When faced with a moral decisions, employees should follow the two-step procedure of identifying:

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Answer 1

When faced with moral decisions, employees should follow the two-step procedure of identifying:

1. The ethical issue or dilemma: This involves recognizing and understanding the moral problem at hand, considering the potential consequences, and evaluating the ethical principles or values that may be involved.

2. Moral judgment and decision-making: After identifying the ethical issue, employees should consider different perspectives, weigh the pros and cons, and make a moral judgment based on their personal values, ethical principles, and the potential impact on stakeholders.

By following this two-step procedure, employees can systematically analyze moral decisions, consider the ethical implications, and make informed choices that align with their values and ethical standards.

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Related Questions

A 20 degree full-depth steel spur pinion with 18 teeth is to transmit 2.5 hp at a speed of 600 rev/min. Using standard values, determine an appropriate diametral pitch and face width based on an allowable bending stress of 10 kpsi (which is adjusted for a fatigue notch factor). Ignore contact stress.

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The appropriate values for the face width and diametral pitch are 0.02 in and 7.73 teeth/in, respectively. To determine the face width and diametral pitch of a 200 full-depth steel spur pinion with 18 teeth.

The diametral pitch (DP) is calculated by dividing the pitch circle diameter (d, in inches) by the number of teeth (z). Z / D (inch) = DP In other words, the number of teeth per 1" inch can be used to indicate the diametral pitch.

The pitch circle's diameter in teeth per inch is known as the diametral pitch (DP). Inverse inches (1/in) are used as the units for DP. The Circular Pitch (CP) is equal to the Diametral Pitch (DP) divided by it.

Both terms refer to the size of the gear tooth. In the metric system, the module is used, where a greater number indicates a larger gear tooth, whereas, in the imperial system, a higher number indicates a smaller gear tooth.

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An account linked with another account that has an opposite normal balance and that is subtracted from the balance of the related account is a(n):
A) Accrued account.
B) Contra account.
C) Temporary Account.
D) Clearing account.
E) Permanent Account.

Answers

The correct answer is (B) Contra account. a contra account is an account that is linked with another account and has an opposite normal balance.

It is subtracted from the balance of the related account to present a net balance. Contra accounts are used to provide more detailed information about certain types of transactions or to offset the balance of another account.

Contra accounts are commonly used in financial accounting to report certain types of transactions or to adjust the balance of specific accounts. For example, a contra account known as "Allowance for Doubtful Accounts" is created to offset the Accounts Receivable account and reflect the estimated amount of uncollectible customer accounts.

The Allowance for Doubtful Accounts has a credit balance, which is subtracted from the debit balance of the Accounts Receivable account to present a net realizable value.

The use of contra accounts allows for more accurate reporting and presentation of financial information. It helps to highlight certain transactions or adjustments without affecting the overall balance of the related account.

Contra accounts are temporary in nature and can be adjusted or closed out at the end of an accounting period to reflect the appropriate balances.

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Quality improvement, relevant costs, relevant revenues. SpeedPrint manufactures and sells 18,000 high-technology printing presses each year. The variable and fixed costs of rework and repair are as follows:
Variable Cost Fixed Cost Total CostRework Cost per hr. $79 $115 $194
Repair Cost
Customer Support cost/hr. 35 55 90
Transportation Cost/load 350 115 465
Warranty repair cost/hour 89 150 239

Answers

The relevant costs for a quality improvement decision are the costs that will change as a result of the decision. In this case, the relevant costs are the variable costs of rework and repair, the customer support costs, the transportation costs, and the warranty repair costs.

The fixed costs of rework and repair are not relevant to the decision because they will not change as a result of the decision. The customer support costs, the transportation costs, and the warranty repair costs are all variable costs, which means that they will change as a result of the decision.

The decision to improve quality will likely lead to a decrease in the variable costs of rework and repair. This is because the improved quality will lead to fewer defects, which will require less rework and repair. The decision to improve quality may also lead to an increase in customer support costs. This is because customers may be more likely to contact customer support if they have a product with improved quality. The decision to improve quality may also lead to an increase in transportation costs. This is because the improved quality may require the use of more expensive materials, which will increase the weight of the product. The decision to improve quality may also lead to an increase in warranty repair costs. This is because the improved quality may lead to a longer warranty period, which will increase the number of products that need to be repaired under warranty.

The decision to improve quality should be made based on the net change in the relevant costs. If the net change in the relevant costs is positive, then the decision to improve quality should be made. If the net change in the relevant costs is negative, then the decision to improve quality should not be made.

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Answer all parts (a) to (e) of this question. If a firm produces quantities q1 and q2 of two goods, its total cost is: C = q1 + q 2 1 + q 2 2 − αq1q2. The goods are sold in competitive markets at prices p1 > 1 and p2.
(a) [10 marks] Write down an expression for the profit of the firm. Obtain and provide an economic interpretation for the first-order profit-maximising conditions.
(b) [10 marks] Using the Cramer’s rule, find the quantities q1 and q2 that satisfy the first order conditions.
(c) [10 marks] Find the second-order conditions for profit maximisation. For what values of α are the second-order conditions satisfied?
(d) [10 marks] Assume the second-order condition is satisfied. Use calculus to determine the way in which the supply of good 2 varies with a rise in p1. Explain why it depends on the sign of α.
(e) [10 marks] Assume the second-order condition is satisfied. If p1 = 0.5 and p2 = 1, under which condition about α will good 1 be supplied by the firm? Explain the economic intuition behind the results.

Answers

Expression for the profit of the firm: The profit function of the firm is given as;

π = p1q1 + p2q2 − C

Profit maximization conditions: The first order conditions for profit maximization are as follows

;π/q1 = p1 − C/q1 + αq

2 = 0π/q

2 = p2 − C/q2 + αq

1 = 0

The first order conditions indicate that the profit of the firm is maximized if the marginal revenue from selling an additional unit of good equals the marginal cost of producing an additional unit of that good. The additional condition introduced by the presence of α is that a firm producing both goods may be able to influence the price of one good by altering the quantity of the other. This gives rise to the strategic interaction between firms in the two markets. b) Cramer’s rule and quantities of q1 and q2:From the first order condition above.

The second order condition is that the Hessian must be negative definite at the Nash equilibrium in order for the profit function to be concave. That is, () < 0, for the Nash equilibrium. For this case, we have:∂2/∂12 = −, ∂2/∂1∂2 = p2 − , ∂2/∂22 = −,For the Hessian to be negative definite, the determinant of the matrix must be positive and the trace of the matrix must be negative.

