Answer:
Loss of $250
Explanation:
As provided the total premiums = $750
That is credit of $750
When closing is done at price of trading = 2
Each call = $200
Closing position of $200 per contract.
Since there are 5 calls, value = $200 \(\times\) 5 = $1,000
Thus, there is a debit left of $1,000 - $750 = $250
This concludes that there is a loss of $250.
the diet problem is known in agricultural applications as the: group of answer choices fertilizer problem. feed-mix problem. crop-rotation problem. egg-choice problem. genetic-transformation problem.
Option (b), The diet problem is known in agricultural applications as the feed-mix problem.
The diet problem, which is known as the feed-mix problem in agricultural applications, is the problem of determining the optimal diet for livestock such as pigs and chickens. The purpose of the feed-mix problem is to provide livestock with a healthy diet that is both nutritious and cost-effective. It entails determining the optimal combination of feed components that meets the nutritional requirements of the animals while also minimizing the cost of the feed.
What is Agricultural Science?Agricultural Science is a field of study that focuses on the science and technology of producing food and other agricultural products. The field encompasses a wide range of topics, including plant and animal genetics, crop production, soil science, horticulture, and forestry. It also involves the study of the social and economic factors that influence agricultural practices, as well as the environmental impact of agriculture.
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When it comes to credit scores, why is having a thin file not an asset?.
The possession of a credit thin file is a liability and not an asset because its does not allows lender to access your credit worthiness which makes it hard to obtain loans or credit.
What is a credit scores?A credit score serves an a finacial tool that helpt to tells about someone's creditworthiness.
Normally, the higher the credit score, the higher the rate of repayment of credit.
Hence, these credit score are used by lenders to decide whether to borrow, extend or deny credit for a borrower.
However, having a thin file is not considerd an asset in credit scores because its does not let us know the willing borrower's repayment history of credit.
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_______are independent businesses that do not own the products they sell. They act as intermediaries to brinna
buyers and sellers together
Agents and brokers
Wholesalers
Retailers
Final consumers
Answer:
Agents and brokers
Explanation:
Agents and brokers connect buyers and sellers. They are contracted by either sellers or buyers to help them increase sales or find items to buy. Agents and brokers act on behalf of their clients.
Wholesalers and retailers take ownership of the goods they sell. They first buy the goods, which gives them title to the goods before selling to retailers or consumers. Agent and brokers do not buy goods. They look for buyers or sellers for their clients' merchandise.
why do your feet stink
Answer:
feet become smelly if sweat soaks into shoes and they don't dry before you wear them again. Bacteria on the skin break down sweat as it comes from the pores.
four reasons why Corona virus could be harmful to economic growth??
Answer:
Employees have to be let go because social distancing is a thing
Businesses are not getting enough customers because of quarantine, which leads to them shutting down
Factories that supply stores are shut down to prevent spread in factory lines
For those with computer jobs, working from home does not give an employee as much freedom with printing or scanning as it does at work, which slows down the completion of assignments and lowering the business`s dependability
How much do you pay in taxes in Massachusetts?
On both earned (salaries, wages, tips, commissions) and unearned (interest, dividends, and capital gains), Massachusetts levies a 5.0% tax. The tax rate on some capital gains is 12%.
How do taxes work?Taxes are compulsory contributions that a government agency, whether local, regional, or federal, imposes on people or businesses. Public works and services like roads and schools, as well as programs like Social Security and Medicare, are funded by tax income.
The individual income tax rate in Massachusetts is a flat 5.00 percent. The corporate income tax rate in Massachusetts is 8.00%. There is no local sales tax in Massachusetts, which has a state sales tax of 6.25 percent.
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the absolute best way to ensure a huge marketing success is to:
Develop a compelling value proposition: Clearly articulate the unique value your product or service offers. Communicate this in a concise and compelling way that captures your audience's attention.
Engage with your audience: Build meaningful connections with your target audience through personalized and interactive experiences. Encourage two-way communication, actively listen to feedback, and address customer concerns promptly. Foster brand loyalty by creating a positive customer experience at every touchpoint.
Leverage the power of storytelling: Craft compelling narratives around your brand and products. Storytelling helps to evoke emotions, create a memorable brand image, and establish a deeper connection with your audience. Use storytelling across various marketing channels to engage and captivate your target audience.
