Coronado Industries reported net income of $0. 65 million in 2022. Depreciation for the year was $104,000, accounts receivable decreased $227,500, and accounts payable decreased $182,000. Compute net cash provided by operating activities using the indirect approach. (Show amounts that decrease cash flow with either a - sign e. G. -15,000 or in parenthesis e. G. -15,000. )

Answers

Answer 1

In 2022, Coronado Industries generated a net cash flow of $0.7045 million from its operating activities.

The statement of cash flows is an important financial statement that provides information on how a company generates and uses cash during a specific period. The statement of cash flows is divided into three sections: operating activities, investing activities, and financing activities.

The operating activities section of the statement of cash flows provides information on how cash was generated or used in the normal course of business, which is considered the most important section of the statement of cash flows.

In the given problem, we are asked to calculate net cash provided by operating activities using the indirect approach. The indirect approach adjusts net income for non-cash items, such as depreciation, and changes in current assets and liabilities to arrive at the net cash provided by operating activities.

Net income for the year 2022 is given as $0.65 million. Depreciation for the year is $104,000, which is a non-cash expense and needs to be added back to net income.

Accounts receivable decreased by $227,500, which means that less cash was collected from customers than the previous year, so it is considered a decrease in cash flow and should be added back.

Accounts payable decreased by $182,000, which means that less cash was paid to suppliers than the previous year, so it is considered an increase in cash flow and should be subtracted.

Using the indirect approach, the net cash provided by operating activities can be calculated as follows:

Net income  [tex]$0.65 \text{ million}$[/tex]

Add: Depreciation  [tex]$0.104 \text{ million}$[/tex]

Less: Decrease in accounts receivable  [tex]$(-0.2275 \text{ million})$[/tex]

Add: Decrease in accounts payable  [tex]$0.182 \text{ million}$[/tex]

Net cash provided by operating activities [tex]$= 0.65 + 0.104 - 0.2275 + 0.182 = \$0.7045 \text{ million}$[/tex]

Therefore, Coronado Industries provided $0.7045$ million in net cash from its operating activities during 2022.

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Related Questions

which of the following statements is true of missionary salespeople?multiple choicethey are usually trained by wholesalers, retailers, or other intermediaries.they work for customers, trying to strengthen the consumer movement.they are sometimes called merchandisers or detailers.they primarily work for retailers.they seek out new customers for their companies' products and sell to them personally.

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The true statement about missionary salespeople is that they seek out new customers for their companies' products and sell to them personally. Option E is correct.

These salespeople are different from other types of salespeople as they focus on creating demand for their products among customers who may not have previously been aware of them. They do not rely on intermediaries such as wholesalers or retailers to sell their products, but rather establish personal relationships with potential customers and educate them about the benefits of the products.
Missionary salespeople are responsible for introducing new products to the market and generating interest in them. They work in various industries, including pharmaceuticals, technology, and consumer goods. They use a variety of sales techniques such as presentations, product demonstrations, and seminars to persuade potential customers to try their products.
In summary, missionary salespeople are focused on finding and cultivating new customers for their products. They use personal relationships and persuasive techniques to generate demand for their products and are an important part of many companies' sales strategies.  Option E is correct.

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In a bpmn process diagram, dotted arrows depict the flow of ________ in the process.

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In a BPMN process diagram, dotted arrows depict the flow of messages in the process. These messages can be seen as a form of communication between different elements of the process, such as between two different activities or between an activity and a gateway.

These messages can be thought of as signals that are sent between different parts of the process to trigger specific actions or to provide information. For example, a message might be sent from one activity to another to indicate that a certain task has been completed, or it might be sent from a gateway to an activity to indicate which branch of the process should be followed next.

Overall, the use of dotted arrows in a BPMN process diagram helps to provide a visual representation of the flow of information and communication within the process, which can be crucial for understanding and optimizing complex business processes.

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Previous Which one of the following is not a way to improve the S/Q rating of branded pairs produced at a particular production location? Copyright ow Gold Sutan, Inc. Copying, distributing, trand party website penting som presaly pronted and contrates copyright vision o Increasing expenditures for enhanced styling/features Increasing the number of models/styles produced O Increasing expenditures for best practices training for production workers Increasing expenditures for TQM/Six Sigma programs Increasing the percentage use of superior materials

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The option that is not a way to improve the S/Q rating of branded pairs produced at a particular production location is: increasing the number of models/styles produced (option D).

