The management of Shamrock Inc. is trying to decide whether it can increase its dividend. During the current year, it reported net income of $876,000. It had net cash provided by operating activities of $735,000, paid cash dividends of $93,000, and had capital expenditures of $310,000 (a1) Compute the company's free cash flow. (Show a negative free cash flow with either a-sign eg. - 15,000 or in parenthesis eg, (15,000)) Free cashflow $

Answers

Answer 1

The free cash flow of Shamrock Inc. is $425,000.

To calculate the free cash flow of Shamrock Inc., we need to consider the net cash provided by operating activities and subtract the capital expenditures.

Free cash flow represents the cash available for distribution to shareholders, reinvestment in the business, or debt reduction.

Here's how we calculate the free cash flow step-by-step:

1. Start with the net cash provided by operating activities, which is $735,000.

2. Subtract the capital expenditures, which are $310,000.

  Free cash flow = Net cash provided by operating activities - Capital expenditures
                 = $735,000 - $310,000
                 = $425,000

Therefore, the free cash flow of Shamrock Inc. is $425,000.

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Related Questions

When a loan is repaid to a bank there are __________ funds available in the M1 money supply.morestill the same amount offewernone of the above

Answers

When a loan is repaid to a bank, there are- C. fewer funds available in the M1 money supply.

What is the reason?

This is because M1 money supply is defined as the total amount of currency in circulation, checking account deposits, and traveler's checks, and a loan repayment reduces the amount of checking account deposits in the system.

As the bank receives the repayment, it reduces the balance in the borrower's account, effectively removing money from the M1 money supply.

This reduction in available funds in the M1 money supply can have an impact on the economy by reducing the amount of money available for spending and investment, which can lead to slower economic growth.

Hence, option c. is correct.

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when should an event programing be used

Answers

Answer:

The utilization of the given topic is summarized throughout the below section.

Explanation:

Event-driven programming language shall be used if the software doesn't somehow monitor the sequential order of such occurrence.The software circulation or activity was mostly directly guided to an external mechanism like a consumer or client (e.g. a GUI), a whole other method (e.g. a customer or a server).

why is freshness of ingredients important in salad preparation​

Answers

it’s important because it gets you to be a skinny legend and you need greens to survive.
When preparing salads with fresh ingredients, your food can retain a lot more nutrients and vitamins compared to processed foods.

The fresher the ingredients of the salad the better and more authentic the taste of the ingredients. This is because fresh ingredients provide the most flavour compared to ingredients contained with preservatives.

Fresh ingredients are also better for your health. Because there aren’t any preservatives and extra chemicals and oils, it fulfills the purpose of the salad.

Although fresh ingredients may not be cheap to buy, in the long run it will be better for you body because it won’t be filled with processed foods. Instead it will be filled with fresh ingredients that are beneficial to your health.

What are the seven functions of Marketing

Answers

Answer:

Explanation:

i need help on this too

Promotion.
Selling.
Product management.
Pricing.
Marketing information management.
Financing.
Distribution.

The two business elements that define a business and allow it to accomplish business goals are:_________

Answers

The two business elements that define a business and allow it to accomplish business goals are Strategy and Execution

Strategy: A clear and well-defined strategy is essential for a business to achieve its goals. A good strategy outlines the direction and scope of the business, and helps in making informed decisions about allocating resources, prioritizing actions, and responding to changes in the market or industry.

Execution: A solid execution plan is critical to the success of a business. It involves implementing the strategy effectively, managing resources efficiently, and delivering products or services that meet the needs of customers. Good execution requires strong leadership, effective communication, and a culture of accountability and continuous improvement.

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"Financial resources are the lifeblood of any office." Justify this statement.​

Answers

Answer:

This phrase states that financial resources are very important in any company, it represents "the lifeblood". In order to grow, any company needs financial support. The lack of money leads to problems within the company.

They are boosting production, generating jobs, and taking advantage of local and international economic prospects.

What is a resource?

A resource is any material that is obtainable to that in our surroundings that is commercially feasible, physically accessible, and environmentally desirable and that enables us to meet my wishes and needs.

