with respect to the use of ifrs, a county might permit or domestic listed companies to use ifrs in preparing consolidated financial statements. (True or False)

Answers

Answer 1

True, with respect to the use of IFRS, a country might permit its domestic listed companies to use IFRS in preparing consolidated financial statements. This is because IFRS provides a globally recognized framework for financial reporting, improving comparability and transparency for investors and stakeholders.

It is possible for a country to allow or require domestic listed companies to use International Financial Reporting Standards (IFRS) in preparing their consolidated financial statements. This can lead to greater consistency and comparability in financial reporting across international borders, as more companies adopt the same accounting standards. However, not all countries have adopted IFRS, and some may only permit certain companies or industries to use them. It is important for businesses operating internationally to be aware of the accounting standards in each country where they operate, and to ensure compliance with local regulations.

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Related Questions

________ is the ability to direct the simultaneous actions of different parts of the body.
A) Stamina
B) Body coordination
C) Balance
D) Dynamic flexibility
E) Extent flexibility

Answers

B) Body coordination is the ability to direct the simultaneous actions of different parts of the body.

Body coordination is the ability to synchronize and direct different body parts to perform a task or movement. It involves the integration of sensory information, such as visual, auditory, and proprioceptive cues, to plan and execute movements with precision and accuracy.

Good body coordination is essential for performing complex movements such as sports, dancing, and playing musical instruments. It also helps in daily activities such as walking, climbing stairs, and reaching for objects. Improving body coordination can be achieved through practicing specific movements, exercises, and activities that challenge the integration of different sensory inputs and require the use of multiple body parts simultaneously.

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Abbott Laboratories, a manufacturer of several popular over-the-counter medications, warehouses and delivers all of 3M's medical and surgical products to hospitals across the nation. The agreement between Abbott Laboratories and 3M is an example of: multichannel marketing O a cooperative distribution channel a direct marketing channel a strategic channel alliance

Answers

The agreement between Abbott Laboratories and 3M, where Abbott warehouses and delivers 3M's medical and surgical products to hospitals, is an example of a strategic channel alliance.

The agreement between Abbott Laboratories and 3M is a good example of a strategic channel alliance. Under the terms of the agreement, Abbott will warehouse and distribute 3M's medical and surgical products to hospitals, leveraging its extensive network and expertise in the healthcare industry.

In return, 3M will benefit from Abbott's strong relationships with hospitals and healthcare providers, as well as its logistics and distribution capabilities.

By working together in this way, Abbott and 3M are able to create a more streamlined and efficient distribution channel for their products, which can ultimately benefit both companies and their customers.

This type of strategic alliance is particularly common in the healthcare industry, where companies often collaborate to improve patient outcomes and reduce costs.

Overall, strategic channel alliances can be a powerful tool for companies looking to expand their reach, increase efficiency, and create new opportunities for growth.

By combining their strengths and working together, companies can leverage each other's expertise and resources to create a more competitive and effective marketplace.

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To achieve defense in depth, an organization must establish multiple layers of security controls and safeguards. (True or False)

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It is true that to achieve defense in the depth, an organization must establish multiple layers of the security controls and safeguards.

Defense in depth is a strategy used by organizations to enhance their overall security posture. It involves the implementation of multiple layers of security controls and safeguards, with each layer providing an additional level of protection. The idea is to create a multi-tiered defense system that can prevent, detect, and respond to various types of security threats. This approach helps organizations to reduce the risk of successful attacks and minimize the damage caused by any breaches that do occur. By establishing multiple layers of security controls, organizations can ensure that even if one layer is compromised, there are other security measures in place to prevent the attacker from achieving their goals. Overall, defense in depth is an essential strategy for organizations looking to protect their sensitive information and assets.

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DaQuan recently began work as a senior accountant at Mad Coffee Company. He learned he would be responsible for monitoring the cash balance because there is a bank loan requirement that a minimum balance of $10,000 be maintained with the bank at all times. DaQuan asked to see the cash budget so he could anticipate when the balance was most likely to go below $10,000. How can DaQuan determine potential cash balance issues by looking at the budget?

Answers

By analyzing the cash budget, DaQuan can monitor and anticipate when the cash balance is most likely to go below the minimum requirement of $10,000 and take necessary steps to maintain compliance with the bank loan requirement.

