An array of firm resources includes interpersonal relations among managers in the firm, its culture, and its reputation with its customers and suppliers. Such competitive advantages are based upon

Answers

Answer 1

Answer: social complexity

Explanation:

Social complexity simply relates to how the existence of human beings are being studied. The things that are studied include armed conflicts, marriage practices, emigration patterns, political movements, natural disasters, etc.

Therefore, array of firm resources includes interpersonal relations among managers in the firm, its culture, and its reputation with its customers and suppliers. Such competitive advantages are based upon social complexity.


Related Questions

A radio transceiver is

Answers

HEY,

... HERES YOUR ANSWER ! I HOPE I HELPED! BRAINLIEST WOULD BE APPRECIATED :)

In radio communication, a transceiver is a device that is able to both transmit and receive information through a transmission medium. It is a combination of a transmitter and a receiver, hence the name transceiver. Transmission is usually accomplished via radio waves, but communications satellites, wired connections, and optical fiber systems can also be used.

HOPE I HELPED

PLS MARK BRAINLIEST  

DESPERATELY TRYING TO LEVEL UP

✌ -ZYLYNN JADE ARDENNE

JUST A RANDOM GIRL WANTING TO HELP PEOPLE!

                  PEACE!

An investor is considering buying a restaurant that has been in operation for a number of years. The restaurant has a highly regarded chef and many long-term kitchen and wait staff who work together smoothly. It has a reputation for dishes of consistently high quality and an appealing dining atmosphere. Which of the following should the investor consider when making a decision?
A. The investor should realize that the success of this restaurant is so heavily based on human resources that the business will likely be subject to inertia in the future.
B. The investor may find that the restaurant's financial statements undervalue the true value of its resources.
C. The investor should be aware that intangible assets are difficult to leverage into additional businesses.
D. The investor should search for a firm that has competitive advantages based on tangible resources.

Answers

Answer:

B.

Explanation:

The investor should consider that they may find that the restaurant's financial statements undervalue the true value of its resources. If this were to be the case then the investor would have made a lot of money since they would have paid face value for the restaurant when in actuality it was massively undervalued and is worth a lot more, meaning he would make a large profit on his investment from the beginning.

firm x projects an roe of 14% and it will maintain a pplowback ratio of .45 its earnings this year will be 3.60 per share investors expect 11% rate of retrun on the stock what price do you expect form x shares to sell for in 2 years

Answers

Answer:

$47.61 per share

Explanation:

As we know that:

Current Price = Expected Dividend / (Required Return - Growth Rate)

Here

Expected Dividend is $1.98 (Step1)

Required Return is 11%

Growth Rate is 6.3%

By putting values, we have:

Current Price = $1.98 / (0.11 - 0.063)

Current Price = $42.13

The price of Stock in 2 years will be adjusted by growth rate:

Price of Stock in 2 years = Current Price * (1 + Growth Rate)^2

Here

Current Price of the stock is $42.13 per share

Growth rate = ROE * Plowback Ratio = 14% * 0.45 = 6.30%

By putting values, we have:

Price of Stock in 2 years = $42.13 * 1.063^2

Price of Stock in 2 years = $47.61 per share

So, you should expect the share to sell at $47.61 in 2 years

Step 1: Find Expected Dividend

Expected Dividend = Expected Earnings * Payout Ratio

Here

Expected Earnings is $3.6 per share

Payout Ratio = 1 - Plowback Ratio = 1 - 0.45 = 55%

By putting values in the above equation, we have:

Expected Dividend = $3.60 * 55%

Expected Dividend = $1.98 per Share

Debt: 5,000 7.2 percent coupon bonds outstanding, $1,000 par value, 30 years to maturity, selling for 108 percent of par; the bonds make semiannual payments. Common stock: 440,000 shares outstanding, selling for $62 per share; the beta is 1.05. Market: 11 percent market risk premium and 5.2 percent risk-free rate. What is the company's WACC?

Answers

Answer:

the company's WACC is 15.07 %.