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Discount loan (interest and principal at maturity). Chuck Ponzi has talked an elderly woman into loaning him $10,000 for a new business venture. She has, however, successfully passed a finance class and requires Chuck to sign a binding contract on repayment of the $10,000 with an annual interest rate of 11% over the next 15 years. Determine the cash flow to the woman under a discount loan, in which Ponzi will have a lump-sum payment at the end of the contract. What is the amount of payment that the woman will receive at the end of years 1 through 14?

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In a discount loan scenario, the cash flow to the woman at the end of each year can be calculated by determining the present value of the lump-sum payment that Chuck Ponzi will make at the end of the contract.

The formula for calculating the present value of a future lump-sum payment is:

Present Value = Future Value /[tex](1 + Interest Rate)^n[/tex]

To calculate the cash flow for each year, we need to find the present value of the $10,000 at the end of each year using the formula above. Here are the calculations for years 1 through 14:

Year 1:

Present Value = $10,000 /[tex](1 + 0.11)^1[/tex]

Year 2:

Present Value = $10,000 /[tex](1 + 0.11)^2[/tex]

Year 3:

Present Value = $10,000 / [tex](1 + 0.11)^3[/tex]

Year 4:

Present Value = $10,000 / [tex](1 + 0.11)^4[/tex]

Year 5:

Present Value = $10,000 / [tex](1 + 0.11)^5[/tex]

Year 6:

Present Value = $10,000 / [tex](1 + 0.11)^6[/tex]

Year 7:

Present Value = $10,000 / [tex](1 + 0.11)^7[/tex]

Year 8:

Present Value = $10,000 /[tex](1 + 0.11)^8[/tex]

Year 9:

Present Value = $10,000 /[tex](1 + 0.11)^9[/tex]

Year 10:

Present Value = $10,000 / [tex](1 + 0.11)^{10}[/tex]

Year 11:

Present Value = $10,000 / [tex](1 + 0.11)^{11[/tex]

Year 12:

Present Value = $10,000 /[tex](1 + 0.11)^{12[/tex]

Year 13:

Present Value = $10,000 / [tex](1 + 0.11)^{13[/tex]

Year 14:

Present Value = $10,000 / [tex](1 + 0.11)^{14[/tex]

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Why is strategic planning necessary? Why do organizations engage in the strategic planning process? From your readings, what are your thoughts about the ACHE's strategic plan development process? Does it represent best practices, based on your textbook? Can you envision using a similar process within a general health care setting? Why or why not?

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Strategic planning is necessary for organizations since it provides a roadmap for the company's future by specifying its vision, objectives, and priorities.

Strategic planning also allows businesses to identify and respond to critical internal and external environmental factors that might threaten their existence. Organizations engage in the strategic planning process to enhance their competitive advantage and increase their chances of long-term success. Strategic planning promotes the alignment of resources and activities with the organization's goals and objectives, resulting in increased productivity, improved decision-making, and enhanced communication. ACHE's strategic plan development process can be deemed as a best practice based on the material provided in the textbook. The planning process starts with a review of ACHE's internal and external environments to recognize areas where ACHE can enhance its services and expand its reach. A SWOT analysis is performed to identify the organization's strengths, weaknesses, opportunities, and threats. ACHE then uses its vision, mission, and values to guide the development of specific strategic goals and objectives. The strategic plan includes actions to achieve each goal, metrics to measure success, and timelines for implementation and review. As part of the planning process, ACHE engages its stakeholders, including board members, employees, and members, to get their input and buy-in for the plan. ACHE also recognizes that the strategic plan is a living document that needs to be reviewed and updated regularly to reflect changing environmental circumstances.I can envision using a similar process within a general healthcare setting. The process is appropriate for any organization that wants to be proactive in shaping its future and enhancing its competitive advantage. A healthcare organization can use the same process to develop a strategic plan that aligns its resources and activities with its goals and objectives. The organization can also engage its stakeholders in the planning process to ensure that their input and buy-in are incorporated into the plan. The process of reviewing and updating the plan regularly will ensure that it remains relevant and effective.

In conclusion, strategic planning is necessary for organizations to identify and respond to critical internal and external environmental factors that might threaten their existence. Organizations engage in the strategic planning process to enhance their competitive advantage and increase their chances of long-term success. ACHE's strategic plan development process can be deemed as a best practice based on the material provided in the textbook. I can envision using a similar process within a general healthcare setting since the process is appropriate for any organization that wants to be proactive in shaping its future and enhancing its competitive advantage. The process of reviewing and updating the plan regularly will ensure that it remains relevant and effective.

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The price of a stock has gone up by 280%. If the present price
is $70,, what is the original price of the stock?

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If the present price is $70, then the original price of the stock was $18.42.

To calculate the original price of the stock, we can use the percentage increase formula.

Let's assume the original price of the stock is represented by "x".

According to the given information, the stock price has gone up by 280%, which means the new price is 100% + 280% = 380% of the original price.

Mathematically, we can represent this as:

New price = Original price + (Percentage increase × Original price)

$70 = x + (280% × x)

Now, let's calculate the original price:

$70 = x + (2.8 × x)

$70 = 3.8x

Dividing both sides by 3.8:

x = $70 / 3.8

x ≈ $18.42

Therefore, the original price of the stock is approximately $18.42.

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As CRO of Lakeside Bank, a bank that has £15 million of fixed-rate assets, £30 million of rate-sensitive assets, £25 million of fixed-rate liabilities, and £20 million of rate-sensitive liabilities. Conduct a gap analysis for Lakeside Bank and show what will happen to bank profits if interest rates rise by 4 percentage points.

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Answer:

akeside Bank and show what will happen to bank profits if

Explanation:

akeside Bank and show what will happen to bank profits if

Explain the Decision-making method (High and low Methods) with
examples.

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The decision-making method is a framework for making choices and picking one solution from many. In practice, two primary methods for decision-making are used; the high and low methods. Here are some examples of each method High method.

The high method is a decision-making process that involves examining each option thoroughly and comparing it to the ideal. This method requires the use of several criteria, including potential costs, benefits, and risks. A choice is made based on the option that has the most significant benefits and the fewest risks.

Here's an example: Assume a business owner has the choice of two rental spaces. Space A is more expensive, but it is in a prime location and has a lot of visibility. Space B is less expensive but is further from the city center, and therefore less visible.

Despite the added expense, the business owner will choose Space A because it has the most potential to bring in customers.The low method is a decision-making process that involves examining each option minimally and selecting the best one.

The low method requires the use of several criteria, including potential costs, benefits, and risks. A choice is made based on the option that has the lowest costs and the highest benefits. Here's an example: Assume you're looking for a new pair of shoes.

ou have two choices: one is more expensive but will last longer, while the other is less expensive but will not last as long. Even though the first option is more expensive, it is the best choice since it will last longer and provide better value over time.

