As noted in the J. Peterman case, as companies expand, organizational development (e.g., things like hiring and structures) can come before or after its growth. According to J. Peterman: Group of answer choices

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Answer 1

Organizational development can come before or after a company’s growth. J. Peterman took the approach of putting organizational development first, as he saw it as the foundation for success.

He developed the organizational structure and hiring processes before the company began to expand, thus setting the foundation for future growth. By doing so, he was able to create a cohesive team that was capable of achieving the company’s goals.

Additionally, by utilizing the same hiring process, he was able to ensure that the people he hired had the same values and commitment to the company. This allowed the company to stay focused and ensure that the right people were in place to support its growth. Ultimately, this allowed J. Peterman to achieve success.

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A stock has an expected return of 11.5% according to the CAPM theory and a beta of 1.2. The expected return on the market is 10%. What must the risk-free rate be

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The risk-free rate be -0.625%

The CAPM theory equation is: Expected return = Risk-free rate + Beta * (Expected market return - Risk-free rate)

We are given:

Expected return of the stock = 11.5%

Beta of the stock = 1.2

Expected return on the market = 10%

We need to solve for the risk-free rate.

Using the CAPM equation, we can plug in the given values and solve for the risk-free rate:

11.5% = Rf + 1.2 * (10% - Rf)

11.5% = Rf + 1.2 * 10% - 1.2 * Rf

11.5% = 0.8Rf + 12%

0.8Rf = -0.5%

Rf = -0.5% / 0.8

Rf = -0.625%

The calculated risk-free rate is negative, which is not realistic. This may be due to the inputs used in the equation or assumptions made in the CAPM model. In practice, the risk-free rate is usually estimated using the yield on government bonds, such as the U.S. Treasury bond.

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Shelly is a compensation specialist for ABC, Inc. She is collecting data on compensation rates for workers performing similar jobs at other organizations. Shelly is conducting a

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Shelly is conducting a compensation survey. This type of survey involves collecting data on compensation rates for workers performing similar jobs at other organizations.

By conducting this survey, Shelly can gain valuable insights into how ABC, Inc.'s compensation rates compare to those of other organizations in the same industry. This information can help ABC, Inc. make more informed decisions when it comes to setting compensation rates for its own employees. To conduct a compensation survey, Shelly may use a variety of methods, such as online surveys, phone interviews, or in-person meetings with representatives from other organizations. She may also use publicly available data sources, such as government databases or industry reports. Once she has collected the data, Shelly will analyze it to identify trends and patterns in compensation rates. She can then use this information to make recommendations to ABC, Inc. on how to adjust its own compensation rates to remain competitive in the marketplace. Overall, conducting a compensation survey is an important task for any compensation specialist like Shelly. It allows her to gather valuable information that can help her organization make informed decisions when it comes to compensating its employees.

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Complete specialization occurs when each​ individual, firm, or​ country: A. produces only what it is known for. B. produces only what it has a comparative advantage in. C. does not rely on trade for goods and services. D. consumes specialty goods instead of generic equivalents

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Complete specialization occurs when each individual, firm, or country produces only what it has a comparative advantage in. This means that they focus solely on producing the goods or services that they are most efficient in producing compared to others.

By doing so, they can maximize their productivity and output while minimizing costs. However, complete specialization may not always be practical or feasible as it does not allow for diversification or flexibility in response to changing market conditions. It also may not satisfy all the needs and wants of the consumers, which could limit the potential for trade and exchange.

Complete specialization occurs when each individual, firm, or country: B. produces only what it has a comparative advantage in. In this scenario, each entity focuses on producing goods or services where they have a lower opportunity cost than others, allowing for more efficient use of resources and increased overall productivity.

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low's companies, a home improvement store chain, reported the following summarized figures: low's companies income statement years ended may 31, 2024 and 2023 20242023 net sales revenue$46,500 $42,900 cost of goods sold20,80021,400 interest expense200140 all other expenses6,9007,800 net income$18,600 $13,560. low's companies balance sheet may 31, 2024 and 2023 assetsliabilities 2024202320242023 cash$2,500 $1,300 total current liabilities$24,000 $13,300 short-term investments26,00012,000long-term liabilities12,30011,600 accounts receivable7,6005,400total liabilities36,30024,900 merchandise inventory7,3008,200 stockholders' equity other current assets11,0001,700common stock13,00013,000 total current assets54,40028,600retained earnings40,10014,700 all other assets35,00024,000total equity53,10027,700 total assets$89,400 $52,600 total liabilities and equity$89,400 $52,600. low's has 30,000 common shares outstanding during 2024. 1. computer the debt ratio and the debt equity ratio at may 31, 2024, for low's companies. 2. is low's ability to pay its liabilities strong or weak. explain your reasoning.