DaQuan can determine potential cash balance issues by looking at the budget by analyzing the expected inflows and outflows of cash over a period of time. He can compare the expected cash receipts and payments to the minimum balance requirement and identify any periods where the balance is likely to fall below $10,000. By understanding the timing and amounts of cash flows, DaQuan can proactively manage the company's cash position to avoid any potential cash shortages and ensure that the minimum balance requirement is met at all times. In short, the budget can help DaQuan anticipate any potential cash flow issues and take necessary steps to maintain the required balance.

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XYZ Inc. sells a single product for a budgeted selling price of $21 per unit. Budgeted direct materials costs were $5 per unit, while budgeted direct labour and variable overhead costs were $3 and $2 respectively. Budgeted fixed overhead costs amount $25,000 per month. The company has a practical production capacity of 10,000 units per month. Budgeted variable selling costs are $2 per unit. Budgeted fixed selling costs are $2,000 per month. During the company's first month of operations, the company produced 10,000 units and sold 7.500 units at an average selling price of $18 per unit. Fixed and variable costs were as budgeted. The company's static budget variance was:

Answers

The company's static budget variance was: $45,000.

The static budget variance for XYZ Inc. can be calculated as follows:

Total Budgeted Sales Revenue = Budgeted Selling Price x Budgeted Sales Volume
= $21 x 10,000
= $210,000
Total Budgeted Variable Costs = (Budgeted Direct Materials Cost + Budgeted Direct Labor Cost + Budgeted Variable Overhead Cost + Budgeted Variable Selling Cost) x Budgeted Sales Volume
= ($5 + $3 + $2 + $2) x 10,000
= $120,000
Total Budgeted Fixed Costs = Budgeted Fixed Overhead Cost + Budgeted Fixed Selling Cost
= $25,000 + $2,000
= $27,000
Total Budgeted Costs = Total Budgeted Variable Costs + Total Budgeted Fixed Costs
= $120,000 + $27,000
= $147,000
Budgeted Operating Income = Total Budgeted Sales Revenue - Total Budgeted Costs
= $210,000 - $147,000
= $63,000
Actual Sales Revenue = Actual Selling Price x Actual Sales Volume
= $18 x 7,500
= $135,000
Actual Variable Costs = (Actual Direct Materials Cost + Actual Direct Labor Cost + Actual Variable Overhead Cost + Actual Variable Selling Cost) x Actual Sales Volume
= ($5 + $3 + $2 + $2) x 7,500
= $90,000
Actual Fixed Costs = Budgeted Fixed Costs
= $27,000
Actual Costs = Actual Variable Costs + Actual Fixed Costs
= $90,000 + $27,000
= $117,000
Actual Operating Income = Actual Sales Revenue - Actual Costs
= $135,000 - $117,000
= $18,000
Static Budget Variance = Budgeted Operating Income - Actual Operating Income
= $63,000 - $18,000
= $45,000

Therefore, the static budget variance for XYZ Inc. is $45,000.

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Net Work Corporation, whose annual accounting period ends on December 31, issued the following bonds: Date of bonds: January 1, 2015 Maturity amount and date: $200,000 due in 10 years (December 31, 2024) Interest: 10 percent per year payable each December 31 Date issued: January 1, 2015 Required:
For each of the three independent cases that follow, provide the following amounts to be reported on the January 1, 2015, financial statements immediately after the bonds were issued: (Amounts to be deducted should be indicated by a minus sign.)
January 1, 2015—Financial Statements: Case A (issued at 100) Case B (at 98) Case C (at 102)
a. Bonds payable
b. Unamortized premium (or discount)
c. Carrying value

Answers

The bonds issued by Net Work Corporation have a maturity of $200,000 in a span of 10 years payable at an interest of 10%. There are three different cases when bonds are issued at A. $100 , B. $98 and C. $102. Each case will have different amounts to be reported on the January 1, 2015, financial statements immediately after the bonds were issued.


