A company’s productivity is a measure of what

Answers

Answer 1

Answer: Efficiency in producing goods or services relative to the amount of resources, such as labor, capital, and materials, used to produce them. In other words, it measures how much output a company can generate per unit of input. The higher a company's productivity, the more efficiently it is using its resources to produce goods or services, which can lead to increased profitability, competitiveness, and growth.

Explanation: Efficiency in producing goods or services relative to the amount of resources, such as labor, capital, and materials, used to produce them. In other words, it measures how much output a company can generate per unit of input. The higher a company's productivity, the more efficiently it is using its resources to produce goods or services, which can lead to increased profitability, competitiveness, and growth.


Related Questions

when a substantive analytical procedure is used as the principal substantive procedure for a significant financial statement assertion, the auditor should document blank .

Answers

When a substantive analytical procedure is used as the principal substantive procedure for a significant financial statement assertion, the auditor should document:

o any additional auditing procedures performed in response to significant differences identified

o the expectation and how it was developed

o results of the comparison of the expectation to the recorded amounts

To gather proof about specific assertions like account balances or categories of transactions, analytical processes are utilised as a substantive test. Analytical techniques may occasionally be more successful or effective than tests of specifics in accomplishing certain substantive testing goals.

Creating conclusive proof on the accuracy, existence, disclosure, rights, or valuation of assets and/or accounts on the financial statements is the goal of a substantive procedure, which can be a step-by-step process or a test.

The correct answer are options a, d and e.

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The question seems incomplete. The complete question is:

Select all that apply

When a substantive analytical procedure is used as the principal substantive procedure for a significant financial statement assertion, the auditor should document ______.

o any additional auditing procedures performed in response to significant differences identified

o conversations between the auditor and the audit committee concerning differences identified

o results of comparisons between the entity and industry competitors

o the expectation and how it was developed

o results of the comparison of the expectation to the recorded amounts

How do job seekers find their best jobs?

Answers

Answer:

by watching vacancies in newspaper and social media

Explanation:

job seekers can find job their best jobs by watching the vacancies of job in social media or newspaper

Is Hershey's resurgence based on a want or a need?

Answers

Answer:

Hershey’s resurgence is based on want because even though consumer frugality happened, they still find a way in order that the consumers will continue to purchase their product. People buy chocolates because it is their want to be satisfied on what they are craving for. Through that, Hershey comes up in making their product affordable so that consumers will buy what they want.

Explanation:

in the blank stage of the product life cycle, demand and sales increase, profits peak, and there are more competitors. multiple choice question. introduction growth maturity decline

Answers

In the growth stage of the product life cycle, demand and sales increase, profits peak, and there are more competitors.

In the Growth stage of the product life cycle, demand and sales increase, profits peak, and there are more competitors.What is the product life cycle?The product life cycle is a concept that explains the life cycle of a product. It explains the various stages that a product goes through from its development to its discontinuation. Each stage of the product life cycle has distinct characteristics and calls for distinct marketing tactics.

The various stages of the product life cycle are:Introduction stageGrowth stageMaturity stageDecline stageIn the Introduction stage of the product life cycle, the demand for the product is low and sales are slow. Profits are either non-existent or very low. There are generally only a few competitors.In the Growth stage of the product life cycle, demand and sales increase, profits peak, and there are more competitors.In the Maturity stage of the product life cycle, demand for the product starts to level off, sales slow down, and profits start to decline. There are a lot of competitors in the market.In the Decline stage of the product life cycle, demand for the product falls, sales decline, and profits decline. Competitors start to drop out of the market.

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Sovrano Café is considering a major expansion of its business. The details of
the proposed expansion project are summarized below:
o The company will have to purchase $950,000 equipment, that require
installation cost and transportation cost equal $100,000.
o The project has an economic life of 5 years.
o The cost can be depreciated using straight line method.
o At t = 0, the project requires that working capital will increase by $200,000
o The project’s salvage value at the end of 5 years is expected to be $60,000.
o The company forecasts that the project will generate $725,000 in sales the
first 2 years and $650,000 in sales during the last 3 years
o Each year the project’s operating cost excluding depreciation is expected to
be 50% of sales revenue.
o The company’s tax rate is 40%
o The company already pays marketing expenses equal 80,000.
o The project’s cost of capital is 10%

What do you recommend?

Answers

The NPV (Net Present Value) of the expansion project is negative, thus the project is not expected to generate sufficient returns to cover the cost of capital, and therefore, it is recommended Sovrano Café not proceed with the expansion.

What is the Net Present Value?

The Net Present Value (NPV) is an interesting financial measure that calculates the present value of a project's future cash inflows and outflows, discounted to their current value using a specified rate of return.

Using the information given, we can calculate the annual cash flows of Sovrano Café as follows:

Year 0: - 950,000 - 100,000 + 200,000 = -850,000

Years 1-2: (725,000 x 0.5) x (1 - 0.4) = 217,500

Years 3-5: (650,000 x 0.5) x (1 - 0.4) = 195,000

Salvage Value: 60,000

To calculate the NPV, we discount the cash flows to their present value using the project's cost of capital, which is given as 10%. The NPV formula is:

[tex]NPV = (CF1 / (1 + r)^1) + (CF2 / (1 + r)^2) + ... + (CFn / (1 + r)^n)[/tex] - Initial Investment.

Substituting in the values, we get:

[tex]NPV = (-850,000 / 1.1^0) + (217,500 / 1.1^1) + (217,500 / 1.1^2) + (195,000 / 1.1^3) + (195,000 / 1.1^4) + (195,000 / 1.1^5) + (60,000 / 1.1^5)[/tex]

[tex]80,000 = -$60,764.29[/tex]

NPV = $-60,764.29.