Explanation:

WACC = ke × (E/V) + kd × (D/V)

kd = cost of debt

Pv = $1,000 × 108% = - $1,080

n = 30 × 2 = 60

pmt = ($1,000 × 7.2 %) ÷ 2 = $36

p/yr = 2

Fv = $1,000

r = ?

Using a Financial Calculator, the Pre-tax cost of debt, r is 6.5852 or 6.59 %

After tax cost of debt = Interest × (1 - tax rate)

I will use the pre-tax  cost of debt for now since i do not have the tax rate on this question.

ke = cost of equity

    = Return on Risk free security + Beta × Market Risk Premium

    = 5.20 % + 1.05 × 11.00 %

    = 16.75 %

E/V = Market Weight of Equity

      = (440,000 × $62) / (440,000 × $62 + 5,000 × $1,080) × 100

      = 83.48 %

D/V = Market Weight of Debt

      = (5,000 × $1,080) / (440,000 × $62 + 5,000 × $1,080) × 100

      = 16.52 %

WACC = 16.75 % × 83.48 % + 6.59 % × 16.52 %

           = 15.07 %

If a firm has a strong set of innovation skills and capabilities, it should pursue entrepreneurial opportunities through acquisitions. joint ventures. strategic alliances. internal innovation.

Answers

Answer: Internal innovation.

Explanation:

If a firm is blessed with a strong set of innovation skills and capabilities then they should look in-house to come up with new entrepreneurial ventures and opportunities that can make them grow.

They could establish a Research and Development department to come up with various ways to grow the company. The key talent that R&D departments need to succeed is to be able to be innovative which is something that the company apparently has. If they can leverage these skills inwardly then they can grow from within like Apple did in its early days.

Thomsen Computer Company produces three products: Earth, Wind, and Fire. Earth requires 80 machine setups, Wind requires 60 setups, and Fire requires 180 setups. Thomsen has identified an activity cost pool with allocated overhead of $360000 for which the cost driver is machine setups. How much overhead is assigned to each product?

Answers

Answer:

Earth = $90,000

Wind = $67,500

Fire = $202,500

Explanation:

Activity based costing is a costing system that assigns the cost of identified activities , mostly overhead and indirect cost to all products and services produced according to the respective volume of the activities consumed by each of the products and services , using cost drivers.

Workings.

The cost driver in the scenario is Machine set up

Earth = 80 set up

Wind = 60 set up

Fire = 180 set up

Total = 320 set up

General Overhead = 360,000

Earth = 80/320 *360,000 = 90,000

Wind = 60/320*360,000 = 67,500

Fire = 180/320*260000 = 202,500

An investor has 15 thousand dollars to invest among 3 possible investments A, B, C. Each investment must be in units of a thousand dollars. Not all the money need be invested. He must invest at least 3 thousand dollars on the investment A and at least 5 thounsand dollars on the investment B. How many different investment strategies are possible

Answers

Answer:

36 ways

Explanation:

There are 3 possible investments A, B and C.

If x represents the amount of money to be invested in the ith opportunity, it is given as:

[tex]x_1+x_2+x_3=15 \\[/tex]

Let y be the minimum investment to be made, therefore:

[tex]y_1=x_1-3\\y_2=x_2-5\\y_3=x_3\\\\Therefore:\\\\y_1+y_2+y_3+3+5=15\\\\y_1+y_2+y_3+8=15\\\\y_1+y_2+y_3=7\\[/tex]

The number of possible combinations is:

C(n + k - 1, k - 1)

Where k is the number of investment = 3 and n = 7. Therefore:

The number of possible combinations is = C(n + k - 1, n - 1) = C(7 + 3 -1, 3 - 1) = C(9, 2) = [tex]\frac{9!}{(9-2)!2!}=\frac{9!}{7!2!}=36\ ways[/tex]

A portfolios is composed of two stocks, A and B. Stock A has a standard deviation of return of 19%, while stock B has a standard deviation of return of 25%. Stock A comprises 70% of the portfolio, while stock B comprises 30% of the portfolio. If the variance of return on the portfolio is .034, the correlation coefficient between the returns on A and B is_____.
a. 536.
b. 375.
c. 161.
d. 134.