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The debt ratio measures the proportion of a company's assets financed by debt, while the debt-equity ratio compares the company's total debt to its total equity.



1. To calculate the debt ratio and debt-equity ratio at May 31, 2024:

Debt Ratio = Total Liabilities / Total Assets
Debt Ratio = $36,300 / $89,400
Debt Ratio ≈ 0.406 or 40.6%

Debt-Equity Ratio = Total Liabilities / Total Equity
Debt-Equity Ratio = $36,300 / $53,100
Debt-Equity Ratio ≈ 0.684 or 68.4%

2. Low's ability to pay its liabilities can be considered strong based on the calculated ratios. The debt ratio of 40.6% indicates that around 40.6% of Low's assets are financed by debt, with the remaining 59.4% financed by equity. A lower debt ratio implies a lower reliance on debt, reducing the risk of default. Additionally, the debt-equity ratio of 68.4% suggests that Low's has a lower proportion of debt relative to its equity. A lower debt-equity ratio typically indicates a more financially stable company. However, it's important to compare these ratios with industry averages to get a clearer understanding of Low's financial health relative to its peers.

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The __________ is characterized by highly routine operating tasks achieved through specialization, strictly formalized rules and regulations, tasks grouped into functional departments, centralized authority, narrow spans of control, and decision making that follows the chain of command.

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The Bureaucratic Organizations is characterized by highly routine operating tasks achieved through specialization, strictly formalized rules and regulations, tasks grouped into functional departments, centralized authority, narrow spans of control, and decision making that follows the chain of command.

Bureaucracy is a sort of organisational structure associated with large and complicated organisations such as government agencies and companies.

It has various distinguishing characteristics, such as very routine operating duties, stringent rules and regulations, functional departments, centralised power, tight spans of control, and decision-making that follows the chain of command.

The division of labour and specialisation of tasks is one of the fundamental characteristics of bureaucratic organisations. This increases efficiency and productivity, but it can also lead to a lack of flexibility and innovation.

Another important characteristic is the formalisation of rules and regulations, which helps to maintain consistency and fairness in decision-making but can also lead to a rigid and inflexible organisational culture.

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The ______ documents how project needs will be analyzed, documented, and managed. Group of answer choices requirements traceability matrix requirements managemen

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The term that completes the sentence is "requirements management". Requirements management is the process of identifying, documenting, and managing the requirements of a project. It involves analyzing the needs of stakeholders, translating them into specific requirements, and ensuring that they are met throughout the project lifecycle.

The requirements management plan is a document that outlines how requirements will be collected, analyzed, and tracked. It includes details on who will be responsible for managing requirements, how changes to requirements will be handled, and how requirements will be verified and validated. The plan ensures that all stakeholders are aligned on the project's goals and that the requirements are clear, complete, and consistent.
A key component of the requirements management plan is the requirements traceability matrix (RTM), which links project requirements to specific deliverables and helps ensure that all requirements are met. The RTM tracks each requirement through the project lifecycle, from its initial identification to its verification and validation.
Effective requirements management is critical to project success. By defining clear requirements and managing them throughout the project lifecycle, stakeholders can ensure that the project meets its goals, is delivered on time, and within budget.

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variance is the: Select one: a. sales manager. b. purchasing manager. c. production supervisor. d. head of the human resources department. e. finance manager.

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Variance is not related to any of the job positions mentioned in the options. Instead, variance is a statistical term used to measure the dispersion of data points in a data set. It represents the average of the squared differences between each data point and the mean of the data set.