Collaborate with influencers: Identify influencers or thought leaders who align with your brand values and have a significant following among your target audience. Collaborate with them to amplify your brand message and reach a wider audience. Influencer partnerships can help build trust, credibility, and generate buzz around your product or service.
Monitor and adapt to market trends: Stay up to date with the latest market trends, industry news, and consumer behaviors. Be agile and adapt your marketing strategies accordingly to capitalize on emerging opportunities or address changing customer needs.
Track and optimize your campaigns: Implement robust tracking mechanisms to monitor the performance of your marketing campaigns. Use A/B testing to experiment with different messaging, visuals, or channels to identify what works best for your audience. Continuously optimize your campaigns based on the insights gained.
Prioritize long-term relationships: While immediate success is important, focus on building long-term relationships with your customers. Provide exceptional customer service, create loyalty programs, and nurture ongoing engagement. Satisfied customers can become brand advocates and contribute to your future marketing success through word-of-mouth recommendations.
Remember, marketing success is a dynamic process that requires ongoing evaluation, adaptation, and innovation. Experiment, learn from your successes and failures, and refine your strategies based on real-time feedback and market insights.
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Cylinder is used for cooking; you have checked when it was supplied to you. Afterwards if it starts leaking so whom do you think is liable to pay compensation if the leakage of gas leads to fire and causes injury?
OMCs (Oil Marketing Companies) are liable to pay compensation if the leakage of combustible gas leads to fire and causes injury.
Combustible gases that aid in food preparation are contained in the domestic gas cylinder. Even in small fires, the gas that the cylinder releases can burn readily. The property and lives of those nearby could sustain severe damage if the cylinder bursts.
OMCs' Public Liability Insurance Policy only covers losses resulting from accidents where LPG is the primary cause of fire; it does not cover losses resulting from accidents where other sources or circumstances lead to the engulfment and subsequent rupture of LPG cylinders.
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A binding price ceiling is a mandated _______.
A. maximum price above the market equilibrium price
B. minimum price above the market equilibrium price
C. maximum price below the market equilibrium price
D. minimum price below the market equilibrium price
A binding price ceiling is a mandated "maximum price below the market equilibrium price."
This is because a binding price ceiling is a point at which the price of certain commodities can not rise above the market equilibrium price.
The binding price ceiling is usually set by the government rather than the force of demand and supply.
The binding price ceiling has negatives, such as leading to a shortage of supply.
Hence, in this case, it is concluded that the correct answer is option C.
"maximum price below the market equilibrium price."
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Answer:
I took the quick check. brainliest would be nice
Explanation:
1: C- maximum price below the market..
2:C- producers from low market..
3: C- led to a shortage as prices are kept from rising....
4: D- a price ceiling of 1,000
5: A- the surplus resulting from the price floor...
Which phrase best completes the diagram?
Macroeconomic Goals for a Society
?
Stable prices
Economic growth
A. Increased inflation
B. Per capita GDP
C. Full employment
D. Decreased production
Answer:
Full Employment
Explanation:
just took the test
The phrase that best completes the given diagram is the full employment. Option C is correct.
What is macroeconomic?Macroeconomics is defined as a discipline of economics that studies an economy's whole performance, behavior, structure and decision-making.
This includes the economics of the country, region, and the world. The main goal of macroeconomics involves the full employment, then if the country is fully employed, this will make the prices stable and at last the economic growth occurred.
Therefore, option C is correct.
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The general ledger account for Accounts Receivable shows a debit balance of AED 50,000 . The Allowance for Doubtful Accounts has a credit balance of AED 1.000. If management estimates that 5% of Accounts Receivable will prove uncollectible, Bad Debts Expense would be recorded for A. AED 1,500. B. AED 2.540. C. AED 2.500. D. AED 3,500 .
Bad Debts Expense would be recorded for C AED 2,500. This amount is calculated by multiplying the estimated percentage of uncollectible accounts (5%) by the Accounts Receivable balance (AED 50,000) minus the credit balance in the Allowance for Doubtful Accounts (AED 1,000).
To determine the amount of Bad Debts Expense, we need to calculate the estimated uncollectible amount based on the given information. The Accounts Receivable balance of AED 50,000 represents the total amount owed to the company by its customers. The Allowance for Doubtful Accounts is a contra-asset account used to estimate and offset the potential losses from uncollectible accounts. In this case, it has a credit balance of AED 1,000.
