Identify each responsibility center as a cost center, a revenue center, a profit center, or an investment centerBaskin-robbins is a subsidiary of dunkin’ brands group, inc.; dunkin’ owns and operates nearly 2,500 ice cream specialty stores in the united states.

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Answer 1

Monetary Center Almost 2,500 ice niche stores are possessed and run by Dunkin Brands in the US.

Coca-Cola is Dunkin's proprietor, correct?

Possessed by Motivate Brands As per BD, Dunkin' has chosen to pick PepsiCo as their new refreshment provider in the US. In the US, Dunkin' works in nearly 9,500 areas. Rather than serving wellspring drinks, the business offers cooled refreshments and different rewards in jugs and jars.

Who has an organization with Dunkin?

The organization, which has more than 1,500 conspicuous brands in its portfolio and works in undeniably more than 30 nations, has so far been effective in drawing in a sizable number of organizations, including Uber, Nike, Instacart, Mint Versatile, and Vodafone.

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Related Questions

strong rob's sandwich shop offers frequent buyer points to its customers through a punch card program. strong rob's is engaging in:

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Dad's Sandwich Shop has a punch card program that rewards regular customers with frequent shopper points. Dad's is promoting its products for sales.

What are advertising sales?

A sales promotion is a type of marketing activity intended to boost sales, foster client loyalty, or raise brand awareness. It typically entails providing a discount or some other incentive to encourage clients to purchase your goods or interact with your business.

What kinds of sales promotions are there?

1) Promotional discounts. The most traditional form of advertising is a discount, Tiered Promotions 2 (Buy More, Save More) According to tier discounts, buyers receive a bigger percentage off the more they really spend. Private sales, flash sales, free gifts with purchases, and giveaways are the next three options.

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What is the main reason for the transition to an information economy?

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The main reason for the transition to an information economy is the rapid increase in computer use in al aspects of daily life.

Information economy is an economy with an increased emphasis on informational activities and information industry, where information is valued as capital good.

Characteristics of information economy is that field in which information is characterized as the reduction of ambiguity and instability, which addresses the production, management, processing, delivery, dissemination and usage of information.

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in sales contracts, the complete agreement need not be in writing, but there must be some evidence of the:

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Although there is no requirement for a written agreement in sales contracts, there must be some evidence of the parties' intentions.

An agreement may be signed anywhere on the document, but it must be signed at the bottom. Furthermore, in the absence of a signature, initials will suffice.

The essential terms of the contract only need to be written down: the names of the parties, the subject, the amount, and the payment.

The kind of contract in question determines whether price is an essential term.

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companies often use more than one capital budgeting method to determine which capital investment to make. t or f

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When deciding which capital investments to make, businesses frequently combine many capital budgeting methods. This assertion is false.

According to generally accepted accounting standards, management needs to know which investment choice will have an impact on the financial statements' bottom line.

The average yearly rate of return from using the asset over the course of its full life is measured using the accounting rate of return technique of capital budgeting decision analysis.

The procedure is examining the cash flows into and out of a project to ascertain whether the anticipated return reaches a predetermined standard. Discounted cash flow, payback, and throughput assessments are three of the main capital budgeting techniques.

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Each time a payment is made on an installment note, the portion of the next payment associated with notes payable increases. this statement is

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Each time a payment is made on an installment note, the portion of the next payment associated with notes payable increases. This statement is False.

The amount that a corporation owes its financiers, including banks and other financial institutions as well as alternative funding sources like friends and family, is shown on notes payable, which are long-term liabilities. Since they are repayable after a year, albeit typically within five years, they are considered long-term.

These money may be borrowed by businesses in order to purchase items like tools, equipment, and automobiles that will likely be used up within five years and amortised.

In the event that a note payable's payment obligations are not met, the creditor may have a claim against the borrower's assets under certain notes payable. Repayment terms could be extended if the loan is secured.

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During last month, your beginning inventory was $19,500, your ending inventory was $14,063. If there were no additional purchases, what percent of inventory was sold?.

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Inventory was sold at 28% if no more purchases were made.

What is the difference between beginning inventory plus acquisitions and ending inventory?

Beginning inventory plus net purchases minus COGS equals ending inventory, according to the basic formula. The ending inventory of the previous period is your starting inventory. The products you have purchased and added to your inventory count are the net purchases.

Net acquisitions added to beginning inventory is what?

An sum referred to as the cost of products available for sale is equal to the cost of beginning inventory plus the cost of net purchases for the period. Net purchases are the total cost of the items plus the cost of shipping less any discounts, allowances, and returns.