Answers

Answer:

0.536

Explanation:

The computation of the correlation coefficient is shown below:-

[tex]\sigma^2_A \times w^2_A + \sigma^2_B \times w^2_B + 2\times w_A \times w_B \times \rho_{AB} \times \sigma_A \times \sigma_B = 0.034[/tex]

[tex]0.19^2 \times 0.70^2 + 0.25^2\times 0.30^2 + 2*0.70 \times 0.30 \times \rho_{AB} \times 0.19\times 0.25 = 0.034[/tex]

[tex]0.023314 + 0.01995 \times \rho_{AB} = 0.034[/tex]

[tex]0.01995 \times \rho_{AB} = 0.010686\\\\\rho_{AB} = 0.536[/tex]

Therefore for computing the correlation coefficient between the returns on A and B we simply applied the above formula.

So, according to the question the option is not available. The right answer is 0.536 and the same is not considered

When the federal government changes purchases and/or taxes to stimulate the economy or rein in inflation, such policy is:_______.
a. active monetary policy
b. discretionary fiscal policy
c. active federal policy
d. sutomatic focal policy

Answers

Answer:

B. discretionary fiscal policy

Explanation:

Discretionary fiscal policy is used to stimulate an economy or rein in inflation. The government does this by making changes to it's expenditure, that is it's spending and also taxes. Such a policy can either expand or shrink the economy based on what the government is trying to achieve.

Government spending alongside taxation are used to influence aggregate demand. This would help to close deflationary gap

A client purchased 1,500 shares of stock from a broker-dealer, a registered market maker in this stock. The broker-dealer acted in a(n):

Answers

Complete Question:

A client purchased 1,500 shares of stock from a broker-dealer, a registered market maker in this stock. The broker-dealer acted in a(n):

Group of answer choices

a. Principal capacity and charged the client a markup

b. Agency capacity and charged the client a commission

c. Principal capacity and charged the client a commission

d. Agency capacity and charged the client a markup

Answer:

a. Principal capacity and charged the client a markup.

Explanation:

In this scenario, a client purchased 1,500 shares of stock from a broker-dealer, a registered market maker in this stock. The broker-dealer acted in a principal capacity and charged the client a markup.

A market maker can be defined as an individual or organization such as a broker-dealer who is usually willing to trade (buy and sell) stocks. This simply means that, a market maker is engaged in the business of trading shares of stock.

Generally, in the trading of stocks a market maker actually acts in a principal capacity and could charge his or her clients either a markup or markdown.

A markup can be defined as the difference between the amount of money paid by a customer and the market price of a stock being held by a broker-dealer.

Describe the main differences for revenue spending between ""for profit"" companies and ""not for profit"" companies. Describe how the main financial documents of Goodwill are similar to those companies that are ""for profit"". Describe how the main financial documents of Goodwill are difference to those companies that are ""for profit"".

Answers

Answer with Explanation:

The analysis includes the assessment of Non profit organization's efficiency both in fundraising and spending, economy of operations and the effectiveness of the operations. This can be explained with an example. For example if the non profit organization has an objective to increase the book reading habit because it believes that the people who read more are not violent personalities and in this way they can reduce the crime rate. So it has established number of libraries in different communities. Now we will look at at what cost it has acquired these libraries (Economy), how much people have visited these libraries (Efficiency) and whether the crime rate in the community has sufficiently fallen or not (Effectiveness). So this helps in understanding whether the objective was met or not.

However when we analyze the financial statement of profit making organizations then we use many profit and efficiency ratios to assess the performance of the organization. These ratios can also be helpful if the NGO is in business as well. But most of the NGOs rely on grants and these grants are subjective to their previous performance.

