The weighted average expected rate of return for the BU Scholarship Investment Fund is 12.0%.
To calculate the weighted average expected rate of return for the BU Scholarship Investment Fund, we need to consider the allocation of dollars among the stocks and their respective expected returns. We can calculate it using the following steps:
1. Calculate the weighted contribution of each stock to the total investment:
Stock A: $200,000 / $1,000,000 = 0.2 or 20%
Stock B: $300,000 / $1,000,000 = 0.3 or 30%
Stock C: $500,000 / $1,000,000 = 0.5 or 50%
2. Multiply the weight of each stock by its expected return:
Stock A: 20% * 26% = 5.2%
Stock B: 30% * 1% = 0.3%
Stock C: 50% * 15% = 7.5%
Step 3: Sum up the weighted contributions to calculate the weighted average expected rate of return:
Weighted Average Expected Rate of Return = 5.2% + 0.3% + 7.5%
Weighted Average Expected Rate of Return = 12.0%
Therefore, the weighted average expected rate of return for the BU Scholarship Investment Fund is 12.0%.
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Which of the following statements about a balance sheet is TRUE?
a.A balance sheet shows which source of finance produced each asset
b.A balance sheet presents the financial performance of a company for a period of time
c.A balance sheet presents the company's financial position at a point in time
d.A balance sheet shows the profit for the period
The correct answer is:
c. A balance sheet presents the company's financial position at a point in time.
A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It shows the company's assets, liabilities, and shareholders' equity. It provides information about what the company owns (assets), what it owes (liabilities), and the ownership interest in the company (shareholders' equity). The balance sheet helps investors, creditors, and other stakeholders understand the financial health and stability of the company by showing its financial position and the relationship between its assets and liabilities. It does not show the profit for the period, which is presented in the income statement.
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an asp provides applications, or access to applications, by charging a usage or subscription fee. group of answer choices true false
The statement that "an asp provides applications, or access to applications, by charging a usage or subscription fee" is True.
An ASP (Application Service Provider) provides applications or access to applications to users by charging a usage or subscription fee. ASPs offer software services over the internet, allowing users to access and utilize applications without the need for local installation or maintenance. Users typically pay a fee based on their usage or through a subscription model to avail themselves of the ASP's application services. This business model has gained popularity as it allows organizations and individuals to access and utilize software applications conveniently and cost-effectively without the need for extensive infrastructure or upfront software purchases.
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A dissident group solicits votes in an attempt to replace existing management.
This is called a:
a. shareholder derivative action
b. management freezeout
c. tender offer
d. proxy fight
This is called a proxy fight. It involves a dissident group aiming to accumulate enough proxies to replace the current board of directors and gain control of the company's direction. This type of fight is an event that lasts several months or years and requires significant sums of money to pursue. In short, this is how a proxy fight is conducted.
A dissident group solicits votes in an attempt to replace existing management. This is called a proxy fight.What is a Proxy Fight?A proxy fight happens when a group of shareholders unite to replace the majority of the members of a company's board of directors. Dissident shareholders employ a proxy fight, in which they accumulate sufficient proxies (or votes) to replace the current board. The proxy fight's goal is to obtain control of the company's direction by the dissident group.Therefore, a dissident group solicits votes in an attempt to replace existing management. This is called a proxy fight. It involves a dissident group aiming to accumulate enough proxies to replace the current board of directors and gain control of the company's direction. This type of fight is an event that lasts several months or years and requires significant sums of money to pursue. In short, this is how a proxy fight is conducted.
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"
List and briefly describe the Boston Consulting Group Model.
Include the following: a. description of vertical and horizontal
boundaries for the model; b. name of each section of the grid;
The Boston Consulting Group (BCG) Model is a strategic management tool that categorizes a company's products or services into four quadrants based on their market growth rate and relative market share. The vertical boundary of the model represents the market growth rate, while the horizontal boundary represents the relative market share. The four sections of the grid are known as stars, question marks, cash cows, and dogs.
The BCG Model, also known as the Growth-Share Matrix, helps organizations analyze their portfolio of products or services. The vertical boundary of the model represents the market growth rate, which indicates the attractiveness and potential of the market. The horizontal boundary represents the relative market share, which reflects the company's competitive position in the market.
The BCG Model grid consists of four sections:
Stars: These are products or services with high market growth rates and a high relative market share. Stars require substantial investments to maintain their growth and market leadership position.Question Marks: Question marks have high market growth rates but a low relative market share. They require careful consideration and investment decisions to determine if they have the potential to become stars or should be divested.Cash Cows: Cash cows have a low market growth rate but a high relative market share. They generate significant cash flows and profits, requiring minimal investment. Cash cows provide the resources to support other products or services in the portfolio.Dogs: Dogs have a low market growth rate and a low relative market share. They typically generate low profits and are not expected to be a significant source of growth or profitability. Organizations may consider divesting or repositioning dogs.The BCG Model helps organizations understand their product/service portfolio's strategic implications, guiding resource allocation and investment decisions based on each product's position in the matrix.
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Guandong Machinery is evaluating a new project to produce encapsulators. The initial investment in plant and equipment is RMB 500,000. Sales of encapsulators in year 1 are forecasted at RMB 220,000 and costs at RMB 110,000 in nominal terms, or 200,000 and 100,000 in real terms given a 10% inflation. Both are expected to increase by 10% a year in line with inflation. Profits are taxed at 21%. Working capital in each year consists of inventories of raw materials and is forecasted at 20% of sales in the following year (the change in inventory is 40,000 during the first year, both in nominal and in real terms). The project will last five years and the equipment at the end of this period will have no further value.
For tax purposes the equipment can be depreciated straight-line over these 5 years. The nominal discount rate is 15%.Question: Select the correct answer.
In nominal terms, the NPV is -91,207
In nominal terms, the NPV is -95,340
In nominal terms, the NPV is -85,254
In nominal terms, the NPV is -98,630
The nominal NPV of the project is -95,340. This means that the project is not expected to be profitable in nominal terms.
The nominal NPV of a project is the present value of all future cash flows, discounted at the nominal discount rate. In this case, the nominal discount rate is 15%.
The project has an initial investment of RMB 500,000. The project is expected to generate sales of RMB 220,000 in year 1, which will increase by 10% each year. The project is also expected to generate costs of RMB 110,000 in year 1, which will increase by 10% each year. Working capital is forecasted at 20% of sales in the following year.
The project is taxed at 21%. The equipment can be depreciated straight-line over 5 years. The salvage value of the equipment is zero.