S/Q rating is a measure that is used to gauge the quality of production in a factory or company. S/Q stands for Style and Quality. It reflects the overall rating given to a product based on its design and quality. The better the quality and design of the product, the higher the S/Q rating. Therefore, to improve the S/Q rating of branded pairs produced at a particular production location, the following ways can be employed:

Increasing expenditures for enhanced styling/featuresIncreasing expenditures for best practices training for production workersIncreasing expenditures for TQM/Six Sigma programsIncreasing the percentage use of superior materials

All these ways can help in improving the S/Q rating of branded pairs produced at a particular production location. However, increasing the number of models/styles produced is not a way to improve the S/Q rating of branded pairs produced at a particular production location. Instead, it can have a negative impact on the quality and design of the products, which can decrease the S/Q rating.

Correct answer is option D.

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In nims resource inventorying refers to preparedness activities.

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In NIMS, resource inventorying refers to preparedness activities conducted outside of incident response. Resource inventorying is an essential component of the National Incident Management System (NIMS) because it helps ensure that adequate resources are available to effectively respond to incidents.


The process of resource inventorying involves the following steps:
1. Identifying resources: This step involves determining the various resources, such as personnel, equipment, and supplies, that may be needed during an incident response.
2. Categorizing resources: Resources are categorized based on their function, capability, and type. This helps streamline the management of resources during an incident.


3. Quantifying resources: In this step, organizations determine the specific quantities of each resource that are available. This information is vital for effective resource allocation during an incident response.
4. Documenting resources: All resources and their associated information are documented and stored in a centralized database, making it easily accessible to incident management personnel.
5. Maintaining and updating resource inventories: Regular maintenance and updating of resource inventories ensure that the information remains accurate and up-to-date.

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Complete Question :  In NIMS, resource inventorying refers to preparedness activities conducted _________ (of) incident response.

As a bank loan officer, you are considering a loan application by Peak Performance Sporting Goods. The company has provided you with the following information from its balance sheet Cash $ 25,000 Account Receivable 45,000 Inventory 140,000 Fixed Assets 190,000 Current Liabilities 70,000 Long-Term Liabilities 90,000Peak Performance's current ratio is: 1. 0. 1. 5. 3. 0. 2. 5

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The current ratio for Peak Performance Sporting Goods is 3. A current ratio of 3 indicates that the company has a strong ability to pay its current liabilities using its current assets.

This is generally considered a positive sign for lenders, indicating that the company is financially stable and able to meet its short-term obligations.

To calculate the current ratio, we divide current assets by current liabilities.

Current assets = Cash + Accounts Receivable + Inventory = $25,000 + $45,000 + $140,000 = $210,000

Current liabilities = $70,000

Current ratio = Current assets / Current liabilities = $210,000 / $70,000 = 3

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1. In your opinion, what are the 2 advantages and disadvantages of expanding a Business Globally?
2. In your opinion are you think this is an ethical issue or not, If there are no women in the company Executive Team. Explain

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The two advantages of expanding a business globally are access to new markets and Diversification. The two disadvantages of expanding a business globally are Increased competition and Cultural differences.

The two advantages of expanding a business globally are:

1. Access to new markets: Expanding a business globally provides access to new markets. By tapping into new markets, businesses can increase their customer base, which, in turn, will increase revenue and profits.

2. Diversification: By expanding globally, a business can diversify its operations. This provides a hedge against market downturns or other types of risk.

The two disadvantages of expanding a business globally are:

1. Increased competition: Expanding globally can lead to increased competition, as businesses will be competing against established businesses in new markets.

2. Cultural differences: The cultural differences between countries can pose a challenge for businesses expanding globally. In order to succeed, businesses must understand and adapt to these differences.

In my opinion, the absence of women in the company executive team is an ethical issue. By not having women on the executive team, a company is effectively denying women the opportunity to hold leadership positions within the organization. This is unfair and can lead to a lack of diversity of ideas and perspectives. Companies should strive to be inclusive and provide equal opportunities to all employees, regardless of gender.

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The net income reported on the income statement for the current year was $290,000. depreciation recorded on equipment and a building amounted to $150,500 for the year. balances of the current asset and current liability accounts at the beginning and end of the year are as follows: end of year beginning of year cash $117,600 $135,000 accounts receivable (net) 132,500 141,100 inventories 291,900 274,300 prepaid expenses 5,600 7,100 accounts payable (merchandise creditors) 143,400 172,400 salaries payable 11,300 6,300 question content area a. prepare the cash flows from (used for) operating activities section of the statement of cash flows, using the indirect method. use the minus sign to indicate cash outflows, cash payments, decreases in cash, or any negative adjustments.

Answers

The cash flows from operating activities using the indirect method is $398,000.