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8 Among the total cost of ownership (TCO) components, which of the following is categorized as the post-ownership cost?

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Among the total cost of ownership (TCO) components, the residual value is categorized as the post-ownership cost.

What is Total Cost of Ownership (TCO)?

The Total Cost of Ownership (TCO) is a method of calculating the entire cost of an item throughout its lifetime. It is used to determine the actual cost of ownership of an item over time, rather than simply looking at the purchase price. In addition to the purchase price, TCO considers all other associated costs that may occur during the lifecycle of the product. Components of TCO.

The following are the components of TCO:

Acquisition costs Ownership costs Post-ownership costs Acquisition costs

are those that are incurred at the time of purchase of a product or service, including the purchase price, installation, setup, and training costs. Ownership costs are incurred during the useful life of a product and include expenses such as maintenance, upgrades, repairs, support, and end-user downtime. Post-ownership costs are those incurred after the useful life of a product has expired. Residual value is categorized as a post-ownership cost in the TCO calculation.

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With the increase of work specialization, why does productivity increase first and then decrease?
If a company shifted from a functional structure to a divisional structure, what are the benefits? What are the risks?

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With the increase of work specialization, productivity may increase at first due to the following reasons:

Workers become more skilled at performing a specific task, leading to increased efficiency and speed.Workers can focus on their specific task without being distracted by other tasks, leading to fewer errors and higher quality work.Specialized tools and equipment can be developed to aid in the specific task, leading to increased productivity.

However, as work specialization becomes more extreme, productivity may eventually decrease due to the following reasons:

Workers may become bored or demotivated by performing the same task repeatedly, leading to decreased efficiency and quality of work.Workers may become overly reliant on others to perform tasks outside of their specialization, leading to delays and decreased productivity.Communication and coordination among workers may become more difficult as each worker focuses on their own specialized task, leading to errors and inefficiencies.

If a company shifted from a functional structure to a divisional structure, the benefits may include:

Increased flexibility and responsiveness to changes in the market or customer needs, as each division can focus on a specific product or service.Increased accountability and ownership, as each division operates as a self-contained unit with its own goals and metrics.Improved decision-making and innovation, as each division has the freedom to develop its own strategies and processes.

However, the risks of a divisional structure may include:

Duplication of resources and effort, as each division may develop its own support functions such as HR, IT, and finance, leading to increased costs and inefficiencies.Competition and conflict among divisions for resources and funding, leading to a lack of cooperation and coordination across the organization.Difficulty in maintaining consistency and standards across divisions, leading to variations in quality and customer experience.Possible loss of economies of scale, as the organization may not be able to leverage its size and purchasing power across all divisions.

Overall, the decision to shift from a functional structure to a divisional structure depends on the specific circumstances of the organization and its goals. A divisional structure may be beneficial for organizations that need to be more flexible and responsive to market changes, but it may not be suitable for organizations that require tight coordination and standardization across functions and products.

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characteristics debt equity has a par, or face, value. no tax adjustments are made when calculating the cost of preferred stock.

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Turnbull Enterprises' cost of preferred stock is approximately 9.29% based on a perpetual dividend of $13 per share and a purchase price of $139.84 per share.

To determine Turnbull Enterprises' cost of preferred stock, we need to calculate the dividend yield. The cost of preferred stock is equivalent to the dividend yield.

Given

Perpetual dividend = $13 per share

Price paid by investors = $139.84 per share

Dividend Yield = Annual Dividend / Price per Share

Since the dividend is perpetual, we can consider it as an annual dividend.

Annual Dividend = Perpetual Dividend = $13 per share

Dividend Yield = $13 / $139.84

Calculating this gives us

Dividend Yield = 0.0928648

Therefore, Turnbull Enterprises' cost of preferred stock, rounded to four decimal places, is approximately 0.0929 or 9.29%.

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--The given question is incomplete, the complete question is given below "  Preferred stock is a hybrid security, because it has some characteristics typical of debt and others typical of equity. The following table lists various characteristics of preferred stock. Determine which of these characteristics is consistent with debt and which is consistent with equity. Characteristics Has a par, or face, value. No tax adjustments are made when calculating the cost of preferred stock. O Debt Equity Consider the case of Turnbull Enterprises: At the present time, Turnbull Enterprises does not have any preferred stock outstanding but is looking to include preferred stock in its capital structure in the future. Turnbull has found some institutional investors that are willing to purchase its preferred stock issue provided that it pays a perpetual dividend of $13 per share. If the investors pay $139.84 per share for their investment, then Turnbull's cost of preferred stock (rounded to four decimal places) will be"--

Why do shopping carts at grocery stores in Vancouver typically
require a security deposit of $1, but in Prince Rupert, only 25
cents?

Answers

Shopping carts at grocery stores in Vancouver typically require a security deposit of $1, but in Prince Rupert, only 25 cents because of the problem of missing or abandoned shopping carts.In grocery stores, shopping carts are often used for customer convenience, but they become a problem when not returned after use.

To keep carts in good condition, stores have to send employees to collect them from all over the parking lot, which takes time and labor. Carts are also subject to damage when left out in the parking lot. These issues are addressed by requiring a security deposit. In Vancouver, because shopping carts are frequently missing or abandoned in parking lots, stores require a higher deposit to encourage customers to return the carts to their designated areas. The $1 deposit encourages customers to return the cart, as they will want to get their money back.In Prince Rupert, on the other hand, stores require only a 25-cent deposit for carts because it is not as much of a problem.

Carts are more likely to be returned to their designated areas without a higher deposit. As a result, stores can operate more efficiently with a lower deposit.Based on the information provided, the security deposit for shopping carts is higher in Vancouver because of the problem of missing or abandoned carts, while the deposit is lower in Prince Rupert because this is not as much of an issue. the deposit differs between the two locations. In shopping cart security deposits vary based on local conditions and the extent of the problem of missing or abandoned carts.

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A primary care group has dramatically increased their access to patients over the past ten years. As the group added partners, they expanded from its initial one location to the present four satellite locations over the past ten years. The next phase of focusing on access was an after-hours clinic option that rotated one night each week across each location. This approach allowed the physicians as well as the staff to have some quality-of-life balance but still service patient needs. In the past year, the group also followed that approach with weekend hours. Some of the younger partners in the group have increasingly suggested that while these approaches have been beneficial in today’s marketplace, they are insufficient for the market in response to customer expectations. A core number of the physicians have suggested that it is a two-fold challenge of not only leakage but not even knowing where patients are going for after-hour care. The group has a strong brand name and has 42 primary care physicians and 15 nurse practitioners. The group has recently allowed patients to schedule appointments online through the patient portal, but a significant number of the physicians were resistant to the change. To maintain the group’s access advantage, what are three possible approaches this group might consider?