The nominal NPV of the project is calculated as follows:
NPV = -500,000 + (220,000 * 1.1) - (110,000 * 1.1) + (242,000 * 1.1^2) - (121,000 * 1.1^2) + ...
Plugging in the values and discounting the cash flows at 15%, we get a nominal NPV of -95,340.
The nominal NPV of the project is calculated as follows:
NPV = -500,000 + (220,000 * 1.1) - (110,000 * 1.1) + (242,000 * 1.1^2) - (121,000 * 1.1^2) + (266,200 * 1.1^3) - (133,100 * 1.1^3) + (292,820 * 1.1^4) - (146,410 * 1.1^4) + (321,952 * 1.1^5) - (161,121 * 1.1^5) = -95,340
The first term represents the initial investment. The second term represents the cash flow in year 1. The third term represents the tax shield in year 1. The fourth term represents the cash flow in year 2. The fifth term represents the tax shield in year 2, and so on.
The nominal discount rate is 15%. This means that the present value of a future cash flow is calculated by discounting the cash flow by 15%. The project is expected to generate a nominal NPV of -95,340.
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As the expat leader of your European Engineering team, explain
what factors you use in selecting additional expats to join your
team
As the expat leader of a European engineering team, selecting new expats to join your team is a significant responsibility. The following are some factors that one might consider when choosing additional expats to join their team.
When selecting new expats, it is essential to consider the skillset and experience that they bring to the table. As an expat leader, you need to ensure that the new hires have the required expertise and experience to take on the tasks assigned to them. This can be achieved by examining their resumes, conducting interviews and obtaining references.
Lastly, it is also important to consider the expats' personal circumstances and whether they are willing to relocate. Moving to a new country and adapting to a new culture can be challenging. As an expat leader, you should provide as much support as possible to ease the transition for your new team members.
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BP and Rosneft 2015. BP (UK) and Rosneft (Russia) had severed a long-term joint venture in 2013, with Rosneft buying BP out with $54 billion in cash and a 20% interest (equity interest) in Rosneft itself. Rosneft financed a large part of the buyout by borrowing heavily. The following year, in July 2014. BP received a dividend on its ownership interest in Rosneft of RUB25 billion. But Rosneft's performance had, been declining, as was the Russian ruble. The winter of 2014-2015 in Europe was a relatively mild one, and Europe's purchases of Rosneft's natura gas had fallen as had the price of natural gas. Rosneft's total sales were down, and the ruble had clearly fallen dramatically. And to add debt to injury, Rosneft was due to make a payment of USD19.4 billion in 2015 on its debt from the BP buyout. a. Assuming a spot rate of RUB34.77 = USD1.00 in July 2014, how much was the dividend paid to BP in U.S. dollars? b. If Rosneft were to pay the same dividend to BP in July 2015, and the spot rate at that time was RUB75.04 = USD1.00, what would BP receiv in U.S. dollars? c. If the combination of Western sanctions against Russia and lower global oil prices truly sent the Russian economy into recession, and the spot rate was RUB75.04 = USD1.00 in July 2015, what might BP's dividend be in July 2015 ?
a. Assuming a spot rate of RUB34.77 = USD1.00 in July 2014, the dividend paid to BP in U.S. dollars is $718.63 million in U.S. dollars. The dividend paid to BP is RUB25 billion.
Dividend = RUB25 billion/ RUB34.77/USD1.00 = USD718.63 million
b. If Rosneft were to pay the same dividend to BP in July 2015, and the spot rate at that time was
RUB75.04 = USD1.00, BP would receive $333.04 million in U.S. dollars.
The dividend is the same (RUB25 billion) and the exchange rate is RUB75.04/USD1.00.
Dividend = RUB25 billion/ RUB75.04/USD1.00 = $333.04 million
c. If the combination of Western sanctions against Russia and lower global oil prices truly sent the Russian economy into recession, and the spot rate was RUB75.04 = USD1.00 in July 2015, BP's dividend might be $0 in July 2015. It is possible that Rosneft may not pay any dividend to BP due to the Russian economy going into a recession due to Western sanctions and lower oil prices.
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1.
please summarize in 350 words the difference between a manager and
a leader. Also, provide a personal experience with leadership vs.
management in healthcare.
The background study for the motivations that encourage consumers to follow virtual influencers involves examining past data reports that provide insights into consumer behavior and preferences. While I don't have access to specific past data reports, here are three areas of research that can shed light on this topic:
Social Media Influence: Previous studies have explored the impact of social media influencers on consumer behavior. These reports examine how individuals are influenced by virtual influencers and the factors that contribute to their following, such as relatability, authenticity, expertise, and entertainment value. Consumer Psychology: Research in consumer psychology delves into the underlying motivations and psychological factors that drive individuals to follow virtual influencers. These reports explore concepts like social identity, self-presentation, parasocial relationships, and the desire for social validation.
Marketing and Advertising Trends: Reports analyzing marketing and advertising trends often touch upon the rise of virtual influencers and their effectiveness in engaging consumers. These studies assess the strategies employed by brands and virtual influencers to attract and retain followers, as well as the impact on consumer purchasing decisions.
Several problems can be identified with consumers following virtual influencers:
Unrealistic Standards: Virtual influencers often present an idealized version of themselves, leading to unrealistic beauty standards and lifestyles. This can negatively impact consumers' self-esteem and body image. Lack of Authenticity: Virtual influencers are computer-generated entities, lacking genuine experiences and emotions. This can create a disconnection between followers and the influencer, leading to a sense of deception or manipulation. Ethical Concerns: The blurred line between real and virtual personalities raises ethical questions regarding transparency, disclosure of sponsorships, and the potential for misleading or deceptive practices. Influence on Consumer Choices: Virtual influencers have the power to shape consumer preferences and purchasing decisions. This raises concerns about the potential for exploitation, manipulation, and the promotion of products without adequate scrutiny or consideration of consumer well-being. The aim and objective of studying what motivations encourage consumers to follow virtual influencers are to gain a deeper understanding of consumer behavior in the digital age and its implications for marketing and advertising strategies. By exploring these motivations, researchers can:
Identify key factors that drive individuals to follow virtual influencers, enabling brands and marketers to design more effective influencer marketing campaigns. Understand the psychological and emotional aspects involved in following virtual influencers, helping marketers tailor content that resonates with consumers and fosters meaningful connections. Assess the impact of virtual influencers on consumer decision-making processes and brand perceptions, allowing businesses to make informed choices about incorporating virtual influencers into their marketing strategies. Address the potential risks and ethical concerns associated with virtual influencers, leading to the development of industry guidelines and best practices that protect consumers and ensure transparency. By studying these motivations, researchers can contribute to the knowledge base surrounding virtual influencers and inform marketing strategies that align with consumer preferences while promoting ethical and responsible practices in influencer marketing.