The options provided seem to be job titles within a company, which are not directly related to the concept of variance. As a brief overview, here's what these job titles entail:
a. Sales Manager: Oversees the sales team and is responsible for developing sales strategies, meeting sales targets, and managing customer relationships.
b. Purchasing Manager: Responsible for buying goods and services for the company, managing supplier relationships, and negotiating contracts.
c. Production Supervisor: Manages the production process, ensures timely completion of tasks, and oversees the efficient use of resources.
d. Head of the Human Resources Department: Oversees employee relations, recruitment, training, and development, as well as the overall management of HR functions.
e. Finance Manager: Manages the financial resources of the company, including budgeting, financial analysis, and forecasting.
To reiterate, variance is a statistical concept and is not directly related to any of the job positions mentioned in the options.

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Spies R Us, a US company, sells surveillance equipment. Fearing that other countries might use the equipment to spy on the US, Congress imposes a tax on the equipment to make it less attractive to foreign buyers. This export tax is Group of answer choices

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The export tax imposed by Congress on the surveillance equipment sold by Spies R Us is a type of trade barrier known as an export tariff. An export tariff is a tax levied by a government on the export of certain goods or products in order to discourage their export and make them less attractive to foreign buyers.

The goal of such a tax is to protect domestic industries, prevent the outflow of valuable resources, and/or to address national security concerns. In the case of Spies R Us, the export tariff is being used to address national security concerns, as Congress fears that the surveillance equipment sold by the company could be used by other countries to spy on the US. By imposing a tax on the export of this equipment, Congress hopes to discourage foreign buyers from purchasing it, thereby limiting the potential for espionage against the US. However, export tariffs can also have negative consequences. They can lead to retaliatory actions by other countries, reducing demand for domestic goods and ultimately harming the economy. Additionally, they can create inefficiencies in the global market and lead to higher prices for consumers. Therefore, while export tariffs can be a useful tool in certain circumstances, they must be used judiciously and with careful consideration of their potential impacts.

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in Lewin's change model, the unfreezing stage involves providing employees with new information, new behavioral models, or new ways of looking at things. True False

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In Lewin's change model, the unfreezing stage involves creating the motivation for change by providing employees with new information, new behavioral models, or new ways of looking at things. True

The purpose of this stage is to break down the existing mindset and create a readiness to change. By presenting new ideas and information, employees are encouraged to question their assumptions and beliefs, and become more receptive to the possibility of change.

Once this stage is completed, the change stage can begin, where new behaviors and practices are implemented, followed by the refreezing stage, where the new behaviors and practices become integrated and institutionalized within the organization.

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Haverstock claims that Jenkins owes him $100,000 which Jenkins offers to settle with a promissory note. Later Jenkins refuses to pay on the note. What must be true in order for Haverstock to win a suit for breach of contract (alleging non-payment on the note)

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In order for Haverstock to win a suit for breach of contract alleging non-payment on the promissory note, there must be a valid and enforceable contract between Haverstock and Jenkins. This means that there must be an offer, acceptance, consideration, and mutual intent to be bound by the terms of the agreement.

Furthermore, the terms of the promissory note must be clear and unambiguous. The note must specify the amount owed, the due date of the payment, and any other relevant terms and conditions. It is also essential that Jenkins signed the promissory note, indicating his agreement to the terms of the contract. If these conditions are met, and Jenkins fails to pay on the note, Haverstock may be able to file a lawsuit for breach of contract. To succeed in this lawsuit, Haverstock must prove that he has fulfilled his obligations under the contract and that Jenkins has failed to do so.

Haverstock may also seek damages, including the $100,000 owed under the promissory note, any interest or fees, and potentially attorney's fees and other costs associated with the lawsuit. In summary, for Haverstock to win a suit for breach of contract alleging non-payment on the promissory note, there must be a valid and enforceable contract, clear and unambiguous terms of the promissory note, and evidence of Jenkins' failure to pay.

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At the end of an accounting period, all revenue and expense accounts are moved into an account called ______.

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At the end of an accounting period, all revenue and expense accounts are moved into an account called the income summary account.

The income summary account is a temporary account that is used to close out the revenue and expense accounts at the end of an accounting period. It is used to summarize the net income or net loss for the period, and the balance in the account is ultimately transferred to the retained earnings account.

The process of closing out revenue and expense accounts is known as closing entries, and it is an important part of the accounting cycle. By closing out these accounts, the company can start fresh in the next accounting period with a clean slate.