To estimate the Bad Debts Expense, we multiply the estimated percentage of uncollectible accounts (5%) by the net Accounts Receivable balance. The net balance is calculated by subtracting the credit balance in the Allowance for Doubtful Accounts (AED 1,000) from the Accounts Receivable balance (AED 50,000). 5% of AED 49,000 (AED 50,000 - AED 1,000) equals AED 2,450. However, since the options provided are rounded, the closest amount is AED 2,500. Therefore, Bad Debts Expense would be recorded for AED 2,500 in this scenario.
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investing cash flows would include which of the following? multiple choice payment for advertising. payment of dividends to stockholders. payment for land. cash sales to customers.
Investing cash flows would include payment for land.
What are investing cash flowsThe investing cash flows would include the payment for land.
Investing activities are those that involve the acquisition or disposal of long-term assets, such as property, plant, and equipment (PPE), intangible assets, and investments.
Payment for advertising and cash sales to customers are not considered investing activities, as they are related to the company's operating activities. Payment of dividends to stockholders is a financing activity.
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QUESTION 3 of 10: Two major circus acts have agreed to perform at the stadium if they can get seven consecutive days each. On average,
each performance will provide a profit margin of $35,000 for the stadium. How much will the stadium's profit margin be if it signs both acts to
one-week deals?
a) $100,000
b) $250,000
c) $490,000
d) $500,000
What kinda of block can result from poor language skills
Answer:
Lack of communication can cause minunderstanding and confusion with both parties
Explanation:
Mel suddenly finds an opportunity to sell boxed dinners. The new opportunity would require the use of the 30 percent unused capacity. The contribution margin from the dinners would amount to $3,000 annually. Required: a. If Mel decides to sell dinners, what are the total costs for both making and buying the cookies?
Answer:
$900
Explanation:
The computation of the total cost for both making and buying the cookies is given below:
But before that the variable cost per unit is
= (Cost of goods sold - fixed cost) ÷ (sales units)
= ($13,500 - $4,500) ÷ ($180,000 ÷ 6)
= $3
now the total cost is
= 300 × $3
= $900
What is Anderson hoping to do as a next step and why
Answer:
To make the game into an app
Explanation:
Interestingly, William Anderson was passionate about what he was doing; this passion led Anderson to think about making his Wealth Effect Game an app.
Why? Because he realized that most people lacked basic financial skills and his goal was to to make an app that would allow teachers throughout the country teach their students financial literacy effectively.
Issued a cheque for rs 28500 for office rent after deducting 5 percent rate tax make journal. Entries of this format
The journal entry for the transaction would be: Office Rent Expense 28,500.00, Input Tax Credit 1,500.00 and Bank 27,000.00
The Office Rent Expense account will be debited for the full amount of Rs. 28,500, which represents the gross amount of the rent payment. The Input Tax Credit account will be credited with Rs. 1,500, which represents the amount of tax deducted at the rate of 5% on the rent payment.
Finally, the Bank account will be credited with the net amount of Rs. 27,000, which is the difference between the gross amount of rent paid and the tax deducted at source.
This entry reflects the payment of office rent and the deduction of tax at source. It also shows the claim of Input Tax Credit that the company is entitled to based on the tax deducted at source.
The entry accurately records the transaction in the company's books of accounts and provides a clear and transparent picture of the payment made to the landlord after deducting the tax amount.
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All of the following are examples of secondary types of data except:
A. U.S. Census data
B. Consumer Reports
C. test market
D. Rotten Tomatoes (movie reviews)
My social network is larger than most peoples. Agree or disagree
A social network refers to the web of relationships an individual has with friends, family, colleagues, and acquaintances. The size of a person's social network can vary greatly depending on factors such as personality, interests, and life experiences. Extroverted individuals, for example, might have larger social networks due to their ability to easily engage with others and form connections. Furthermore, those involved in numerous activities or organizations are more likely to have a larger network of contacts.
In today's digital age, social media platforms have played a significant role in expanding social networks. Through these platforms, individuals can easily communicate and interact with others regardless of geographical boundaries. This connectivity has resulted in the possibility of having larger social networks than in the past.
Ultimately, the size of one's social network depends on various factors, and it is up to the individual to determine if their network is larger than most people's. The important aspect is the quality of relationships within the network and the support, encouragement, and companionship they provide.
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What is the typical relationship between a person's network size and the number of job leads they have?
a. The smaller the network, the more job leads available
b. The larger the network, the more job leads available
C. The larger the network, the fewer job leads available
d. None of the above
Please select the best answer from the choices provided
A
B
Оооо
С
Answer:
is it b?