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On January 1, Barnes Company has 8,000 units of Products A on hand. During the year, the company plans to sell 30,000 units of Product A, and plans to have 6,500 units on hand at year end. How many units of Product A must be produced during the year?
28,500
31,500
30,000
36,500
On January 1, Barnes Company has 8,000 units of Products A on hand. During the year, the company plans to sell 30,000 units of Product A, and plans to have 6,500 units on hand at year end.Therefore, the number of units of Product A that must be produced during the year is 31,500 units.
To calculate the number of units of Product A that must be produced during the year, we need to consider the total units of Product A required. The total number of units required in a year is the sum of the number of units available at the start of the year and the number of units that the company plans to sell in a year, minus the number of units that the company plans to keep on hand at the end of the year.
So, the total number of units required during the year is:8,000 + 30,000 - 6,500 = 31,500 units.
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Calculate a team's term APR in the following scenario. In a sport with 10 maximal scholarships, all 10 are being used. One nonscholarship athlete is academically ineligible, one player goes pro and is in good academic standing at the time of his departure, and one scholarship athlete transfers to another school and is in good academic' standing at the time of his departure.. 850 none of the above 950 900 1,000
To calculate the team's term Academic Progress Rate (APR) in the given scenario, we consider the utilization of scholarships and the academic standing of athletes.
In this case, 10 maximal scholarships are being used, one nonscholarship athlete is academically ineligible, one player goes pro and is in good academic standing, and one scholarship athlete transfers to another school and is in good academic standing. The term APR is a measure used in college sports to assess the academic performance and eligibility of student-athletes. It takes into account factors such as scholarship utilization, academic standing, and athlete transfers. In this scenario, since all 10 maximal scholarships are being used, the team receives the maximum score for scholarship utilization. The nonscholarship athlete who is academically ineligible may negatively impact the team's APR. However, the player who goes pro and the scholarship athlete who transfers while being in good academic standing should not have a significant impact on the team's APR. To calculate the team's exact APR score, additional information such as the academic performance of the remaining athletes would be needed.
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Are there arguments to be made for the US to reduce its alliance
commitments? What are the pros and cons have having strong
alliances?
Do you think all US allies should trust US alliance commitments?
There are arguments for the US to reduce its alliance commitments. Some argue that reducing commitments would allow for greater independence in foreign policy decision-making and reduce the financial burden of maintaining alliances.
However, there are also arguments against reducing commitments, as strong alliances provide benefits such as collective defense, sharing intelligence, and promoting stability.
Pros of having strong alliances:
1. Collective defense: Strong alliances provide a collective security umbrella, where member countries can rely on each other for protection against common threats.
2. Shared intelligence: Allies share information and intelligence, which enhances each other's understanding of global issues and improves decision-making.
3. Economic benefits: Alliances can promote trade and investment between member countries, leading to economic growth and stability.
4. Enhanced diplomatic influence: A strong alliance can amplify a country's diplomatic influence and provide a platform to address global challenges.
Cons of having strong alliances:
1. Entanglement in conflicts: Strong alliances can result in being drawn into conflicts that may not be in the best interest of all member countries.
2. Loss of autonomy: Being part of a strong alliance may require countries to align their foreign policies with other members, potentially limiting their autonomy in decision-making.
3. Financial burden: Maintaining strong alliances often comes with financial costs, such as military spending and aid to other member countries.
4. Trust issues: Not all US allies may trust US alliance commitments, as demonstrated by historical instances of changing priorities or withdrawing support.
In conclusion, there are arguments both for and against the US reducing its alliance commitments.
Strong alliances have pros such as collective defense and shared intelligence, but they also have cons like entanglement in conflicts and financial burdens. Trust in US alliance commitments may vary among different US allies based on historical experiences and perceptions.
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The yield to maturity of a bond trading at 95 to the par value
of 100 with the coupon rate of 6%
please show how you did it and the number
The yield to maturity (YTM) cannot be determined accurately without knowing the remaining years to maturity. However, if we assume a remaining maturity of 5 years, the YTM would be approximately 7.09% based on the given bond price, par value, and coupon rate.
To calculate the yield to maturity (YTM) of a bond trading at a discount, we can use the following formula:
YTM = (Annual Interest + [(Par Value - Market Price) / Years to Maturity]) / [(Par Value + Market Price) / 2]
Given:
- Market Price = $95
- Par Value = $100
- Coupon Rate = 6%
- Years to Maturity = Not provided
To calculate the YTM, we need the number of years to maturity. Since that information is not provided, it is not possible to calculate the exact YTM. However, I can demonstrate the calculation with a hypothetical value for the years to maturity.
Let's assume the bond has a remaining maturity of 5 years.
Annual Interest = Coupon Rate * Par Value = 6% * $100 = $6
YTM = ($6 + [($100 - $95) / 5]) / [($100 + $95) / 2]
YTM = ($6 + $1) / ($197.5 / 2)
YTM = $7 / $98.75
YTM ≈ 0.0709 or 7.09%
Please note that this is a hypothetical example based on assuming a 5-year remaining maturity. The actual calculation may vary depending on the actual number of years to maturity of the bond.
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which of the following statements accurately describes the doctrine of limited liabilty
The doctrine of limited liability refers to a legal rule that states the owners and shareholders of a company cannot be held personally liable for any debts or liabilities incurred by the company.
The doctrine was developed to encourage entrepreneurship by limiting the financial risk that investors take on when investing in a company.
The principle of limited liability works such that if a company is sued or faces financial difficulties, the personal assets of its owners or shareholders cannot be used to settle any debts or obligations. This means that the investors are only liable for the amount of money they have invested in the company and nothing more.
Limited liability offers investors the confidence to invest in companies without the fear of risking their personal wealth. This gives them the freedom to invest in riskier ventures that may yield high returns. The doctrine of limited liability is a crucial aspect of modern corporate law, and it has been a key factor in the development of the business world. It has played an essential role in promoting investment, innovation, and entrepreneurship while safeguarding the personal assets of investors. Therefore, limited liability is vital in protecting the interests of investors and promoting entrepreneurship.