Because banking is the golden key that grants all the resources necessary for someone to be engaged in producing and marketing processes, finance is regarded as the pulse of an industry. Effective financial administration is essential to a company's development.

Whatever the size of something like the organization, accounting is believed that it is the soul of a sector because it's necessary for all managers of a firm to achieve their objectives. When a company idea, financing is required from the outset.

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what does the processing date on irs transcript mean

Answers

The Internal Revenue Service is the duty agency of the United States civil government. This is information about when the duty instrument will be streamlined.

Processing Date is the date the IRS expects to reuse your duty return and refund.

The Internal Revenue Service( IRS) is responsible for collection in the United States Federal levies and administration of the Internal Revenue Code, the main body of statutory civil duty law.

IRS uses a sophisticated computer system to attune your income on your duty return with whatever your employers have reported using your name and social security number. levies reduce taxpayers' income.

As a result, taxpayers spend lower on particular goods and services, savings, and investments. The further services the state provides, the further taxpayers have to pay for them.

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If the average worker produces $40,000 of GDP, by how much will GDP change if there are 75 million labor force participants and the unemployment rate changes from 6.5 to 5.0 percent? Instructions: Round your response to one decimal place.

Answers

The change in GDP can be calculated by multiplying the initial GDP per worker with the change in the number of employed workers.

Given an average worker's GDP of $40,000 and a change in the unemployment rate from 6.5% to 5.0%, we can calculate the change in GDP. The initial number of employed workers can be calculated by subtracting the unemployed workers from the labor force participants. With a labor force of 75 million, a 6.5% unemployment rate corresponds to 4.875 million unemployed workers. Subtracting this from the labor force gives us 70.125 million employed workers. Similarly, with a 5.0% unemployment rate, the number of unemployed workers would be 3.75 million. Subtracting this from the labor force participants of 75 million gives us 71.25 million employed workers. To calculate the change in GDP, we can find the difference between the initial and final GDP:

Change in GDP = (Final number of employed workers - Initial number of employed workers) × GDP per worker

Change in GDP = (71.25 million - 70.125 million) × $40,000

Change in GDP ≈ 1.125 million × $40,000 = $45,000,000,000 (rounded to the nearest billion)

Therefore, if the unemployment rate changes from 6.5% to 5.0% with 75 million labor force participants and an average worker producing $40,000 of GDP, GDP will increase by approximately $45 billion.

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Technician A says that an air chisel is used to dress welds.
Technician B says that paintless dent repair (PDR) tools can be used to remove small dents.
Who is right?
O A only
O Bonly
O Both A and B
Neither Anor B

Answers

Answer:

B

Explanation:

Technician B is right a pdr can be used to remove dents

According to statement, technician b only is correct. Technician B says that paintless dent repair (PDR) tools can be used to remove small dents. Thus, option (b) is correct.

What is Technician?

The term technician is details of a subject or occupation, a computer technician.

Technician is work of repair and expert of work. It is easily handle problem and resolve solution.

As a result, option (b) is correct.

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We best learn from other people's struggles, successes, and stories.
True
O False

Answers

Answer:

true bhe

Explanation:

syempre natututo rin tayo sa mga pagkakamali ng iba dahil sa pagkatuto natin alam na natin yung gagawin natin para maiwasan ang pagkakamali nila.

Answer:

true

Explanation:

02.01 LC)

Work you do for pay is called a _____.

A. service industry
B. diverse workforce
C. job
D. volunteer job

Answers

The correct answer is C

The two basic approaches to successfully manage cooperative strategic alliances involve __________ and __________.

Answers

The two basic approaches to successfully manage cooperative strategic alliances involve collaboration and coordination.

1. Collaboration: This approach emphasizes the importance of working together and pooling resources to achieve common goals. In a cooperative strategic alliance, collaboration involves sharing knowledge, expertise, and resources between the partnering organizations. By collaborating effectively, organizations can leverage their complementary strengths, access new markets, and develop innovative products or services. For example, two companies in the automotive industry may form an alliance to develop and share electric vehicle technologies, benefiting from each other's expertise and resources.