Case A (issued at 100):
a. Bonds payable: $200,000 (issued at 100% of face value)
b. Unamortized premium (or discount): $0 (no premium or discount)
c. Carrying value: $200,000 (equal to bonds payable since there is no premium or discount)

Case B (issued at 98):
a. Bonds payable: $200,000 (face value)
b. Unamortized discount: $4,000 (2% discount on $200,000 face value)
c. Carrying value: $196,000 (bonds payable minus unamortized discount: $200,000 - $4,000)

Case C (issued at 102):
a. Bonds payable: $200,000 (face value)
b. Unamortized premium: $4,000 (2% premium on $200,000 face value)
c. Carrying value: $204,000 (bonds payable plus unamortized premium: $200,000 + $4,000)

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Stephanie is a working mother of two children. She has a stressful job, so she makes a point of walking two miles on her treadmill each day to help her unwind. By doing this, Stephanie is satisfying her _____.
A. need for attribution
B. need for autonomy
C. need for tension reduction
D. need for reinforcement
E. need for modeling

Answers

By walking two miles on her treadmill each day to help her unwind, Stephanie is satisfying her need for tension reduction (Option C). This is because tension reduction refers to the process of alleviating stress and anxiety through various activities and coping mechanisms.

In Stephanie's case, she has a stressful job and takes care of two children, which can contribute to high levels of tension in her life. By engaging in regular physical activity like walking on the treadmill, Stephanie is not only promoting her physical health but also reducing her mental stress.

Exercise is known to release endorphins, which are natural chemicals that improve mood and reduce stress. This daily routine allows her to manage the demands of her job and family responsibilities more effectively.

The other options, such as the need for attribution (Option A), the need for autonomy (Option B), the need for reinforcement (Option D), and the need for modeling (Option E), are not as directly related to Stephanie's situation.

Attribution refers to the way individuals explain the causes of events, autonomy refers to a sense of independence and control over one's life, reinforcement refers to the use of rewards or punishment to influence behavior, and modeling refers to learning through observing others' behaviors. While these concepts may be relevant in different contexts, they do not accurately describe Stephanie's motivation for walking on her treadmill to unwind from her stressful life.

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I need suggestions on what to do with the MarketPlace simulator. I don't understand it and I was hospitalized for Covid so I was late and I have to say what I am going to do as a person in charge of the manufacture of personal computers as part of a group of investors who contribute a million dollars. This is what they have done so far.Live Pro FormQuarter 3Initial Cash Balance 641,043RECEIPTS AND DISBURSEMENTS FROM OPERATING ACTIVITIESIncome 1,100,000- Discounts 72,500- Production 727,973- Research and Development 0- Advertising 800- Sales Force Expense 304,978- Sales Office Expense 155,000- Marketing Research 0- Shipping 36,945- Cost of Inventory Retention 802- Cost of Excess Capacity 0- Income Taxes 0+ Interest Earned 3,000- Interest Costs 0+ License Income 0- License Fees 0+ Other Income 0- Other Expenses 0= Net Operating Cash Flow -195,998INVESTMENT ACTIVITIESFixed Production Capacity 0= Total Investment Activities 0FINANCIAL ACTIVITIESIncrease in Common Shares 1,000,000+ Conventional Bank Credit Loan 0- Return of Conventional Bank Credit 0+ Bank Credit Emergency Loan 0- Return of the Emergency Bank Credit 0- Certificate of Deposit of 3 Months 0+ Withdrawal of 3-Month Certificate of Deposit 0= Total Financial Activities 1,000,000Cash Balance, End of Period 1,445,045COST OF GOODS SOLDInitial Inventory 0+ Production 727,973= Available Inventory 727,973- Cost of Products Sold 719,950= Ending Inventory 8,023Live Pro Form

Answers

The Live Pro Form shows that in Quarter 3, your company had an initial cash balance of 641,043 and a net operating cash flow of -195,998.



To improve your company's performance in the simulator, here are some suggestions:

1. Focus on increasing sales: One of the biggest sources of income for your company is from sales. Consider increasing your advertising budget or investing in more salespeople to increase your sales revenue.

2. Lower production costs: The cost of production is quite high in your company, and this can eat into your profits. Consider ways to streamline your production processes and reduce costs without compromising quality.

3. Look for new markets: Consider expanding your target market to increase sales. You can explore new geographical locations or target different demographics to increase your customer base.

4. Manage your inventory: The cost of inventory retention is quite high in your company, and this can be a drain on your resources. Look for ways to manage your inventory levels more effectively to reduce costs.

5. Explore financing options: Your company has the option of taking out conventional bank credit loans or emergency loans. Consider exploring these options to get additional funds to invest in your business.

Overall, the key to success in the MarketPlace simulator is to carefully manage your resources and make smart investments.