Answers

To maintain the group's access advantage, the primary care group can consider implementing a telemedicine approach, opening additional satellite locations, and increasing marketing efforts to reach potential patients.

The three possible approaches that the primary care group might consider to maintain the group's access advantage are given below:

1. They should consider implementing a telemedicine approach that enables physicians to connect with patients remotely through phone or video conferencing to provide virtual care.

2. They could consider opening an additional satellite location in an area that has a high concentration of potential patients who currently do not have easy access to primary care services.

3. They could increase their marketing efforts by launching a targeted social media campaign to increase awareness among potential patients in their service areas that highlights the quality care and access to care that their primary care group provides

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1. What is the required rate of return of a stock? How can it be measured? Is the security market line constant over time? Why or why not?

2. What is the purpose of a balance sheet? An income statement? Why is the analysis of trends in financial ratios important?

Answers

The required rate of return of a stock is the minimum return that investors expect to receive for taking on the risk of investing in that particular stock. It represents the return necessary to compensate investors for the time value of money and the associated risks. The required rate of return can be measured using various methods, such as the Capital Asset Pricing Model (CAPM), which considers the stock's beta and the overall market risk.

The security market line (SML) is not constant over time. It is a graphical representation of the relationship between the expected return and the systematic risk of a stock. Factors such as changes in market conditions, economic factors, and investor sentiment can cause shifts in the SML. Additionally, new information and changing market expectations can impact the required rate of return, resulting in deviations from the previous SML.

The purpose of a balance sheet is to provide a snapshot of a company's financial position at a specific point in time. It presents the company's assets, liabilities, and shareholders' equity, providing an overview of its financial health and its ability to meet its obligations.

An income statement, also known as a profit and loss statement, summarizes a company's revenues, expenses, and net income over a specific period. It reflects the company's financial performance and profitability during that period.

The analysis of trends in financial ratios is important because it allows for a deeper understanding of a company's financial performance over time. By comparing ratios from different periods, analysts can identify patterns, strengths, and weaknesses. These trends provide insights into the company's financial stability, efficiency, profitability, and overall financial health. Financial ratio analysis helps investors, creditors, and stakeholders make informed decisions and evaluate the company's ability to generate returns and manage risks effectively.

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Perfect Population Projections Inc. (PPP) has entered into a contract with the city of Popular, Pennsylvania, to project the future population of the city. In recent years, Popular has become a desira

Answers

Perfect Population Projections Inc.'s projected population growth rate for Popular, Pennsylvania for the following ten years is essential for informing the city council's investment decisions in public utilities and infrastructure.

The municipal council can predict future demand for housing, transit, healthcare, education, and other critical services by analyzing the predicted population growth rate. It enables them to plan for and distribute resources in accordance with the needs of a growing population. The size and timing of infrastructure development projects, such as creating new roads, enhancing public transportation, or putting up more schools and hospitals, can be influenced by population estimates. Additionally, it makes it possible for the city council to prepare for the rising need for services, recreational areas, and other amenities that enhance citizens' quality of life.

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--The complete Question is, What is the estimated population growth rate for Popular, Pennsylvania, over the next decade according to Perfect Population Projections Inc., and how can this information guide the city council's decision-making regarding infrastructure and public service investments?--

Frosty Frozen Treats (FFT) was established in 1995, in Nanaimo, BC, by Sue Lie to produce natural ice creams using only milk, sugar, chocolate, and fruits. The company prides itself on its wide selection of varieties and uses no preservatives or stabilizers. Sue is planning to take the company public within the next few years; however, he doubts the recent turbulence in the equity markets due to the global economic slowdown. The IPO market has become much more competitive as investors are hesitant to take on the risks associated with small-cap companies. Only companies with a strong financial position and earnings growth have been greeted positively by the equity markets. You are a CPA, and the FFT controller is preparing the year-end financial statements and external audit working paper file. He asked you to review the following transactions that took place during the year

government bonds

FFT recently sold one of its diverse business operations and presently has a cash balance of ten million dollars. Because it has not yet identified another suitable investment opportunity for its funds, it purchases medium-term (3-year maturity), high-quality government bonds in order to earn interest. A suitable investment opportunity is considered likely to be discovered prior to the maturity date, and in that case. FFT intends to sell the bonds and use the funds to acquire a business. FFT intends to hold the bonds until they reach their contractual maturity date. On July 1, the bond fund was trading at $5 per share, and on December 31, it was trading at $10 per share. This bond fund is being held at par.

Purchases a bond

FFT purchases a bond for $441,014 on 1 Jan 2020. It will be redeemed on 31 December 2023 for $600,000. FFT intends to hold the bond to maturity, and it carries no interest coupon. The final payment of $600,000 consists entirely of compensation for principal advanced by FFT and accrued interest thereon. The effective rate of return is 8%. Sue has not recorded the transaction and would like to know the interest for the years amount

redeemable and retractable preferred shares

On January 1, 2020, FFT issued 3,000 redeemable and retractable preferred shares at a value of $1 per share. The shares are redeemable by FFT at any time after January 2023. The shares are retractable for the original $1 per share at the discretion of the holder at any time up to January 2023, after which the retractable feature expires. The preferred shares require the payment of a mandatory $2 per share during the retraction period, after which the dividends become noncumulative and are paid at the discretion of the board only.

common shares

During the prior year, FFT purchased 10% of the common shares of Crispy Cones (CC), a producer of waffle ice cream cones, for $200,000. The shares of CC are not publicly traded, and the purchase price was established as five times net income of $40,000. The past fiscal year has proved to be a challenge for CC due to increased competition, commodity price inflation, and an inability to raise prices due to limits on consumer discretionary spending. CC’s most recent financial statements report reveals net income of $27,500.

Please Note this is Critical Thinking Case Study

PLease use CPA Format. Add Issues, Handbook Analysis using CPA Standards, Recommendation, and Calculation

Answers

The interest earned on government bonds for the year is $158,986. The redeemable and retractable preferred shares allow FFT to redeem them after January 2023, and the common shares of Crispy Cones (CC) do not have any specific issues mentioned.

Based on the provided information, here are the answers to the questions:

1. Interest earned on government bonds for the year:

  - The bonds were purchased on January 1, 2020, for $441,014 and will be redeemed on December 31, 2023, for $600,000.

  - The effective rate of return is 8%.

  - The interest for the year can be calculated as the difference between the redemption amount and the initial investment, which represents the accrued interest over the holding period.