The NGOs are also required to publish reports according to the grant provider's enforced accounting principles, rules and guidelines. Just take the example of US-AID program that requires the Non profit organization to publish financial reports in specific format and enforces different Generally Acceptable Principles to be used in preparing these financial reports. So yes it is much more different in analyzing the financial statements of Non profit organization and profit making organization.

Which one of the following stock index futures has a multiplier of 50 Hong Kong dollars times the index?

a. FTSE 100
b. Hang Seng
c. Nikkei
d. DAX-30
e. FTSE 100 and Hang Seng

Answers

Answer:

b. Hang Seng

Explanation:

Hong Kong's Hang Seng Index Futures and Hang Seng China Enterprises Index Futures operate with a contract multiplier of HK$50 (50 Hong Kong dollars) per point.

The Mini-Hang Seng Index Futures and the Mini-Hang Seng China Enterprises Index Futures operate with a contract multiplier of HK$10 per point.

The statement of cash flows (indirect method) reports depreciation expense as an addition to net income because depreciation
A. causes an inflow of funds for the replacement of assets.
B. reduces reported net income of the period but does not involve an outflow of cash for that period.
C. is a direct use of cash.
D. reduces reported net income and causes an inflow of cash.

Answers

Answer: B. reduces reported net income of the period but does not involve an outflow of cash for that period.

Explanation:

Depreciation is the wear and tear of an asset due to the use of the asset. When an asset is depreciated, such an asset is eventually sold at a scrap value.

The statement of cash flows (indirect method) reports depreciation expense as an addition to net income because depreciation reduces reported net income of the period but does not involve an outflow of cash for that period.

What arguments should be considered in assessing the burden that government debt imposes on future generations?
A. Much of the debt is held by foreigners so that the holders of government bonds are not also taxpayers.
B. Government budget deficits may crowd out private investment, lowering the future capital stock with fewer goods and services being produced in the future.
C. High levels of debt may lead to debt intolerance and increase the risk of default.
D. A and C only.
E. All of the above.

Answers

Answer:

E. All of the above.

Explanation:

A) This has happened to other countries, e.g. over 100 years ago, the US owned a very large portion of British foreign debt and it was able to influence British policies. Until that time, the British had been the largest in the world.

B) When government sell bonds, it withdraws money form the economy and increases interest rates, which in the long run will lower capital stock and hurt the economy.

C) The higher the debt level, the higher the interest that must be paid. This also applies to everyone. Imagine if you do not owe any money, and if you need to loan you have several options where to choose from. But if you are over your head in debt, banks will stop lending you money and you will have to look to more expensive sources of credit.

If the Fed uses monetary policy to reduce the money supply and​ inflation, inflation expectations would

Answers

Answer: decrease

Explanation:

Monetary policy, is a policy that is used by the central bank in a country so as to control the supply of money and to achieve governmental aims.

If the Fed uses monetary policy to reduce the money supply and​ inflation, inflation expectations would fall.

There are five jobs in a factory. All these jobs have to go through two workstations for processing. Each job is processed on Workstation #1 and then on Workstation #2. The processing time for each job on each workstation is given below.
Job; Time on Workstation #1 (minutes); Time on Workstation #2 (minutes)
A; 50; 50
B; 20; 8
C; 25; 50
D; 30; 12
E; 11; 22
F; 11; 19

Using Johnson's sequencing rule, it can be concluded that the makespan of the sequence is:

a. more than 50 but less than or equal to 100 minutes.
b. more than 100 but less than or equal to 150 minutes.
c. more than 150 but less than or equal to 200 minutes.
d. more than 200 but less than or equal to 250 minutes.