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Which of the following is not a primary source of corporate debt financing?LeasesBonds PayableCommon StockNotes Payable

Answers

Leases are not a primary source of corporate debt financing. A lease is a contractual agreement between a lessor (the owner of an asset) and a lessee (the user of the asset) in which the lessee pays the lessor for the use of the asset for a specified period of time.

While leases can provide a form of financing for companies, they are not considered a primary source of corporate debt financing.

The primary sources of corporate debt financing include bonds payable, notes payable, and other types of loans. Bonds payable are long-term debt securities that are issued by companies to raise capital from investors.

They typically have a fixed interest rate and a maturity date, and can be sold on public markets or privately placed with institutional investors.

Notes payable are short-term or long-term loans that are typically issued by banks or other financial institutions.

They are similar to bonds in that they have a specified interest rate and maturity date, but they are typically smaller in size and have a shorter term.

Common stock, on the other hand, is not a form of debt financing. When a company issues common stock, it is selling ownership in the company to investors.

This type of financing is considered equity financing, as opposed to debt financing, because the company is not required to make fixed payments to investors in the way that it is with bonds, notes, and other forms of debt.

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What is PDOC? How is it helpful in Preparation ofpayroll? (6 marks)

Answers

PDOC stands for Payroll Deduction Online Calculator. PDOC is a valuable tool in the preparation of payroll because it ensures accurate calculations, saves time, helps with compliance, allows for customization, is accessible, and assists in record-keeping.

PDOC stands for Payroll Deduction Online Calculator. It is helpful in the preparation of payroll in several ways:

1. Accurate calculations: PDOC helps ensure that payroll deductions, such as taxes, pension contributions, and other benefits, are calculated accurately, reducing the risk of errors.

2. Time-saving: By using the online calculator, employers can save time in manually computing deductions for each employee, making the payroll process more efficient.

3. Compliance: PDOC helps businesses stay compliant with tax laws and regulations by providing up-to-date tax tables and rates, ensuring that deductions are made according to current guidelines.

4. Customization: The calculator allows employers to input specific information related to their employees, such as pay periods, income, and other relevant details, to generate accurate deductions tailored to each individual.

5. Accessible: PDOC is an online tool, making it easily accessible for employers to use whenever needed.

6. Record-keeping: Using PDOC can help businesses maintain proper records of payroll deductions, which can be useful for tax reporting and audits.

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Once the election to use the LIFO inventory method has been made by a taxpayer, the inventory method may be changed only with the consent of the IRS.
A. True
B. False

Answers

A. True Once a taxpayer has elected to use the LIFO (Last-In, First-Out) inventory method, it becomes a part of their accounting method. As a result, any changes to this method must be approved by the IRS.

This is because changing inventory methods can potentially have a significant impact on a taxpayer's tax liability. For example, changing from LIFO to FIFO (First-In, First-Out) could result in a lower cost of goods sold and higher profits, which would increase the taxpayer's tax liability.To change inventory methods, a taxpayer must submit a request to the IRS and provide a detailed explanation of why the change is necessary. The IRS will then review the request and may require additional information or documentation before granting approval. It is important for taxpayers to be aware of the rules and requirements surrounding inventory methods and to work with a qualified tax professional to ensure compliance with IRS regulations.

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Which of the following is not a measure of operations and supply chain management efficiency used by Wall Street?Asset turnoverReceivable turnoverEarnings per shareRevenue per employeeInventory turnover

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Earnings per share is not a measure of operations and supply chain management efficiency used by Wall Street.

Earnings per share (EPS) is a financial ratio that measures a company's profitability and is calculated by dividing the net income of a company by the number of outstanding shares of its common stock.

EPS is used as an indicator of a company's overall financial performance, but it is not specific to operations and supply chain management efficiency.

In contrast, the other measures listed (asset turnover, receivable turnover, revenue per employee, and inventory turnover) are commonly used to evaluate the efficiency of a company's operations and supply chain management.

Asset turnover, receivable turnover, and inventory turnover are all ratios that measure how effectively a company is using its assets to generate revenue, while revenue per employee measures how efficiently a company is using its workforce to generate revenue.

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When writing a message to convince management to approve a new project, you are writing a ________ message.
A) sales
B) control
C) persuasive business
D) physiological
E) marketing

Answers

When writing a message to convince management to approve a new project, you are writing a persuasive business message. The purpose of a persuasive business message is to convince the recipient to take a specific action, such as approving a new project.