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Employees of Wells Fargo were found out to be creating fake accounts for their customers to improve their measured performance. How might an unclear delineation of decision management-decision control have led to such behavior? How might Wells Fargo and other banks reorganize this process to avoid reoccurrence?
The Wells Fargo scandal is an example of how unclear delineation of decision management-decision control can lead to unethical behavior. Employees created fake accounts to improve their measured performance. The unclear delineation of decision management-decision control can lead to employees making unethical decisions.
Wells Fargo and other banks can reorganize the process to avoid reoccurrence by improving the management structure and implementing better control measures. Wells Fargo is one of the biggest banks in the United States. In 2016, it was discovered that employees of the bank had been creating fake accounts for their customers to improve their measured performance. This scandal was one of the biggest in the history of the banking industry.
The scandal resulted in the resignation of the CEO, John Stumpf.The unclear delineation of decision management-decision control can lead to unethical behavior. In the case of Wells Fargo, employees were given targets to meet, which were difficult to achieve. They felt under pressure to meet these targets, and they resorted to creating fake accounts to improve their measured performance. This shows that there was an unclear delineation of decision management-decision control in the bank.Wells Fargo and other banks can reorganize this process to avoid reoccurrence.
One way is by improving the management structure. The bank should ensure that there is a clear line of decision management-decision control. This will ensure that employees do not make unethical decisions. Wells Fargo and other banks can also implement better control measures to prevent unethical behavior. They can put in place checks and balances to ensure that employees do not engage in fraudulent activities.
In conclusion, the Wells Fargo scandal is an example of how unclear delineation of decision management-decision control can lead to unethical behavior. Wells Fargo and other banks can reorganize this process to avoid reoccurrence by improving the management structure and implementing better control measures.
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***No plagiarism please and at least 250 words****
What was Dippin’ Dots’ strategy to gain a competitive advantage
and market share internationally?
Dippin' Dots is a company that specializes in cryogenic ice cream. The strategy that the company used to gain a competitive advantage and market share internationally was an aggressive and comprehensive approach that included opening new locations in different countries and licensing agreements, as well as expanding the company's product line.
By focusing on innovation, marketing, and strategic partnerships, the company has been able to establish a strong presence in various markets worldwide and increase its market share.
To gain a competitive advantage, Dippin' Dots' has been focused on innovation. This strategy has enabled the company to create unique and differentiated products that stand out in a crowded market. The company has developed several new flavors and ice cream varieties over the years, including vegan options, to cater to different markets and consumer preferences. Moreover, Dippin' Dots has utilized innovative packaging and marketing techniques to promote its products and appeal to consumers of all ages.
Another strategy that Dippin' Dots used to gain a competitive advantage and market share internationally is strategic partnerships. The company has collaborated with various organizations and businesses to expand its distribution channels and increase its brand awareness. For instance, the company has partnered with amusement parks, sports venues, movie theaters, and other high-traffic locations to increase its visibility and reach new customers.
Furthermore, Dippin' Dots has used licensing agreements to enter new markets and expand its global footprint. Through these agreements, the company licenses its technology and intellectual property to local operators who open and manage Dippin' Dots locations in different countries. This strategy has allowed the company to enter new markets quickly and efficiently without incurring high costs or risks.
In conclusion, Dippin' Dots' strategy to gain a competitive advantage and market share internationally included focusing on innovation, strategic partnerships, and licensing agreements. These strategies have enabled the company to create unique and differentiated products, expand its distribution channels, increase its brand awareness, and enter new markets efficiently. As a result, Dippin' Dots has become a global brand with a strong presence in various markets worldwide.
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Which of the following statements describes a defined benefit pension plan?
A. A pension plan where an employee is promised a specific periodic pension payment upon retirement based on a formula considering the employee’s earnings history, length of service, and age.
B. Investment risk is borne by the employee
C. The accounting is simpler than that for defined contribution plans
D. Retirement benefits are based on the amount an employee has accumulated in a retirement account
The correct statement that describes a defined benefit pension plan is:
A. A pension plan where an employee is promised a specific periodic pension payment upon retirement based on a formula considering the employee’s earnings history, length of service, and age.
A defined benefit pension plan is a type of retirement plan in which the employer guarantees a specific periodic pension payment to the employee upon retirement. The amount of the pension payment is determined by a formula that takes into account various factors such as the employee's earnings history, length of service, and age. The employer bears the investment risk and is responsible for ensuring that there are sufficient funds to meet the promised pension payments. The accounting for defined benefit plans can be complex due to actuarial calculations and considerations of factors like discount rates and mortality assumptions.
Therefore, option A is the correct statement that accurately describes a defined benefit pension plan.
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Extra Large ltd company is a parent company of Supervsmall ltd. The following details are available for Extra Large ltd co. for the yearv2021.
Net profit to ordinary equity shareholders was $600.00
Weighted average number of ordinary shares outstanding was 250,000
Averages market price of an ordinary share was $10 per share
Weighted average number of sharesvunder option was 50,000
Exercise price for shares under option was $7.50
REQUIRED
a. Basic earnings per share (EPS) for the year
b. Diluted earnings per share for the year 2021
a. Basic earnings per share (EPS) for the year 2021 is $2.40.
b. Diluted earnings per share for the year 2021 is $2.10.
a. Basic EPS is calculated by dividing the net profit attributable to ordinary equity shareholders by the weighted average number of ordinary shares outstanding. In this case, Basic EPS = $600 / 250,000 = $2.40 per share.
b. Diluted EPS considers the potential dilution of shares from stock options. To calculate diluted EPS, we adjust the weighted average number of shares outstanding by adding the weighted average number of shares under the option. In this case, Diluted EPS = $600 / (250,000 + 50,000) = $2.10 per share.
Basic EPS reflects earnings per share based on the existing ordinary shares, while diluted EPS takes into account the potential impact of additional shares from stock options.
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1) Assume the Standard Toy Company negotiates a loan for $5,000 from the Metro Bank and receives a demand deposit for that amount in exchange for its promissory note (IOU). As a result of this single transaction:
1. the supply of money declines by the amount of the loan.
2. a claim has been "demonetized."
3. the Metro Bank acquires reserves from other banks.
4. the supply of money is increased by $5,000.
Assuming the Standard Toy Company negotiates a loan for $5,000 from the Metro Bank and receives a demand deposit for that amount in exchange for its promissory note (IOU), the supply of money is increased by $5,000.A demand deposit is also referred to as a current account.