Notice the NPV is negative, hence the project is not expected to generate sufficient returns to cover the cost of capital, and therefore, it is recommended Sovrano Café not proceed with the expansion.

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Answer:

Explanation:

The Assumption is: The discounting rate is selected based on the organization's WACC and risk premium.

What is the Net working capital requirement?

The NPV (Net Present Value) of the expansion project is negative, thus the project is not expected to generate sufficient returns to cover the cost of capital, and therefore, it is recommended Sovrano Café not proceed with the expansion.

What is the Net Present Value?

The Net Present Value (NPV) is an interesting financial measure that calculates the present value of a project's future cash inflows and outflows, discounted to their current value using a specified rate of return.

Using the information given, we can calculate the annual cash flows of Sovrano Café as follows:

Year 0: - 950,000 - 100,000 + 200,000 = -850,000

Years 1-2: (725,000 x 0.5) x (1 - 0.4) = 217,500

Years 3-5: (650,000 x 0.5) x (1 - 0.4) = 195,000

Salvage Value: 60,000

To calculate the NPV, we discount the cash flows to their present value using the project's cost of capital, which is given as 10%. The NPV formula is:

 - Initial Investment.

Substituting in the values, we get:

NPV = $-60,764.29.

Notice the NPV is negative, hence the project is not expected to generate sufficient returns to cover the cost of capital, and therefore, it is recommended Sovrano Café not proceed with the expansion.

A UK Company trading on the London Stock Exchange has the following information as of the end of 2020:- Beta Factor of the company: 1.56 Expected Market Return: 12% UK Government Bond Yield: 1.4% The company’s actual Book Value and its forecasted earnings and dividends as well its actual and forecasted number of shares are given below. After 2024, it is expecting a growth of 2% in residual earnings each year. 2020 A 2021 F 2022 F 2023 F 2024 F Earnings (£M) 70 90 150 180 Dividends (£M) 40 35 50 65 Book value (£M) 240 Number of shares 100 120 120 200 200 A=Actual; F=Forecasted a) Calculate the value of the company according to the abnormal earnings model. explain in it detail with all the steps

Answers

Answer:

The abnormal earnings model is a method of analyzing a company's value based on its earnings. It assumes that the company's earnings are not entirely due to its assets and liabilities but also due to other factors such as management expertise, brand value, and other intangible assets. The model calculates the value of a company by adding its book value to the present value of its future residual earnings. Residual earnings are calculated as the difference between the company's actual earnings and its expected earnings based on its book value and expected return on equity.

Here are the steps to calculate the value of the company according to the abnormal earnings model:

1. Calculate the cost of equity using the capital asset pricing model (CAPM). The CAPM formula is:

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

Using the given values:

Cost of Equity = 1.4% + 1.56 * (12% - 1.4%) = 18.24%

2. Calculate the expected earnings for each year using the formula:

Expected Earnings = Book Value * (Cost of Equity - Expected Return on Equity)

Using the given values:

Expected Earnings for 2021 = £240 million * (18.24% - 12%) = £33.984 million

Expected Earnings for 2022 = £240 million * (18.24% - 12%) = £56.640 million

Expected Earnings for 2023 = £240 million * (18.24% - 12%) = £68.352 million

Expected Earnings for 2024 = (£240 million * (18.24% - 12%)) * 1.02 = £69.7536 million

3. Calculate the residual earnings for each year using the formula:

Residual Earnings = Actual Earnings - Expected Earnings

Using the given values:

Residual Earnings for 2020 = £70 million - (£240 million * 12%) = £38 million

Residual Earnings for 2021 = £90 million - £33.984 million = £56.016 million

Residual Earnings for 2022 = £150 million - £56.640 million = £93.36 million

Residual Earnings for 2023 = £180 million - £68.352 million = £111.648 million

Residual Earnings for 2024 = £69.7536 million

4. Calculate the present value of residual earnings using the formula:

Present Value of Residual Earnings = Residual Earnings / (Cost of Equity - Expected Growth Rate)

Using the given values:

Present Value of Residual Earnings for 2021 = £56.016 million / (18.24% - 2%) = £364.8 million

Present Value of Residual Earnings for 2022 = £93.36 million / (18.24% - 2%)^2 = £508.8 million

Present Value of Residual Earnings for 2023 = £111.648 million / (18.24% - 2%)^3 = £609.6 million

Present Value of Residual Earnings for 2024 = £69.7536 million / (18.24% - 2%)^4=£318m

5. Calculate the total value of the company by adding its book value to the present value of residual earnings.

Total Value of Company= Book Value + Present Value of Residual Earnings

Using the given values:

Total Value of Company=£240m+£364m £508m+£609m+£318m=£2039m

Therefore, according to this model, the value of this UK Company trading on London Stock Exchange is approximately **£2039m**.

SECTION A QUESTION MULTIPLE CHOICE 1 Choose the correct answer and write down only the correct letter in the ta provided. For Example: 1.1-A 111 Choose the correct formula of the accounting equation C. A. A QE L BOE-A-L C. L OE-A ADE-L 1.1.3. If the cost price of a product is R909, the mark up is 40%, the selling price will be A R1250 B. R360 D. 1.1.2. The price that is paid for goods that are bought for resale is called... price A cost 8 mark-up C profis D. selling CR2160 D. R540 1.1.4 if a i cheque counterfoll Invoice receipt credit note (1) WER SHEET (1​

Answers

If the cost of a product is R 909 then the selling price, based on the markup would be d. R 1, 272.60.

