in a highly competitive industry, what are the likely consequences of a firm neglecting its current core competencies?

Answers

Answer 1

Neglecting a firm's current core competencies can have several consequences in a highly competitive industry: Loss of market share, Decreased profitability and Decreased customer satisfaction.

Loss of market share: If a company fails to invest in its core competencies, it may lose its competitive advantage and struggle to retain its market share. Competitors who are investing in their core competencies and innovating may attract customers away from the neglected firm.

Decreased profitability: Neglecting core competencies can lead to decreased efficiency, quality, and productivity, which can result in decreased profitability over time.

Decreased customer satisfaction: A decline in the quality of products or services can lead to decreased customer satisfaction, which can harm the company's reputation and reduce the likelihood of repeat business.

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Related Questions

Refer to Exhibit 4.1. What is the firm's total debt to total capital ratio? Do not round your intermediate calculations.
a. 35.35%
b. 53.02%
c. 57.67%
d. 46.51%
e. 36.74%

Answers

The question is about the financial leverage ratio which is total debt to total capital.

The correct answer to the given question is D. 46.51%

Explanation

This ratio measures the financial leverage of a company. It assess how much asset of a company are financed by debt.

Formula

The formula to calculate total debt to total capital ratio is :

Total Debt [ Long term + Short Term] / Total Capital

If the total debt of the company is 29,060 and total capital is 62,481,

29,060 / 62,481 = 46.51%

The correct option is d. 46.51%

The exhibit 4.1 is found on quizlet website.

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Carlos is 60 years old, is in the 35% marginal tax bracket, and has $100,000 in his traditional IRA. How much money will he have after taxes if he withdraws all the money from the account? Carlos has $ after taxes.

Answers

To calculate the amount of money Carlos will have after taxes if he withdraws all the money from his traditional IRA, we need to consider the tax implications of the withdrawal.

Given:

Carlos is in the 35% marginal tax bracket.

Carlos has $100,000 in his traditional IRA.

To calculate the amount after taxes, we need to determine the tax liability on the withdrawal and subtract it from the total amount.

Tax liability = Withdrawal amount * Tax rate

Tax liability = $100,000 * 35% = $35,000

Amount after taxes = Withdrawal amount - Tax liability

Amount after taxes = $100,000 - $35,000 = $65,000

Therefore, Carlos will have $65,000 after taxes if he withdraws all the money from his traditional IRA.

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Molzahn Corporation is a manufacturer that uses job-order costing. The company closes out any overapplied or underapplied overhead to Cost of Goods Sold at the end of the year. The company has supplied the following data for the just completed year:
Estimated total manufacturing overhead at the beginning of the year $481,250
Estimated direct labor-hours at the beginning of the year 35,000 direct labor-hours

Results of operations:
Actual direct labor-hours 40,000 direct labor-hours
Manufacturing overhead:
Indirect labor cost $ 179,000
Other manufacturing overhead costs incurred $ 465,000

Answers

Answer:

The results are below.

Explanation:

First, we need to calculate the predetermined overhead rate:

Predetermined manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base

Predetermined manufacturing overhead rate= 481,250 / 35,000

Predetermined manufacturing overhead rate=  $13.75 per direct labor hour

Now, we allocate overhead based on actual hours:

Allocated MOH= Estimated manufacturing overhead rate* Actual amount of allocation base

Allocated MOH= 13.75*40,000

Allocated MOH= $550,000

Finally, the under/over applied overhead and the closing to cost of goods sold:

Under/over applied overhead= real overhead - allocated overhead

Under/over applied overhead= 644,000 - 550,000

Underapplied overhead= $94,000

When overhead is underapplied, we need to debit the cost of goods sold.

COGS     94,000

 Manufacturing overhead   94,000

Which of the following is a feature of seed financing? O a. The managerial involvement is very high. The company has to start up all operations Ob Money is used to finance research: The company needs money to finance the development C. Money is used to pay off debtors.

Answers

The correct option is: a. The managerial involvement is very high. The company has to start up all operations .