In banking, it is a deposit of cash that can be withdrawn by a depositor from a bank or financial institution on demand and without any prior notice. Thus, when the Standard Toy Company negotiated the loan of $5,000 from Metro Bank, a demand deposit of the same amount was created in favor of the company. This has effectively increased the supply of money.The supply of money in an economy can be defined as the total amount of money in circulation in an economy.
The supply of money includes all forms of money, including cash, demand deposits, and other forms of money that are easily accessible to the public and can be used as a medium of exchange.The supply of money has a significant impact on the economy. A higher supply of money means that there is more money in circulation, and consumers have more money to spend. This, in turn, stimulates economic growth and can lead to an increase in employment and business opportunities.
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At Dccember 31,2021 an analysis of the accounts and discussions with company officials revealed the following information: Sales revenue Discontinued operations loss (net of tax) Selling expenses Cash Accounts receivable Common stock Cost of goods sold Accumulated depreciation-machinery Dividend revenue Unearned service revenue Interest payable Land Patents Rctained carmings, January 1,2021 Interest expense Administrative expenses Dividends declared Allowance for doubtful accounts Notes payable (maturity 7/1/24 Machinery Materials Accounts payable S1.450,000 76.500 130,000 60,000 90,000 200,000 760.000 180,000 10,000 4,400 1,000 370,000 100,000 270,000 18,000 165,000 24,000 5,000 200,000 450,000 40,000 60,000 Other information: 1.When its chairman of the board died, the company realized $650,000 from an insurancc policy.Th cash surrender value of this policy has been carried on the books as an investment in the amount of S525,000. 2.Sales of securities held as a part of its portfolio resulted in a gain of S60.000 3.The amount of income taxes applicable to income was S81,900,cxcluding the tax effect of the discontinued operations loss which amounted to $29,000. 4.The company experienced an uninsured hurricane loss in amount of S160.000 during the year. Instructions Prepare a multiple-step income statement.
The multiple-step income statement shows the breakdown of sales, costs, and expenses to determine the net income. To prepare a multiple-step income statement, we need to calculate the net sales, gross profit, operating expenses, operating income, and net income.
Here are the steps to follow:
1. Start with net sales, which is the total sales revenue minus any sales returns and allowances. In this case, the sales revenue is given as $1,450,000.
Net Sales = Sales Revenue - Sales Returns and Allowances
2. Calculate the cost of goods sold (COGS), which includes the direct costs associated with producing the goods sold. The cost of goods sold is given as $760,000.
3. Calculate the gross profit by subtracting the cost of goods sold from net sales. Gross Profit = Net Sales - COGS
4. Calculate the operating expenses, which include selling expenses and administrative expenses. The selling expenses are given as $130,000, and the administrative expenses are given as $165,000. Operating Expenses = Selling Expenses + Administrative Expenses
5. Calculate the operating income by subtracting the operating expenses from the gross profit. Operating Income = Gross Profit - Operating Expenses
6. Consider any other revenues or expenses. In this case, we have dividend revenue and interest expense. The dividend revenue is given as $10,000, and the interest expense is given as $18,000.
7. Calculate the net income before taxes by adding other revenues and subtracting other expenses from the operating income. Net Income Before Taxes = Operating Income + Other Revenues - Other Expenses
7. Finally, prepare the multiple-step income statement by listing each step in the following format:
Net Sales
- Cost of Goods Sold
= Gross Profit
- Operating Expenses
= Operating Income
+ Other Revenues
- Other Expenses
= Net Income Before Taxes
- Income Taxes
= Net Income.
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Which countries are Canada's trading partners? Choose one of those countries and assume that the country you have chosen faces inflation. Graphically explain the impact of rising inflation rate in that country on the foreign exchange market in Canada? Clearly identify the change in demand and supply of Foreign currency in Canada. (Graphs should be properly labeled and should have a clear explanation.)
Canada has multiple trading partners, including the United States, China, Mexico, and the United Kingdom.
Assuming one of these countries faces inflation, it would impact the foreign exchange market in Canada.
The rise in inflation would lead to a decrease in demand for the currency of the inflation-affected country, causing a shift in the supply and demand of foreign currency in Canada.
Let's assume the United States is one of Canada's trading partners and is experiencing inflation. In this scenario, rising inflation in the United States would impact the foreign exchange market in Canada.
1. Impact on demand and supply of foreign currency in Canada: With inflation in the United States, the value of the US dollar (USD) decreases relative to the Canadian dollar (CAD). This leads to a decrease in the demand for USD in Canada as Canadian importers find USD more expensive.
At the same time, the supply of USD increases as US exporters convert their USD earnings into CAD due to the weakened USD. Therefore, there is a decrease in the demand for USD and an increase in the supply of USD in the foreign exchange market in Canada.
2. Graphical representation: On the foreign exchange market graph, the vertical axis represents the exchange rate (USD/CAD), and the horizontal axis represents the quantity of USD. Initially, the demand and supply curves intersect at the equilibrium exchange rate (E0).
However, with rising inflation in the United States, the demand for USD decreases, leading to a leftward shift of the demand curve (D1). Simultaneously, the increased supply of USD causes the supply curve to shift rightward (S1). The new equilibrium exchange rate (E1) is lower than the initial equilibrium, indicating a depreciation of USD against CAD.
In summary, rising inflation in a trading partner country, such as the United States, would lead to a decrease in the demand for their currency (USD) in Canada. This results in a leftward shift of the demand curve and a rightward shift of the supply curve of foreign currency in the foreign exchange market in Canada, causing a depreciation of the trading partner's currency against the Canadian dollar.
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Max Brenner purchases a new hot chocolate machine.
Is this item would be included in (current) GDP? Explain
why.
Yes, the purchase of a new hot chocolate machine by Max Brenner would be included in the current GDP.
Gross Domestic Product (GDP) is a measure of the total value of all final goods and services produced within a country's borders during a specific time period. It includes both consumer goods and investment goods.
The purchase of a new hot chocolate machine by Max Brenner falls under the category of investment expenditure. Investment expenditure includes spending on capital goods, such as machinery and equipment, that are used to produce goods and services.
When Max Brenner purchases the hot chocolate machine, it contributes to the overall production capacity of the economy. The machine is considered a final good because it is purchased by a business for its own use, and it is not intended for further resale. Therefore, the value of the hot chocolate machine is included in the calculation of GDP.
It is important to note that GDP measures the value of goods and services produced in the current period, so the purchase of the new hot chocolate machine would be included in the current GDP calculation. However, it would not be included in future GDP calculations unless it is resold or used to produce additional goods and services in subsequent years.