The price that is paid for goods that are bought for resale is called the A. cost price.

How to find the selling price ?

The markup is 40%, so we need to calculate 40% of the cost price, which is R909:

Markup amount = 0.40 x R909 = R363.60

Now, add the markup amount to the cost price to get the selling price:

Selling price = Cost price + Markup amount = R909 + R363.60 = R1272.60

So, the selling price of the product is R1, 272.60

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Superior Micro Products uses the weighted-average method in its process costing system. During January, the Delta Assembly Department completed its processing of 26,100 units and transferred them to the next department. The cost of beginning work in process inventory and the costs added during January amounted to $690,008 in total. The ending work in process inventory in January consisted of 3,400 units, which were 70% complete with respect to materials and 50% complete with respect to labor and overhead. The costs per equivalent unit for the month were as follows:

Materials Labor Overhead
Cost per equivalent unit $ 13.10 $ 4.40 $ 7.00

Required:
1. Compute the equivalent units of materials, labor, and overhead in the ending work in process inventory for the month.
2. Compute the cost of ending work in process inventory for materials, labor, overhead, and in total for January.
3. Compute the cost of the units transferred to the next department for materials, labor, overhead, and in total for January.
4. Prepare a cost reconciliation for January. (Note: You will not be able to break the cost to be accounted for into the cost of beginning work in process inventory and costs added during the month.)

Answers

The cost accounted for ($710,350) are greater than the costs to be accounted for ($690,008), there is a favorable cost variance of $20,342 where equivalent units of materials is 3,400 units.

1. Equivalent units of materials:
= 2,380 + (3,400 x 30%)
= 2,380 + 1,020
= 3,400 equivalent units of materials
Equivalent units of labor:
= 1,700 + (3,400 x 50%)
= 1,700 + 1,700
= 3,400 equivalent units of labor.
Equivalent units of overhead:
= 3,400 x 50%
= 1,700 equivalent units of overhead

2. Cost of ending work in process inventory:
Materials: $44,540
Labor: $14,960
Overhead:  $11,900
Total: $44,540 + $14,960 + $11,900 = $71,400

3. Cost of units transferred to the next department:
Total cost of units completed = (26,100 units x cost per equivalent unit for the month)
= (26,100 x $13.10) + (26,100 x $4.40) + (26,100 x $7.00)
= $340,410 + $114,840 + $182,700
= $638,950

4. Cost reconciliation for January:
Cost of units transferred to the next department = $638,950
Cost of ending work in process inventory = $71,400
Total costs accounted for = $638,950 + $71,400 = $710,350

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High Grade Meat Ltd produces beef sausages and sells them to various supermarkets. In order to satisfy the industry’s requirement, the firm may only produce 0.2% of sausages below a weight of 80 grams. The sausage producing machine operates with a standard deviation of 0.5 grams. The weights of the sausages are normally distributed. The firm’s weekly output is 300,000 sausages and the sausage ingredients costs Sh. 5.00 per 100 grams. Sausages with weights in excess of 82 grams require additional ingredients costing Sh. 2.50 per sausage. Required: -
(a) Determine the mean weight at which the machine should be set
(b) Determine the firm’s weekly cost of production

Answers

A) The mean weight at which the machine should be set is 81.28 grams.

B) the firm's weekly cost of production is: Sh. 563,437.50

What is the explanation for the above response?

(a) To determine the mean weight at which the machine should be set, we need to calculate the acceptable range of weights for the sausages.

First, we need to find the weight below which only 0.2% of sausages can fall. Using a standard normal distribution table, we find that the z-score for this is -2.56 (corresponding to a tail area of 0.001).

Next, we need to find the weight that corresponds to a z-score of -2.56, given a standard deviation of 0.5 grams. This can be done using the formula:

z = (x - μ) / σ

where z is the z-score, x is the weight we want to find, μ is the mean weight, and σ is the standard deviation. Rearranging this formula to solve for x, we get:

x = z * σ + μ

Plugging in the values we have, we get:

80 = -2.56 * 0.5 + μ

μ = 81.28

So the mean weight at which the machine should be set is 81.28 grams.



(b)

To determine the firm's weekly cost of production, we need to calculate the number of sausages that weigh less than 80 grams, the number of sausages that weigh between 80 and 82 grams, and the number of sausages that weigh more than 82 grams.

First, we need to calculate the mean weight of the sausages:

Mean weight = 80 grams

Next, we need to calculate the standard deviation of the sausages:

Standard deviation = 0.5 grams

Now, we can calculate the probability of producing sausages that weigh less than 80 grams:

Z = (80 - 80) / 0.5 = 0

From the z-table, we find that the probability of producing sausages that weigh less than 80 grams is 0.5 - 0.3085 = 0.1915 or 19.15%.


Therefore, the number of sausages that weigh less than 80 grams is:

0.001 x 300,000 = 300 sausages

The remaining sausages weigh between 80 and 82 grams or more than 82 grams. Let's assume that half of the remaining sausages weigh between 80 and 82 grams, and the other half weigh more than 82 grams. Therefore, the number of sausages that weigh between 80 and 82 grams is:

(0.5 x 299,700) / 2 = 74,925 sausages

And the number of sausages that weigh more than 82 grams is:

(0.5 x 299,700) / 2 = 74,925 sausages

The cost of ingredients for sausages weighing less than 80 grams is:

300 x 5.00 = Sh. 1,500.00

The cost of ingredients for sausages weighing between 80 and 82 grams is:

74,925 x 5.00 = Sh. 374,625.00

The cost of additional ingredients for sausages weighing more than 82 grams is:

74,925 x 2.50 = Sh. 187,312.50

Therefore, the firm's weekly cost of production is:

Sh. 1,500.00 + Sh. 374,625.00 + Sh. 187,312.50 = Sh. 563,437.50

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which points on the production possibilities curve show a level of production that would be achievable only through further growth of the company

Answers

Answer:

B and D​ is the answer.