This type of message typically involves presenting a compelling argument that addresses the recipient's concerns and demonstrates the potential benefits of the proposed action.

In order to write an effective persuasive business message, it is important to understand the audience and their needs. This includes considering their values, interests, and priorities, as well as any potential objections or obstacles that may need to be addressed. It is also important to use clear and concise language, and to provide supporting evidence and examples to back up your claims.

Ultimately, the goal of a persuasive business message is to persuade the recipient to take the desired action. By presenting a strong and well-reasoned argument, you can increase the likelihood of gaining management's approval for a new project or initiative.

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Given the items below, which of the following is a subtraction from net income to arrive at operating cash flows using the indirect method? Loss on sale of assets Increase in Supplies Increase in Accounts Payable Depreciation expense Multiple Choice II. only. IV. only. II. and III. I. and II.
Loss on sale of assets
Increase in Supplies
Increase in Accounts Payable
Depreciation expense
Expert A

Answers

When using the indirect method to calculate operating cash flows, the correct subtraction from net income is:
The closest option provided would be "I. and II.", which includes Loss on sale of assets and Increase in Supplies, but it does not include Depreciation expense.


Out of these options, the correct subtraction from net income to arrive at operating cash flows using the indirect method would be:

- Loss on sale of assets (I)
- Increase in Supplies (II)
- Depreciation expense (IV)

The closest option provided would be "I. and II.", which includes Loss on sale of assets and Increase in Supplies, but it does not include Depreciation expense.

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Which financial statement will allow you to determine the gross margin for a retailer or manufacturer?
a.Balance Sheet
b.Income Statement
c.Statement Of Cash Flows
d.Statement Of Comprehensive Income
e.Statement Of Stockholders’ Equity

Answers

The financial statement that will allow you to determine the gross margin for a retailer or manufacturer is b. Income Statement.

What is meant by income statement?

The income statement provides information on a company's revenues, cost of goods sold (COGS), and gross profit, which is calculated by subtracting COGS from revenues. Gross margin is the percentage of revenues that remain after deducting COGS.

It is calculated by dividing the gross profit by revenues and multiplying by 100.

Gross margin is an important indicator of a company's profitability and efficiency in managing its costs of production. Therefore, by analyzing the income statement, investors, creditors, and other stakeholders can assess a company's gross margin and profitability.

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without trade production 6 36 12 16 consumption 6 36 12 16 with trade production trade action imports 14 imports 42 consumption gains from trade increase in consumption

Answers

Trade leads to an increase in consumption. In this scenario, with trade, there are imports of 14 and 42, which results in gains from trade and an increase in consumption.

How does trade affect consumption and gains from trade in this scenario with imports of 14 and 42?

In the given scenario, trade results in an increase in consumption and gains from trade. Before trade, production and consumption were at levels of 6, 36, 12, and 16. However, with trade and imports of 14 and 42, production remains the same but consumption increases to 20, 78, 54, and 58, resulting in gains from trade.

The increase in consumption is due to the ability to obtain goods and services from trading partners at a lower cost than producing them domestically. Therefore, trade allows countries to specialize in producing goods and services they have a comparative advantage in and trade them for goods and services they don't produce efficiently. This results in increased economic welfare for all trading partners.

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9. Social responsibility is a voluntary obligation.

Answers

The idea of social responsibility suggests that individuals and organizations have an obligation to act in ways that benefit society as a whole.

While social responsibility is often voluntary, it can also be a legal requirement or an expectation from stakeholders.

In some cases, social responsibility is mandated by law. For example, companies may be required to follow environmental regulations, labor laws, or anti-discrimination laws.

Failure to do so can result in legal penalties or fines.

However, social responsibility can also be a voluntary action taken by individuals or organizations who want to make a positive impact on society.

For example, a company might choose to donate a portion of its profits to charitable organizations or implement sustainable business practices to reduce its environmental impact.

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A Product Owner is essentially the same thing as a traditional Project Manager?

Answers

A Product Owner and a traditional Project Manager are not the same thing, though they do share some similarities. A Product Owner is responsible for defining and prioritizing the product backlog, representing the customer's interests, and ensuring the team delivers value.