2. Coordination: This approach focuses on aligning the activities and strategies of the partnering organizations to ensure smooth and efficient operations. Coordination involves establishing clear communication channels, setting shared objectives, and defining roles and responsibilities. Effective coordination helps prevent conflicts, reduces duplication of efforts, and maximizes the overall value of the alliance. For instance, in a strategic alliance between a clothing manufacturer and a logistics provider, coordination is crucial to ensure that production and distribution processes are synchronized, resulting in timely delivery of products to customers.

Both collaboration and coordination are essential for managing cooperative strategic alliances successfully. Collaboration fosters innovation, synergy, and the sharing of resources, while coordination ensures that activities are aligned and integrated effectively. By utilizing both approaches, organizations can achieve mutual benefits and enhance their competitive advantage in the marketplace.

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Investment 2 Study questions Practice Questions: 1. On January 1, Stacy's portfolio was valued at $96,534. During the year Stacy received $3,285 in interest and $4,100 in dividends. She also sold one stock at a gain of $850. The value of the portfolio on December 31 of the same year was $113,201. At the end of June, Stacy withdrew $5,000 from the portfolio. What is the holding period return for the year? (refer slides for the formula) Sol: 25. 8% 2. Six months ago, Suzanne purchased a stock for $28 a share. Today she sold the stock at a price of $32 a share. During the time she owned the stock, she received a total of $1. 30 in dividends per share. What is her holding period return? Sol: 18. 9% 3. On January 1, Tim's portfolio was valued at $432,098. During the year Tim received $10,563 in interest and $15,060 in dividends. He also sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any more funds nor withdraw any funds during the year. On December 31 of the same year, Tim's portfolio was valued at $398,189. What is the holding period return for the year? Sol: -1. 9%

Answers

The holding period return for Stacy's portfolio for the year is 25.8%. The holding period return for Suzanne's stock is 18.9%.Tim's holding period return for the year is -4.67%, indicating a negative return.

Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value

In Stacy's case, the beginning value of her portfolio on January 1 was $96,534, and the ending value on December 31 was $113,201. She received $3,285 in interest, $4,100 in dividends, and had a gain of $850 from selling a stock. She also withdrew $5,000 at the end of June.

Holding Period Return = [($113,201 - $96,534 + $3,285 + $4,100 + $850) - $5,000] / $96,534

= ($24,902 + $4,100 + $850 - $5,000) / $96,534

= $24,852 / $96,534

= 0.257 or 25.8%

Therefore, the holding period return for Stacy's portfolio for the year is 25.8%.

Holding Period Return = [(Ending Value - Beginning Value) + Dividends] / Beginning Value

In Suzanne's case, the beginning value of the stock was $28 per share, and the ending value was $32 per share. She received $1.30 in dividends per share.

Holding Period Return = [($32 - $28) + $1.30] / $28

= ($4 + $1.30) / $28

= $5.30 / $28

= 0.189 or 18.9%

Therefore, Suzanne's holding period return for the stock is 18.9%.

In the case of Tim's portfolio, the holding period return for the year is -1.9%.

Tim's portfolio had an initial value of $432,098 on January 1 and a value of $398,189 on December 31. He received $10,563 in interest and $15,060 in dividends. However, he sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any additional funds or make any withdrawals during the year.

Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value

= [($398,189 - $432,098) + $10,563 + $15,060 + (-$12,870)] / $432,098

= (-$33,909 + $10,563 + $15,060 - $12,870) / $432,098

= -$20,156 / $432,098

= -0.0467 or -4.67%

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7. Another example of opportunity cost is a company's cost of capital. Suppose a manufacturer wants to add

microwave ovens to its product line. To do this, it must invest $500,000 in new equipment.


Besides the original investment, the company estimates it would spend $200,000 per year on production

costs for labor and materials. It also estimates that it could sell about $225,000 worth of microwave ovens

each year. Would it benefit the company to manufacture the microwave ovens if it could earn 10 percent

interest by purchasing U.S. Treasury bonds with the $500,000? Explain your answer.

Answers

Answer:

You should invest in US bonds because you will be able to earn a higher return than if you build and sell microwaves.