Explanation:

Your client is planning to retire. She has accumulated $100,000 in a retirement annuity, and now wants to select the benefit option that will pay the largest monthly amount for as long as she lives. As her agent, you should recommend
A Joint and survivor.
B Straight life.
C Life income with period certain.
D Installment refund.

Answers

Answer: straight life

Explanation: she wants the most money per month

Straight life, would provide the client with the largest monthly amount for as long as she lives. The correct option is B.

A Straight life policy, also known as a Life only or Single life policy, is a type of insurance or annuity policy that provides a fixed income or benefit for the lifetime of the policyholder or annuitant.

Straight life policy focuses on maximizing the monthly payment but does not provide any guarantees for beneficiaries or a period certain. With the Straight life option, the annuity payments would cease upon the client's death.

Thus, the ideal selection is option B.

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PLEASE HELP ME ASAP I CAN NEVER FIND ANSWERS TO THIS SUBJECT!!!!!!

Which of the following is an example of civil rights regulations that company
agents should be made aware of?
A. The company must not discriminate against employees based on
gender or race.
OB. The company is responsible for properly and accurately describing
all of its products to consumers.
C. The company is legally liable for the activities of its employees
while they are acting in their proper role.
D. The company must ensure that agent and company interests do
not conflict.

Answers

Answer:

A. The company must not discriminate against employees based on

gender or race.

Explanation:

i mean its kinda common sense, its the only one talking about the rights of others

Use the following data: Purchase Costs Leasing Costs Down payment: $1,500 Security deposit: $500 Loan payment: $450 for 48 months Lease payment: $450 for 48 months Estimated value at end of loan: $4,000 End-of-lease charges: $600 Opportunity cost interest rate: 4 percent per year Calculate the costs of buying versus leasing a motor vehicle.
Use the following data:
Purchase Costs Leasing Costs
Down payment: $1,500 Security deposit: $500
Loan payment: $450 for 48 months Lease payment: $450 for 48 months
Estimated value at end of loan: $4,000 End-of-lease charges: $600
Opportunity cost interest rate: 4 percent per year Calculate the costs of buying versus leasing a motor vehicle.

Answers

The total cost of buying is $23,084, and the total cost of leasing is $22,220.

To calculate the costs of buying versus leasing a motor vehicle, we need to consider the total costs associated with each option. For buying, the total cost can be calculated as the sum of the down payment, loan payments, and the estimated value at the end of the loan, minus the resale value of the car.

On the other hand, for leasing, the total cost can be calculated as the sum of the security deposit, lease payments, and end-of-lease charges. We also need to consider the opportunity cost of investing the down payment and the security deposit.

Assuming a car costs $20,000, the total cost of buying with a $1,500 down payment and $450 monthly payments for 48 months is $22,800, assuming a resale value of $4,000. The opportunity cost of the down payment invested at 4 percent per year for four years is $284.

For leasing, the total cost is $22,200, which includes a $500 security deposit, $450 monthly payments for 48 months, and $600 end-of-lease charges. The opportunity cost of the security deposit invested at 4 percent per year for four years is $20.

Therefore, the entire cost of purchasing is $23,084, while leasing is $22,220. Based on these calculations, leasing would be the cheaper option in this scenario. However, it's important to note that the actual costs may vary based on individual circumstances and specific details of the car purchase or lease agreement.

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The balance sheet of Consolidated Paper, Incorporated, included the following shareholders’ equity accounts at December 31, 2023:

Paid-in capital:
Preferred stock, 7.5%, 98,000 shares at $1 par $ 98,000
Common stock, 484,800 shares at $1 par 484,800
Paid-in capital—excess of par, preferred 1,595,000
Paid-in capital—excess of par, common 2,645,000
Retained earnings 9,745,000
Treasury stock, at cost; 4,800 common shares (52,800)
Total shareholders' equity $ 14,515,000
During 2024, several events and transactions affected the retained earnings of Consolidated Paper.

Required:
Prepare the appropriate entries for these events:
On March 3, the board of directors declared a property dividend of 290,000 shares of Leasco International common stock that Consolidated Paper had purchased in January as an investment (book value: $552,000). The investment shares had a fair value of $2 per share and were distributed March 31 to shareholders of record March 15.
On May 3, a 5-for-4 stock split was declared and distributed. The stock split was effected in the form of a 25% stock dividend. The market value of the $1 par common stock was $11 per share.
On July 5, a 1% common stock dividend was declared and distributed. The market value of the common stock was $11 per share.
On December 1, the board of directors declared the 7.5% cash dividend on the 98,000 preferred shares, payable on December 28 to shareholders of record December 20.
On December 1, the board of directors declared a cash dividend of $0.50 per share on its common shares, payable on December 28 to shareholders of record December 20.
Prepare the shareholders' equity section of the balance sheet for Consolidated Paper, Incorporated at December 31, 2024. Net

Required:
Note 20, “Share Repurchase,” provides the information we need to reconstruct the journal entry that summarizes Target’s share repurchases in the year ended February 1, 2020. Provide that entry.
Does Target account for share repurchases as (a) treasury stock or (b) retired shares?