To prepare the cash flows from the (used for) operating activities section of the statement of cash flows using the indirect method, we need to adjust net income for non-cash items and changes in working capital:

1. Start with net income: $290,000
2. Add depreciation: $150,500
3. Adjust for changes in current assets and current liabilities:
  - Decrease in accounts receivable: $141,100 - $132,500 = $8,600
  - Increase in inventories: $274,300 - $291,900 = -$17,600
  - Decrease in prepaid expenses: $7,100 - $5,600 = $1,500
  - Decrease in accounts payable: $172,400 - $143,400 = -$29,000
  - Increase in salaries payable: $6,300 - $11,300 = -$5,000

Now, calculate the net cash provided by operating activities:
$290,000 (net income) + $150,500 (depreciation) + $8,600 (Δ accounts receivable) - $17,600 (Δ inventories) + $1,500 (Δ prepaid expenses) - $29,000 (Δ accounts payable) - $5,000 (Δ salaries payable) = $398,000.

The cash flows from operating activities using the indirect method is $398,000.

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Two companies report the same cost of goods available for sale but each employs a different inventory costing method. If the price of goods has increased during the period, then the company using.

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Two companies report the same cost of goods available for sale but each employs a different inventory costing method.

If the price of goods has increased during the period, then the company using the LIFO (Last-In, First-Out) inventory method will report lower net income compared to the company using the FIFO (First-In, First-Out) method.

This is because under the LIFO method, the most recent, and likely more expensive inventory items are assumed to be sold first, leaving the older and cheaper items in inventory.

As a result, the cost of goods sold is higher, and gross profit and net income are lower. In contrast, under the FIFO method, the older and cheaper inventory items are assumed to be sold first, leaving the more recent and expensive items in inventory. This results in a lower cost of goods sold, higher gross profit, and higher net income.

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Payback and ARR Each of the following scenarios is independent. All cash flows are after-tax cash flows. Required: 1. Brad Blaylock has purchased a tractor for $96,250. He expects to receive a net cash flow of $32,500 per year from the investment. What is the payback period for Jim? Round your answer to two decimal places. __ years 2. Bertha Lafferty invested $357,500 in a laundromat. The facility has a 10-year life expectancy with no expected salvage value The laundromat will produce a net cash flow of $117,000 per year. What is the accounting rate of return? Enter your answer as whole percentage value (for example, 16% should be entered as "16" in the answer box). ___ % 3. Melannie Bayless has purchased a business building for $337,000. She expects to receive the following cash flows over a 10- year period: Year 1: $42,500 Year 2: $57,500 Year 3-10: $86,400 What is the payback period for Melannie? Round your answer to one decimal place. __ years/ What is the accounting rate of return? Enter your answer as a whole percentage value (for example, 16% should be entered as "16" in the answer box). __ %

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The payback period for Brad's tractor investment is approximately 2.96 years, Bertha's laundromat investment has an accounting rate of return of 3.28%, and Melannie's building investment has a payback period of approximately 3.98 years and an accounting rate of return of 22.05%.

The payback period for Brad's tractor investment can be calculated by dividing the initial cost of the tractor ($96,250) by the expected annual net cash flow ($32,500).

Payback period = Initial cost / Annual net cash flow = $96,250 / $32,500 = 2.96 years (rounded to two decimal places)

Therefore, it will take Brad approximately 2.96 years to recover the initial cost of the tractor.

The accounting rate of return (ARR) for Bertha's laundromat investment can be calculated by dividing the average annual profit by the initial investment and expressing the result as a percentage.

Average annual profit = Net cash flow / Useful life = $117,000 / 10 years = $11,700 per year

ARR = (Average annual profit / Initial investment) x 100% = ($11,700 / $357,500) x 100% = 3.28% (rounded to two decimal places)

Therefore, the accounting rate of return for Bertha's laundromat investment is 3.28%.

To calculate the payback period for Melannie's building investment, we need to calculate the cumulative net cash flow for each year until it equals the initial cost of the building.

Year 1 cumulative net cash flow = $42,500

Year 2 cumulative net cash flow = $100,000 ($42,500 + $57,500)

Year 3 cumulative net cash flow = $186,400 ($100,000 + $86,400)

Year 4 cumulative net cash flow = $272,800 ($186,400 + $86,400)

Year 5 cumulative net cash flow = $359,200 ($272,800 + $86,400)

Year 6 cumulative net cash flow = $445,600 ($359,200 + $86,400)

Year 7 cumulative net cash flow = $532,000 ($445,600 + $86,400)

Year 8 cumulative net cash flow = $618,400 ($532,000 + $86,400)

Year 9 cumulative net cash flow = $704,800 ($618,400 + $86,400)

Year 10 cumulative net cash flow = $791,200 ($704,800 + $86,400)

Since the cumulative net cash flow exceeds the initial cost of the building ($337,000) in year 4, but not in year 3, the payback period is between 3 and 4 years. To estimate the exact payback period, we can use linear interpolation:

Payback period = Year before payback + (Unrecovered cost at the start of the year / Net cash flow during the year)

Payback period = 3 + [(337,000 - 186,400) / 86,400] = 3.98 years (rounded to one decimal place)

Therefore, it will take Melanie approximately 3.98 years to recover the initial cost of the building.