Explanation:

alternative 1, build and sell microwave ovens:

initial outlay = $500,000

net cash flow per year = $225,000 - $200,000 = $25,000

alternative 2, invest in US securities:

investment = $500,000

net cash flow per year = $500,000 x 10% = $50,000

Opportunity costs are the benefits lost or extra costs resulting from choosing one activity or investment over another.

If you choose to build and sell microwaves, you will not be able to invest in bonds, and therefore, your net income will decrease by $25,000 - $50,000 = -$25,000.

Instead, if you invest in bonds and not microwaves, your net income will increase by $50,000 - $25,000 = $25,000.

You should invest in US bonds because you will be able to earn a higher return than if you build and sell microwaves.

The calculation is as follows:

alternative 1, build and sell microwave ovens:

initial outlay = $500,000

So,

net cash flow per year = $225,000 - $200,000 = $25,000

now

alternative 2, invest in US securities:

investment = $500,000

net cash flow per year = $500,000 x 10% = $50,000

In the case when  you choose to build and sell microwaves, you will not be able to invest in bonds, and therefore, your net income will decrease by $25,000 - $50,000

= -$25,000.

Now

Instead, if you invest in bonds and not microwaves, your net income will increase by $50,000 - $25,000

= $25,000.

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Which career pathway describes the two main aspects of the Business, Management, and Administration career
cluster?
O Management and Budgeting
Secretarial and Administration
Management and Administration
O Marketing and Business
PLEASE HELP ME

Answers

Answer:

Secretarial and Administration

Explanation:

Business, Management, and Administration can be defined as a strategic process which typically involves controlling, directing and organizing the personnel and resources of a business in order to achieve the goals and objectives of the business firm. Thus, it provides students with the requisite knowledge and skills for the effective and efficient management of the operations of a business based on factors such as finance, administrative functions, records, and secretarial.

Hence, the career pathway which describes the two main aspects of the Business, Management, and Administration career cluster are Secretarial and Administration. These two aspects deals with office management, records and book keeping, typing of documents, etc.

Answer:

C

Explanation:

flexible scheduling a. is more likely to be available to women than men. b. increases stress in dealing with work and family issues. c. is associated with lower turnover. d. is available to the majority of workers in the u.s.

Answers

Lower turnover is correlated with flexible scheduling. With a flexible schedule, you may work when you're most effective and have the freedom to design the work-life balance that best suits your needs.

Flexibility in scheduling is not an option for every business or division. For instance, you might require your employees to have a nine-to-five schedule if they work in the services sector and frequently communicate with consumers on the phone and in person.

Employees who have a flexible work schedule have more freedom to design their own schedules and strike a work-life balance that suits them. A flexible schedule enables employees to alter the times they start and end their workdays in place of the standard 40-hour workweek.

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What personnel records would you suggest for a small retailer with three employees?

Answers

Explanation:

For a small retailer with three employees, the ideal would be to keep personnel records well organized, because regardless of the size of the company, the records function as a perspective of the human resources department and a protection for the company, therefore it is essential that the company have registration forms, selection data, evaluation reports, disciplinary forms, job description, social security number, etc.

governments of ____ countries can encourage trade by minimizing interference with the free exchange of goods and services.

Answers

Answer:

Developing

Explanation:

Which figure (amount) should be larger?
A. Expenses
B. income
C. Extras
D. Needs

Answers

ANSWER:

Income

WHY:

The expenses and extras and needs should all add up to the income and the income should be over these expenses


MARK ME BRAINLIEST PLEASE

the 1970's period of stagflation involved a. relatively high unemployment. b. relatively high inflation. c. relatively low economic growth. d. high economic expansion. e. a, b, and c.

Answers

The 1970s period of stagflation involved relatively high unemployment, high inflation, and relatively low economic growth,  the correct option is e). a, b, and c.

Stagflation is an economic phenomenon characterized by a stagnant economy coupled with high inflation and unemployment. This unique situation occurred in the 1970s, primarily due to a combination of factors such as the oil price shocks, poor monetary policy, and structural issues in the economy.

