policy with an extra premium that covers any disability involving her hip (option d). This would allow her to maintain her current occupation and obtain comprehensive coverage for her needs.

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question 51 pts which statement is correct? group of answer choices a portfolio that contains at least 30 diverse individual securities will have a beta of 1.0. any portfolio that is correctly valued will have a beta of 1.0. a portfolio that has a beta of 1.12 will lie to the left of the market portfolio on a security market line graph. a risk-free security plots at the origin on a security market line graph. an underpriced security will plot above the security market line.

Answers

The correct statement is "a risk-free security plots at the origin on a security market line graph." The Security Market Line (SML) graph is a representation of the relationship between risk and return for an individual security or a portfolio of securities.

The SML is a straight line that passes through the risk-free rate and the market return. The risk-free rate is the return an investor can expect to earn on a completely risk-free investment such as a government bond.

Therefore, a risk-free security will plot at the origin on the SML graph, indicating that it has zero systematic risk and an expected return equal to the risk-free rate.
The other options are incorrect. A portfolio that contains at least 30 diverse individual securities will not necessarily have a beta of 1.0. The beta of a portfolio depends on the betas of the individual securities as well as their weights in the portfolio. Any portfolio that is correctly valued will also not necessarily have a beta of 1.0.

The correct valuation of a portfolio does not affect its beta. A portfolio that has a beta of 1.12 will not lie to the left of the market portfolio on the SML graph.

The market portfolio has a beta of 1.0 by definition, so any portfolio with a beta greater than 1.0 will lie to the right of the market portfolio on the SML graph. An underpriced security will not plot above the SML.

The SML represents the expected return of a security based on its systematic risk, and an underpriced security would have a higher expected return for its level of risk, which would cause it to plot below the SML.

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the direct approach could be a good choice for a bad-news message if you expect group of answer choices the customer will be shocked by the news. the news will make the reader angry or upset. the news to be accepted as a routine part of a business relationship. the news will disappoint the reader. to be able to solve the problem within a few days.

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The correct option is E, The direct approach could be a good choice for a bad-news message if you expect the news to be accepted as a routine part of a business relationship.

A business relationship refers to the connection between two or more organizations, individuals or groups that have some level of interaction and engagement in the course of conducting business activities. It involves the exchange of goods, services, information, and resources, as well as the negotiation and implementation of agreements and contracts.Business relationships can take many forms, such as partnerships, joint ventures, supplier relationships, customer relationships, and alliances. They are built on trust, mutual understanding, and shared interests, and require effective communication, collaboration, and conflict resolution.

Effective business relationships are essential for the success and growth of organizations. They can lead to increased sales, improved customer satisfaction, better quality products and services, and access to new markets and resources. In addition, strong business relationships can help organizations navigate complex and uncertain business environments, and adapt to changes in the marketplace.

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Complete Question:-

The direct approach could be a good choice for a bad-news message if you expect

a. to be able to solve the problem within a few days.

b. the customer will be shocked by the news.

c. the news will disappoint the reader.

d. the news will make the reader angry or upset.

e. the news to be accepted as a routine part of a business relationship.

grocers, a large food retailer, purchases fruits from several different tropical countries. when the fruits arrive in distribution centers across the united states, the quantities are reduced to amounts that are appropriate for store delivery. the stores, in turn, offer the fruits in quantities that depend on the consumption pattern of the customers. this act of offering products in smaller quantities based on consumption patterns is known as . intensive distribution breaking bulk forward integration holding inventory consumerization

Answers

The act of offering products in smaller quantities based on consumption patterns is known as consumerization.

Consumerization is a process by which products are tailored to meet the needs and preferences of consumers. It is a customer-centric approach to product development, where the needs of the customer are considered in every stage of the product lifecycle.

In the case of grocers, consumerization is an important strategy for ensuring that their customers have access to fresh fruits. Grocers purchase fruits from several different tropical countries, and the quantities are reduced to amounts that are appropriate for store delivery. By offering the fruits in quantities that depend on the consumption pattern of the customers, grocers are able to ensure that their customers have access to fresh fruits that meet their needs and preferences.

Consumerization is a powerful tool for grocers, as it allows them to offer a wide range of products that meet the needs and preferences of their customers. It is an important aspect of intensive distribution, which is a strategy that involves making products available in as many outlets as possible. By breaking bulk and holding inventory, grocers are able to ensure that they can meet the demands of their customers and remain competitive in a crowded marketplace.