To calculate the accounting rate of return for Melannie's building investment, we need to calculate the average annual profit and divide it by the initial investment, and express the result as a percentage.

Average annual profit = (Net cash flows for years 1-10) / 10 = ($42,500 + $57,500 + ($86,400 x 8)) / 10 = $74,350 per year

ARR = (Average annual profit / Initial investment) x 100% = ($74,350 / $337,000) x 100% = 22.05% (rounded to two decimal places)

Therefore, the accounting rate of return for Melannie's building investment is 22.05%.

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the management contract between a hotel management team in a hotel and the hotel ownership group can have automatic successor language leading to?

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A management company is chosen by the owner of the hotel real estate and business to run the hotel business on their behalf under the terms of a hotel management contract.

Some management companies also own their own brands, in which case the hotel would be run under that brand. An agreement between a management business (or operator) and a property owner is known as a hotel management contract.

Under this agreement, the operator agrees to manage the property by giving direction, oversight, and expertise using predetermined methods and procedures. The most popular types of business ownership include corporations, which can be taxed as either C corporations or S corporations, limited liability partnerships.

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The question is incomplete complete question is given below

A. Hotel Management Agreement (HMA)

B.  Franchise Operators Agreement

C.  Business's operations

D. Lifecycle management

Arnold industries has pretax accounting income of $168 million for the year ended december 31, 2021. the tax rate is 25%. the only difference between accounting income and taxable income relates to an operating lease in which arnold is the lessee. the inception of the lease was december 28, 2021. an $144 million advance rent payment at the inception of the lease is tax-deductible in 2021 but, for financial reporting purposes, represents prepaid rent expense to be recognized equally over the four-year lease term.

required:
prepare the appropriate journal entry to record arnold's income taxes for 2022.

Answers

To prepare the journal entry for Arnold Industries' income taxes for 2022, we need to calculate the taxable income and the related income tax expense based on the information provided.

Taxable income is the amount of income subject to taxation after adjusting accounting income for tax purposes. In this case, the only difference between accounting income and taxable income is the advance rent payment related to the operating lease.

The advance rent payment of $144 million is tax-deductible in 2021, which reduces the taxable income for the year. However, for financial reporting purposes, the advance rent payment represents prepaid rent expense to be recognized equally over the four-year lease term. Therefore, the portion of prepaid rent expense to be recognized in 2022 is $144 million / 4 years = $36 million.

Here is the journal entry to record Arnold Industries' income taxes for 2022:

Income Tax Expense          $33 million

 Income Taxes Payable          $33 million

The income tax expense of $33 million is calculated by applying the tax rate of 25% to the taxable income of $132 million ($168 million - $36 million prepaid rent expense). The income taxes payable account is credited for the same amount.

Note that the income tax expense is based on the taxable income for the year, which is different from the pretax accounting income of $168 million due to the timing difference related to the operating lease.

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Inventory cost flow assumptions address accounting issues except when:.

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Inventory cost flow assumptions, such as FIFO (first-in, first-out), LIFO (last-in, first-out), and weighted average, are accounting methods used to assign costs to inventory items. They are generally used to address issues related to the valuation and cost of goods sold of inventory.

However, inventory cost flow assumptions may not address certain accounting issues, such as inventory shrinkage (i.e., loss of inventory due to theft, damage, or other reasons), inventory obsolescence (i.e., when inventory becomes outdated or unusable), or the impact of changing prices on inventory valuation.

These issues may require additional accounting adjustments or disclosures beyond the use of inventory cost flow assumptions.

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In your own words, define what the precise economic meaning of unemployed is. What are the three types of unemployment and how do they differ in who is affected and how? In your journal entry, provide an example for each type of unemployment. For example, a switchboard operator would have found herself structurally unemployed with the advances in the telephone

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In my own words, the precise economic meaning of unemployment refers to the situation where individuals who are actively seeking employment are unable to find work. There are three main types of unemployment: frictional, structural, and cyclical. Each type affects different groups of people and has unique causes.

1. Frictional unemployment occurs when people are temporarily out of work while transitioning between jobs or looking for a new job that better suits their skills. This type of unemployment is common and affects workers across various industries. For example, a recent college graduate may experience frictional unemployment while searching for their first job after graduation.