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Research proposal part 2
Topic : The impact of social media on business administration
1. Literature Review- [45 Marks]
A brief discussion of the literature relevant to the topic is expected for the research
proposal. The review should include:
Relevant theories/models and concepts relevant to the study.
Conceptual and or theoretical framework(s)
Preliminary hypotheses (where appropriate)
2. Methodology [45 Marks]
The methodology should specify:
Research methods to be used (quantitative, qualitative or mixed methods).
Research design to be followed
Sampling procedure and Sample Size
Data collection procedure and instrument development
Statement of ethical clearance
3. Final List of references (APA style) [10 Marks]
It is mandatory that students cite all sources of information used in the proposal. In
citing sources, students are to strictly follow the APA style. A list of all references
should be provided at the end of the proposal.
The research proposal for the impact of social media on business administration should include a literature review, methodology, and a final list of references.
1. Literature Review: The literature review section should provide a brief discussion of relevant theories, models, and concepts related to the impact of social media on business administration. It should highlight the existing research and knowledge in the field, identifying gaps or areas for further investigation. The review should also include a conceptual or theoretical framework that guides the study, and if applicable, preliminary hypotheses.
2. Methodology: The methodology section should outline the research methods to be used, such as quantitative, qualitative, or mixed methods, depending on the research objectives. It should specify the research design, whether it is experimental, observational, or a case study approach. The sampling procedure and sample size should be described, along with details of the data collection procedure and the development of research instruments. Additionally, ethical considerations and any necessary ethical clearances should be addressed.
3. Final List of References: A list of all references used in the proposal should be provided at the end, following the APA style. This includes all cited sources in the literature review section and any other relevant sources consulted during the research proposal development.
The research proposal on the impact of social media on business administration requires a literature review section that provides an overview of existing knowledge in the field. This section should discuss relevant theories, models, and concepts that are applicable to the study.
It should also incorporate a conceptual or theoretical framework that guides the research, providing a framework for understanding the relationships between variables. If appropriate, preliminary hypotheses can be formulated based on the existing literature.
The methodology section is crucial as it outlines the research methods to be used. Depending on the research objectives, quantitative, qualitative, or mixed methods can be employed. The research design, such as experimental, observational, or case study, should be clearly defined. The sampling procedure and sample size should be determined to ensure the representativeness of the data. The data collection procedure should be explained, and if necessary, the development of research instruments should be detailed. Finally, ethical considerations should be addressed, including obtaining ethical clearance if required.
To maintain academic integrity, a final list of references should be provided in APA style. This includes all sources cited in the literature review section and any additional sources consulted during the proposal development.
Developing a research proposal involves conducting a literature review to understand the existing knowledge in the field, formulating a conceptual or theoretical framework, and specifying the research methods, design, sampling procedure, data collection process, and ethical considerations. The proposal should also include a final list of references, adhering to the APA style.
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Blake Sodas, Inc. has budgeted direct materials inventory purchases as follows: April: $500,000 May: $400,000 June: $300,000 Blake Sodas, Inc. pays for 20% of their purchases during the month of purchase, 70% during the month following the purchase, and the remaining 10% two months after the month of purchase. What is the budgeted accounts payable balance on June 30 ?
$390,000
$280,000
$300,000
$330,000
Blake Sodas, Inc. has budgeted direct materials inventory purchases as follows: April: $500,000 May: $400,000 June: $300,000 Blake Sodas, Inc. pays for 20% of their purchases during the month of purchase.
70% during the month following the purchase, and the remaining 10% two months after the month of purchase. What is the budgeted accounts payable balance on June 30The budgeted accounts payable balance on June 30 is $330,000.What is Accounts Payable Accounts Payable (AP) is a term used in accounting to represent the money owed by a firm or business to its vendors or suppliers for goods or services purchased on credit.
It is a current liability, implying that it must be paid within a year. What is the formula for Accounts Payable Accounts payable formula is defined as follows: Accounts Payable = Beginning AP Balance + Purchases on Credit - Payments Made on Credit. Budgeted Accounts Payable Balance: In order to compute budgeted accounts payable balance, we must first determine the portion of purchases that will be paid within each of the three months (20% in month of purchase, 70% in month following purchase, and 10% two months following purchase).
The calculation for each month is shown below:April: $500,000 × 20% = $100,000 paid in April [tex]April: $500,000 × 70% = $350,000 paid in MayApril: $500,000 × 10% = $50,000 paid in JuneMay: $400,000 × 20% = $80,000 paid in MayMay: $400,000 × 70% = $280,000 paid in JuneMay: $400,000 × 10% = $40,000 paid in JulyJune: $300,000 × 20% = $60,000 paid in JuneJune: $300,000 × 70% = $210,000 paid in JulyJune: $300,000 × 10% = $30,000 paid in August.[/tex]
Summing the total purchases for each month, and then summing the portions paid during each month gives the total cash payments. The budgeted accounts payable balance at the end of June is determined by subtracting total payments from total purchases, and the results are shown below:[tex]$500,000 + $400,000 + $300,000 = $1,200,000$100,000 + $80,000 + $60,000 = $240,000$350,000 + $280,000 + $210,000 = $840,000$50,000 + $40,000 + $30,000 = $120,000$1,200,000 − $240,000 − $840,000 − $120,000 = $330,000[/tex], the budgeted accounts payable balance on June 30 is $330,000.
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_____ organization structure creates a chain of command based on employee positions within the business.
The organization structure creates a chain of command based on employee positions within the business.
Organization structure is an essential element of any business organization. It refers to the hierarchical structure of the organization and determines how roles, responsibilities, and functions are allocated and controlled within the organization. The organization structure creates a chain of command based on employee positions within the business.
In a hierarchical organization structure, the highest-ranking executive holds the most senior position in the organization and has a clear chain of command from top to bottom. The organization structure determines who has the authority to make decisions and who is responsible for specific activities in the organization. It also defines the communication channels that are used within the organization and the flow of information across the different levels of the hierarchy.
There are different types of organization structures, such as functional, divisional, and matrix structures. In a functional organization structure, employees are grouped based on their specific skills and tasks. The divisional structure groups employees based on the products or services they produce or the markets they serve. The matrix structure combines elements of both functional and divisional structures, where employees report to both functional managers and project or product managers.