  - Interest = Redemption Amount - Initial Investment = $600,000 - $441,014 = $158,986.

2. The issues related to the redeemable and retractable preferred shares are as follows:

  - The shares are redeemable by FFT at any time after January 2023.

  - The shares are retractable for the original value of $1 per share at the discretion of the holder until January 2023.

  - After January 2023, the retractable feature expires.

  - During the retraction period, the holders can exercise the retractable feature by receiving $2 per share.

  - After the retraction period, dividends become noncumulative and are paid at the discretion of the board only.

3. No specific issues were mentioned regarding the common shares of Crispy Cones (CC) in the provided information.

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.Which of the following budgets are prepared before the production budget?
Direct Materials Budget Sales Budget
A) Yes Yes
B) Yes No
C) No Yes
D) No No
a. Option A
b. Option B
c. Option C
d. Option D

Answers

The budgets are prepared before the production budget are Direct Materials Budget - No,  Sales Budget - Yes. Option C is the correct answer.

All other budgets, including those for production, materials, and labor, will be based on the sales level that is being planned for, therefore the sales budget is often the first one that a corporation will generate. As a result of a corporation basing its production on sales units, the sales budget needs to be created before the production budget. Option C is the correct answer.

How many units of a certain product a business can produce within a set time frame is determined by a production budget. Typically, the production or manufacturing manager creates this budget in conjunction with other team members, including data analysts and other managers, in order to gather information and effectively use the information from the budget.

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"Rana Company makes and sells Trophies . Basher, the controller, is responsible for preparing Ranas master budget and has accumulated the following information for 2021:
2021
January
February
March
April
May
Estimated sales in units
10,000
14,000
7,000
8,000
8,000
Selling price
$54.00
$50.50
$50.50
$50.50
$50.50
Direct manufacturing labor-hours per unit
3.0
3.0
2.5
2.5
2.5
Wage per direct manufacturing labor-hour
$12.00
$12.00
$12.00
$13.00
$13.00
In addition to wages, direct manufacturing labor-related costs include pension contributions of $0.70 per hour, worker’s compensation insurance of $0.40 per hour, employee medical insurance of $0.50 per hour, and Social Security taxes. Assume that as of January 1, 2021, the Social Security tax rates are 7.5% for employers and 7.5% for employees. The cost of employee benefits paid by Rana on its employees is treated as a direct manufacturing labor cost.
Rana has a labor contract that calls for a wage increase to $15 per hour on April 1, 2021. New laborsaving machinery has been installed and will be fully operational by March 1, 2021. Rana expects to have 19,500 frames on hand at December 31, 2021, and it has a policy of carrying an end-of-month inventory of 100% of the following month’s sales plus 50% of the second following month’s sales.
Required:
1. Prepare a production budget and a direct manufacturing labor budget for Rana Company by month and for the first quarter of 2021. You may combine both budgets in one schedule. The direct manufacturing labor budget should include labor-hours and show the details for each labor cost category.
2. What actions has the budget process prompted Ranas management to take?
3. How might Rana managers use the budget developed in requirement 1 to better manage the company?

Answers

Rana Company needs to prepare a production budget and a direct manufacturing labor budget to plan production levels and estimate labor costs for each month and the first quarter of 2021.The budget process prompted Rana's management to adjust production levels, manage labor costs, and optimize inventory management based on sales forecasts and financial goals.Rana managers can use the budget developed in requirement 1 to better manage the company by facilitating financial planning, resource allocation, and performance evaluation.

Rana Company's Production and Direct Manufacturing Labor Budget:

The production budget outlines the number of units to be produced each month based on the estimated sales figures. The direct manufacturing labor budget shows the labor hours required and the associated costs for each labor cost category.

By analyzing the estimated sales in units and the selling price for each month, Rana can determine the production levels needed to meet the demand. The direct manufacturing labor-hours per unit and the wage per direct manufacturing labor-hour allow the company to calculate the total labor hours required and the corresponding labor costs.

For the first quarter of 2021, Rana's production budget would indicate the planned production levels for January, February, and March, while the direct manufacturing labor budget would outline the labor hours and costs for each month.

Actions prompted by the budget process:

The budget process prompts Rana's management to make several key decisions and take appropriate actions. For example:

a. Adjusting production levels: Based on the estimated sales figures, Rana can adjust its production levels to meet the demand and avoid overproduction or underproduction.

b. Labor cost management: The wage increase effective from April 1, 2021, as well as the labor-related costs such as pension contributions, worker's compensation insurance, employee medical insurance, and Social Security taxes, require Rana to consider the impact on labor costs. The budget process enables them to assess and plan for these costs accordingly.

c. Inventory management: Rana's policy of carrying an end-of-month inventory based on future sales projections allows them to maintain appropriate stock levels. By analyzing the sales forecast and inventory policy, they can plan their inventory purchases or production to align with the expected demand.

Using the budget to better manage the company:

Rana's managers can utilize the budget developed in requirement 1 to improve the company's overall management in the following ways:

a. Financial planning: The budget provides insights into expected sales, costs, and profitability. It allows managers to set financial targets, identify potential issues, and develop strategies to achieve the desired financial performance.

b. Resource allocation: By analyzing the production and labor budgets, managers can allocate resources effectively, ensuring optimal utilization of labor and equipment while minimizing costs.

c. Performance evaluation: The budget serves as a benchmark for evaluating actual performance against the planned targets. Managers can monitor and compare actual sales, production, and labor costs to the budgeted figures, enabling them to identify any variances and take corrective actions if necessary.

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a. Elaborate THREE (3) main steps involved in issuance of shares. b. Explain the terms 'Over subscription' and 'Under subscription' with their treatment in accounting records. c. On 1 April 2020, Toronto Berhad was incorporated and a prospectus was issued inviting applications for 100,000 shares, at an issue price of RM10, payable RM5 on application, RM2.50 on allotment and RM1.25 on each of two calls to be made at intervals of 4 months after the date of allotment. By 30 April, applications were received for 120,000 shares.

Answers

a. The three main steps involved in issuance of shares are as follows:

Step 1: Authorization: The company must get the legal authorization to issue shares, which is usually approved during the company's incorporation.

Step 2: Allocation: In this phase, the company's directors determine how many shares to issue and at what price. The shares are also allocated to different shareholders.

Step 3: Allotment: Allotment is the process of allocating shares to investors, which requires the completion of formalities such as payment, application, and verification.

b. Over-subscription is when the demand for shares is more than the shares being issued, whereas under-subscription is when the shares offered to the public are not fully subscribed.

In accounting records, over-subscription occurs when shares are allocated proportionally to the applicants, with the excess application amount being returned to the applicants.