2. Structural unemployment results from changes in the economy, technology, or consumer preferences that create a mismatch between the skills of the unemployed and the skills required for available jobs. This type of unemployment affects workers in industries undergoing significant change or obsolescence. For example, a switchboard operator would have found herself structurally unemployed with the advances in the telephone.

3. Cyclical unemployment occurs due to fluctuations in the overall economic activity, such as recessions or depressions. This type of unemployment affects workers across all industries when the economy slows down, and businesses cut back on hiring or lay off employees. For example, a construction worker may face cyclical unemployment during an economic recession when the demand for new construction projects is low.

In summary, the economic meaning of unemployment refers to individuals actively seeking work but unable to find it. The three types of unemployment - frictional, structural, and cyclical - differ in their causes and the groups affected. Examples include a recent college graduate experiencing frictional unemployment, a switchboard operator facing structural unemployment, and a construction worker dealing with cyclical unemployment during a recession.

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A business purchased office equipment by issuing aone-year note payable. The entire amount of the note is due at the end of one year. How do you record this transaction

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The entire sum of the note is due and payable after one year. To record the transaction, an asset must be debited and an obligation must be credited.

You will record a debit for notes payable and a credit for cash as you repay the loan in your journal. On the balance sheet, a liability is indicated for this. The interest rate must be determined after a payment is made, though, and this sum must be recorded in the accounts for interest expense and interest payable.

If equipment was bought with cash, assets would rise (because the equipment was bought with cash is an asset) and fall (because cash is an asset). There would be no further effects.

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Suppose company A stock is last time traded at 43. 26$, and our analysis shows that in one year from now,


its price would either increase or decrease by 35%. (i. E. D=0. 65, u=1. 35) Assume that risk-free rate is 1%


and the company pays no dividend in this time period.



1) What would be the payoff for a European Put Option written on Company A equity, with time to maturity


of 1 year, and strike price of 35$? Calculate the payoff for the up and down scenarios

Answers

The payoff for a European Put Option written on Company A equity, with a time to maturity of 1 year and a strike price of $35, is $23.409 in the up scenario and -$6.911 in the down scenario.

To calculate the payoff for a European Put Option written on Company A equity, we need to first determine the possible future stock prices at the end of the one-year time period.

Given that the stock price could either increase or decrease by 35%, we can calculate the possible future stock prices as follows:

u = 1.35

d = 0.65

S0 = 43.26

K = 35

Possible future stock prices:

Su = S0 * u = 43.26 * 1.35 = 58.409

Sd = S0 * d = 43.26 * 0.65 = 28.089

Next, we can calculate the payoff for the European Put Option written on Company A equity, assuming a strike price of $35:

If the stock price is greater than the strike price (i.e., the option is out of the money), the payoff is 0.

If the stock price is less than or equal to the strike price (i.e., the option is in the money), the payoff is the difference between the strike price and the stock price.

Payoff for the up scenario:

Su - K = 58.409 - 35 = 23.409

Payoff for the down scenario:

Sd - K = 28.089 - 35 = -6.911 (note the negative sign, since the option is out of the money)

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A Las Vegas supermarket bakery must decide how many wedding cakes to prepare for the upcoming weekend. Cakes cost $54 each to make and they sell for $90 each. The price of leftover wedding cakes is reduced by 50% on Mondays to clear out inventory. Demand for the weekend is normally distributed with a mean of 144 and a standard deviation of 25.What is the optimal number of wedding cakes to stock on the weekend?

Answers

The optimal number of wedding cakes to prepare for the upcoming weekend is 90 , we need to maximize the expected profit.

Let X be the number of wedding cakes to prepare for the weekend. We can assume that X follows a normal distribution with a mean of 144 and a standard deviation of 25.

The profit made on each cake is $90 - $54 = $36.

However, if any cakes are not sold, they are sold at a 50% discount on Monday, which would result in a profit of $90/2 = $45 loss per unsold cake.

So, the expected profit can be written as:

Profit = (90 - 54) × min(X, 144) × P(X ≤ 144) + (90/2 - 54) × max(X - 144, 0) × P(X > 144)

where P(X ≤ 144) is the probability that the demand is less than or equal to 144, and P(X > 144) is the probability that the demand is greater than 144.

To find the optimal value of X, we need to maximize this profit function. We can do this by taking the derivative of the profit function with respect to X, setting it equal to zero, and solving for X.