Once the closing entries have been made and the income summary account has been transferred to the retained earnings account, the company's financial statements for the period can be prepared. These statements, including the income statement and balance sheet, provide valuable information to investors, creditors, and other stakeholders about the company's financial performance and position.

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aA company currently producing 10 air conditioners each day has daily total costs of $1,500. Producing an additional air conditioner will increases costs by $250 daily. What are the total daily costs for the firm if they produce the

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The total daily costs for the firm would be $1,750 if they produce 11 air conditioners each day.

To provide a detailed answer to your question, we need to first calculate the cost of producing 11 air conditioners each day. Given that the company currently produces 10 air conditioners each day with total daily costs of $1,500, we can find the average cost per air conditioner by dividing the total daily costs by the number of air conditioners produced:
Average cost per air conditioner = Total daily costs / Number of air conditioners
= $1,500 / 10
= $150

Now, to produce an additional air conditioner, the company's costs will increase by $250 per day. Therefore, the cost of producing 11 air conditioners each day would be:

Total daily costs for 11 air conditioners = Total daily costs for 10 air conditioners + Additional cost for one air conditioner
= $1,500 + $250
= $1,750

To find the total daily costs for the firm if they produce an additional air conditioner, follow these steps:
1. Identify the current daily total costs: $1,500 for producing 10 air conditioners.
2. Determine the additional cost per air conditioner: $250.
3. Calculate the cost for the additional air conditioner: 1 * $250 = $250.
4. Add the additional cost to the current daily total costs: $1,500 + $250 = $1,750.

So, the total daily costs for the firm if they produce 11 air conditioners would be $1,750.

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A decrease in the rate of interest, other things being equal, will cause a: a. movement upward along the investment demand curve. b. movement downward along the investment demand curve. c. leftward shift of the investment demand curve. d. rightward shift of the investment demand curve.

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A decrease in the rate of interest, other things being equal, will cause a movement downward along the investment demand curve.

This is because lower interest rates make borrowing cheaper and increase the expected return on investment. As a result, businesses and individuals will demand more investments, leading to a higher quantity of investments demanded at each interest rate. Conversely, an increase in the rate of interest would cause a movement upward along the investment demand curve, as higher interest rates make borrowing more expensive and decrease the expected return on investment.

A leftward shift of the investment demand curve would occur if there were a decrease in the overall demand for investments due to factors such as economic recession or government regulations. On the other hand, a rightward shift of the investment demand curve would occur if there were an increase in the overall demand for investments due to factors such as technological advancements or tax incentives.

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A collection of demographic information that explains who the customers are and what they want in terms of service is called a customer ______.

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A collection of demographic information that explains who the customers are and what they want in terms of service is called a customer profile.

A customer profile is a comprehensive summary of a business's ideal customer. It includes demographic information, such as age, gender, location, and income level, as well as psychographic information, such as interests, values, and behavior patterns.

By understanding the characteristics and needs of their target audience, businesses can tailor their marketing and service strategies to better meet customer expectations and drive sales.

Customer profiles can be created through market research, surveys, and customer feedback. Overall, a well-crafted customer profile can help businesses build stronger relationships with their customers and increase customer loyalty.

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Comcast provides entertainment content to your apartment, but right before the finale of your favorite show the cable goes out. You call the customer service line and they schedule you for a service call the next day. Cable is a service-dominant offering on the

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Cable is a service-dominant offering on the dichotomy of service map.  Therefore, the correct option is A.

The dichotomy of service map differentiates between product-dominant and service-dominant offerings. Goods-dominant offerings are tangible and can be inventoried, while service-dominant offerings are intangible and cannot be inventoried.

Comcast's cable service is an example of a service-dominant offering because it primarily focuses on providing entertainment content, which is an intangible service, rather than a tangible product. In this scenario, the cable going out and scheduling a service call for the next day also emphasize the service aspect of Comcast's offering.

Cable is a service-dominant offering because it is intangible and cannot be inventoried. Therefore, the answer is A: dichotomy of service map. The other options, B) product development process graph, C) inventory management scale, and D) business challenge chart, do not apply to the specific classification of Comcast's cable service.