In conclusion, consumerization is an important strategy for grocers who purchase fruits from several different tropical countries. By offering the fruits in quantities that depend on the consumption pattern of the customers, grocers are able to ensure that their customers have access to fresh fruits that meet their needs and preferences. Consumerization is a powerful tool for grocers, as it allows them to remain competitive in a crowded marketplace and meet the demands of their customers.

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Complete Question

Grocers, a large food retailer, purchases fruits from several different tropical countries. When the fruits arrive in distribution centers across the United States, the quantities are reduced to amounts that are appropriate for store delivery. The stores, in turn, offer the fruits in quantities that depend on the consumption pattern of the customers. This act of offering products in smaller quantities based on consumption patterns is known as _____.

why do companies use micro-influencers? group of answer choices they are more affordable they tend to have higher engagement they are good for niche or small markets all of the above

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Compared to nano-influencers, micro-influencers have a larger audience. Between 10,000 and 250,000 people follow them. Because micro-influencers have a strong specialty audience and a higher engagement rate than influencers with broader followings, brands and marketers adore working with them.

A micro-influencer utilises their social media presence to promote things related to their interests or areas of expertise and has between 1,000 and 100,000 social media followers. Micro-influencers have between 10,000 and 100,000 followers, while nano-influencers have between 1,000 and 10,000 , some characterize them as having 100K or more followers, while others classify micro-influencers as having between 1K and 100K followers. A social media influencer known as a "micro-influencer" with 1,000–10,000 followers. These influencers are renowned for their authenticity and subject-matter knowledge. Micro-influencers are likewise highly favoured due to their dedicated fan base.

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firm a and firm b have debt-total asset ratios of 44 percent and 34 percent, respectively, and returns on total assets of 8 percent and 14 percent, respectively. what is the return on equity for firm a and firm b? (do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.)

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The return on equity for Firm A is 2.95% and for Firm B is 18.67%.

We can use the DuPont formula to calculate the return on equity (ROE) for each firm;

ROE = (Net Income/Total Equity) × (Total Equity/Total Assets) × (Total Assets /Sales)

For Firm A;  Debt-Total Asset Ratio = 44%

Equity-Total Asset Ratio = 56%

Return on Total Assets = 8%

ROE = (Net Income/Total Equity) × (Total Equity/Total Assets) × (Total Assets / Sales)

ROE = (Net Income / Sales) × (Total Assets/Total Equity) × (Total Equity/ Sales)

ROE = Return on Total Assets × (1 - Debt-Total Asset Ratio) × (1 / Equity-Total Asset Ratio)

ROE = 8% × (1 - 0.44) × (1 / 0.56)

ROE = 2.95%

For Firm B; Debt-Total Asset Ratio = 34%

Equity-Total Asset Ratio = 66%

Return on Total Assets = 14%

ROE = (Net Income / Total Equity) × (Total Equity / Total Assets) × (Total Assets / Sales)

ROE = (Net Income / Sales) × (Total Assets / Total Equity) × (Total Equity / Sales)

ROE = Return on Total Assets × (1 - Debt-Total Asset Ratio) × (1 / Equity-Total Asset Ratio)

ROE = 14% × (1 - 0.34) × (1 / 0.66)

ROE = 18.67%

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3) of the four factors that influence asset demand, which factor will cause the demand for all assets to increase when it increases, everything else held constant?

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Of the four factors that influence asset demand, A) wealth will cause the demand for all assets to increase when it increases, everything else held constant?

With everything else remaining equal, an increase in wealth will result in an increase in desire for all assets. An individual wealth, represents a measure of their buying power, which is the sum of their assets minus their obligations. The ability to require more assets, like stocks, bonds, real estate, and other investments, grows as their level of income rises.

If supply stays the same, this greater demand will raise asset values, which, all other things being equal, will lead to lower anticipated returns and higher risk. Expected returns, risk, and availability are variables that affect asset demand, but they do not always result in a rise in demand for all assets. For instance, buyers may switch their demand away from other assets and towards the asset with the higher anticipated return if expected returns for a particular asset rise.

Complete Question:

Of the four factors that influence asset demand, which factor will cause the demand for all assets to increase when it increases, everything else held constant?

A) wealth

B) expected returns

C) risk

D) liquidity

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if the supply of school teachers increases over time and people can move freely between being teachers and uber drivers, the neoclassical theory of distribution predicts that, other things equal, the real wages of

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The neoclassical theory of distribution predicts that, other things equal, the real wages of school teachers will decrease over time.