Taking the derivative of the profit function with respect to X, we get:

Profit = 36 × P(X ≤ 144) - 22.5 × P(X > 144)

Profit = 0

Solving for X, we get:

P(X ≤ 144) = 22.5/36

P(X ≤ 144) = 0.625

P(X > 144) = 0.375

So, the optimal number of wedding cakes to prepare for the weekend is:

X = 144 × 0.625

X = 90

Therefore, the supermarket bakery should prepare 90 wedding cakes for the upcoming weekend to maximize their expected profit. The expected profit can be calculated as the product of the probability of selling a certain number of cakes and the profit made on each cake.

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When honda introduced its odyssey mini-van, its advertising merely claimed, "it's the honda of mini-vans. " this is an example of

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This is an illustration of attribute marketing. Instead of directly comparing its goods to rivals, the corporation emphasises the qualities or aspects of its product in this style of advertising.

Because it emphasises the features of the Odyssey mini-van and positions it as the best option among mini-vans based on those features, the claim "it's the honda of mini-vans" is an illustration of attribute advertising. A more educated purchasing choice may be made by customers by using this style of advertising to assist them discover the aspects that are most important to them.  

Letter and word sounds can represent qualities of a product. Brand morphemes are utilised by a product name like Charmin because of its softer, more rounded sounds (compared to the harshness of Scott).

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Identify 3 different project stakeholders (executives vs. project team members vs. program management office vs. external stakeholders,etc.) that would be part of a communication plan. Identify and explain the channel(s) you would use to communicate with them and the reason(s) why this would be the most effectiveapproach.I

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Project stakeholders are individuals or groups who have a vested interest in the project and can influence or be influenced by its outcome. Effective communication is crucial to the success of any project, and a communication plan should be developed to identify the stakeholders and the channels of communication.

Here are three different project stakeholders and the channels that would be most effective in communicating with them.

Executives: Executives are responsible for providing direction and resources to ensure the success of the project. They are interested in high-level information, such as project status, risks, and benefits. The most effective channels for communicating with executives are executive summaries and presentations. These should be concise, relevant, and focused on key issues. The use of charts and graphs can also help to convey complex information in a clear and concise manner.Project Team Members: Project team members are responsible for the day-to-day tasks and activities that make up the project. They need to be kept informed of project status, deadlines, and changes to the project plan. The most effective channels for communicating with project team members are team meetings, emails, and project management software. These channels provide a forum for discussing issues, making decisions, and sharing information in a timely and efficient manner.External Stakeholders: External stakeholders are individuals or groups outside the organization who have an interest in the project. They may include customers, suppliers, regulatory agencies, and community groups. The most effective channels for communicating with external stakeholders are newsletters, websites, social media, and public meetings. These channels can be used to inform stakeholders about the project, solicit feedback, and address concerns.

In summary, the most effective communication approach for different stakeholders will vary based on their needs and level of involvement in the project. Understanding the stakeholders and the most effective channels to communicate with them is essential to creating a successful communication plan.

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this pending so can help build your credit score history .
a. cryptocurrency
b. cash
c. credit card
d. all the above

Answers

D. All of the above
can help build your credit score history because the more options and recourses you use for money the more history you would have

Use Lori's 1099-MISC form to complete the statements.


This form is initially mailed to the IRS


✓ in the credits


from Lon
. Based on the 1099-MISC, Lori will include


✓ section of her 1040 form.


Reset


Next

Answers

This form is initially mailed to the IRS in the credits. Based on the 1099-MISC, Lori will include all financial details required for the tax office to either compute  her tax correctly and or make a refund in her 1040 form.

What is a 1040 form?

Form 1040 is an IRS tax form that is used for personal federal income tax returns filed by residents of the United States. The form computes the taxpayer's total taxable income and determines how much must be paid to or reimbursed by the government.

The EZ form is the shortest and easiest, Form 1040A is slightly more complicated, and Form 1040L is the most extensive and possibly tough. Even if your tax situation is basic and easy, it may be useful to look into the other two types.

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The FDIC insure bank deposits in most things up to a maximum of ___.
a. $100,000
b. $250,000
c. $75,000
d. $50,000

Answers

Answer:

b. $250,000.

The Federal Deposit Insurance Corporation (FDIC) is an independent agency of the United States government that provides deposit insurance to depositors in U.S. banks. The FDIC insures deposits in most banks up to a maximum amount of $250,000 per depositor, per insured bank, for each account ownership category. This means that if you have multiple accounts with different ownership categories in the same bank, each category is separately insured up to the maximum limit.