Seed capital is the cash raised to begin developing a thought for a business or another item.

This funding for the most part takes care of just the expenses of creating a proposition.

In the wake of securing seed financing, startups might approach financial speculators to obtain extra financing.

Some seed capital might come from angel investors — proficient investors who have a high total assets.

A company that is initially starting out may have restricted admittance to funding and different sources. Banks and different investors might be reluctant to invest in light of the fact that it has no set of experiences or laid out history, or any proportion of accomplishment. Many startup executives frequently go to individuals they know for initial investments — loved ones. This financing is alluded to as seed capital.

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Dividends are paid out of profits, and:

(A) dividends are paid before a firm's taxes are paid.

(B) dividend payments must be approved by the firm's board of directors.

(C) dividends are guaranteed.

(D) dividends are usually paid twice a year.
(personal finance question)

Answers

Dividends are given out of profits, and it is commonly pay off twice a year. Option D is correct.

What are dividends?

A dividend is defined as the amount of profit that is available for the distribution by a corporation to its shareholders, this amount of profit is given only when an enterprise earns a profit.

The majority of dividends are paid four times a year, on a quarterly basis, but some companies pay dividends twice a year.

Therefore, option D is correct.

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Calvin deposits $400 in a savings account that accrues 5% interest compounded monthly. after c years, calvin has $658.80. makayla deposits $300 in a different savings account that accrues 6% interest compounded quarterly. after m years, makayla has $613.04. what is the approximate difference in the number of years that calvin and makayla have their money invested? makayla invests her money 1 year longer. makayla invests her money 2 years longer. calvin invests his money 1 year longer. calvin invests his money 2 years longer.

Answers

According to equation, the approximate difference between Calvin and Makayla's number of years of money invested is 2 years.

What is compound interest?

Compound interest is refers to an amount implemented on the principal amount along wit the accumulated interest with a fixed rate of interest for a time period.

Solution:-

Given Information:

Calvin deposits= $400Interest rate=5%final amount Calvin =$658.80

Here, Compound interest= A=P (1+r/t)t

Monthly compound interest,

658.8=400(1+5/12*100)12c

658.8/400=(1205/1200)12c

c=10 years

Now Makayla deposits $300 in a different savings account that accrues 6% interest compounded quarterly. The final amount she gets is $613.4 in m years. Thus,

613.4=300(1+6/12*100)12m

613.4/300=(1206/1200)12m

c=12 years.

Thus, the approximate difference in the number of years that Calvin and Makayla have their money invested is 2 years.

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Answer:

B. Makayla invests her money 2 years longer.

Explanation:

                           

The house appropriations committee disagrees with a proposal in the president’s annual budget request to increase the number of people eligible for food stamps, consequently leading to the house of representatives passing a budget that does not increase funding for the program. This ability to check presidential actions is best described as.

Answers

This ability to check presidential actions is best described as The Power Of The Purse.

The Power Of The Purse: The ability of one group to sway and regulate the behavior of another group by denying financing or placing restrictions on how that cash is used is known as the "power of the purse." Positive or negative uses can be made of the purse's power.

Women's United Way The Power of the Purse event by United aids in the financial security of families and women. Your help is more important than ever as more families struggle to make ends meet as a result of the challenging employment market and new obstacles.

The House of Representatives has the authority over the purse because of what?

As "the most comprehensive and potent weapon with which any constitution can arm the immediate representatives of the people," the Framers referred to this power of the purse. As a result, they gave this authority to Congress, who are the people's closest and most responsible representatives.

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In traditional economies, government controls all manufacturing.

Answers

Answer:

true

Explanation:

Suppose that Defenestration decides to pay a dividend of only $2 per share this year and use the remaining $2 per share to repurchase stock. If Defenestration maintains this dividend and total payout rate, then the rate at which Defenestration's dividends and earnings per share are expected to grow is closest to what?

Answers

Answer:

Missing word "Defenestration Industries plans to pay a $4.00 dividend this year and you expect that the firm's earnings are on track to grow at 5% per year for the foreseeable future. Defenestration's equity cost of capital is 13%."