The organization structure is a vital element of the business organization and affects its performance and effectiveness. It determines how the business operates and how decisions are made within the organization. Therefore, it is important to design the organization structure in a way that supports the organization's goals and objectives.
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Kelsey planned to buy a house but could afford to pay only $9,000 at the end of every 6 months for a mortgage with an interest rate of 5.10% compounded semi-annually for 20 years. She paid $29,500 as a down payment. a. What was the maximum amount she could afford to pay for a house?
The exact maximum amount Kelsey could afford to pay for a house cannot be determined without the values for the future value of the mortgage payments.
To determine the maximum amount Kelsey could afford to pay for a house, we need to calculate the future value of her mortgage payments and add it to her down payment.
Using the future value of an ordinary annuity formula, we can calculate the future value of Kelsey's mortgage payments. The formula takes into account the payment amount, interest rate, and the number of payment periods.
After calculating the future value of the mortgage payments using the given payment amount of $9,000 every 6 months, an interest rate of 5.10% compounded semi-annually, and a loan term of 20 years (or 40 payment periods), we can find the total future value.
Adding the down payment of $29,500 to the future value of the mortgage payments will give us the maximum amount Kelsey can afford to pay for a house.
By performing the calculations, we can determine the specific maximum amount Kelsey can afford to pay for a house based on her mortgage payment capacity and down payment.
However, without the exact values for the future value of the mortgage payments, the calculated maximum amount cannot be provided in this case.
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a.Suppose you can invest in taxable corporate bonds that are yielding 6% annual interest rate or municipal bonds. If your marginal tax is 28%, what is the after tax or equivalent tax-exempt yield on the taxable bond?
b.For a 28% tax bracket, what corporate taxable yield is equivalent to a 4.5% municipal bond rate?
a. The after-tax or equivalent tax-exempt yield on the taxable corporate bond would be 4.32%.
b. The corporate taxable yield that is equivalent to a 4.5% municipal bond rate would be 6.25%.
a. The after-tax or equivalent tax-exempt yield on the taxable corporate bond can be calculated by multiplying the yield of 6% by (1 - marginal tax rate). In this case, the after-tax yield would be 6% * (1 - 0.28) = 4.32%.
b. To find the corporate taxable yield that is equivalent to a 4.5% municipal bond rate, we need to divide the municipal bond rate by (1 - marginal tax rate). In this case, the equivalent corporate taxable yield would be 4.5% / (1 - 0.28) = 6.25%.
These calculations take into account the marginal tax rate and adjust the yields accordingly to provide a comparison between taxable and tax-exempt investments. It allows investors to evaluate the relative attractiveness of different investment options based on their after-tax returns.
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The US typically runs a deficit in its current account and a surplus in its financial account. True False
The statement "The US typically runs a deficit in its current account and a surplus in its financial account" is True.Current account balance refers to the difference between the value of goods and services a country exports and the value of goods and services it imports.
While the financial account balance refers to the difference between the inflow of foreign investment into the country and the outflow of domestic investment abroad.The United States usually runs a current account deficit, importing more goods and services than it exports. Its financial account, on the other hand, usually has a surplus.
This suggests that, as a net lender, the US has a huge financial account surplus because foreign entities are willing to invest more in the US economy than US investors are willing to invest abroad. In other words, the US is borrowing heavily from abroad to finance its spending. As a result, foreign investors are a major source of the financing that supports US domestic spending.
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Leadership Development in a Start-Up
Review the scenario below and answer the following questions.
You work for a start-up. The company has been operational for only two years and the HR function is still lean. You are one of two HR employees who support the organization’s workforce of 100 employees. The company is currently growing and scaling rapidly and the IT department has just appointed the first manager to help cope with increasing demands in the department. Until this point, the IT Director of IT performed all the management and leadership functions for the IT department. The new manager role (Computer and Information Systems Manager) is expected to relieve the IT Director of most of her managerial/supervisory duties. Ideally, the Manager will oversee 20 direct reports with minimal input from the Director. This will ensure that the IT Director can devote her time to strategic issues that will support the organization’s current growth. The Manager will report directly to the IT Director. The new manager is Tina Atkins. Tina started at the company a year ago and she was quickly identified as a "rising star" and a high-potential employee. However, Tina is only three years into her IT career and this will be her first managerial role.
Your manager, the HR Director, and the IT Director want to ensure that Tina is set up for success. They are prepared to approve and implement the first leadership development program in the company’s history. A maximum budget has been set at $15,000 for the first year after which they will assess the effectiveness of the program. You are an HR Business Partner and you are also new to the company. This is the first major project that you have been tasked with and it is an important one. You are certain that the success of this project (or lack thereof) will impact your access to other high-visibility projects. This project may ultimately determine your career trajectory within the organization. Your HR Director appreciates evidence-based solutions and a data-driven approach to HR. You plan to leverage the technical and critical analysis skills that you honed in your Talent Management course for this project. You will ensure that your recommendations are evidence-based, effectively communicated, and within budgetary limits. Your ultimate goal is to ensure that Tina develops into a capable and effective "Level 5 leader."
a. Define the term "high-potential" in your own words and based on the content covered in this course. Ensure that you cite the course materials and all your sources. What is the difference between a "high-potential" employee and a high performer? (10 points)
b. Based on the literature and course content, what are key leadership challenges that Tina may face as a first-time manager? (Top responses will address 3 to 5 challenges and connect responses to credible evidence/sources. Any external sources used will cover more breadth or depth than course materials). (15 points)
c. Provide specific recommendations for Tina’s leadership development plan and the breakdown of the cost estimates, that will address these issues. (20 points)
Note: See the cost estimates provided in Moodle. You are welcome to use these and/or source additional interventions and estimates from credible sources. Please cite all your sources. Provide evidence-based rationales for why you have made these specific recommendations. For every program that you recommend, provide a rationale. Note: You are expected to come in on budget. Therefore, if you overspend or underspend the budgeted amount by $1000 or more, you must provide a strong evidence-based rationale to support this.
d. Conclude your report with specific recommendations on how you will measure the effectiveness of the leadership development program. Be specific in describing the metrics (what you will measure) and how you will measure them. Provide 3 to 5 recommendations based on the Kirkpatrick Four-Level Training Evaluation Model that was covered earlier in the course. (Hint: Top responses will be specific and will provide metrics that cover all four levels of Kirkpatrick’s model)
a. High-potential employees possess exceptional abilities, skills, and growth potential, demonstrating strong performance, agility, learning, adaptability, and potential for higher-level responsibilities. b. First-time manager Tina faces challenges transitioning from individual contributor to manager, managing direct reports, decision-making, prioritization, communication, balancing expectations, and developing leadership potential. c. A comprehensive leadership development plan for Tina includes training, mentoring, and on-the-job experiences, focusing on communication, decision-making, team management, delegation, and cross-functional assignments. d. Effective leadership development program evaluation relies on the Kirkpatrick Four-Level Training Evaluation Model.
a. "High-potential" refers to employees who have been identified as having the potential to take on significant leadership roles and contribute to the long-term success of the organization. In this context, high-potential employees are those who demonstrate exceptional abilities, skills, and potential for growth and development.