Answers

Answer:

More than 150 but less than or equal to 200 minutes ( C )

Explanation:

using Johnson's sequencing rule

attached below is a tabular solution of showing the use of Johnson's sequencing rule

The End of job sequence B = 172 minutes which means that the make span of the sequence is  More than 150 but less than or equal to 200 minutes

Job rotation is a system where an employee is moved from one specialization to another in order to discipline the employee.
A. True
B. False

Answers

False because that’s very unproven

James has the choice of the following two Treasury Bills: A Government of Canada Treasury Bill for 98,000. The Canadian Treasury Bill matures in 120 days for 100,000. A U.S. Treasury Bill for 98,000. The U.S. Treasury Bill matures in 120 days for 100,000. Which of the following statements is NOT true?
A. The quoted rate for the Government of Canada Treasury Bill is 6.2075%
B. The quoted rate for the Government of Canada Treasury Bill exceeds the quoted
C. The annual effective yield rate earned by the Government of Canada Treasury Bill
D. The annual effective interest rate earned by the Govermment of Canada Treasury
E. The annual effective interest rate earned by the U.S. Treasury Bill is greater than rate for the U.S. Treasury Bill.

Answers

Answer:

E. The annual effective interest rate earned by the U.S. Treasury Bill is greater than rate for the U.S. Treasury Bill.

Explanation:

Treasury bills, or T-bills, are short term investments that are issued by the government. Unlike normal bonds which governments issued with interest payment, they do not have interest payments, but instead are sold at a discount. The Understanding how to calculate a T-bills yield and discount yield based on the maturity date is important to evaluate the investment.

Flaherty is considering an investment that, if paid for immediately, is expected to return $140,000 five years from now. If Flaherty demands a 9% return, how much is she willing to pay for this investment? (PV of $1, FV of $1, PVA of $1, and FVA of $1)

Answers

Answer:

PV= $90,990.39

Explanation:

Giving the following information:

Future value= $140,000

Number of periods= 5 years

Rate of return= 9%

To calculate the price to pay today, we need to calculate the present value. We will use the following formula:

PV= FV/(1+i)^n

PV= 140,000 / (1.09^5)

PV= $90,990.39

In 2008 approximately what percent of the world's population lived in Asia? PROVIDE/EXPLANATION PROOF FOR YOUR ANSWER. INCOMPLETE, UNRELATED, SELF - PROMO and NONSENSE ANSWERS WILL BE REPORTED!!!

Answers

Answer:

We can infer from the graph, that about two thirds (around 60%) of the world's population lived in Asia in 2008.

Asia is by far the most populated continent in the world. The two most populous countries of the globe are located in Asia: India, and China, each with over 1 billion people.

You have $11,000 to invest in a stock portfolio. Your choices are Stock X with an expected return of 15 percent and Stock Y with an expected return of 10 percent. Assume your goal is to create a portfolio with an expected return of 13.85 percent. How much money will you invest in Stock X and Stock Y?

Answers

Answer:

Invest $8,470 in XInvest $2,530 in Y.

Explanation:

The following expressions can be formed;

Let x and y be the proportions

x + y = 1

0.15x + 0.1y = 13.85%

Expressing y in terms of x;

x + y = 1

y = 100 - x

0.15x + 0.1 ( 1 - x) = 13.85%

0.15x + 0.1 - 0.1x = 13.85%

0.05x = 13.85% - 0.1

x = 13.85%0.05 - 0.1/0.05

x = 77%

Invest 77% in X = 77% * 11,000

= $8,470‬

Invest in Y

= 11,000 - 8,470

= $2,530

suppose the production function is q min k 2l. how much output is produced when 4 units of labor and 9 units of capital are employed

Answers

Answer:8 = output produced

Explanation:

Given production function as q = min k 2l

where k = capital  units

and l = labor units

min= minimum

Suppose  units of labor = 4 units

capital employed = 9 units

q = min k 2l

q = min 9, 2 x 4

q= min 9, 8

q =8 = output produced  , since 8 is the minimum output produced.

The production function is the technical relationship between the input and the output quantities being produced by the organization. The main factors affecting the production function are the amount of capital and the number of labor.

The output produced is 8 units.

Computation:

Given,

The production function is q=min{K,2L}

Were,  

K is the capital units

L is the labor units

Equation:

Q=min {K, 2L}

Substituting the value of K and L in the above equation.

Q=min {9,2x4}

Q=min{9,8}

Therefore, the outputs produced with 4 units of labor and 9 units of capital is 8 units to be produced.