P0 = dividend payout per share/ (k-g)

Where g is firms earning growth = 5% or 0.05

And k is the cost of capital = 13% or 0.13

Therefore P0 = $4 / (0.13 -0.05) = $50

But if the payout is $2 per share and $2 per share is used to repurchase stock then to get the price of the stock in one year given the current price of $50.00, dividend at $2 and the 13% cost of capital we get

$50 = $2 + X / (1.13)

Therefore x = $54.5

At a current price of $50, we can expect that Defenestration Industries stock to sell for $54.50 immediately after the firm pays the dividend in one year

Therefore the growth is (54.5 -50)/50 = 9%

In business writing, the main idea of a written work should be located
a. At the end of the first paragraph
b. In the body of the document
At the beginning of the first paragraph
d. In the salutation of the document
C.
Please select the best answer from the choices provided
Ο Α
B
С
OD

Answers

Answer:

c

Explanation:

cccccccccccccccccccccccccc

Answer:

well i blive its c

Explanation:

Robert is a single taxpayer who has AGI of $145,000 in 2021; his taxable income is $122,000. What is his federal tax liability for 2021?

Answers

Based on the information given, it should be noted that the federal tax liability for Robert will be $23359.50.

How to calculate tax.

A tax simply means a compulsory levy that's imposed by the government to individuals and companies.

It should be noted that Robert is in the tax bracket $85525 - $163300 which is taxed at $14605.50 plus 24% in excess of $85525.

Based on the information given, the federal tax will be:

= $14605.50 + ($122000 - $85525) × 24%

= $23359.50

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Why is transportation infrastructure mostly provided by the state and federal governments rather than the private sector in the United States?

A

It is vital to the nation's economic growth and must be controlled by the public sector.


B

It is not in demand and therefore offers no financial incentives for private firms to produce it.


C

It is too expensive for private firms to produce and therefore must be funded by the government.


D

It is needed by all people and may not be affordable if produced by the private sector.


Quickly...............................................................

Answers

Answer:

The correct answer is the option D: It is needed by all people and may not be affordable ir produced by the private sector.

Explanation:

To begin with, when it comes to terms of public goods it is necessary to understand that the private sector can not given them due to the fact that it will not be profitable for them or in the other case if it were then the majority of the population will not be able to achieve them, so therefore that when it comes to transport infrastructure the government pays for them because there is not private company that will be pleased to provide that service and moreover, it is something needed by all people so that means that can not be excludable because of the high need of use in order to increase the economy of the nation.

choco’s chocolates incurs these costs for the month: Direct materials ($15,000) Direct labor (25,000) Factory depreciation expense (45,000) Factory utilities expense (2,000) Payroll staff's salary (15,000). What is the prime cost ?

Answers

The prime cost is the total of direct materials and direct labor costs incurred by a company. In the case of Choco's Chocolates Inc, the prime cost is $40,000.

Prime cost is an essential financial metric for businesses as it helps determine the cost of production for goods or services. To calculate the prime cost for Choco's Chocolates Inc, we need to consider the direct materials and direct labor costs:
1. Direct materials cost: $15,000
2. Direct labor cost: $25,000
Now, to find the prime cost, simply add the direct materials cost and direct labor cost:
Prime cost = Direct materials cost + Direct labor cost
Prime cost = $15,000 + $25,000
Prime cost = $40,000
So, the prime cost for Choco's Chocolates Inc for the month is $40,000. It's important to note that the other costs mentioned, such as factory depreciation expense, factory utilities expense, and payroll staff's salary, are not included in the prime cost calculation as they are considered indirect costs or overhead expenses.

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Blossom Company is considering an investment that will return a lump sum of $850,000 3 years from now. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) What amount should Blossom Company pay for this investment to earn an 6% return? (Round answer to 2 decimal places, e.g. 25.25.)