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ryder supplies has its stock currently selling at $63.25. the company is expected to grow at a constant rate of 7 percent. if the appropriate discount rate is 17 percent, what is the expected dividend, a year from now? (round the answer to two decimal places.)

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The expected dividend, a year from now is 6.33

P0 = $63.25; g = 7%; R = 17% P0 = D1/R-g=6.325

A dividend refers to praise, cash or otherwise, that an enterprise gives to its shareholders. Dividends can be issued in diverse bureaucracies, inclusive of cash fees, shares, or any other shape. A business enterprise's dividend is decided by using its board of directors and it requires the shareholders' approval.

Dividends are regular earnings-sharing payments made between an organization and its investors. A business enterprise's board of administrators determines the charge in line with share, whilst and how often dividend payments are made. Dividend shares can offer a stream of earnings, which can be especially valuable during inflationary periods.

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before recommending a price, you need to gain an understanding of your client's costs in producing the soap. she gives you the following information: fixed costs (rent, insurance, utilities): $10,000 annually variable costs (raw materials, production, shipping): $2.00 per unit she thinks that she might be able to sell the soaps for $4-$5 and wants to have an idea of how many soaps she would need to sell in order to break even. at a selling price of $5, how many units would your client need to sell in order to break even?

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3,333 many units would the client be needing to sell in order to break even, 10,000/3 = 3,333.

How is break even determined?

The break-even point in accounting is determined by dividing the fixed production costs by the price per unit less the variable production costs. The production level at which a product's revenues and manufacturing expenses balance one another is known as the break-even point.

What price plan is the most effective?

The most crucial pricing tactic of all is probably value pricing. This takes into account how valuable, excellent, and significant your clients consider your goods or services to be.

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the international monetary fnud part 2 a. . b. restricts capital outflows that might threaten international financial stability. c. has effectively eliminated adverse selection and moral hazard problems. d. .

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The best option is the International Monetary Fund, which (b) limits capital outflows that would jeopardize financial stability worldwide.

What are the IMF's three primary responsibilities?

To support the stability of the international monetary system, the IMF performs 3 important tasks: observation, federal loans, and additional support.

How does the International Monetary Fund operate?

By taking out a loan from the IMF, a nation commits to changing its trade reforms in order to address the issues that prompted the request for assistance. These modifications in policy are prerequisites for IMF loans and assure that the nation will be able to pay back the IMF.

What is the role of the International Monetary Fund?

By providing summary lending to nations experiencing equilibrium of payments issues brought on by capital outflows or onerous federal loan obligations, the principal goal is to maintain exchange rate stability.

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Credit card accountability, responsibility and disclosure, or credit card, act of 2009

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A federal law known as the Credit Card Accountability, Responsibility, and Disclosure Act of 2009 was created to safeguard cardholders from unfair lending practises by card issuers. The main objectives of this law, also referred to as the CARD Act, are to decrease surprise fees and enhance the disclosure of charges and penalties.

The Credit Card Accountability, Responsibility, and Disclosure Act was passed by the US Congress in May 2009, and shortly after that, President Barack Obama signed it into law. It became active in 2010. The CARD Act was created to safeguard consumers from the unethical tactics of credit card issuers, building on the Truth in Lending Act (TILA). It intends to reduce or eliminate some credit card costs, lessen the manipulation of younger clients, and provide all users more information about fees.

Prior to the act's passage, the language in credit card agreements was frequently extremely cryptic and challenging to read; crucial terms were buried beneath mountains of legalese, and the information provided varied between different issuers, making it challenging for customers to compare products. Both in the initial card agreements and monthly statements, the language, terms, and disclosure of penalties and fees are now much more transparent thanks to the act.

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Gilliam industries records revenue of $6.4 million for an accounting period. in that same accounting period, they have a beginning balance of $392,000 and an ending balance of $439,000 in the accounts receivable account. how should the cash flows from operating activities be adjusted to account for these items? why? assume gilliam uses the indirect method.

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Using the indirect method, Gilliam will only have to adjust for the change in Accounts Receivable, resulting in a $47,000. The reason is due to decrease in cash flows from operating activities.

What is an indirect method?

Calculation by Gilliam using the indirect method:

Records revenue = $6.4 million

Beginning balance = $392,000

ending balance = $439,000

Cash flow that needs to be adjusted for the items = $47,000

The indirect method refers to one of two accounting treatments used to generate a cash flow statement. This method uses increases and decreases in balance sheet line items. It also modifies the operating section of the cash flow statement from the accrual method to the cash method of accounting.

The indirect method is used in in larger firms.

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the degree to which a product meets pre-established standards is known as group of answer choices none of these answer choices is correct. conformance. performance. reliability.

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The degree to which a product meets pre-established standards is known conformance.