To know more about production function, refer to the link:

https://brainly.com/question/24879976

assume the fixed overhead per unit was $1.50 for both the beginning and ending inventory. what is net income under absorption costing

Answers

Answer:

Net income under absorption costing is $904,370.

Explanation:

Note: This question is not complete and it contains an error in the only available data. The complete correct question is therefore provided before the question is answered as follows:

Kluber, Inc. had net income of $908,000 based on variable costing. Beginning and ending inventories were 55,800 units and 53,600 units, respectively. Assume the fixed overhead per unit was $1.65 for both the beginning and ending inventory. What is net income under absorption costing?

The explanation to the answer is now given as follows:

Variable costing is a costing technique that takes only the variable cost into consideration and exclude the fixed manufacturing overhead from the production production cost of a product.

Absorption costing is a costing technique in which the fixed overhead cost of production is allocated to products produced.

For this question, net income under absorption costing can be determined as follows:

Net income based on variable costing = $908,000

Total beginning fixed overhead = Beginning inventories * Fixed overhead per unit = 55,800 * $1.65 = $92,070

Total ending fixed overhead = Ending inventories * Fixed overhead per unit = 53,600 * $1.65 = $88,440

Adjustment for fixed overhead for the period = Total ending fixed overhead - Total beginning fixed overhead = $88,440 - $92,070 = -$3,630

Net income under absorption costing = Net income based on variable costing + Adjustment for fixed overhead for the period = $908,000 + (-$3,630) = $908,000 - $3,630 = $904,370

Therefore, net income under absorption costing is $904,370.

An organizational role is a set of task-related behaviors required of a person by his or her position in an organization.
a) true
b) false

Answers

Answer:

True

Explanation:

because it is a method of providing service entitlements to a person within the system

In an efficient market, professional portfolio management can offer all of the following benefits except which of the following?
A. A superior risk-return trade-off
B. Low-cost diversification
C. A targeted risk level
D. Low-cost record keeping

Answers

Answer:

A. A superior risk-return trade-off

Explanation:

In a normal and efficient market a professional portfolio management service is able to offer  Low-cost diversification, A targeted risk level, and even a Low-cost record keeping. What they cannot offer is a superior risk-return trade-off, this is because risk-return holds a very correlated trade-off in which the higher amount of risk your portfolio holds the higher returns you can get from it, but this does not get rid of the risk which can cause you to lose all of your money. Therefore "superior" is unnachievable.

The following selected amounts are reported on the year-end unadjusted trial balance report for a company that uses the percent of sales method to determine its bad debts expense.
Accounts receivable $ 438,000 Debit
Allowance for Doubtful Accounts 1,280 Debit
Net Sales 2,130,000
Credit All sales are made on credit. Based on past experience, the company estimates 1.0% of credit sales to be uncollectible. What adjusting entry should the company make at the end of the current year to record its estimated bad debts expense?
A) Debit Bad Debts Expense $20,020; credit Allowance for Doubtful Accounts $20,020.
B) Debit Bad Debts Expense $22,580; credit Allowance for Doubtful Accounts $22,580.
C) Debit Bad Debts Expense $21,300; credit Allowance for Doubtful Accounts $21,300.
D) Debit Bad Debts Expense $4,380; credit Allowance for Doubtful Accounts $4,380.
E) Debit Bad Debts Expense $5,660; credit Allowance for Doubtful Accounts $5,660.

Answers

Answer:

C) Debit Bad Debts Expense $21,300; credit Allowance for Doubtful Accounts $21,300.

Norman Bates is considering opening a motel. He estimates that the following costs will be incurred during his first month of operations: Rent $9,200, Wages $16,400, Laundry service 7,000, Occupancy taxes $10.00 per night. Soap & Shampoo will cost $3.00 per night. He must also pay a management company a management fee of $1.10 per night, since he will not be able to manage all aspects of the motel. In addition, cleaning costs are expected to behave in relation to the number of nights as follows: Number of nights Cleaning Costs 40 $ 600 60 $ 730 90 $ 960 120 $1260 140 $1500 Norman anticipates that he can charge $90 per night for each room. Instructions (a) Using the high-low method, determine the variable and fixed cost components of the cleaning costs. (b) Calculate the total variable costs and total fixed costs (c) Determine the break-even point in number of nights and sales dollars.