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Ale jak się okazało w Polsce dniu narty nie skierowane to dniu tym świecie i jest ogóle nie ma problemu z tym że nie ma przecieku co w wszystko jutrzejszym terminie

Bob sells tires. He knows that his weekly sales drop if he increases the unit price p (in dollars). The weekly sales are given by an unknown function N(p). His weekly revenue is R(p)=pN(p). Bob is currently selling tires for 100 dollars each. His weekly sales are running at 120 tires per week, so N(100)=120. His marketing department estimates that he will lose 2 sales per week for each 10 dollar increase in unit price, so N′(100)=−0.2. Estimate Bob's increase in weekly revenue for each one dollar increase in tire price.

Answers

Answer:

Increase in weakly revenue = $9.8

Explanation:

Price (P) = 100, Demand or Sales N (P) = 120.

So revenue R(P) = P x N(P) = 120 x 100 = 120000

Given : 2 sales per week lost for 10 units increase in price.

New price  (P') = 110 , New Demand or sales N' (P) = 118

So new revenue R' (P) = P' x N' P = 110 x 118 = 12980

Change in Total revenue due to 10 units price rise = 12980 - 120000 = 980

So, change in total revenue due to one unit price rise = 980/ 10 = 9.8

Increase in weakly revenue = $9.8

Revenue refers to money and it is generated from normal business operations, Also it is calculated as the average sales price times the number of units sold.

Revenue

Price (P) = 100, Demand or Sales\(N (P) = 120.\)

So The revenue is \(R(P) = P x N(P) = 120 x 100 = 120000\)

Then Given information are: 2 sales per week lost for 10 units increase in price.

Now the New price is\((P') = 110\) , New Demand or sales\(N' (P) = 118\)

So new revenue\(R' (P) = P' x N' P = 110 x 118 = 12980\)

Change in Total revenue due to 10 units price rise =\(12980 - 120000 = 980\)

Thus, It is changed in total revenue due to one unit price rise = \(980/ 10 = 9.8\)

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Discuss any five advantages of the mixed economic system​

Answers

One disadvantage of mixed economies is that they tend to lean more towards government control and less toward individual freedoms.

Rolston Music Company is considering the sale of a new sound board used in recording studios. The new board would sell for $26,100, and the company expects to sell 1,460 per year. The company currently sells 1,960 units of its existing model per year. If the new model is introduced, sales of the existing model will fall to 1,780 units per year. The old board retails for $22,000. Variable costs are 56 percent of sales, depreciation on the equipment to produce the new board will be $1,410,000 per year, and fixed costs are $1,310,000 per year.

Answers

Answer:

$8,792,544

Explanation:

Computation for the Annual OCF of the project

First step is to compute the net income

NET INCOME

Sales of new$38,106,000

($26,100×1,460 per year)

Lost sales of old -$3,960,000

[($22,000×1,780)-($22,000×1,960)]

=39,160,000-43,120,000

=-3,960,000

Variable costs $19,121,760

[($38,106,000-3,960,000)×56%]

(34,146,000×56%)

=$19,121,760

Fixed costs $1,310,000

Depreciation 1,410,000

EBIT$12,304,240

($38,106,000-3,960,000-$19,121,760-$1,310,000-1,410,000)

Tax $4,921,696

(40%×$12,304,240)

Net income $7,382,544

($12,304,240-$4,921,696)

Second step is to calculate for the company OCF using this formula

OCF = EBIT + Depreciation – Taxes

Let plug in the formula

OCF=EBIT$12,304,240+Depreciation 1,410,000-Tax $4,921,696

OCF= $8,792,544

Therefore the Annual OCF of the project is $8,792,544

(T/F) countertrade is losing its importance in international trade.

Answers

The given statement "Countertrade is not losing its importance in international trade" is false because in fact, it continues to be a significant aspect of global trade, particularly for developing and emerging economies.

Countertrade refers to the practice of conducting trade transactions using goods or services instead of monetary payment. Common forms of countertrade include barter, counter-purchase, offset, and buyback arrangements. This practice enables countries with limited access to foreign currency, trade restrictions, or fluctuating exchange rates to engage in international trade without the complications associated with traditional financial transactions.