Answers

Share repurchases are recorded as treasury stock by Target.

What is included in the shareholders equity portion of a corporation's balance sheet?

Share capital plus retained earnings make up the stockholders equity account on the balance sheet, often known as shareholders equity. Also, it represents the distinction between the value of assets and liabilities.

What kind of capital have been paid in?

Shares currently sell for $20 on the market. The total sum that investors have spent on either common or preferred shares is known as paid-in capital. As a result, the total paid-in capital is $40,000 ($4,000 for the shares' par value plus $36,000 for the excess capital over par).

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The following company has the following data
1- Income ststement
Net sales Revenu=120000
Cost of goods sold=70000
2-Balance sheet
Beginning Inventory =25000
Ending Inventory =18000
Account Receivable= 6500
Account Payable =10500

Question:
calculate the Cash Gap and illustrate:
1) If the suppliers need to be paid after 40 days, is the company need a source of finance? If yes, the facilities needed to cover how many days?
2) How the company can cover the Gap?
3) What is the point of strength and weakness in the company operating cycle?

Answers

The fact that the Cash Gap is positive indicates that the business need additional funding to cover its operating cycle. Facilities are required by the business for 74.25 days.

The cash gap is what?

It determines a company's financing requirements by assessing the normal gap between the turn of the greatest asset and the supplier's due date. Cash gap refers to the time disparity between your cash inflow and outflow. The size of the financial gap increases with how important it is to your business.

The following formula must be used to determine the Cash Gap:

Cash Gap = Days of Inventory Outstanding + Days of Sales Outstanding - Days of Payables Outstanding

Days of Inventory Outstanding can be calculated as follows:

Days of Inventory Outstanding = (Ending Inventory / Cost of Goods Sold) X 365

Days of Inventory Outstanding = (18000 / 70000) X 365

Days of Inventory Outstanding = 94.29 days

Days of Sales Outstanding may be determined using the formula below:

Days of Sales Outstanding = (Accounts Receivable / Net Sales Revenue) * 365

Days of Sales Outstanding = (6500 / 120000)  365

Days of Sales Outstanding = 19.96 days

Days of Outstanding Payables are indicated as 40 days.

Hence, the Cash Gap may be determined as follows:

Cash Gap = 94.29 + 19.96 - 40

Cash Gap = 74.25 days

1. The existence of a positive Cash Gap indicates that the firm need outside funding to cover its operating cycle. Facilities are required for 74.25 days by the business.

2. The business can fill the gap by securing a short-term loan or a line of credit from a bank or other financial institution. Also, the business might persuade clients to pay more rapidly or bargain with suppliers for better payment terms.

3. A source of strength in the company's operational cycle is its low Days of Sales Outstanding, which shows that it quickly collects payments from customers. Its high Days of Inventory Outstanding, which shows that the corporation keeps its products around for a long period before selling them, is a negative. The high Cash Gap also shows that if the company is unsuccessful in managing its working capital, it may encounter cash flow problems.

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What are the six 6 security services?

Answers

The six main categories of security services are:

Access control: This includes measures such as key cards, biometric identification, and password protection to control who has access to a facility or system.Intrusion detection: This involves monitoring and detecting any unauthorized access or attempted intrusion into a system or facility.Surveillance: This includes using cameras and other surveillance tools to monitor activity and deter potential security breaches.Fire and life safety: This includes measures such as fire detection and suppression systems, emergency lighting, and emergency evacuation plans.Physical security: This involves physical barriers and security measures such as fences, gates, and locks to prevent unauthorized access to a facility.Cybersecurity: This includes measures to protect computer systems and networks from cyber threats such as viruses, malware, and hacking attempts.

Overall, these security services are designed to work together to provide comprehensive protection against a wide range of potential threats and security risks. Depending on the specific needs of a facility or organization, different combinations of these services may be utilized to provide the most effective security measures.

what are two common causes of postoperative wound evisceration? why might these causes lead to wound evisceration? 1 see answer add answer 10 pts

Answers

Postoperative wound evisceration is a rare but potentially life-threatening surgical complication characterized by the protrusion of internal organs through a surgical wound.

Two common causes of this complication include poor surgical technique and increased abdominal pressure. Poor surgical technique can result in inadequate closure of the wound, leading to wound dehiscence and eventual evisceration. Increased abdominal pressure, which can result from coughing, straining, or vomiting, can also cause wound dehiscence and evisceration by placing undue stress on the surgical incision site. Proper surgical technique, adequate wound closure, and careful management of postoperative complications can help prevent this dangerous and potentially fatal complication.

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9Under which circumstance may withholding be required of the buyer?

The seller resides in another state.

The buyer is not from California.

The seller is a foreign person.

The buyer is a foreign person.

Answers

Withholding may be required of the buyer when the seller is a foreign person. The Foreign Investment in Real Property Tax Act (FIRPTA) requires buyers of real estate in the United States to withhold a portion of the purchase price and remit it to the Internal Revenue Service (IRS) when the seller is a foreign person. The withholding amount is generally 15% of the gross purchase price, although it may be reduced under certain circumstances.

In the other circumstances mentioned, withholding would generally not be required. However, there may be other tax or legal implications to consider when buying or selling real estate in these situations, and it is always advisable to consult with a qualified professional for guidance.

Under the circumstances, it may be required of the buyer when the seller is a foreign person. The correct option is c.