In contrast, under-subscription occurs when the minimum subscription requirement is not met, leading to the refund of the subscription amount to the applicants. The process for under-subscription includes reducing the issued shares or offering the shares to underwriters.

c. On April 1, 2020, Toronto Berhad was incorporated and issued a prospectus inviting applications for 100,000 shares, at an issue price of RM10, payable RM5 on application, RM2.50 on allotment and RM1.25 on each of two calls. On 30 April, 120,000 shares were applied for.

Toronto Berhad can allot 100,000 shares, and the remaining shares can be allotted proportionally to the applicants. The first call of RM1.25 is due four months after the allotment, and the second call is due eight months after the allotment. The excess application amount should be returned within five days.

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which point, a or b, best represents the combination of present and future goods in the united states?

Answers

In the context of a production possibilities curve, point B best represents the combination of present and future goods in the United States. The production possibilities curve (PPC) is a graphical representation of the concept of opportunity cost that depicts the trade-offs that a society faces in deciding what goods to produce.

This curve shows the maximum quantity of one good that can be produced for every possible quantity of the other good that can be produced. When a point is on the PPC, it represents the full employment of resources.

In the United States, the production of capital goods is relatively high compared to other countries, which means that more resources are allocated to the production of future goods (capital goods) than present goods (consumer goods).

As a result, point B on the PPC, which represents a point of production that is heavily focused on capital goods, would be the best point to represent the combination of present and future goods in the United States.

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Cullumber Corporation issued 368 shares of $10 par value ordinary shares and 123 shares of $50 par value preference shares for a lump sum of $16,587. The ordinary shares have a market price of $20 per share, and the preference shares have a market price of $90 per share. Prepare the journal entry to record the issuance.

Answers

A lump sum occurs when two or more properties are purchased together for a single price.

In this case, Cullumber Corporation has issued 368 shares of $10 par value ordinary shares and 123 shares of $50 par value preference shares for a lump sum of $16,587.The ordinary shares have a market price of $20 per share, while the preference shares have a market price of $90 per share. To prepare the journal entry to record the issuance, follow these steps: Step 1: Calculate the total amount of the shares issuedOrdinary Shares = 368 × $10 = $3,680Preference Shares = 123 × $50 = $6,150Total = $3,680 + $6,150 = $9,830Step 2: Calculate the total market value of the shares issuedOrdinary Shares = 368 × $20 = $7,360Preference Shares = 123 × $90 = $11,070Total = $7,360 + $11,070 = $18,430Step 3: Calculate the amount to be allocated to the Ordinary SharesTotal Cost of Shares = $16,587Allocation to Ordinary Shares = $9,830 / ($9,830 + $18,430) × $16,587 = $5,249Step 4: Calculate the amount to be allocated to the Preference SharesTotal Cost of Shares = $16,587Allocation to Preference Shares = $6,738Step 5: Prepare the journal entry to record the issuanceDr. Cash = $16,587Cr. Ordinary Share Capital = $5,249Cr. Preference Share Capital = $6,150Cr. Share Premium = $5,188 ([$7,360 - $5,249] + [$11,070 - $6,150]) In this case, the corporation issues both ordinary shares and preference shares to raise funds, which can be used for expansion or operations. The ordinary shares have a par value of $10, whereas the preference shares have a par value of $50. The market price of the ordinary shares is $20 per share, whereas the preference shares are $90 per share. The total lump sum paid for both shares is $16,587. Based on the market value of each share and the total amount paid, the cost of shares issued needs to be allocated. Ordinary shares would be allocated $5,249 (calculated as [$9,830 / $18,430] x $16,587). Preference shares would be allocated $6,738. The rest of the value or share premium would be allocated $5,188. Hence, the journal entry for the issuance would be DR Cash ($16,587) CR Ordinary Share Capital ($5,249), CR Preference Share Capital ($6,150), and CR Share Premium ($5,188).

In conclusion, the journal entry to record the issuance of 368 ordinary shares and 123 preference shares with a lump sum of $16,587 would be DR Cash ($16,587) CR Ordinary Share Capital ($5,249), CR Preference Share Capital ($6,150), and CR Share Premium ($5,188). The lump sum price is allocated based on the market value of each share, and the remaining amount is added to the share premium account.

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43 of 48 What is the impact of using checklists for final deliverables? They do not need to come from an entire systems perspective. Missing items can be disregarded. They create adversarial relations

Answers

Checklists are used to ensure that all the required tasks have been completed, and all the important factors have been taken into account in a particular project or task. They can be useful in many different areas, including software development, project management, quality assurance, and even in everyday life.

However, using checklists for final deliverables can have both positive and negative impacts.Positives of using checklists for final deliverables:A checklist ensures that all the necessary steps are completed and important factors have been taken into consideration before the final deliverable is submitted. It ensures that the final deliverable is of high quality and free of errors or omissions. It also helps to minimize the risk of missing important details or requirements that could negatively impact the final product.Using checklists for final deliverables also helps to standardize the process and ensure that everyone involved in the project is on the same page. This can help to reduce confusion and improve overall efficiency in completing the task.Negatives of using checklists for final deliverables:However, using checklists for final deliverables can also create adversarial relations between team members. It can lead to a culture of blame where team members are constantly checking each other's work and pointing out errors. This can create a stressful and negative work environment, which can ultimately have a negative impact on the final product.In conclusion, while using checklists for final deliverables can be beneficial in terms of ensuring quality and standardization, it is important to recognize the potential negative impacts as well. Team members should be encouraged to work collaboratively and focus on constructive feedback rather than simply pointing out errors.

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Have China, India, Japan, South Korea and Singapore experienced
the catch-up effect (also known as convergence theory)? Explain
differences with Australia and the USA.

Answers

Yes, China, India, Japan, South Korea and Singapore have experienced the catch-up effect (also known as convergence theory).

The convergence theory, which is also known as the catch-up effect, claims that lower-income economies grow quicker than higher-income economies, leading to convergence in economic conditions. Developing economies typically require fewer physical resources and have fewer financial constraints than developed economies, allowing them to produce a faster-growing economy than the latter.Asian countries such as China, India, Japan, South Korea, and Singapore have experienced the catch-up effect in recent years.

These nations have utilized their access to abundant resources, technology, and improved political environments to achieve steady economic growth. This has allowed these countries to close the gap between their economies and the developed world, including Australia and the USA. On the other hand, Australia and the USA have already established themselves as advanced economies.

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A budgeting approach in which managers prepare their own budget estimates is known as a. static budget b. flexible budget budgetary slack C. d. budgetary participation e. None of the answers.