Answers

Answer:

Fixed costs:

Rent $9,200

Wages $16,400

Laundry service $7,000

Variable costs:

Soap & Shampoo $3.00

Management fee $1.10

Mixed costs (cleaning):

40 $600

60 $730

90 $960

120 $1,260

140 $1,500

a) variable cost = ($1,500 - $600) / (140 - 40) = $900 / 100 = $9

fixed costs = $600 - ($9 x 40) = $240

b) total fixed costs = $32,840

total variable costs per night = $13.10

c) contribution margin = $90 - $13.10 = $76.90

break even point = $32,840 / $76.90 = 427 nights

sales dollars = $427 x $90 = $38,430

A service station uses 1,200 cases of oil a year. Ordering costs is $40 and annual carrying cost is $3 per case. The station owner has specified an annual service level of 99%. A. What is the optimal order quantity? B. What level of safety stock is appropriate if lead time demand is normally distributed with a mean of 80 cases and a standard deviation of 6 cases?

Answers

Answer:

a) 179 cases

b) 14 cases

Explanation:

EOQ = √(2SD/H)

D = annual demand = 1,200

S = order cost = 40

H = holding cost per unit = 3

EOQ = √[(2 x 1,200 x 40)/3] = 178.89 = 179 cases

z for 99% service level = 2.33

safety stock = 2.33 x 80 x (6/80) = 13.98 - 14 cases

Find a numerical equation relating planned aggregate expenditure to output and to the real interest rate. [i.e. write down the PAE equation]

Answers

Answer:

The answer is below

Explanation:

Aggregate expenditure is the current value of finished products in an economy, it is gotten by summing all expenditures spent over a period of time in an economy. It is given by the formula:

PAE = [tex]C^d+I^p+G+X[/tex]

Where PAE is the planned aggregated demand, C is the household consumption, X is the difference between exports and imports, I is the investments while G is government expenditures

Olsson Corporation received a check from its underwriters for $72 million. This was for the issue of one million of its $5 par stock that the underwriters expect to sell for $72 per share. Which is the correct entry to record the issue of the stock

Answers

Answer:

Debit Cash for $72,000,000

Credit Common Stock for $5,000,000

Credit Paid in capital in excess of par for $67,000,000

Explanation:

The correct entry will be look as follows:

Account Name                                             Dr ($)                      Cr($)          

Cash                                                        72,000,000

  Common Stock (w.1)                                                              5,000,000

  Paid in capital in excess of par (w.2)                                  67,000,000

(To record the issue of one million of $5 par stock.)                                      

Wokings:

w.1: Commons stock = 1,000,000 * $5 = $5,000,000

w.2: Paid in capital in excess of par = Amount received from underwriter - Common stock = $72,000,000 - $5,000,000 = $67,000,000