Note: The question is incomplete. The complete question probably is: Comcast provides entertainment content to your apartment, but right before the finale of your favorite show the cable goes out. You call the customer service line and they schedule you for a service call the next day. Cable is a service-dominant offering on the A) dichotomy of service map B) product development process graph C) inventory management scale D) business challenge chart.

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Calisto Launch Services is an independent space corporation and has been contracted to develop and launch one of two different satellites. Initial equipment will cost $900,000 for the first satellite and $1,150,000 for the second. Development will take 5 years at an expected cost of $190,000 per year for the first satellite, $150,000 per year for the second. The same launch vehicle can be used for either satellite and will cost $285,000 at the time of the launch 5 years from now. At the conclusion of the launch, the contracting company will pay Calisto $3 millon for either satellite. Calisto is also considering launching both satellites. Because Calisto would have to upgrade its facilities to handle two concurrent projects, the initial costs would rise by $150,000 in addition to the first costs of each satellite. Calisto would need to hire additional engineers and workers, raising the yearly costs to a total of $500,000. An extra compartment would be added to the launch vehicle at an additional cost of $75,000. As an incentive to do both, the contracting company will pay for both launches plus a bonus of $1 million. Using an internal rate of return analysis with a MARR of 6%/year, what should Calisto Launch Services do? IRREIRR(INCR, CF_COLUMN VALUES) Using the following table, compute the internal rate of return for the incremental cash flow for the second round of analysis. EOY Both satellites firstonly INCR, CF 0 $-2200,000 $-900,000 $-1300,000 1-4 $-500,000 $-190,000 $-310,000 5 $6140,000 $2,525,000 $3,615,000 IRR = J% Do all calculations to 5 decimal places and round final answer to 2 decimal places. The tolerance is +/- 0.02. Click if you would like to Show Work for this question: Open Show Work

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To determine whether Calisto Launch Services should develop and launch one or both of the satellites, we need to calculate the internal rate of return (IRR) for each option and compare them to the minimum acceptable rate of return (MARR) of 6%.

For the first satellite, the incremental cash flow can be calculated as follows:

Year 0: -$900,000

Years 1-4: -$190,000 per year

Year 5: $3,000,000 - $1,150,000 - $285,000 = $1,565,000

Using the formula IRR(INCR, CF_COLUMN VALUES), we can calculate the IRR for this cash flow stream:

IRR = 17.18%

Since the IRR is greater than the MARR, Calisto should develop and launch the first satellite.

For the second satellite, the incremental cash flow can be calculated as follows:

Year 0: -$1,300,000

Years 1-4: -$150,000 per year

Year 5: $3,000,000 - $1,150,000 - $285,000 = $1,565,000

Using the formula IRR(INCR, CF_COLUMN VALUES), we can calculate the IRR for this cash flow stream:

IRR = 19.18%

Since the IRR is greater than the MARR, Calisto should develop and launch the second satellite.

To determine whether Calisto should launch both satellites, we need to calculate the incremental cash flow for this option as follows:

Year 0: -$2,200,000

Years 1-4: -$500,000 per year

Year 5: $6,140,000 - $2,525,000 - $3,615,000 - $285,000 - $75,000 = -$360,000

Using the formula IRR(INCR, CF_COLUMN VALUES), we can calculate the IRR for this cash flow stream:

IRR = 4.33%

Since the IRR is less than the MARR, Calisto should not launch both satellites.

Therefore, Calisto should develop and launch both satellites separately, as the IRR for each option is greater than the MARR.

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One of Diamond W employees notices that in her paycheck the company has paid her too much. She is pondering about whether to report this issue or not. This is an example of an ethical dilemma. True False

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True. The employee's dilemma of whether to report the overpayment or not involves ethical considerations.

On one hand, the employee may feel inclined to keep the extra money, as it was the company's error and not hers. On the other hand, she may feel guilty for keeping the money knowing that it was not rightfully earned, and that the company may suffer financial consequences for the mistake. Additionally, the employee may be concerned about the repercussions of reporting the overpayment, such as potential conflicts with management or negative impact on her reputation at work.

Ultimately, the decision the employee makes will have ethical implications, as it involves issues of honesty, integrity, and responsibility.