High unemployment during this period was a result of the slow economic growth, as businesses faced reduced demand for goods and services, leading to job losses. The high inflation rate was caused by factors such as rising energy prices, which increased production costs for businesses and, in turn, raised the prices of goods and services. Moreover, the monetary policy of that time, focused on managing inflation, was not effective enough in curbing the rise in prices.

Low economic growth during the stagflation period was a consequence of the aforementioned factors, as well as structural issues in the economy, such as the decline in manufacturing and the transition to a service-based economy. This transition, along with other challenges, contributed to a sluggish economy that struggled to recover from the stagflation.

In conclusion, the 1970s stagflation involved high unemployment, high inflation, and low economic growth, posing a significant challenge for policymakers and leaving a lasting impact on economic theory and policy-making.

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Michael’s personal property in his college dorm room is insured by an endorsement on his parents’ homeowners insurance. The deductible is $2,000. A flood destroys Michael’s textbooks, which cost $570.93 tablet computer, which cost $868.91 backpack, which cost $141.37 and clothing, valued at $500. How much of the loss will the insurance policy not cover?

Answers

Answer:

81.21.

Explanation:

all you would need to do is add up all the values then subtract 2000.

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The most common type of two-year college is called a(n):
O A. trade college.
B. liberal arts college.
C. community college.
O D. apprenticeship college.

Answers

The answer is community college

Answer:

c.

Explanation:

just took the test

Question 26 Listen A manufacturer is considering a switch from manufacturers' representatives to an internal sales force. The following cost estimates are available. Manufacturers' reps are paid 7.9% commission and incur $645,000 in fixed costs, while an internal sales force has fixed costs projected at $2,080,000 and would receive 3.0% commission. At what sales volume would the manufacturer be indifferent between the two alternatives? Report your answer in dollars. Your Answer: Answer Question 27 4) Listen ► A manufacturer is considering a switch from manufacturers' representatives to an internal sales force. The following cost estimates are available. Manufacturers' reps are paid 8.8% commission and incur $600,000 in fixed costs, while an internal sales force has fixed costs projected at $1,750,000 and would receive 3.3 % commission. Assume that sales revenue is double the breakeven volume or the point at which the manufacturer would be indifference between reps and an internal sales force. At this volume, how much would the manufacturer save, assuming the company had switched to an internal sales force? Report your answer in dollars. Your Answer:

Answers

The manufacturer would be indifferent between manufacturers' representatives and an internal sales force at a sales volume of approximately $29,285,714.29. The savings achieved by switching to an internal sales force at double the breakeven volume can be calculated using the provided cost estimates.

To determine the sales volume at which the manufacturer would be indifferent between manufacturers' representatives and an internal sales force, we need to equate the costs of both options.

For the manufacturers' representatives:

Total cost = Commission + Fixed costs

Total cost = 7.9% of sales + $645,000

For the internal sales force:

Total cost = Commission + Fixed costs

Total cost = 3.0% of sales + $2,080,000

To find the sales volume, we set the total costs of both options equal to each other:

7.9% of sales + $645,000 = 3.0% of sales + $2,080,000

Subtracting 3.0% of sales from both sides gives:

4.9% of sales + $645,000 = $2,080,000

Subtracting $645,000 from both sides gives:

4.9% of sales = $2,080,000 - $645,000

4.9% of sales = $1,435,000

Dividing both sides by 4.9% gives:

sales = $1,435,000 / 4.9%

sales ≈ $29,285,714.29

Therefore, the manufacturer would be indifferent between manufacturers' representatives and an internal sales force at a sales volume of approximately $29,285,714.29.

For the second question, we need to find the savings achieved by switching to an internal sales force at double the breakeven volume.

Assuming the breakeven volume is the sales volume at which the manufacturer would be indifferent, which is $29,285,714.29, we can calculate the savings.

Savings = Total cost with manufacturers' reps - Total cost with internal sales force

Savings = (8.8% of sales + $600,000) - (3.3% of sales + $1,750,000)

At the breakeven volume, the sales would be $29,285,714.29:

Savings = (8.8% of $29,285,714.29 + $600,000) - (3.3% of $29,285,714.29 + $1,750,000)

Calculating this equation will give the amount saved by switching to an internal sales force.