A project manager is a professional who plans, organizes, and oversees the successful completion of a project. They are responsible for managing the resources, timelines, budgets, and deliverables of a project and ensuring that it meets the goals and objectives of the organization. Project managers must possess strong leadership and communication skills, as well as technical knowledge and expertise in their field. They may work in various industries, including construction, IT, healthcare, and finance, and can hold various certifications such as PMP (Project Management Professional) or PRINCE2 (PRojects IN Controlled Environments).

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Find the interest on BD 6000 at 7% simple interest from 06 March, 2020 to 15 October, 2020 by using the four methods. (Use the Long to find the actual and approximate time).

Answers

The total interest evaluated on BD 6000 at 7% simple interest  is BDT1026.85, under the condition that the duration is from 06 March, 2020 to 15 October, 2020.

The formula for simple interest is
I = P × r × t
Here:
I = Interest
P = Principal
r = Rate of interest
t = Time period

To evaluate the interest on BD 6000 at 7% simple interest from 06 March, 2020 to 15 October, 2020 using the long method,

Actual time = Number of days from 06 March, 2020 to 15 October, 2020
 = (31+29+31+30+31+30+31+31+30+15)days
 = 259 days
Approximate time = Number of months from 06 March, 2020 to 15 October, 2020
  = (8-3) months
  = 5 months
Then,

1. Long method using actual time:
  Interest = (P ×r × t) / (100 × 365) × actual time
           = (6000 × 7 × (259/365)) / (100 × 365) × 259
           ≈ BDT 1026.85

2. Long method using approximate time:
  Interest = (P × r × t) / (100 × 12) × approximate time
           = (6000 × 7 × (5/12)) / (100 × 12) × 5
           ≈ BDT 87.50

3. Short method using actual time:
  Interest = (P × r × actual time) / (100 × 365)
           = (6000 × 7 × 259) / (100 × 365)
           ≈ BDT 1026.85

4. Short method using approximate time:
  Interest = (P × r × approximate time) / (100 × 12)
           = (6000 × 7 × (5/12)) / (100 × 12)
           ≈ BDT 87.50

Hence, the interest on BD 6000 at a rate of simple interest of 7% from 06 March, 2020 to 15 October, 2020 is approximately BDT1026.85 using long method with actual time and approximately BDT87.50 using long method with approximate time or short method with actual time.


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Help Save & Exit Submit For four years, Marie invested $4.500 each year in a bank's stocks. The stocks sold for $39 in 20X1, 552 in 20x2.538 in 20X3, and $60 in 20X4 a What is Marie's total investment in this bank? (Omit the "S" sign in your response.) Total investment $ b. After four years, how many shares does Marie own? (Round your intermediate calculations DOWN and round your final answer DOWN to the nearest whole share.) Total number of shares What is the average cost per share of Marie's investment? (Round DOWN your intermediate calculations to the nearest whole share. Round your final answer to 2 decimal places. Omit the "S" sign in your response.) Average cost per share

Answers

Marie's average cost per share of investment is $50.13. She invested $4,500 per year for four years, making a total investment of $18,000. After dividing her total investment by the price per share for each year, she owns a total of 359 shares. By dividing her total investment by the total number of shares she owns, we get her average cost per share, which is $50.14 per share (rounded down to $50.13).

a) Marie invested $4,500 each year for four years, so her total investment is:

Total investment = $4,500 × 4 = $18,000

Therefore, Marie's total investment in this bank is $18,000.

b) To find out how many shares Marie owns, we need to divide her total investment by the price per share for each year:

In 20X1: $4,500 ÷ $39 per share = 115.38 shares (rounded down to 115 shares)

In 20X2: $4,500 ÷ $52 per share = 86.54 shares (rounded down to 86 shares)

In 20X3: $4,500 ÷ $53.80 per share = 83.68 shares (rounded down to 83 shares)

In 20X4: $4,500 ÷ $60 per share = 75 shares

Total number of shares = 115 + 86 + 83 + 75 = 359 shares

Therefore, Marie owns 359 shares after four years.

c) To find the average cost per share of Marie's investment, we need to divide her total investment by the total number of shares she owns:

Average cost per share = Total investment / Total number of shares

= $18,000 / 359 shares

= $50.14 per share (rounded down to $50.13)

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What blog is the average consumer least likely to trust?

Answers

The average consumer is least likely to trust a blog that is sponsored or affiliated with a specific brand or company, as it may be biased and not provide unbiased and honest opinions or information.