Other Questions
In the case below, the original source material is given along with a sample of student work. Determine the type of plagiarism by clicking the appropriate radio button. Original Source Material Student Version Learning is a complex set of processes that may vary according to the developmental level of the learner, the nature of the task, and the context in which the learning is to occur. As already indicated, no one theory can capture all the variables involved in learning. References: Gredler, M. E. (2001). Learning and instruction: Theory into practice (4th Ed.). Upper Saddle, NJ: Prentice-Hall. A learning theory, there, comprises a set of constructs linking observed changes in performance with what is thought to bring about those changes. References: Driscoll, M. P. (2000). Psychology of learning for instruction (2nd Ed.). Needham Heights, MA: Allyn & Bacon. A learning theory is made up of "a set of constructs linking observed changes in performance with whatever is thought to bring about those changes" (Driscoll, 2000). Therefore, since "learning is a complex set of processes that may vary according to the developmental level of the learner, the nature of the task, and the context in which the learning is to occur, it is apparent that no one theory can capture all the variables involved in learning" (Gredler, 2001). Which of the following is true for the Student Version above? Word-for-Word plagiarism Paraphrasing plagiarism This is not plagiarism What are the differences between hyperbole, similie, and metaphor ? Character sketch of the speaker in the poem The King Speaks To The scribe by Keki N. Daruwalla Below are some data examining whether reading the textbook for this course is related to class enjoyment. Time Reading Textbook 1 2 3 4 5 6 1 2 3 5Class Enjoyment 20 24 35 46 67 80 12 34 34 78Note: Text Reading Time: 1 = does not read 6 = only book I have ever read. Class Enjoyment: 1-100 scale.Calculate the slopea) 14.50b) 13.36c) 19.00d) 12.43 HELP ASAP WILL MARK BRAINLIEST!!!!! The coordinates of point T are (0,3). The midpoint ST of is (1,-5). Find the coordinates of point S. The other endpoint is (7-10x)/5 simplify express on integers and fractions SOMEONE HELP PLZ ASAP!!!!! What is the standard unit for time Innea's company's revenue in 201720172017 is \dfrac{36}{25} 25 36 start fraction, 36, divided by, 25, end fraction of its revenue in 201620162016. What is Linnea's company's revenue in 201720172017 as a percent of its revenue in 201620162016 ? Lance Production Company has the following information: Standard fixed factory overhead rates per direct labor-hour $1.50 Standard variable factory overhead rates per direct labor-hour $5.00 Actual number of units produced 6,000 units Actual factory overhead costs (includes $70,000 fixed) $78,000 Actual direct labor hours 6,000 hours Standard factory overhead rates are based on a normal monthly volume of 5,000 units (1 standard direct labor-hour per unit)What is Lance's variable overhead efficiency variance? A. $4,000 (F) B. $3,000 (F) C. $6,000 (U) calculate the values of the expression below 2 ( 3 (5 + 2) -1) Perform online or offline research on meal menus by researching noncommercial foodservice operations, such as schools, hospitals, airline catering, etc. Also review the types of foods, then develop a breakfast, lunch, and dinner menu for one day. She unnames them Theme Evan's nightly chores include washing dishes. His father cooks everything he prepares a bit too long. Because of this, Evan spends a lot of sweat, effort, and time washing dishes. He sees a commercial on television that claims a new dishwashing detergent, called Brand X, cuts through grease better than its competitor, called Brand Y. They back up their claim with testimonials from people who say they've used this new detergent.What is a possible problem question or testable question that Evan might ask for this scenario?A) How does Brand X affect the amount of grease that is cleaned off of a dish?B) How does the amount of dishwashing detergent affect the amount of grease that is cleaned off of a dish?C) How does the amount of dishes affect the amount of grease that is cleaned off of a dish?D) How does the amount of cooking time affect the amount of dishes that need to be cleaned? Dani wants to create a web page to document her travel adventures. Which coding language should she use? HTML Java Python Text Imagine you have five nieces and nephews and their ages are 4, 10, 8, 9, and 15. The average age of your nieces and nephews is _______, while their median age is Mill Company began operations on January 1,2017, and recognized income from construction-type contracts under different methods for tax purposes and financial reporting purposes. Information concerning income recognition under each method is as follows: Year Tax Purposes Book Purposes 2017 $400,000 $ 02018 625,000 375,0002019 750,000 850,000Required Assume the income tax rate is 35% in all years and that Mill has no other temporary differences. In its December 31, 2019, balance sheet, what amount of deferred income taxes should Mill report? Indicate whether the amount is an asset or a liability. 23. Which of the following is not a common effect of depressants?A. Slowed digestionB. ParalysisC. Reduced heart rateD. None of the above 41. Find the area of the triangle. a. 30 yd b. 45 ydc. 28 yd d. 60 yd What is the best estimate for 1/5x24.5?