Whenever the seller is a foreign person, the buyer may be obliged to pay withholding. When the seller is a foreign person, the Foreign Investment in Real Property Tax Act (FIRPTA) compels buyers of real estate in the United States to withhold a percentage of the purchase price & remit it to the Internal Revenue Service (IRS). The withholding amount is usually 15% of the gross purchase price, however it can be decreased in some cases.

Withholding would not be required in the other conditions stated. However, there may be other tax or legal consequences to consider when buying or selling real estate in these instances, and it is always best to seek advice from a trained specialist.

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Corporate social responsibility is one of the hottest issues in corporate boardrooms these days, partly because it is becoming increasingly important to employees and other stakeholders. why have stake-holders given CSR more attention recently? Does abiding by CSR standards potentially cause companies to have conflicting objectives with some stakeholders in some situations?

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Corporate social responsibility (CSR) has risen in importance for businesses in recent years as they become more aware of the many advantages it offers to their operations, personnel, communities, and the environment. Being a decent corporate citizen is a goal that many prosperous organizations value more and more.

What is corporate social responsibility, and how does it affect all significant stakeholders directly?

Corporate social responsibility (CSR) is a voluntary commitment made by business organizations to consider and align their interests with those of their clients, employees, all shareholders, the environment, their communities, and other relevant parties in all of their operations. CSR is not mandated by law.

When businesses adhere to CSR guidelines, it might result in conflicts of interest with the majority of stakeholders. For instance, if litigation about pollution or another issue are brought, it may have an impact on the long- and short-term profitability of the aforementioned businesses.

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Do biblical principles sMeuhlhoff provided several different biblical strategies for dealing with conflict. Pick two methods discussed by Meuhlhoff.
Critique them on the basis of the theoretical information that you have learned in this course.
You are trying to answer the question, “Do biblical principles stand up against theoretical scrutiny?” Explain why or why not.tand up against theoretical scrutiny

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There have been four main types of hermeneutics in the history of biblical interpretation: the moral, allegorical, literal, and anagogical

What are the fundamentals of biblical interpretation known as hermeneutics?

There have been four main types of hermeneutics in the history of biblical interpretation: the moral, allegorical, literal, and anagogical Exacting understanding states that a scriptural text is to be deciphered by the "plain signifying" conveyed by its linguistic development and verifiable setting.

According to literal interpretation, a biblical text should be interpreted based on its grammatical construction and historical context, which convey its "plain meaning." It is believed that the authors intended for the literal meaning to match. Belief in the verbal inspiration of the Bible, which holds that the individual words of the divine message were chosen by God, is not always associated with this kind of hermeneutics. Extreme versions of this viewpoint are criticized for failing to adequately account for the distinct style and vocabulary of the various biblical authors. An influential biblical scholar from the fourth century who opposed what he saw as the excesses of allegorical interpretation, St. Jerome advocated for the literal interpretation of the Bible.

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On May 2, 1988, Hannah Weather (Social Security Number: 111-22-3333) acquired residential rental real estate for $450,000. Of the cost, $100,000 was allocated to the land and $350,000 to the building. On August 20, 2017, the building, which then had an adjusted basis of $0, was sold for $545,000 and the land for $200,000. a. Determine the amount and character of the recognized gain from the sale of the building.
b. Determine the amount and character of the recognized gain from the sale of the land. c. Complete a Form 4797 for these transactions. Assume that there are no § 1231 lookback losses.

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a) The transaction involved the sale of both a building and land by Hannah Weather.

b) The recognized gain from the sale of the building is $545,000, and the recognized gain from the sale of the land is $100,000.

c) We will need to complete Form 4797 to report these transactions to the IRS.

First, let's determine the amount and character of the recognized gain from the sale of the building.

In this case, the adjusted basis of the building was $0, which means that the entire sale price of $545,000 will be recognized as gain. This gain is considered a long-term capital gain because Hannah owned the building for more than one year before selling it.

The adjusted basis of the land is $100,000, which means that the recognized gain from the sale of the land is

=> $100,000 ($200,000 - $100,000).

This gain is also considered a long-term capital gain because Hannah owned the land for more than one year before selling it.

Lastly, we need to complete Form 4797 for these transactions. Form 4797 is used to report the sale of business property, which includes rental real estate. We will need to report the sale of both the building and the land separately on Form 4797.

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Lavage Rapide is a Canadian company that owns and operates a large automatic car wash facility near Montreal. The following table provides estimates concerning the company’s costs:

Fixed Cost per Month Cost per Car Washed
Cleaning supplies $ 0.80
Electricity $ 1,200 $ 0.15
Maintenance $ 0.20
Wages and salaries $ 5,000 $ 0.30
Depreciation $ 6,000
Rent $ 8,000
Administrative expenses $ 4,000 $ 0.10

For example, electricity costs should be $1,200 per month plus $0.15 per car washed. The company expects to wash 9,000 cars in August and to collect an average of $4.90 per car washed. The actual operating results for August are as follows:

Lavage Rapide
Income Statement
For the Month Ended August 31
Actual cars washed 8,800
Revenue $ 43,080
Expenses:
Cleaning supplies 7,560
Electricity 2,670
Maintenance 2,260
Wages and salaries 8,500
Depreciation 6,000
Rent 8,000
Administrative expenses 4,950
Total expense 39,940
Net operating income $ 3,140

Required:
Prepare a flexible budget performance report that shows the company’s revenue and spending variances and activity variances for August. (Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Input all amounts as positive values.)