Gemini, Inc. , an all-equity firm, is considering an investment of $1. 64 million that will be depreciated according to the straight-line method over its four-year life. The project is expected to generate earnings before taxes and depreciation of $604,000 per year for four years. The investment will not change the risk level of the firm. The company can obtain a four-year, 8. 5 percent loan to finance the project from a local bank. All principal will be repaid in one balloon payment at the end of the fourth year. The bank will charge the firm $54,000 in flotation fees, which will be amortized over the four-year life of the loan. If the company financed the project entirely with equity, the firm’s cost of capital would be 14 percent. The corporate tax rate is 35 percent.

Using the adjusted present value method, calculate the APV of the project. (Enter your answer in dollars, not millions of dollars, e. G. , 1,234,567. Do not round intermediate calculations and round your answer to 2 decimal places, e. G. , 32. 16. )

APV $

Answers

To calculate the adjusted present value (APV) of the project, we need to calculate the present value of the tax shield from the loan, as well as the present value of the project's cash flows.

First, let's calculate the present value of the tax shield:

PV(Tax Shield) = TC x D x rD x (1 - (1 + rD)^-n) / rD
PV(Tax Shield) = 0.35 x $1,640,000 x 0.085 x (1 - (1 + 0.085)^-4) / 0.085
PV(Tax Shield) = $397,113.18

Next, let's calculate the present value of the project's cash flows:

PV(Cash Flows) = CF x (1 - TC) x (1 - (1 + rD)^-n) / rD
PV(Cash Flows) = $604,000 x (1 - 0.35) x (1 - (1 + 0.085)^-4) / 0.085
PV(Cash Flows) = $1,715,842.04

Finally, let's add the present value of the tax shield to the present value of the cash flows and subtract the flotation costs:

APV = PV(Cash Flows) + PV(Tax Shield) - Flotation Costs
APV = $1,715,842.04 + $397,113.18 - $54,000
APV = $2,058,955.22

Therefore, the APV of the project is $2,058,955.22.

compared to other retail formats, the greatest benefit that store shopping offers is: the ability to touch and feel the products. personal safety easy availability of information for product comparison. broader and deeper assortments. availability of detailed information for evaluating a product.

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The greatest benefit that store shopping offers compared to other retail formats is the ability to touch and feel the products. So, correct option is A.

This tactile experience allows customers to physically examine the products, assess their quality, texture, and size, and determine if they meet their needs and preferences.

It also enables customers to interact with sales associates, ask questions, and receive personalized recommendations and advice. In addition, store shopping provides customers with the opportunity to take the products home immediately, avoiding shipping costs and delivery delays.

While online shopping provides access to a broader range of products and detailed information for product evaluation, it lacks the sensory experience and personal interaction that store shopping offers.

Furthermore, the safety concerns and potential privacy risks associated with online shopping have become increasingly relevant in recent years.

Thus, despite the convenience and efficiency of online shopping, many customers still prefer the traditional in-store shopping experience, especially for high-involvement purchases such as clothing, furniture, or electronics.

So, correct option is A.

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When the results of quality control are unacceptable, what is the next step?.

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When the results of quality control are unacceptable, the next step is to investigate and identify the root cause of the problem.

This involves analyzing the data collected during the quality control process to determine what went wrong and where in the production process the issue occurred. Once the root cause has been identified, corrective action can be taken to prevent the issue from recurring.

The corrective action may involve reworking or discarding the affected products, adjusting the production process or equipment, providing additional training to employees, or making changes to the quality control process itself.

It is important to document the investigation and corrective action taken, and to monitor the process to ensure that the problem has been fully resolved and that the quality control measures in place are effective in preventing similar issues in the future.

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Marketing programs that track purchase history, personal information and preferences and provide incentives to loyal, repeat customers are called what?

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Loyalty programs are marketing initiatives that keep track of customers' past purchases and reward them.  Customers who are deemed to be loyal to a firm are offered loyalty programs, as the term implies.

These kinds of programs provide exclusive discounts and benefits in an effort to keep these clients while also luring in new ones. These initiatives are put in place to promote repeat business.

Customer loyalty is a continuing emotional bond between you and your customers that shows in their willingness to interact with you and make repeat purchases from you as opposed to your competition. When a customer has a good experience with you, loyalty develops naturally and helps to build trust.

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the japanese financial services agency has introduced a stewardship code that calls on investors to exercise their shareholder rights, for example, by pressing for greater returns. in other words, what are investors in japan encouraged to become?

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Investors in Japan are encouraged to become stewards under the stewardship code introduced by the Japanese Financial Services Agency.

Stewardship refers to the responsible management of assets with the aim of preserving value over the long term. In the context of the stewardship code, investors are expected to exercise their shareholder rights in a responsible manner, taking into account the long-term interests of the companies in which they invest.

This includes engaging with company management, promoting good corporate governance practices, and pushing for sustainable growth and profitability.