Explanation:
the product/service component of the feasibility study typically includes which of the following aspects?
The product/service component of a feasibility study typically includes aspects such as market analysis, product/service description, competitive analysis, pricing strategy, and potential customer demand.
The product/service component of a feasibility study focuses on evaluating the viability and potential success of the proposed product or service. It involves several key aspects that need to be assessed and analyzed.
Market analysis is an essential part of the product/service component. It involves evaluating the target market, identifying potential customers, understanding market trends, and assessing market demand. This analysis helps determine the market potential for the product or service.
A thorough product/service description is necessary to provide a clear understanding of what the offering entails. This includes detailing its features, benefits, unique selling points, and any intellectual property rights associated with it.
Competitive analysis examines the existing competition in the market. It involves identifying direct and indirect competitors, analyzing their strengths and weaknesses, and assessing the market share they hold. This analysis helps identify opportunities and challenges in the competitive landscape.
Pricing strategy is another crucial aspect. It involves determining the appropriate pricing model for the product or service, considering factors such as production costs, market demand, competition, and perceived value.
Assessing potential customer demand is essential to understand the target audience's needs, preferences, and willingness to adopt the product or service. This analysis helps gauge the market's acceptance and the potential customer base.
By evaluating these aspects within the product/service component, a feasibility study aims to assess the viability and potential success of the proposed offering, providing valuable insights for decision-making and future planning.
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The product/service component of the feasibility study should include which of the following aspects?
A. Stage of development
B. Competition
C. Market penetration
D. Cost forecast
The payback method helps firms establish and identify a maximum acceptable payback period that helps in their capital budgeting decisions. Fuzzy Button Clothing Company is a small firm, and several of its managers are worried about how soon the firm will be able to recover its initial investment from Project Beta's expected future cash flows. To answer this question, Fuzzy Button's CFO has asked that you compute the project's payback period using the following expected net cash flows and assuming that the cash flows are received evenly throughout each year. Complete the following table and compute the project's conventional payback period. For full credit, complete the entire table. Note: Round the conventional payback period to two decimal places. Year O -4,000,000 Year 1 $1,600,000 Year 2 $3,400,000 Year 3 $1,400,000 Expected cash flow Cumulative cash flow Conventional payback period: The conventional payback period ignores the time value of money, and this concerns Fuzzy Button's CFO. He has now asked you to compute Beta's discounted payback period, assuming the company has a 7% cost of capital. Complete the following table and perform any necessary calculations. Round the discounted cash flow values to the nearest whole dollar, and the discounted payback period to the nearest two decimal places. For full credit, complete the entire table. Year o -4,000,000 Year 1 $1,600,000 Year 2 $3,400,000 Year 3 $1,400,000 Cash flow Discounted cash flow Cumulative discounted cash flow Discounted payback period: C Which version of a project's payback period should the CFO use when evaluating Project Beta, given its theoretical superiority? O O The discounted payback period The regular payback period One theoretical disadvantage of both payback methods-compared to the net present value method is that they fail to consider the value of the cash flows beyond the point in time equal to the payback period. How much value does the discounted payback period method fail to recognize due to this theoretical deficiency? $4,112,509 $1,607,836 $2,638,144 $1,142,817 O
The conventional payback period for Project Beta is 2.71 years, while the discounted payback period is 2.98 years, considering a 7% cost of capital. The discounted payback period method fails to recognize $4,112,509 due to this theoretical deficiency. Here option A is correct.
To calculate the conventional payback period, we need to determine the year when the cumulative cash flows become positive:
Year Expected cash flow Cumulative cash flow
0 -$4,000,000 -$4,000,000
1 $1,600,000 -$2,400,000
2 $3,400,000 $1,000,000
3 $1,400,000 $2,400,000
The cumulative cash flows become positive in Year 3. To determine the payback period, we need to calculate the fraction of the Year 3 cash flow required to reach the breakeven point:
$2,400,000 / $1,400,000 = 1.71
Therefore, the conventional payback period is 2.71 years.