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According to Lavage Rapide's flexible budget performance report from August, the company's revenue was off by $620F, total spending was off by $560U, activities were off by 1,400F, and the flexible budget was off by $460F.

How is a flexible budget performance report created?

You choose key data based on the flexible budget formula when creating a performance report for the flexible budget. For instance, if your company's formula dictates that COGS should be 25% of sales, and those sales were $75k during the period, COGS should be $18,750.

Cleaning supplies variance = Actual Cleaning supplies - Flexible Budget Cleaning supplies

= $7,560 - ($0.80 x 8,800)

= $7,560 - $7,320

= $240 U

Electricity variance = Actual Electricity - Flexible Budget Electricity

= $2,670 - ($1,200 + $0.15 x 8,800)

= $2,670 - $2,775

= $105 F

Wages and salaries variance = Actual Wages and salaries - Flexible Budget Wages and salaries

= $8,500 - ($5,000 + $0.30 x 8,800)

= $8,500 - $8,170

= $330 U

Administrative expenses variance = Actual Administrative expenses - Flexible Budget Administrative expenses

= $4,950 - ($4,000 + $0.10 x 8,800)

= $4,950 - $4,900

= $50 U

Activity variances:

Flexible Budget Cars washed = Actual Cars washed x Flexible Budget per car washed

= 8,800 x $4.90

= $42,090

Net operating income variance = Actual Net operating income - Flexible Budget Net operating income

= $3,140 - $3,405

= $265 F

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The purpose of all auditing procedures is to gather sufficient appropriate evidence for an auditor to form an opinion regarding the financial statements taken as a whole. In the table below, identify and describe means or techniques of gathering audit evidence used to evaluate a client's inventory balance.

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Auditing procedures for evaluating a client's inventory balance typically involve the following techniques: Physical inventory observation, Inspection of documents, Confirmation with third parties, Analytical procedures and Test counts and cut-off testing.


1. Physical inventory observation: The auditor physically counts the inventory items to verify the existence and condition of the items, ensuring the reported quantities match with the actual items in stock.

2. Inspection of documents: The auditor reviews relevant documentation, such as purchase orders, invoices, and shipping records, to verify the accuracy of the inventory records.

3. Confirmation with third parties: If the client's inventory is held by third parties, such as warehouses, the auditor may request confirmations from these parties to verify the inventory's existence and quantity.

4. Analytical procedures: The auditor may analyze financial data related to inventory, such as inventory turnover ratios and gross profit margins, to identify any discrepancies or unusual trends that could indicate misstatement or mismanagement of inventory.

5. Test counts and cut-off testing: The auditor selects a sample of inventory items and performs test counts to ensure the accuracy of the client's inventory records. Cut-off testing involves verifying that transactions occurring near the end of the accounting period are recorded in the correct period. By utilizing these auditing techniques, auditors can gather sufficient appropriate evidence to form an opinion regarding the client's inventory balance in their financial statements.

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a) if your reaction produced only benzalacetone (side product), how would you distinguish it from the major product using the physical properties? b) would you be able to distinguish it from major product using ir? why or why not?

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a) If the reaction product only produced benzalacetone, we could try to distinguish it from any minor products using physical properties.

b) if the major product is also benzalacetone, we would need to use spectroscopic techniques such as IR to look for any differences between the two.

In your case, if the reaction product only produced benzalacetone, you could try to distinguish it from the major product using its physical properties.

IR is a powerful tool used to identify the functional groups present in a compound. It works by measuring the vibrations of the atoms within a molecule, which are characteristic of the functional groups present. For example, carbonyl groups (C=O) have a characteristic absorption at around 1700 cm-1, while aromatic rings have characteristic absorptions between 1600-1500 cm-1.

So, if we were to run an IR spectrum of the reaction product and compare it to the expected IR spectrum of benzalacetone, we could look for any differences that might indicate the presence of minor products.

For example, if the minor product contained a different functional group, we might expect to see additional peaks in the IR spectrum at characteristic frequencies for that functional group.

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Section C Question 3 You are the owner of a bookshop selling only school textbooks. Due to the number of new bookshops that entered the industry, your business is not growing anymore. As a matter of fact, business is declining You need to strategise if you want your business to be sustainable. Choose a diversification or differentiation strategy. Provide a detailed explanation of your choice by doing a critical analysis of the two strategies. [Total: 100]​

Answers

The differentiation strategy offers a sustainable long-term solution to the bookstore's problem of declining business by creating a unique identity and value proposition that can attract and retain customers.

What is Sustainable?

"Sustainable" generally refers to practices or activities that can be maintained over a long period of time without causing harm to the environment, society, or economy. In other words, sustainable practices aim to meet the needs of the present without compromising the ability of future generations to meet their own needs. This term is commonly used in the context of environmental sustainability, such as sustainable agriculture, sustainable energy, and sustainable development, but can also be applied to social and economic sustainability.

Diversification refers to expanding the product line and offering new products to the existing customer base. In this case, the bookstore could explore expanding its product range beyond just school textbooks, such as including stationery, educational toys, or other academic resources. This approach could help attract new customers and increase revenue. However, it comes with risks such as investing in new products that may not be profitable or require significant investment in marketing and training.

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Over how many years is a residential income-producing property depreciated?

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Conventionally, the majority of residential rental property in the United States depreciates at a rate of 3.636% year for a period of 27.5 years. Land cannot be depreciated; only the value of structures may be.