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If an increase in disposable income causes consumption to increase from $4,000 to $10,000 and causes saving to increase from $2,000 to $4,000 it can be inferred that the MPC equals: A. 0.60. B. 0.50. C. 0.75. D. 0.40.

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The MPC equals 0.75, which corresponds to answer choice C.

To find the Marginal Propensity to Consume (MPC), we can use the formula:

MPC = (Change in Consumption) / (Change in Disposable Income)

First, we need to find the change in consumption and change in disposable income:

Change in Consumption = New Consumption - Old Consumption
Change in Consumption = $10,000 - $4,000
Change in Consumption = $6,000

Change in Savings = New Savings - Old Savings
Change in Savings = $4,000 - $2,000
Change in Savings = $2,000

Since the change in disposable income can be divided into the change in consumption and the change in savings, we can calculate the change in disposable income as follows:

Change in Disposable Income = Change in Consumption + Change in Savings
Change in Disposable Income = $6,000 + $2,000
Change in Disposable Income = $8,000

Now, we can find the MPC using the formula:
MPC = (Change in Consumption) / (Change in Disposable Income)
MPC = $6,000 / $8,000
MPC = 0.75

Therefore, it can be inferred that the MPC equals 0.75, which corresponds to answer choice C.

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The mayor wants to see a set of ordinances to create bicycle lanes and provide tax incentives for walking and bicycling to work. Discuss strategies that are available to the mayor to accomplish this objective

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To create bicycle lanes and provide tax incentives for walking and bicycling to work, the mayor can use the following strategies:

1. Conduct public consultations: The mayor can conduct public consultations with community members and cyclists to get feedback and suggestions on the creation of bicycle lanes and tax incentives for active commuting.

This can help identify potential issues and concerns and help develop a plan that will be supported by the community.

2. Work with city council: The mayor can work with the city council to draft and pass the necessary ordinances to create bicycle lanes and tax incentives for active commuting.

This will require a coordinated effort between the mayor's office and city council members to gain their support and approval.

3. Create a task force: The mayor can create a task force comprised of stakeholders, including cycling advocates, and business leaders, to help develop and implement a plan for creating bicycle lanes and tax incentives for active commuting.

The task force can also help identify potential sources of funding to support the initiative.

4. Identify funding sources: The mayor can identify potential funding sources, such as grants or partnerships with private businesses, to support the creation of bicycle lanes and tax incentives for active commuting.

This can help ensure that the initiative is sustainable and does not burden the city budget.

5. Use data to make informed decisions: The mayor can use data and research to make informed decisions about where to create bicycle lanes and what tax incentives will be most effective in encouraging active commuting.

This can help ensure that the initiative is based on evidence-based practices and has the greatest impact on the community.

By utilizing these strategies, the mayor can successfully create bicycle lanes and provide tax incentives for walking and bicycling to work, which can lead to a more sustainable and healthy community.

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unland Corporation purchased a limited-life intangible asset for $393000 on May 1, 2019. It has a useful life of 10 years. What total amount of amortization expense should have been recorded on the intangible asset by December 31, 2021

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Unland Corporation should have recorded a total of $105,540 in amortization expense on the intangible asset by December 31, 2021.

To determine the total amount of amortization expense that should have been recorded on the intangible asset by December 31, 2021, we first need to calculate the asset's annual amortization expense.

The annual amortization expense is calculated by dividing the purchase price of the intangible asset by its useful life. In this case, the purchase price of the intangible asset is $393,000, and its useful life is 10 years. Therefore, the annual amortization expense is $39,300 ($393,000 ÷ 10).

Next, we need to determine how many years have passed since the purchase of the intangible asset. From May 1, 2019, to December 31, 2021, a total of 2 years and 8 months have passed.

To calculate the amortization expense that should have been recorded on the intangible asset by December 31, 2021, we need to multiply the annual amortization expense by the number of years that have passed. In this case, the total amortization expense that should have been recorded by December 31, 2021, is $105,540 ($39,300 x 2.67).

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In the short run, with predetermined prices, when output is greater than planned aggregate expenditure, firms will

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In the short run, with predetermined prices, when output is greater than planned aggregate expenditure, firms will experience an unplanned accumulation of inventories.

Firms may respond to the unplanned accumulation of inventories in a few different ways. One option is to cut back on production levels in order to reduce the surplus of goods and services.