According to the neoclassical theory of distribution, the wage rate is determined by the intersection of the demand and supply curves for labor. If the supply of school teachers increases over time, there will be a surplus of teachers in the labor market, and employers will have less incentive to offer higher wages.

Additionally, if people can move freely between being teachers and uber drivers, the increased supply of uber drivers will put downward pressure on wages for all low-skilled jobs, including teaching.

Therefore, other things equal, the real wages of school teachers will decrease over time due to the increase in the supply of teachers and the availability of alternative employment opportunities.

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operation of a hair salon is an example of part 2 a. modularization. b. an assembly line. c. delayed customization. d. automation.

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The operation of a hair salon is an example of delayed customization. The correct answer is option c.

Delayed customization refers to a production process where a standard product or service is first produced in a generic form, and then customized or personalized to meet the specific needs or preferences of individual customers.

In the context of a hair salon, the production process typically involves a standard set of services such as haircuts, coloring, styling, and treatments, which are offered to all customers. However, each customer has their own unique hair type, length, color, and style preferences, which require a certain degree of customization to achieve the desired outcome.

For example, a customer may request a specific type of haircut, a certain hair color, or a particular style, which requires the hair stylist to customize their approach to meet the customer's needs.

The delayed customization approach allows hair salons to provide a high level of customer service and customization, while still maintaining efficiency and reducing costs. By offering a standard set of services, hair salons can optimize their resources and streamline their production process. Then, by customizing each service to meet the individual needs of each customer, they can offer a personalized and unique experience that sets them apart from their competitors.

Hence, the correct answer is c. delayed customization.

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a drug store decides to discontinue its health and beauty section of products because it has been unprofitable. this strategy could backfire because

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This strategy could backfire because the store's sales may suffer by not having this convenience category of products.

In marketing, convenience products are those that a business sells that, due to customer demand, require less advertising. Convenience products are things that improve a customer's life and need to be replaced on a frequent basis. Since consumers buy these things frequently, they frequently do so with little thinking or engagement.

They hardly ever compare products because the differences between selections are so minimal. Consumers skip the entire purchase cycle when they buy these things. Consumers frequently purchase convenience goods to fulfil their everyday demands.

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if the fed initiates a program to purchase long-term treasury securities, it is most likely attempting to a. reduce inflation. b. reduce the rate on c

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If the Fed initiates a program to purchase long-term Treasury securities, it is most likely attempting to reduce the rate on long-term interest rates (option b).

This is a policy known as "quantitative easing," which involves the central bank buying large quantities of government bonds to increase the money supply and lower interest rates. By reducing long-term interest rates, the Fed hopes to stimulate borrowing and investment in the economy, which can help promote economic growth and reduce unemployment. Additionally, by buying up government bonds, the Fed can increase demand for these securities and help keep their prices high, which can have a positive impact on financial markets.

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abc has beginning inventory for the year of $18,000. during the year, abc purchases inventory for $230,000 and has cost of goods sold equal to $233,000. abc's ending inventory equals:

Answers

To calculate ABC's ending inventory, we can use the formula: Ending inventory = Beginning inventory + Purchases - Cost of goods sold

Plugging in the given values, we get: Ending inventory = $18,000 + $230,000 - $233,000

Ending inventory = $15,000

Therefore, ABC's ending inventory for the year is $15,000. This means that ABC has $15,000 worth of inventory remaining at the end of the year after accounting for the cost of goods sold and purchases during the year. This ending inventory value will be carried forward to the next accounting period as the beginning inventory value.

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assume you are holding a 1-year bond that is expected to pay $1,050 if all goes well. however, there is a 90 percent probability that the corporation will file for bankruptcy and bondholders will receive only $200. if the required rate of return is 15 percent, what is the present value of the bond? multiple choice question. $1,000 $247.83 $1250 $285

Answers

If the required rate of return is 15 percent, the present value of the bond is $247.83. So the option B is correct.

The weighted average of the cash flows under the two scenarios constitutes the predicted cash flows:

Expected cash flows = (probability of receiving $1,050 x $1,050) + (probability of receiving $200 x $200)

Expected cash flows = (0.1 x $1,050) + (0.9 x $200)

Expected cash flows = $105 + $180

Expected cash flows = $285

Next, the present value of the anticipated cash flows is determined as follows:

Present value = Expected cash flows/(1 + required rate of return)ⁿ

where n is how many years it will take to get the cash flows.

The present value of the bond is:

Present value = $285/ (1 + 0.15)¹

Present value = $247.83

So the option B is correct.

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