Typically, an average consumer would be least likely to trust a blog that lacks proper credentials, has a history of spreading misinformation, or displays a clear bias without supporting evidence.

Additionally, blogs that have a history of posting inaccurate or misleading information may also be viewed with skepticism by consumers.

In summary, a blog with poor credibility and unreliable information would be the least trusted by the average consumer.

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_____ refers to sending work functions to another country resulting in domestic workers losing their jobs.

A. Outsourcing

B. Repositioning

C. Downsizing

D. Restructuring

E. Worker mobility

Answers

A. Outsourcing refers to sending work functions to another country resulting in domestic workers losing their jobs.

Outsourcing is a business practice where a company contracts out certain business functions or processes to another company, often in a different country where labor is cheaper. This can include functions such as manufacturing, customer service, or back-office operations.

One of the main reasons companies outsource is to reduce labor costs and increase efficiency. However, outsourcing can have negative effects on domestic workers, who may lose their jobs to cheaper labor in other countries. This can lead to unemployment and economic hardship in affected communities.

Outsourcing is a controversial issue, with proponents arguing that it can benefit both companies and workers by creating new jobs and increasing productivity, while opponents argue that it can harm workers and lead to a race to the bottom in terms of wages and working conditions.

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Stock. No Bonds Were Converted During 2018. Throughout 2018, Ava Had 10,000 Shares Of Common Stock Outstanding. Ava's 2018 Net Income Was $91972. The Income Tax Rate Is 25%. No Potential Common Shares Other Than The Convertible Bonds
On January 2, 2018, Ava Co. issued at face value $94000 of 9% bonds convertible in total into 11790 shares of Ava's common stock. No bonds were converted during 2018. Throughout 2018, Ava had 10,000 shares of common stock outstanding. Ava's 2018 net income was $91972. The income tax rate is 25%. No potential common shares other than the convertible bonds were outstanding during 2018. The denominator in the diluted earnings per share calculation for 2018 would be: $______

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The denominator in the diluted earnings per share calculation for 2018 would be 22,790 shares. This is because the convertible bonds could potentially be converted into 11,790 common shares, which would be added to the existing 10,000 shares outstanding.

To calculate diluted earnings per share, the denominator must be adjusted for potential common shares, which include any stock options, warrants, or convertible securities that could potentially be converted into common stock. In this case, the convertible bonds are the only potential common shares outstanding.

To calculate the potential common shares from the convertible bonds, we divide the face value of the bonds by the conversion price. The conversion price is calculated by dividing the face value of the bonds by the number of shares into which they can be converted. In this case, the face value of the bonds is $94,000, and they can be converted into 11,790 shares of common stock ($94,000 / $8 per share).

Since no bonds were converted during 2018, there were no additional shares of common stock outstanding. Therefore, the diluted earnings per share calculation only need to include the 10,000 shares of common stock that were outstanding throughout the year, plus the potential shares from the convertible bonds, which is 11,790. The total potential shares are 21,790, and when added to the 10,000 shares outstanding, the denominator is 22,790.

To calculate diluted earnings per share, divide the net income by the adjusted denominator:

$91,972 / 22,790 shares = $4.04 per share.

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Differences between the inventory count and the perpetual records are adjusted by increasing or decreasing ______. cost of good sold.

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The differences between the inventory count and the perpetual records are adjusted by increasing or decreasing the cost of goods sold.

This adjustment helps to align the physical inventory count with the perpetual records and ensures the accuracy of the cost of goods sold. This adjustment is necessary to ensure that the inventory and cost of goods sold accounts accurately reflect the amount of inventory on hand and the cost of goods that have been sold.

When the inventory count is higher than the perpetual records, the cost of goods sold is decreased to reflect the additional inventory on hand. Conversely, when the inventory count is lower than the perpetual records, the cost of goods sold is increased to account for the missing inventory.

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intranasal delivery of mesenchymal stem cell derived exosomes loaded with phosphatase and tensin homolog sirna repairs complete spinal cord injury. true or false

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Exosomes are small vesicles secreted by cells that can carry various bioactive molecules, including proteins, RNA, and lipids. Mesenchymal stem cell-derived exosomes have been shown to have therapeutic potential for various diseases, including spinal cord injury.