This may involve laying off workers, reducing working hours, or temporarily shutting down production altogether. Another option is to decrease prices in order to stimulate demand and encourage consumers to purchase more goods and services. This may result in a decrease in profit margins for the firm, but it can help to prevent a larger accumulation of inventories.This occurs when firms produce more goods and services than what consumers are willing to purchase at the given price level. When firms have a surplus of inventories, they are forced to reduce their production levels in order to avoid an excess supply of goods and services that may lead to a decrease in prices.Overall, the unplanned accumulation of inventories can have negative consequences for firms in the short run. It can lead to decreased production levels, decreased profits, and potential layoffs. However, firms can take steps to manage their inventories and adjust their production levels in response to changes in consumer demand.

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When Vermont Syrups advertises its syrup products as better and healthier than the syrup products of Maple Goodness, Vermont Syrups is demonstrating

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When Vermont Syrups advertises its syrup products as better and healthier than the syrup products of Maple Goodness, Vermont Syrups is demonstrating comparative advertising.

This is a marketing strategy in which a company compares its product to a competitor's product and highlights the advantages of its own product over the competitor's. In this case, Vermont Syrups is highlighting that their syrup products are better and healthier than those of Maple Goodness.

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Cloud Company has 5,000 shares of 6%, $20 par value cumulative preferred stock outstanding. The company also has 8,000 shares of $10 par value common stock outstanding. Cloud paid no dividends in Year 1 or Year 2. In Year 3, Cloud paid $30,000 of cash dividends. What was the amount of dividends paid to common stockholders

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After paying the preferred stockholders, the remaining $12,000 of dividends can be paid to the common stockholders.

First, we need to calculate the amount of dividends owed to the preferred stockholders.

The preferred stock is cumulative, meaning that any unpaid dividends from previous years must be paid before any dividends can be paid to the common stockholders.

Total amount of dividends owed to the preferred stockholders:

5,000 shares x $20 par value x 6% dividend rate = $6,000 per year

$6,000 x 3 years = $18,000

So, in Year 3, the first $18,000 of dividends paid went to the preferred stockholders.

After paying the preferred stockholders, the remaining $12,000 of dividends can be paid to the common stockholders.

Amount of dividends paid to common stockholders: $12,000.

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3. The makings of a good currencyAt first, it might seem that valuable commodities like cattle or lead bars might be good forms of money. What makes paper money preferable to these alternatives

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The makings of a good currency depend on several factors, including portability, divisibility, durability, and scarcity.

While commodities like cattle or lead bars may hold value, they lack some of these crucial features that make paper money a preferable option.

Firstly, paper money is highly portable and easy to carry around, making it a more convenient form of currency for everyday transactions. In contrast, carrying around heavy commodities like cattle or lead bars can be cumbersome and impractical.

Secondly, paper money can be divided into smaller denominations, allowing for more flexibility in transactions. This divisibility feature makes it easier for individuals to buy and sell goods and services without having to exchange large quantities of commodities.

Thirdly, paper money is highly durable and can last for years, whereas commodities like cattle or lead bars may spoil or degrade over time, making them a less reliable form of currency.

Finally, paper money is scarce and controlled by a central authority, making it more secure and less susceptible to counterfeit compared to commodities like cattle or lead bars, which can be easily replicated.

In summary, while valuable commodities like cattle or lead bars may hold value, paper money offers the convenience, divisibility, durability, and security necessary to make it a preferred form of currency.

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A retired couple invested $3000 in bonds. At the end of one year, they received an interest payment of $225. What was the simple interest rate of the bonds?

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To determine the simple interest rate of the bonds, we'll use the formula for simple interest: Interest = Principal × Rate × Time.

The question states that a retired couple invested $3,000 in bonds (Principal) and received an interest payment of $225 at the end of one year (Interest). The Time is 1 year, and we need to find the Rate.

Here's a step-by-step explanation:

1. Write the simple interest formula: Interest = Principal × Rate × Time
2. Plug in the given values: $225 = $3,000 × Rate × 1 year
3. Simplify the equation: $225 = $3,000 × Rate
4. Solve for the Rate: Rate = $225 / $3,000
5. Calculate the Rate: Rate = 0.075 or 7.5%

The simple interest rate of the bonds was 7.5%.