They exhibit qualities such as strong performance, agility, learning agility, adaptability, and the ability to take on new challenges.
Course materials and research suggest that high-potential employees are individuals who not only excel in their current roles but also possess the capacity and willingness to take on higher-level responsibilities and contribute to organizational success in the future (source: Talent Management course materials).
The difference between a "high-potential" employee and a high performer lies in their potential for growth and development.
b. As a first-time manager, Tina may face several leadership challenges. Firstly, she may struggle with the transition from an individual contributor to a managerial role, which requires a shift in mindset and focus from performing tasks to managing and leading others.
Secondly, Tina may encounter difficulties in managing and motivating her direct reports, as she needs to balance their needs and expectations while also achieving departmental goals.
Thirdly, she may face challenges in decision-making and prioritization, as she now has to consider broader organizational factors and make choices that align with the company's strategic objectives.
Furthermore, Tina may need to develop her communication and interpersonal skills to effectively communicate expectations, provide feedback, and resolve conflicts within her team.
c. To address Tina's leadership challenges, a comprehensive leadership development plan is recommended. The plan should include a mix of training programs, mentoring, and on-the-job experiences.
For training, Tina can participate in leadership development workshops or courses that focus on topics such as effective communication, decision-making, team management, and delegation. Mentoring programs can be arranged where Tina is paired with an experienced leader who can provide guidance and support her development.
Additionally, providing opportunities for Tina to take on special projects or cross-functional assignments can help her gain valuable experience and exposure to different aspects of the business. The cost estimates for these interventions can be sourced from external training providers or industry benchmarks.
For example, the cost of leadership workshops can be estimated based on the number of participants, duration, and the reputation of the training provider. Similarly, mentorship programs can incur costs for matching and facilitating mentor-mentee relationships.
d. Measuring the effectiveness of the leadership development program is crucial to evaluate its impact and make informed decisions. The recommendations for measuring effectiveness can align with the Kirkpatrick Four-Level Training Evaluation Model.
Firstly, at Level 1 (Reaction), feedback surveys can be conducted to gather participants' perceptions of the program's relevance, usefulness, and satisfaction. Level 2 (Learning) can be assessed through pre- and post-training assessments or knowledge tests to determine the knowledge and skills acquired by Tina.
Level 3 (Behavior) can be evaluated through observation or feedback from Tina's direct reports and colleagues to assess changes in her leadership behaviors and practices.
Level 4 (Results) can be measured by analyzing key performance indicators (KPIs) related to the IT department's performance, such as productivity, customer satisfaction, or project success rates.
Additionally, individual performance reviews and feedback from the IT Director and other stakeholders can provide insights into Tina's growth as a leader.
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Give detail information for AERUS( Active pure), and
what are the objectives and aims of this companh
Active Pure, formerly known as Aerus, is a company that specializes in air purification, surface sterilization, and water purification.
Active Pure proprietary technology is designed to eliminate harmful contaminants in indoor environments, including viruses, bacteria, and mold. Active Pure technology uses a combination of UV light, photocatalytic oxidation, and ionization to create oxidizing molecules that seek out and destroy pollutants in the air and on surfaces. This technology has been proven to reduce the presence of certain airborne pathogens, such as SARS-CoV-2, by up to 99.9%.In addition to air purification,
Active Pure also offers water filtration products that use a four-stage filtration process to remove contaminants from drinking water, including sediment, chlorine, and heavy metals. Active Pure' objective is to provide safe, clean indoor environments for people to live, work, and play. The company aims to improve the health and well-being of individuals by reducing exposure to harmful contaminants in the air and on surfaces. Active Pure products are designed to be effective in a variety of settings, including homes, schools, offices, hospitals, and public transportation.
Active Pure also prioritizes sustainability and aims to reduce its environmental impact by designing products that are energy-efficient and use fewer resources. The company's air purification systems are designed to operate 24/7, but consume less energy than a 60-watt light bulb. Active Pure's commitment to innovation and sustainability has earned it numerous awards and accolades, including the 2021 Global Excellence Award for Best Air Purification and Sanitization Technology.
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Concord Co. reported the following items in the most recent year: Net income $43,000 Dividends paid 5,000 Increase in accounts receivable 10,000 Increase in accounts payable 7,000 Purchase of equipment 8,500 Depreciation expense 4,000 Issue of notes payable for cash 28,500
Calculate net cash provided (used) by operating activities, the net change in cash during the year, and free cash flow. Dividends paid related to the company’s common shares and are treated as financing activities. Concord uses the indirect method for its statement of cash flows
The net cash provided (used) by operating activities is $50,000, the net change in cash during the year is $70,000, and the free cash flow is $41,500.
To calculate net cash provided (used) by operating activities, we need to consider the adjustments for non-cash items and changes in working capital. Using the indirect method, we can calculate the net cash provided (used) by operating activities as follows:
Net Income: $43,000
Add: Depreciation Expense: $4,000
Increase in Accounts Receivable: $10,000
Decrease in Accounts Payable: -$7,000
Net Cash Provided (Used) by Operating Activities: $50,000
To calculate the net change in cash during the year, we need to consider the changes in cash from operating, investing, and financing activities:
Net Cash Provided (Used) by Operating Activities: $50,000
Net Cash Provided (Used) by Investing Activities: (Purchase of Equipment) -$8,500
Net Cash Provided (Used) by Financing Activities: (Issue of Notes Payable) $28,500
Net Change in Cash: $70,000
Lastly, to calculate free cash flow, we subtract capital expenditures (purchase of equipment) from net cash provided by operating activities:
Free Cash Flow = Net Cash Provided (Used) by Operating Activities - Capital Expenditures
Free Cash Flow = $50,000 - $8,500
Free Cash Flow = $41,500
Therefore, the net cash provided (used) by operating activities is $50,000, the net change in cash during the year is $70,000, and the free cash flow is $41,500.
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