By becoming stewards, investors in Japan are encouraged to take a more active role in promoting long-term value creation and sustainability, rather than focusing solely on short-term gains.

This is seen as a positive development for the Japanese economy, as it is believed to lead to more stable and sustainable growth, which in turn benefits both investors and society as a whole.

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Please write down the dimensions of cultural consequences of Hofstede and analyze them from the organizational hierarchical perspectives.Max.500 words will be considered with your own sentences. No cited references as well

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Geert Hofstede's cultural dimensions theory is a framework for understanding and comparing national cultures based on six dimensions.

These dimensions are:

Power distance: This dimension refers to the extent to which less powerful members of a society accept and expect unequal distribution of power. High power distance cultures accept hierarchy and authority, whereas low power distance cultures prefer equality and participation.

Individualism-collectivism: This dimension reflects the degree of interdependence a society maintains among its members. Individualist cultures emphasize individual achievements, autonomy, and self-expression, whereas collectivist cultures emphasize group harmony, loyalty, and cooperation.

Masculinity-femininity: This dimension reflects the extent to which a society values assertiveness, competition, and achievement (masculinity) versus nurturing, caring, and quality of life (femininity).

Uncertainty avoidance: This dimension reflects the extent to which a society tolerates ambiguity and uncertainty. High uncertainty avoidance cultures prefer structure, rules, and security, whereas low uncertainty avoidance cultures tolerate ambiguity and are more accepting of risk and change.

Long-term orientation: This dimension reflects the degree to which a society values long-term planning and future-oriented thinking versus short-term gratification and tradition. Cultures with a long-term orientation value perseverance, thrift, and adaptability, whereas those with a short-term orientation value quick results, social obligations, and respect for tradition.

Indulgence-restraint: This dimension reflects the extent to which a society allows for gratification of basic human desires and impulses versus regulating and suppressing them. Cultures with a high level of indulgence value freedom of speech, leisure time, and individual happiness, whereas cultures with a high level of restraint value social norms, traditions, and strict behavior.

In conclusion, Hofstede's cultural dimensions provide a useful framework for understanding and comparing national cultures. From an organizational hierarchical perspective, these dimensions can have significant implications for management practices and employee behavior, and can help managers

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If the demand for a good increased, what would be the effect on the equilibrium price and quantity?.

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If the demand for a good increased, the effect on the equilibrium price and quantity will depend on the elasticity of both supply and demand.

In general, an increase in demand will lead to an increase in both the equilibrium price and quantity of the good, assuming that the supply of the good remains constant. This is because, with more consumers wanting to purchase the good, the market price will rise to reflect the increased demand. As a result, producers will be willing to supply more of the good, and the quantity supplied will increase.

However, if the supply of the good is relatively inelastic, meaning that producers are unable to increase supply quickly in response to higher demand, then the equilibrium price will rise more, and the quantity supplied will increase less. Conversely, if the supply of the good is relatively elastic, then the equilibrium price will rise less, and the quantity supplied will increase more.

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In the long run, a firm in a perfectly competitive industry will supply output only if its total revenue covers its.

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In the long run, a firm in a perfectly competitive industry will supply output only if its total revenue covers its total cost.

This is because in a perfectly competitive market, there are many firms that are selling a homogenous product, and each firm is a price taker, meaning they cannot influence the market price. Therefore, a firm can only earn normal profits in the long run, which is defined as the minimum amount of profit required to keep the firm in business.

If a firm is earning less than normal profits, it will exit the industry, and if it is earning more than normal profits, new firms will enter the industry, driving down the price and reducing profits. As a result, in the long run, firms in a perfectly competitive market will supply output only if their total revenue covers their total cost, which includes both explicit costs (such as wages, rent, and materials) and implicit costs (such as the opportunity cost of the owner's time and capital).

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which of the following are not a contributing factor to the returns of the cryptocurrency asset class? group of answer choices their total supply is always limited investor sentiment liquidity risk many cybersecurity concerns

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Their total supply is always limited is not a contributing factors to the returns of the cryptocurrency asset class.

The fact that there is a finite amount of cryptocurrency in circulation does not affect the asset class returns. In fact, the high volatility and price growth of some cryptocurrencies, like Bitcoin are frequently attributed to their limited supply. A significant factor affecting cryptocurrencies returns is their demand, which is influenced by elements like investor sentiment, adoption and use cases.

Some cryptocurrencies returns are also impacted by the liquidity risk brought on by the relatively low trading volumes of some of them. Additionally the numerous cybersecurity issues that surround the use and storage of cryptocurrencies can have an impact on their returns because security lapses and thefts can cause a loss of trust and a decline in price.

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