Developing and emerging economies often use countertrade as a way to enter global markets, obtain technology, and gain access to resources that they may not be able to acquire through traditional payment methods. Additionally, countertrade can help reduce the risk of currency fluctuations and balance of payment issues for these countries.

Moreover, countertrade allows countries to build and strengthen trade relationships by offering goods or services in exchange for essential imports. This can lead to the establishment of long-term partnerships, promoting economic growth and development.

In conclusion, countertrade remains an important aspect of international trade, especially for developing and emerging economies. By offering alternative methods of payment, it allows countries to overcome financial barriers, manage risks, and establish mutually beneficial trade relationships.

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What is the main idea of this text?

Mari Copeny takes action to save her city

Readwork
For more information ask

Answers

Answer:

Mari's activism helped people around the country to learn more about the problems in her town.

Dan just lost his job. At 44 years old, he worked as a middle manager at a well-known advertising firm for 14 years. Due to a significant loss of clients, the company had to downsize despite Dan being an exemplary employee and winning several awards. The company decided to let Dan go instead of another middle manager who was in a minority group. In a business setting, this occurrence is referred to as

Answers

In a business setting, the given occurrence we called the reverse discrimination

Reverse discrimination is the non-fair treatment of members who belong to the majority group in the workplace that depends upon race, gender, etc.

Reverse discrimination might arise at the time when the majority group like white or males are to be overlooked for following things

JobsPromotionsOther types of opportunities

These should provide the preference to the minority group like for women

So therefore we can conclude that In a business setting, the given occurrence we called  the reverse discrimination

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To synthesize means to form new information by combining parts or elements of other information. T
F

Answers

True, Synthesizing means forming new information by combining parts or elements of other information.

The process of composition or combination of parts or elements so as to form a whole simply means Synthesize. Synthesizing simply combine the concepts and facts of numerous sources to make a larger statement instead of describing the important points of each source individually.

The Analysis that is concerned with comparison, contrast, classification, and division is a type of Synthesis. At the basic level, Synthesizing is used for looking at similarities and differences between sources. Synthesizing can be difficult because it requires understanding all sources and also to identify their main points.

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WACC AND OPTIMAL CAPITAL BUDGET Adams Corporation is considering four average risk projects with the following costs and rates of return:
Prioject 1:
Cost $2,000; Expect Rate of Return 16.00%
Project 2:
Cost $3,000; Expect Rate of Return 15.00%
Project 3:
Cost $5,000; Expect Rate of Return 13.75%
Project 4:
Cost $2,000; Expect Rate of Return 12.50%
The company estimates that it can issue debt at a rate of rd = 10%, and its tax rate is 30%.
It can issue preferred stock that pays a constant dividend of $5.00 per year at $49.00 per share. Also, its common stock currently sells for $36.00 per share; the next expected dividend, D1, is $3.50; and the dividend is expected to grow at a constant rate of 6% per year. The target capital structure consists of 75% common stock, 15% debt, and 10% preferred stock.
a. What is the cost of each of the capital components?
b. What is Adams’s WACC?
c. Only projects with expected returns that exceed WACC will be accepted. Which projects should Adams accept?

Answers

The correct answer is Adams should accept projects 1, 2, and 3, as their expected returns exceed the WACC. Project 4 should be rejected as its expected return is lower than the WACC.

a. To calculate the cost of each capital component, we'll use the following information:

Debt: The cost of debt (rd) is given as 10%. Since the tax rate is 30%, the after-tax cost of debt can be calculated as:

Cost of Debt = \(rd * (1 - Tax Rate)\)

Cost of Debt = \(10 * (1 - 30)\)%

Cost of Debt = \(10 * 0.7\)

Cost of Debt = \(7\)%

Preferred Stock:

The cost of preferred stock (rp) can be calculated as the dividend divided by the market price:

Cost of Preferred Stock = Dividend / Market Price

Cost of Preferred Stock = $\(\frac{5.00}{49}\)