To calculate the discounted payback period, we need to discount each cash flow to its present value using a 7% cost of capital:
Year Expected cash flow Discount factor Discounted cash flow Cumulative discounted cash flow
0 -$4,000,000 1.0000 -$4,000,000 -$4,000,000
1 $1,600,000 0.9346 $1,494,464 -$2,505,536
2 $3,400,000 0.8734 $2,968,716 $463,180
3 $1,400,000 0.8163 $1,144,834 $1,608,014
The cumulative discounted cash flows become positive in Year 3. To determine the discounted payback period, we need to calculate the fraction of the Year 3 discounted cash flow required to reach the breakeven point:
($1,608,014 - $463,180) / $1,144,834 = 0.976
Therefore, the discounted payback period is 2.98 years.
Given its theoretical superiority, the CFO should use the discounted payback period to evaluate Project Beta.
One theoretical disadvantage of both payback methods compared to the net present value method is that they fail to consider the value of the cash flows beyond the point in time equal to the payback period. The discounted payback period method fails to recognize $4,112,509 due to this theoretical deficiency.
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outline any two actions regarded as discriminatory by the labour relations Act (act 66 of 1995)
This Act governs trade unions' organizational rights and promotes and facilitates collective bargaining at the workplace and at the sectoral level. It also addresses strike and lockout situations, workplace forums, and alternative dispute resolution.
What is National Labor Relations Act?The National Labor Relations Act of 1935 is a foundational statute of US labor law that guarantees private sector employees the right to organize into trade unions, engage in collective bargaining, and take collective action such as strikes. The act's centerpiece was a prohibition on company unions. This Act governs trade unions' organizational rights and promotes and facilitates collective bargaining at the workplace and at the sectoral level. It also addresses strike and lockout situations, workplace forums, and alternative dispute resolution. Maintain associational freedom and the effective recognition of the right to collective bargaining maintain the abolition of all forms of forced and compulsory labor maintain the effective abolition of child laborTo learn more about National Labor Relations Act, refer to:
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the company-level purchasing organization is the most centralized model. true or false
"The company-level purchasing organization is the most centralized model" is true.
A company-level purchasing organization is a centralized model where all purchasing decisions and activities are managed at the company level. This approach streamlines procurement processes and ensures consistency across the entire organization.
Let me break down the benefits and drawbacks of this centralized model step by step:
1. Cost Savings: Centralized purchasing can result in cost savings due to economies of scale. When the company negotiates contracts and purchases in bulk, it can achieve better pricing and discounts from suppliers.
2. Improved Efficiency: By having a centralized purchasing team, companies can standardize processes and procedures, reducing duplication of efforts and increasing efficiency.
3. Better Control and Compliance: Centralization allows for better control and compliance with company policies and regulatory requirements. The purchasing team can monitor spending and ensure adherence to purchasing guidelines.
4. Enhanced Supplier Relationships: A centralized purchasing organization can build stronger relationships with key suppliers, leading to improved communication, collaboration, and potential partnership opportunities.
However, there are some drawbacks to consider with a centralized model:
1. Reduced Flexibility: Local or department-level needs might not be addressed as effectively in a centralized model. The purchasing team may be less responsive to the unique requirements of specific departments or locations.
2. Potential Bureaucracy: A centralized purchasing organization can sometimes become bureaucratic, leading to slower decision-making and delays in processing purchase requests.
In conclusion, the company-level purchasing organization is indeed the most centralized model, offering various benefits such as cost savings, improved efficiency, better control, and enhanced supplier relationships. However, it is essential to consider the potential drawbacks, such as reduced flexibility and potential bureaucracy, when implementing this model in your organization.
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am I correct? if not lmk the answer please
is it ethical or unethical to cheat on your taxes? Explain why or why not
Answer:
it would be unethical to do that because you are breaking the law
Answer:
It would be unethical.
Explanation:
coconutoil2217 is correct, it would be unethical to cheat on your taxes.
The board of directors of Cullumber Corporation is considering two plans for financing the purchase of new plant equipment. Plan #1 would require the issuance of $5,700,000, 8%, 20-year bonds at face value. Plan #2 would require the issuance of 100,000 shares of $5 par value common stock which is selling for $57 per share on the open market. Cullumber Corporation currently has 100,000 shares of common stock outstanding and the income tax rate is expected to be 35%. Assume that income before interest and income taxes is expected to be $656,000 if the new factory equipment is purchased. Prepare a schedule which shows the expected net income after taxes and the earnings per share on common stock under each of the plans that the board of directors is considering. (Do not leave any answer field blank. Enter O for amounts. Round earnings per share to 2 decimal places, e.g. 5.25.) Plan #1 Issue Bonds Plan #2 Issue Stock $ $ $ $ $ $
Given data: Plan #1 would require the issuance of $5,700,000, 8%, 20-year bonds at face value. Plan #2 would require the issuance of 100,000 shares of $5 par value common stock which is selling for $57 per share on the open market.