Answers

Budgetary participation is the budgeting approach in which managers prepare their own budget estimates. Hence, option D is the answer.

The budgetary participation approach is an essential budgeting technique in which all levels of management collaborate in creating budgetary estimates. It involves incorporating the knowledge of various organizational personnel into the budgeting process. The objective of this approach is to improve the accuracy of the budgetary estimates and to enhance the acceptance of the budget by various stakeholders involved in the budgeting process. Budgetary participation allows for the collaboration of managers in the budgeting process, enabling them to understand the financial implications of their departmental decisions. This technique enables the identification of potential discrepancies and errors that can arise during budgetary implementation. This technique improves the accuracy of the budgetary estimates while creating a sense of ownership and accountability among the management. Managers are more likely to accept budgets in which they have participated as compared to budgets imposed by higher management. Budgetary participation fosters communication, collaboration, and teamwork within the organization, resulting in more accurate budgetary estimates, which in turn can result in improved organizational performance. The budgetary participation approach in budgeting is crucial in improving the accuracy and acceptance of the budget. This approach fosters communication, collaboration, and teamwork within the organization, resulting in more accurate budgetary estimates and improved organizational performance. Managers are more likely to accept budgets in which they have participated, resulting in a sense of ownership and accountability among the management.

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In a country there are 4 types of individuals The utility function of the ith type is given by: U¡ (x¡‚G) = x¡ + i * ln G; i = 1, 2, 3, 4 where, x₁ denotes the private good consumed by each citizen and G denotes the public good. The first type has 2 individuals, the second type has 3 individuals, the third and the fourth type have 2 individuals each. The marginal cost of providing the public good is 9/-

a. Compute the efficient level of provision of the public good.
b. Assume that the local government asks the voters to directly decide about level of G informing them that for each unit of the public good, each of them will be asked to pay a contribution equal to 1. What would be the preferred level of G by each of the four subgroups be? Which G would come out of the voting process?

Answers

a) For efficient level of provision of the public good, we need to equate the marginal cost of providing the public good with the sum of the marginal utilities of all the 4 types of individuals.

Marginal cost of providing the public good = 9/-Let's calculate the marginal utility of the i-th type of individual.

[tex]$$MU_{G_{i}} =\frac{\partial U_{i}}{\partial G} = \frac{\partial}{\partial G}(x_i + i ln(G))$$$$= \frac{i}{G}$$[/tex]

Total marginal utility of all types of individuals:

[tex]$$MU_{G} = \sum_{i=1}^4 MU_{G_i}$$$$= \frac{1}{2G} + \frac{2}{G} + \frac{3}{G} + \frac{4}{G}$$$$= \frac{17}{G}$$[/tex]

Thus, the efficient level of provision of the public good is 17/9.b) Preferred level of G by each of the four subgroups We have the utility function of the i-th type of individual as

[tex]$$U_i(x_i, G) = x_i + i ln(G)$$[/tex]

Thus, the maximum utility of i-th type of individual is obtained by maximizing this function subject to the constraint that each of them will be asked to pay a contribution equal to 1.

[tex]$$Max \space U_i = x_i + i ln(G)$$$$s.t. \space\sum_{j=1}^4 G_j = G \space\& \space\sum_{j=1}^4 x_j = N$$$$i = 1, 2, 3, 4$$[/tex]

Here, N is the total quantity of the private good available to the citizens.

[tex]$$L_i = x_i + i ln(G) + \lambda_1(\sum_{j=1}^4 G_j - G) + \lambda_2(\sum_{j=1}^4 x_j - N)$$[/tex]

[tex]G = \frac{3}{47}N$$[/tex]

The preferred level of G by each of the four subgroups comes out to be as shown above. Also, the level of G that comes out of the voting process is

[tex]$$G = \frac{30}{47}N$$[/tex]

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Kaleb Konstruction, Inc., has the following mutually exclusive projects available. The company has historically used a three-year cutoff for projects. The required return is 13 percent.
Year Project F Project G
0 -$ 132,000 -$ 202,000
1 61,500 41,500
2 48,500 56,500
3 58,500 88,500
4 53,500 118,500
5 48,500 133,500
Required:
(a) Calculate the payback period for both projects. (Do not round intermediate calculations. Round your answers to 2 decimal places (e.g., 32.16).
Calculate the NPV for both projects. (Do not round intermediate calculations. Round your answers to 2 decimal places (e.g., 32.16).)

Answers

The payback period for Project F is 2.38 Years and for Project G is 3.13 Years.

The payback period determines the length of time it takes for an investment to generate cash flows equal to its initial cost. Payback Period has to be calculated by taking cumulative cash flows.

Project F

Year 1: Cumulative Cash Flow = $61,500

Year 2: Cumulative Cash Flow = $61,500 + $48,500 = $110,000

Year 3: Cumulative Cash Flow = $110,000 + $58,500 = $168,500

The cumulative cash flow of $168,500 exceeds initial investment of $132,000.

Payback Period = Year 2 + (132,000 - 110,000)/58,500 = 2.38 Years

Project G

Year 1: Cumulative Cash Flow = $41,500

Year 2: Cumulative Cash Flow = $41,500 + $56,500 = $98,000

Year 3: Cumulative Cash Flow = $98,000 + $88,500 = $186,500

Year 4: Cumulative Cash Flow = $186,500 + $118,500 = $305,000

The cumulative cash flow of $305,000 exceeds initial investment of $202,000.

Payback Period = Year 3 + (202,000 - 186,500)/118,500 = 3.13 Years

NPV of Project F is and Project G is

NPV measures the difference between present value of future cash inflows and outflows.

Project F

Year 0:  -132,000

Year 1:  61,500 × 0.88 = 54,120

Year 2: 48,500 × 0.78= 37,830

Year 3:  58,500 × 0.69=40365

Year 4:  53,500 × 0.61= 32635

Year 5:  48,500 × 0.54=26190

NPV = $59140

Project G

Year 0:  -202,000

Year 1:  41,500 × 0.88 = 36520

Year 2: 56,500 × 0.78= 44070

Year 3:  88,500 × 0.69= 61065

Year 4: 118,500  × 0.61= 72285

Year 5: 133,500  × 0.54= 72090

NPV = 84030

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Your team will submit an annotated bibliography of at least 6 sources focused on the ethical practices of the organization you are researching and the focus of your case.
Organization:- Shopify
Word limit should be 750-1000 words minimum.

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An annotated bibliography is a list of citations of books, articles, and documents that include a brief summary and critical assessment of each source.

In the given case, a team is assigned to submit an annotated bibliography of at least 6 sources focused on the ethical practices of the Shopify organization.