Cost of Preferred Stock ≈\(10.2\)%

Common Stock:

The cost of common stock (re) can be calculated using the dividend growth model:

Cost of Common Stock = (Next Dividend / Current Stock Price) + Growth Rate

Cost of Common Stock = ($\(\frac{63.50}{35}\)) + 6%

Cost of Common Stock ≈ \(16.11\)%

b. The weighted average cost of capital (WACC) is calculated using the target capital structure and the costs of each capital component. The formula for WACC is:

WACC = (Weight of Debt * Cost of Debt) + (Weight of Preferred Stock * Cost of Preferred Stock) + (Weight of Common Stock * Cost of Common Stock)

Given the target capital structure:

Weight of Debt = 15%

Weight of Preferred Stock = 10%

Weight of Common Stock = 75%

Plugging in the values:

\(WACC = (0.15 * 7) + (0.10 * 10.2) + (0.75 * 16.11)\)

WACC ≈\(13.19\)%

c. To determine which projects should be accepted, we compare each project's expected rate of return to the WACC. Projects with expected returns higher than the WACC should be accepted.

Project 1:

Expected Rate of Return = 16.00%

WACC = 13.19%

16.00% > 13.19% - Accept

Project 2:

Expected Rate of Return = 15.00%

WACC = 13.19%

15.00% > 13.19% - Accept

Project 3:

Expected Rate of Return = 13.75%

WACC = 13.19%

13.75% > 13.19% - Accept

Project 4:

Expected Rate of Return = 12.50%

WACC = 13.19%

12.50% < 13.19% - Reject

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With an aid of a diagram explain how the equilibrium price maintain it self on a market of calculator at Kumasi Technical University

Answers

The equilibrium price in a market refers to the price at which the quantity of a product supplied equals the quantity demanded. This means that there is no excess supply or demand, and the market is balanced.

In the market of calculator at Kumasi Technical University, the equilibrium price is determined by the intersection of the supply and demand curves.

The supply curve represents the quantity of calculators that suppliers are willing and able to sell at different prices. Typically, as the price of calculators increases, the quantity supplied also increases. This is because suppliers are motivated to produce more calculators when they can sell them at a higher price. Therefore, the supply curve slopes upwards.

On the other hand, the demand curve represents the quantity of calculators that consumers are willing and able to buy at different prices. Typically, as the price of calculators decreases, the quantity demanded increases. This is because consumers are more likely to purchase calculators when they are cheaper. Therefore, the demand curve slopes downwards.

This means that the quantity of calculators that suppliers are willing to sell at that price is equal to the quantity that consumers are willing to buy. In other words, there is no excess supply or demand, and the market is balanced. If the price is below the equilibrium level, there will be excess demand, and suppliers will run out of stock. If the price is above the equilibrium level, there will be excess supply, and suppliers will be left with unsold inventory.

1. Draw a graph with the vertical axis representing the price (P) and the horizontal axis representing the quantity (Q) of calculators.

2. Plot the demand curve (D) which slopes downward from left to right, indicating that as the price decreases, the quantity demanded increases.

3. Plot the supply curve (S) which slopes upward from left to right, indicating that as the price increases, the quantity supplied increases.

4. Find the point where the demand curve (D) intersects the supply curve (S). This point represents the equilibrium point (E) in the calculator market at Kumasi Technical University.

5. At the equilibrium point (E), the equilibrium price (P*) and equilibrium quantity (Q*) are determined.

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Cash 9,900 accounts payable 2,700
accounts receivable 4,500 debt 3,500
inventory 3,800 other liabilities 1,000
property plant & equipment 16,800 total liabilities 7,200
other assets 1,600 paid-in capital 8,000
retained earnings 21,400
total equity 29,400
total assets 36,600 total liabilities & equity 36,600

1. sell product for $35,000 with historical cost of $28,000
2. sell product for $20,000 with historical cost of $16,000
3. sell product for $25,000 with historical cost of $20,000

required:
what is the final amount in retained earnings?