Cullumber Corporation currently has 100,000 shares of common stock outstanding. The income tax rate is expected to be 35%.Income before interest and income taxes is expected to be $656,000 if the new factory equipment is purchased. Calculation of interest on Plan #1:Interest rate = 8%Face value of bonds = $5,700,000Interest = Face value × Interest rate = $5,700,000 × 8% = $456,000 Calculation of Net Income and Earnings per share for Plan #1:Net income after interest and taxes = Income before interest and income taxes − Interest − Taxes= $656,000 − $456,000 − 35%($656,000 − $456,000)= $656,000 − $456,000 − $70,000= $130,000 Earnings per share (EPS) = Net income after interest and taxes / Number of shares outstanding= $130,000 / 100,000= $1.30 Calculation of
Net Income and Earnings per share for Plan #2: Number of shares outstanding = 100,000 Number of new shares to be issued = 100,000Net income after interest and taxes = Income before interest and income taxes − Taxes= $656,000 − 35%($656,000) = $656,000 − $229,600= $426,400 Earnings per share (EPS) = Net income after interest and taxes / Number of shares outstanding= $426,400 / (100,000 + 100,000)= $426,400 / 200,000= $2.13The schedule which shows the expected net income after taxes and the earnings per share on common stock under each of the plans that the board of directors is considering is given below: Plan #1Issue Bonds Plan #2 Issue Stock Income before interest and income taxes$656,000$656,000Interest$(456,000)$-Taxes$(70,000)$(229,600) Net Income after taxes$130,000$426,400Earnings per share (EPS)$1.30$2.13Therefore, the expected net income after taxes and the earnings per share on common stock under each of the plans that the board of directors is considering are $130,000 and $1.30 for Plan #1 (Issuance of Bonds) and $426,400 and $2.13 for Plan #2 (Issuance of Stock).
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after specialization, suppose that rob and big trade with one another and rob sends big 239 cows. in order for both rob and big to benefit from trade, what is the least quantity of pigs that big must send rob? round your answer to two decimal places.
For trading to be profitable for both Big and Rob, Big must send Rob at least 179 pigs.
Let's say Rob and Big both grow and sell animals. Rob and Big can raise these creatures to various degrees since they each have particular strengths. Rob can generate either 10 cows or 20 piglets in a single day. Big is able to generate 36 piglets or 9 cows in a single day. Let's say Rob and Big decide to trade only in their areas of expertise. Rob will produce 300 cows and 0 pigs in a month (30 days), whereas Big will generate 1080 pigs and 0 cows.
Now, as the aforementioned claim shows:
IN 1 DAY:
What ROB can create
ten cows or twenty hogs.
BIG can generate:
Either 36 pigs or 9 cows.
Big and Rob will each produce 1080 pigs and 300 cows respectively for specialisation.
Rob gives Big 89 cows as payment.
In order for them both to gain from the deal,
number of pigs Big must at least send Rob as follows:
Cows Rob has 211 cows after sending 89 to Big.
Rob has an 8-day production rate of 89 cows.
Rob can produce 178 pigs in 8.9 days, or 8.9 (20).
For trading to be profitable for both Big and Rob, Big must send Rob at least 179 pigs.
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FILL IN THE BLANK for small projects, project managers should typically use _____.
For small projects, project managers should typically use lightweight project management methodologies or approaches.
Small projects often have unique characteristics that distinguish them from larger and more complex projects. In such cases, project managers should employ lightweight project management methodologies that are tailored to the specific needs and constraints of small projects.
These methodologies are typically more flexible, simplified, and adaptable compared to traditional project management approaches.
The use of lightweight project management methodologies allows project managers to focus on essential project elements, streamline processes, and avoid unnecessary bureaucracy.
They provide a framework that is suitable for small-scale projects, which may have limited resources, shorter timelines, and fewer stakeholders involved. Examples of lightweight methodologies include Agile, Scrum, Kanban, or Lean Project Management.
By utilizing lightweight project management methodologies for small projects, project managers can promote efficiency, enhance collaboration, and achieve project objectives effectively within the given constraints.
These approaches emphasize iterative development, continuous improvement, and close collaboration with stakeholders, enabling project teams to deliver value in a more streamlined and agile manner.
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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