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A television commercial for an apparel brand urges viewers to call its toll-free number to place an order, immediately. The commercial announces a free gift hamper to consumers who place an order before midnight. The apparel brand is making use of

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The apparel brand is making use of direct response advertising.

Direct response advertising is a type of advertising that encourages viewers or listeners to take immediate action, such as making a phone call, sending an email, or visiting a website. The goal of direct response advertising is to generate a measurable response, such as a sale, a lead, or a subscription, and to track the effectiveness of the advertising campaign.

In this case, the television commercial is urging viewers to call a toll-free number to place an order for apparel, with the added incentive of a free gift hamper for those who order before midnight. This type of direct response advertising aims to create a sense of urgency and encourage immediate action, while also providing an incentive for consumers to make a purchase.

What is advertising?

Advertising refers to a form of marketing communication that is designed to promote a product, service, or idea to a target audience.

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In a presentation to the local life underwriter association, R wrongly stated that ABC insurer is in financial difficulty. R may be guilty of:

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R may be guilty of defamation or slander if the statement made is untrue and damages the reputation of ABC insurer.

Making false statements about the financial standing of a company can have serious consequences and can damage their reputation, which in turn can impact their ability to do business. R could also be liable for causing harm to the ABC insurer's financial standing if their statement caused people to lose faith in the company and withdraw their investments.

It is important to be accurate and truthful when discussing the financial status of any company or organization, especially in a professional setting like a presentation to a local life underwriter association. It is also important to understand the potential legal and financial consequences of making false statements that could damage the reputation or financial standing of a company.

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Erving Goffman emphasizes the ways in which individuals go on and interact with society. This process takes place by impression management. That is:

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Erving Goffman emphasizes the importance of impression management in how individuals interact with society. Impression management refers to the ways in which people strategically present themselves to others in order to create a certain impression or image.

Goffman argues that individuals are constantly engaged in impression management, whether they are aware of it or not. In society, individuals are expected to adhere to certain norms and expectations in order to be accepted and successful. Impression management helps individuals navigate these societal expectations by presenting themselves in a way that aligns with these norms. This can include things like dressing a certain way, using specific language, and displaying certain behaviors. Goffman also notes that individuals have some agency in how they present themselves to others.

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One British pound can be purchased for $1.90. What is the exchange rate in terms of pounds per dollar?

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The exchange rate in terms of pounds per dollar can be calculated by taking the reciprocal of the given rate of $1.90 per pound. Therefore, 1 pound = $1/1.90 = 0.5263 dollars.

This means that you can get 0.5263 pounds for every dollar exchanged. I hope this explanation helps ,The exchange rate in terms of pounds per dollar is 1/1.90 or approximately 0.5263.

You are given that 1 British pound can be purchased for $1.90. This means that the exchange rate is £1 = $1.90. To find the exchange rate in terms of pounds per dollar, you need to find how many pounds you get for one dollar. To do this, divide 1 by 1.90: 1/1.90 ≈ 0.5263. So, the exchange rate in terms of pounds per dollar is approximately 0.5263.

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You bought property for $50,000 with a 20% deposit. The lender agrees to settle with 2 equal payments in 1 and 2 years respectively. What are the payments based on a 6.5% compounded semi-annually

Answers

The two equal payments for the loan will be $24,482.25 each, to be paid in 1 and 2 years respectively.

The property was purchased for $50,000 with a 20% deposit, which is $10,000. Therefore, the loan amount is $40,000. The lender has agreed to settle the loan with two equal payments in 1 and 2 years respectively.

To calculate the payments, we first need to calculate the future value of the loan amount at the end of year 1 and year 2 using the compound interest formula.

Year 1: FV = $40,000(1 + 0.0325)^2 = $44,170.56
Year 2: FV = $44,170.56(1 + 0.0325)^2 = $48,538.52

Now we can calculate the equal payments using the annuity formula:

PMT = FV * (r / (1 - (1 + r)^-n))
where PMT is the equal payment, FV is the future value, r is the interest rate per period (semi-annual in this case), and n is the number of periods (2 in this case).

PMT = $48,538.52 * (0.0325 / (1 - (1 + 0.0325)^-2)) = $24,482.25

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