Phosphatase and tensin homolog (PTEN) is a protein that regulates cell growth and survival. Inhibiting PTEN expression with small interfering RNA (siRNA) can promote the regeneration of damaged nerve cells in the spinal cord.

The statement suggests that intranasal delivery of exosomes derived from mesenchymal stem cells loaded with PTEN siRNA can repair complete spinal cord injury.

While some studies have shown promising results regarding the therapeutic potential of exosomes and siRNA for spinal cord injury,

it is important to note that the claim requires further research and validation through rigorous clinical trials before it can be considered a proven treatment.

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62. An individual can take a number of actions to develop a career, including all the following except:
A. exposure.
B. job performance.
C. resignations.
D. mentors.
E. not learn from mistakes.

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An individual can take several actions to develop their career, and all of them contribute to professional growth except for option C) resignations and not learning from mistakes.

Exposure and networking, job performance, and having a mentor are some of the ways individuals can build their careers. Exposure to different industries and job roles provides a broader perspective that helps in making informed career decisions. Excelling in one's current job and exceeding expectations can lead to promotions and greater responsibilities. Having a mentor who has experience in the industry can provide valuable guidance and advice for career development. On the other hand, resigning from a job does not contribute to career growth, and not learning from mistakes can lead to stagnation. Therefore, it is essential to take advantage of opportunities that enhance one's career prospects and learn from experiences to achieve professional goals.

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125. A competency-based performance management allows trainers to offer programs that focus on specific employee strengths and invest training and development effort where it maximizes value for the company. True False

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False.Competency-based performance management allows managers to evaluate employee performance against predetermined competencies.

which may include specific skills, knowledge, and behaviors necessary for success in a particular job or role. This approach enables managers to identify areas of strength and weakness in employee performance and provide targeted training and development opportunities to address any gaps. However, the decision to invest training and development effort where it maximizes value for the company is ultimately up to the manager's discretion, and may not necessarily be based solely on employee strengths.

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by contacting one of the transacting parties (buyer, seller, or realtor) is part of?

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By contacting one of the transacting parties, you are taking a main step in the process of gathering information and making a decision about a potential real estate transaction.


Contacting one of the transacting parties (buyer, seller, or realtor) is part of the main process of communication and negotiation in a real estate transaction. The conclusion of this process typically involves reaching an agreement on the terms and conditions of the transaction, such as price and closing date.However, it is important to keep in mind that contacting only one party may not provide a complete picture, so it is advisable to gather information from multiple sources before reaching a conclusion.

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What information can the analytical purchasing group activity SAP fiori app provide?

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The analytical purchasing group activity SAP Fiori app provides a comprehensive overview of various aspects of the procurement process. Firstly, it offers insights into the purchasing group's performance and the effectiveness of their procurement strategies. I

t also provides detailed information on the number of purchase orders created and processed, the total value of these orders, and the status of these orders. Additionally, it allows users to analyze vendor performance, including details on the top vendors, the total spend on each vendor, and their delivery performance.

Furthermore, the app provides insights into the procurement team's workload, highlighting areas where they might be overworked or underutilized. The data presented can help managers allocate resources effectively and optimize the purchasing process.

The app also features an intuitive dashboard that provides real-time visibility into procurement data, enabling users to drill down into specific metrics and identify trends and anomalies. Overall, the analytical purchasing group activity SAP Fiori app provides a holistic view of the procurement process, helping organizations make data-driven decisions to improve efficiency, reduce costs, and increase productivity.

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35. In using a systems approach to financial planning, it is necessary to develop everything except:
A. pro forma income statement.
B. cash budget.
C. pro forma balance sheet.
D. a collection schedule.

Answers

D. A collection schedule.

In using a systems approach to financial planning, it is necessary to develop everything except collection schedule.


A collection schedule is not a necessary component in using a systems approach to financial planning, as it primarily deals with tracking and organizing incoming payments. However, the other options listed - pro forma income statement, cash budget, and pro forma balance sheet - are all essential components of financial planning through a systems approach.
A pro forma income statement is a financial statement that predicts an organization's anticipated revenue, expenses, and net income for a specific period. A cash budget, on the other hand, outlines an organization's anticipated cash inflows and outflows for a particular period. Finally, a pro forma balance sheet is a financial statement that outlines an organization's anticipated assets, liabilities, and equity at a specific point in time.
Together, these components provide a comprehensive view of an organization's financial position and help to inform strategic decision-making.

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