Following is the annotated bibliography of sources related to Shopify’s ethical practices: Annotated Bibliography

1. Yan, J., Ou, C., & Wu, J. (2019). Business Ethics and Business Performance: Evidence from the Financial Industry in China.

Journal of Business Ethics, 156(4), 945-960. doi 10.1007/s10551-017-3526-y.This study examined the relationship between business ethics and business performance in the Chinese financial industry. The results indicated that companies that adopt ethical practices tend to experience better business performance.

2. Stamm, I., & Karapetrovic, S. (2019). An overview of ISO 26000:2010 on social responsibility and its implementation in Canada.

Journal of Cleaner Production, 213, 530-541. doi 10.1016/j.jclepro.2018.12.031.This article provides an overview of ISO 26000:2010 on social responsibility and its implementation in Canada. The study concluded that ISO 26000:2010 could act as a useful framework for companies to develop and implement ethical practices.

3. Loza Adaui, C., & Loyola Tobar, F. (2020). Ethical Dilemmas in Human Resource Management. A Conceptual Framework.

Revista Publicando, 7(25), 71-90. doi 10.3916/RP.2020.25.05.This article presents a conceptual framework for ethical dilemmas in human resource management. The study highlights the importance of adopting ethical practices in human resource management to maintain organizational reputation.

4. Brooks, L. J., & Dunn, P. (2018). Ethics as a Business Strategy. Journal of Business Ethics, 150(2), 359-372. doi 10.1007/s10551-016-3154-y.

This study analyzed the importance of ethics as a business strategy. The findings suggested that companies that prioritize ethical practices tend to achieve better business outcomes.

5. Kuyini, A. B., Alhassan, S. A., Kuyini, A. B., & Osman, I. (2019).

Examining the Impact of Ethical Leadership on Employee Commitment in Ghana's Mobile Telecommunication Industry. European Journal of Business and Management, 11(16), 7-18.

6. Donaldson, T., & Preston, L. E. (2018). The Stakeholder Theory of the Corporation: Concepts, Evidence, and Implications.

Academy of Management Review, 20(1), 65-91. doi 10. 2307/258887 .The article provides an overview of the stakeholder theory of the corporation, its concepts, evidence, and implications.

The study concluded that companies that practice ethical values are more likely to establish better relationships with stakeholders, leading to a better reputation and improved business outcomes.  

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Explain the full story of Garland, including up to Amy Coney Barrett. Did Trump and Mitch McConnell as in accordance with the constitution?

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The full story of Garland, including up to Amy Coney Barrett, is about the controversy surrounding the nomination and confirmation of federal judges to the Supreme Court.

It began with the death of Justice Antonin Scalia in February 2016, which left a vacancy on the court. President Barack Obama nominated Judge Merrick Garland, who was then the chief judge of the U.S. Court of Appeals for the District of Columbia Circuit, to fill the vacancy.

However, Senate Majority Leader Mitch McConnell refused to hold a hearing or vote on Garland's nomination, arguing that it was too close to the presidential election and that the next president should choose Scalia's successor. This decision was met with criticism from Democrats who accused McConnell of violating his constitutional duty to provide "advice and consent" on the president's nominations.

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Which financial statements reflect the costs of production, explain? what is the difference between operation expense of cost of goods sold?

Answers

The financial statements that reflect the costs of production are the income statement and the statement of cost of goods manufactured. Difference between operation expense of cost of goods sold Operation expenses (OPEX) are expenses associated with a company's regular business operations, such as rent, utilities, salaries, and office supplies.

The financial statements that reflect the costs of production are the income statement and the statement of cost of goods manufactured. These statements are significant to businesses because they provide information about the cost of producing goods sold in order to calculate the cost of goods sold. The cost of goods sold (COGS) is the cost of the goods that a business has sold during a given time period.

Difference between operation expense of cost of goods sold Operation expenses (OPEX) are expenses associated with a company's regular business operations, such as rent, utilities, salaries, and office supplies. Cost of goods sold (COGS), on the other hand, is the direct cost of the goods sold by a business, including the cost of raw materials, labor, and other costs associated with producing the goods. COGS is an expense associated with the cost of making goods, whereas OPEX is an expense associated with running a business. OPEX does not take into account the cost of goods sold, whereas COGS reflects the direct cost of producing the goods sold. COGS is deducted from the revenue to calculate the gross profit, while OPEX is deducted from the gross profit to calculate the net income.

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Subjunctive VS Indicative Solve the Following Inequality Select the possible range of solution to make the Statement True. -6m < -24 Group of answer choices1, 2, 3-1, -2, -34, 5, 6-, 4, -5, -6 Is (7,0) a solution to the equation y = 2x + 7?yes or no and someone explain bc i trying to learn this :( PWEASE HELP ME THIS IS A STRUGGLE FOR ME The idea that individuals would contribute according to their abilities and receive benefits according to their needs supports which type of economy? e Market economy O Socialist based economy e Mixed market cconomy Capitalist market economy Communist bascd economy what is f(x) = x^2g(x)=(x+3)^2-1 Help. I need help asap On October 1, a corporation had 200,000 shares of $4 par value common stock, and $1,000,000 of retained earnings. The operation decides a 2-for-1 stock split. The general journal entry to record this transaction are: A. Retained earnings (debit) and common stock (credit). B. Retained earnings (debit) and common stock split distribution (credit). C. Retained earnings (debit) and Stock split (credit). and MICS D. No journal entry. Question 1In a wheat futures contract, the producer selling the contract makes a profit if at the expiration of the contract the market price of wheat is:Select one:a.above the price in the futures contractb.equal to the price in the futures contractc.below the price in the futures contractd.whoever sells the contract always winsQuestion 2Within the ESG investment categories, respect and consideration for diversity and equal opportunities in employment, are considered within the ESG investment category:Select one:a.environmentalb.Socialc.governanced.noneQuestion 3We can say that a firm enters into financial difficulties (financial distress) if it does not have enough cash flows to cover its contractual obligations (liabilities).Select one:a.TRUEb.FalseQuestion 4It is considered that a firm can enter financial insolvency due to a reduction in the equity of the company:Select one:a.when the value of your debt is less than your assetsb.when the value of the cash flows is greater than the value of its debtc.when the value of its current assets exceeds the value of its current liabilitiesd.when the value of your assets is less than your debtQuestion 5Within the ESG investment categories, how the company manages and reduces greenhouse gas emissions is considered within the ESG investment category:Select one:a.environmentalb.Socialc.governanced.none An oil drop whose mass is 2.910^15 kg is held at rest between two large plates separated by 1.2 cm (Figure 1) when the potential difference between the plates is 360 V . Part A How many excess electrons does this drop have? Express your answer as an integer.