Answers

To determine the final amount in retained earnings, we need more information about the company's financial transactions. Retained earnings are the portion of a company's net income that is not distributed as dividends to shareholders but is instead retained for future use.

We would need to know the company's net income or loss for the period in question, as well as any dividends paid to shareholders during that time. We would also need information on any other adjustments made to retained earnings, such as prior period adjustments or changes in accounting policies.
Without this information, we cannot calculate the final amount in retained earnings. However, we can make some general observations about the company's financial position based on the information provided.
We know that the company has $9,900 in cash and $2,700 in accounts payable. This suggests that the company has some liquidity, but may also have some short-term debts that need to be paid. Depending on the size of the company and the industry in which it operates, this could be a healthy financial position or a cause for concern.
Overall, we need more information to determine the final amount in retained earnings and assess the company's financial health. It is important for investors and stakeholders to have access to complete and accurate financial statements in order to make informed decisions about the company's future.

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What is the factor that you must remember
before investing that has to do with how
risky the investment is?

Answers

Answer:

safety of the investment.

Explanation:

Risk management can be defined as the process of identifying, evaluating, analyzing and controlling potential threats or risks present in a business as an obstacle to its capital, revenues and profits.

This ultimately implies that, risk management involves prioritizing course of action or potential threats in order to mitigate the risk that are likely to arise from such business decisions.

Market risk premium can be defined as a measure of the difference between a market rate of return on a market portfolio and the return on a risk-free investment such as government bonds (Treasury bills) or interest rate.

In Risk management, safety of the investment is the factor that you must remember before investing and it typically has to do with how risky an investment is.

in which of the following circumstances is a strategy to be the industry's overall low-cost provider not particularly well-matched to the market situation? when the offerings of rival firms are essentially identical and readily available from many eager sellers when there are few ways to achieve differentiation that have value to buyers when price competition among rival sellers is especially vigorous when buyers have widely varying needs and special requirements, and the prices of substitute products are relatively high when the majority of industry sales are made to a few, large-volume buyers

Answers

A strategy to be the industry's overall low-cost provider may not be particularly well-matched to the market situation when buyers have widely varying needs and special requirements, and the prices of substitute products are relatively high.

This is because, in such a situation, buyers are willing to pay a premium for products that meet their specific needs and requirements. Therefore, a low-cost provider may not be able to differentiate its offerings from its rivals and may not be able to capture a significant share of the market. In addition, if there are only a few, large-volume buyers in the industry, they may have significant bargaining power and may demand customized solutions that a low-cost provider may not be able to provide. In such a scenario, it may be more effective for a company to focus on product differentiation and offering unique value propositions that appeal to specific segments of the market.

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Helping others for free while gaining skills is
O A. a job
O B. working
O C. a career
O D. volunteering

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Answer:

D. volunteering

Explanation:

D.

When you volunteer your gain a skill so

OK YALL IM AT STARBUCKS WHAT YALL WANT ;D

OK YALL IM AT STARBUCKS WHAT YALL WANT ;D

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Frappuccino please i crave caffeine
Grande Carmel frappe with extra whip cream and extra caramel drizzle with 2% milk

An advantage of using capital in the production process is that it:.

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It enables producers to operate more efficiently and to produce more output.

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at the end of 2021, koosharem corp. calculated and recorded $50,000 in depreciation on a building that it had purchased five years earlier. how will this depreciation affect koosharem’s 2021 financial statements?

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The effect of depreciation  on koosharem’s 2021 financial statements is that it would lead to a decrease in the net income and a decrease in assets.

Depreciation is a method that is used to decrease the carrying value of an asset due to wear and tear.

There are different methods that can be used to determine the depreciation of an asset. They include:

The double-declining method The straight line deprecation methodThe unit of production depreciation method Sum of the years deprecation method.

Building is considered as an asset to the business. It is a type of fixed asset. The carrying value of the building on the balance sheet would be reduced by $50,000. Depreciation is an expense. This would lead to an expense of $50,000 which would reduce net income by the same amount.

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