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which statement describes a main advantage of using cash over other forms of payment

Answers

The main advantage of using cash over other forms of payment is that its eliminates the possibility of overspending.

How does cash eliminates overspending?

While doing a physical transaction, there will not be a situation of overspending because the person can not purchase more than the cash value he/she has on him/her.

Hence, the main advantage of using cash over other forms of payment is that its eliminates the possibility of overspending.

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What are the goals of government regulation?
low unemployment, price stability,
economic growth
O high unemployment, price instability,
economic growth
low unemployment, price stability,
economic steadiness
O high unemployment, price instability,
economic steadiness

Answers

Answer: A)  low unemployment, price stability, economic growth

Explanation: Government regulation attempts to promote growth, full employment, and price stability for the well-being of the citizens

The goals of an ideal government while making regulations shall include the following purposes,

low unemployment, price stability,economic growth.

Therefore, the option A holds true.

What is the significance of government goals?

The goals of a government can be referred to or considered as the qualitative and quantitative targets set by the government in order to foresee better conditions in the future. These are backed by economic plans and regulations.

For a developing or a developed government, the goals must be economically based while being regulated. These goals must include reduced poverty and unemployment in order to achieve a healthy economic growth.

Therefore, the option A holds true and states regarding the significance of the goals of a government.

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Can anyone give me some tips on how to become a successful businesswoman

Answers

I’m 13 but I know some stuff, you should always have a plan for the future and know what business you want to start. Another big thing is to have a friend that has the same business so you can learn from them. You should be social and have contacts.

According to Thiele (2013), the richest 1% of the world's population owns over ___________ of global assets.

Answers

Answer:  

40%

Explanation:

According to Thiele (2013), the richest 1% of the world's population owns over ___________ of global

Question 22 of 25

Why does the growth of international trade lead to a rising global standard of

living?

A. International trade creates profitable investment opportunities for

currency speculators.

B. International trade results in a gain of comparative advantage for

developing countries.

C. International trade enables specialization, which brings increased

efficiency and greater competition.

D. International trade leads to trade wars that require countries to

increase their productive capabilities.

Answers

The growth of international trade lead to a rising global standard of living because  C. International trade enables specialization, which brings increased

What is  International trade?

International trade allows countries to specialize in the production of goods and services in which they have a comparative advantage, meaning they can produce these goods and services at a lower cost than other countries.

Therefore, By specializing, countries can increase their efficiency, reduce their costs, and improve the quality of their products, which in turn makes them more competitive in the global market. This increased efficiency and competition can lead to higher economic growth, which can improve the standard of living for people in participating countries.

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How do we use information properly?.

Answers

Information aids in the avoidance of research duplication.

What is an information and how to use it properly?Data used by people to make sense of the world is defined as information. It is knowledge that has been gained or shared through study, instruction, investigation, or news, and it is shared through the act of communicating, whether verbally, nonverbally, visually, or in writing.

Here are a few tips for making better use of information and thinking more efficiently:

Be quiet and attentive.Never ignore what your emotions are telling you.Never think when under duress.Never concentrate on a single point of view.Information aids in avoiding research duplication. Information is attained thought processes of users, especially scholars. Scientists, engineers, scholars, and others can use information to stay informed about current advancements in their fields and to stay current.

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Harry’s shoe store has noticed a significant increase of revenue of $123,000. The manager has also determined that the total expenses equal to $128,000. Will this business net a profit or loss? _____ How much of a profit or loss?_____

Answers

Answer:

Net loss; $5,000

Explanation:

$123,000 (income)

- 128,000 (expenses)