A residential income-producing property in the US is typically depreciated over 27.5 years for taxation purposes. The owner can write off a percentage of the property's value each year on their tax return to cover the property's steady deterioration over time. If the owner makes significant improvements or repairs to the property, the depreciation computation may need to be adjusted, and the asset's actual useful life may be longer or shorter than the 27.5-year depreciation term. Additionally, the depreciation time for commercial income-producing properties may be different from that for residential structures depending on a variety of factors, including the type of property and its intended use.

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given a standardized normal distribution (with a mean of 0 and a standard deviation of 1) determine the following probabilities a. P(Z>1.03) b. P(Z<-0.28) c. P(-1.96

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probability of P(Z > 1.03) is 0.0968, probability of P(Z < -0.28) is 0.3897 and probability of P(-1.96 < Z < 1.96) is 0.95 for given standardized normal distribution.

a. P(Z > 1.03) = 0.0968

To find this probability, we look up the value 1.03 in the standard normal distribution table and find the corresponding probability value of 0.0968. This indicates that the probability of a value being greater than 1.03 standard deviations from the mean in a standard normal distribution is 0.0968.

b. P(Z < -0.28) = 0.3897

To find this probability, we look up the value -0.28 in the standard normal distribution table and subtract its corresponding probability value of 0.3897 from 1. This indicates that the probability of a value being less than -0.28 standard deviations from the mean in a standard normal distribution is 0.3897.

c. P(-1.96 < Z < 1.96) = 0.95

This probability represents the area under the standard normal distribution researcher curve between -1.96 and 1.96 standard deviations from the mean. This area is 0.95 or 95% of the total area under the curve, which is a well-known property of the standard normal distribution.

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Marketing plan for juice company

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Answer: Marketing plan for a juice company.

Executive Summary:

This marketing plan outlines the strategy for the launch of a new juice company in the US market. The company will be offering high-quality, organic, and healthy juices that cater to the increasing demand for healthy beverages. The marketing plan aims to build brand awareness, increase sales, and establish a loyal customer base.

Target Market:

The target market for our juice company includes health-conscious individuals, fitness enthusiasts, and families who prioritize healthy eating habits. This demographic is primarily aged between 18-45 years, with an average income of $50,000-$100,000 annually.

Marketing Objectives:

To establish brand recognition and increase awareness among the target audience.To achieve a 15% market share in the organic juice market within the first year of operation.To achieve a monthly revenue of $50,000 within the first year of operation.To establish a loyal customer base with a repeat customer rate of 25%.

Marketing Mix:

Product:

The company will offer a range of organic juices with no added sugar, preservatives, or artificial colors. The product line will include fresh, cold-pressed juices, smoothies, and juice shots in various flavors and sizes.

Price:

The pricing strategy will be based on the quality of the product and the target market's willingness to pay a premium for healthy and organic products. The pricing for the products will be set at a 10-15% premium compared to the competitors.

Place:

The company will primarily sell its products through e-commerce platforms and social media. The juice company will also establish partnerships with health and fitness centers, yoga studios, and organic food stores to reach a broader audience.

Promotion:

The promotional strategy will include a mix of online and offline marketing activities. Social media marketing campaigns, influencer marketing, and email marketing will be used to reach the target audience. The company will also participate in health and fitness events, sponsor local events, and collaborate with local organizations to create brand awareness.

Marketing Budget:

The company will allocate a budget of $100,000 for the first year of operation. The budget will be allocated as follows:

Social media marketing - $25,000Email marketing - $10,000Influencer marketing - $20,000Event sponsorships - $30,000Packaging and design - $15,000

Evaluation and Control:

To evaluate the effectiveness of the marketing plan, the company will track the following metrics:

Sales revenueWebsite traffic and conversion rateSocial media engagement and reachCustomer feedback and reviews

Conclusion:

The proposed marketing plan aims to establish a strong brand presence in the organic juice market and attract a loyal customer base. By focusing on the quality of the product, leveraging social media, and collaborating with local organizations, the company will differentiate itself from competitors and achieve its marketing objectives.

A contingent liability is:

Answers

Answer: Answer is below <3

Explanation: Contingent liability, sometimes referred to as indirect liability, is a responsibility that occurs based on the outcome of a particular event that provides coverage for losses to a third party for which the insured is vicariously liable.

In simple words, a contingent liability is a potential liability that may or may not become an actual liability depending on the outcome of future events.

for the majority of her career, cindy sherman has created photographic work where she took on various personas. many of these works illustrate how we relate to images of women based on...

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Throughout her career, Cindy Sherman has created photographic works where she took on various personas. Many of these works illustrate how we relate to images of women based on societal expectations, stereotypes, and cultural norms.

For the majority of her career, Cindy Sherman has created photographic work where she took on various personas. Many of these works illustrate how we relate to images of women based on gender roles, societal expectations, and cultural stereotypes.What does photographic work mean?Photography refers to the art, practice, and science of creating visual images by capturing light on a light-sensitive medium such as photographic film or an electronic image sensor using a camera. In other words, it is the method of capturing an image using a camera.Therefore, Cindy Sherman has been creating photographic work for the majority of her career, where she took on various personas.

What is persona?Persona refers to the aspect of someone's character that is shown to or perceived by others. It is a character that a person displays in public or to specific people to represent themself in a particular way.For the majority of her career, Cindy Sherman has been using various personas in her photographic work to highlight the societal expectations and cultural stereotypes associated with images of women. Her photographic works challenge the traditional depiction of women and how they have been portrayed in different media forms over time.She explores the ideas of femininity, beauty, and power by representing herself as different characters in her photographic works. Her work demonstrates how images of women have been shaped by society's expectations, gender roles, and cultural stereotypes.

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