_________________

-5,000

Other Questions
Consumption Function Is C = 100 + 0.8Y. A. What Is The Value Of Expenditure Multiplier? B. What Does Y Stand For In The Above Consumption Function? A. Multiplier= 5 B. GDP A. Multiplier= 4 B. GDP A. Multiplier= 3 B. GDP A. Multiplier= 5 B. SavingIn an economy, the consumption function is C = 100 + 0.8Y.a. What is the value of expenditure multiplier?b. What does Y stand for in the above consumption function?a. Multiplier= 5b. GDPa. Multiplier= 4b. GDPa. Multiplier= 3b. GDPa. Multiplier= 5b. saving what is the probability of flipping a head in 3 consecutive flips of a fair coin? Maria is putting up a shelf on a wall in her closet. The figure below shows triangle ABC, whichrepresents a bracket that will be used to support the shelf. What is the length of the wall? * Answer pls brainliest Planes X and Y and points C, D, E, and F are shown.Vertical plane X intersects horizontal plane Y. Point D is on the left half of plane Y. Point F is on the bottom half of plane X. Point E is on the right half of plane Y. Point C is above and to the right of the planes.Which statement is true about the points and planes?The line that can be drawn through points C and D is contained in plane Y.The line that can be drawn through points D and E is contained in plane Y.The only point that can lie in plane X is point F.The only points that can lie in plane Y are points D and E. What type of figurative language is represented in the following quote?"O God, I have an Ill-divining soul!Methinks I see thee, now thou art so low,As one dead in the bottom of a tomb."A. foreshadowingB. hyperboleC. understatementD. metaphor Which best describes the relationship between the successive terms in the sequence shown?9, -1, -11, -21,The common difference is -10,The common difference is 10The common ratio is -9)The common ratio is 9. Compared with other cell components (organelles, cell membrane or nucleus), the mitochondria would be the only one that would If f(x)=x^28x and g(x)=12x^2 what is g(f(4))? An 8th Grader is paid for the chores they do around the house. (Although they shouldn't be paid... They don't pay rent and eat for free. That is payment enough!)The table shows the frequency and cumulative frequency of their undeserved income. Fill in the missing blanks.Months Income Cumulative1 to 3 $100 .............$-----4 to 6 $------ ------$3007 to 9 $ ------------ $40010 to 12 $300 ............$----- The Generic Genetic (GG) Corporation pays no cash dividends currently and is not expected to for the next four years. Its latest EPS was $5.60, all of which was reinvested in the company. The firms expected ROE for the next four years is 22% per year, during which time it is expected to continue to reinvest all of its earnings. Starting in year 5, the firms ROE on new investments is expected to fall to 17% per year. GGs market capitalization rate is 21% per year.a. What is your estimate of GGs intrinsic value per share? (Round your answer to 2 decimal places.)b. Assuming its current market price is equal to its intrinsic value, what do you expect to happen to its price over the next year? The variability around a regression line, which determines the fit of a regression line, can be calculated in Excel. Which function does Excel use for this residual variance? Find the coordinates of the midpoint of line segment lb if l (8, 5) and b (-6, 2). The area of a square with side length of 5 cm is ___________ cm. Simplify -|-7 + 4|. please helppppp NEED HELP PLSSSCompound A has a mass of 20.00 u. Compound B has a mass of 60.00 u. How will the number of molecules in 5.00 g of Compound A compare to the number of molecules in 15.00 g of Compound B What is the charge of a Li ion? A. +1B. +2C. -1D.-2 Rowlandson's CaptorsBased on Rowlandson's descriptions, how would you characterize her captors? Use a direct quote from the text to explainyour thinking. You must embed the quote in your analysis (see previous example). Kumaran Pillay has a vegetable stall at the Suva Market. His business has been plagued with under-stocking and over-stocking problems for some time now. When he under-stocks, he loses sales as customers move to competing stalls. When he over-stocks, is left with unsold vegetables. These are perishable and cannot be kept long for later sales. Pillay is concerned with how he can minimize these losses stemming from under and over-stocking. 1. Identify and explain how he could use 3 qualitative forecasting methods to improve his stocking. Note that you will need to justify your proposals and link it to the business being discussed. (10 marks)2. Identify and explain how he could use 2 quantitative forecasting methods to improve his stocking. Note that you will need to justify your proposals and link it to the business being discussed. (10 marks) 10. A fellow prisoner, who is a Polish priest, tells Vladek about his number. List three reasonswhy Vladek's number is suspicious. How do these details help Vladek to better cope with theconditions of Auschwitz?PLEASEE HELPPP!!!!!