A product is an object provided on the market. A product may be a service or an item. it is able to be physical or in virtual or cyber shape. each product is made at a fee and each is offered at a charge. The price that may be charged depends on the market, the pleasant, the advertising, and the section this is focused on.

A product is any item or provider you promote to serve a consumer's wants or needs. They may be bodily or virtual. bodily merchandise consists of long-lasting items (like motors, furnishings, and computer systems) and nondurable items (like food and beverages).styles of merchandise – 3 most important kinds: client products, commercial services, and products. There are a number of useful ways of classifying products.

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two members of the kenyan parliament from coffee-growing areas said that no firm should have a monopoly to market kenyan coffee. the retail coffee company tetu coffee has sparked a storm in the industry by promising to earn the country sh400 billion annually if given exclusive licenses to market kenyan coffee. the members of parliament said the coffee bean farmers should be free to sell their beans to the highest bidder. are the farmers in kenya justified in being upset with having a single coffee buyer?

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(Option A) The government prohibits other buyers is something that would create a market with one buyer in the situation described.

What effects do government regulations have on consumers?

They may benefit from consumer protection legislation, but they may also be costly. By raising the cost of producing goods and services, it boosts prices. It also restricts individuals' freedom of choice, some of whom are risk-averse than others.

What impacts might governments have on businesses and individuals?

Governments can implement subsidies, which raise prices and enhance the attraction of domestic goods by taxing the public and giving the money to an industry, or tariffs, which impose additional taxes on imported goods and monopoly. Increased taxes, levies, and restrictions may cripple businesses or entire industries.

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The complete question is:

Two Members of Parliament from coffee growing areas said that no firm should have a monopoly to market Kenyan coffee. Tetu Coffee has sparked a storm in the sector by promising to earn the country Sh400 billion annually if given exclusive licenses to market Kenyan coffee. The MPs .said the coffee sector should instead be liberalized to enable growers to sell their produce wherever prices were better. Maitha said coffee farmers had been exploited for long through poor prices paid for their produce.... (Source: "Coffee Marketing Monopoly Opposed," The East African Standard, Nairobi, Kenya on September 6, 2004). Read the text above to answer this question. What would create a market with one buyer in the situation described?

A. the government prohibits other buyers.

B. there are economies of scale in purchasing coffee.

C. the Tetu coffee has the ability to out-compete other coffee buyers.

D. there are economies of scope.

in an english auction, with rational bidders, the object being sold always goes to the bidder who values it most highly. choice 1 of 2:true choice 2 of 2:false

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The given statement of high value with rational bidders of English auction is true.

An auction is a sales occasion when prospective customers submit aggressive bids for goods or services in either an open or closed style. The reason why people participate in auctions is because they think they can get a good bargain when purchasing or selling assets. All bidders are aware of each other's offers in an open style. Bidders in a closed format are unaware of other bids. Both live and online platforms can be used for auctions. The top bidder in a closed style, as well as the highest in an open style, will often receive the item or service in question.

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The price of a bond is equal to the face amount payable at maturity, plus the periodic interest payments.a. True
b. False

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The statement 'the price of a bond is equal to the face amount payable at maturity, plus the periodic interest payments' is false.

The price of a bond is equal to the present value of the face amount payable at maturity, plus the present value of the periodic interest payments.

Bond price is the present discounted value of future cash stream generated by a bond. It refers to the sum of the present values of all likely coupon payments plus the present value of the par value at maturity. To calculate the bond price, one has to simply discount the known future cash flows.

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lebleu, incorporated, is considering a project that will result in initial aftertax cash savings of $1.76 million at the end of the first year, and these savings will grow at a rate of 3 percent per year indefinitely. the firm has a target debt-equity ratio of .85, a cost of equity of 11.6 percent, and an aftertax cost of debt of 4.4 percent. the cost-saving proposal is somewhat riskier than the usual project the firm undertakes; management uses the subjective approach and applies an adjustment factor of 1 percent to the cost of capital for such risky projects. what is the maximum initial cost the company would be willing to pay for the project? (do not round intermediate calculations and enter your answer in dollars, not millions, rounded to the nearest whole number, e.g., 1,234,567.)

Answers

As per the cost-saving proposal, the maximum initial cost the company would be willing to pay for the project is $ 167,125,803.

Cost-saving proposal

In economics, cost saving proposal refers practices and principles designed to optimize operational efficiency.

Given,

Lebleu incorporated, is considering a project that will result in initial after-tax cash savings of $1.76 million at the end of the first year, and these savings will grow at a rate of 3 percent per year indefinitely. the firm has a target debt-equity ratio of .85, a cost of equity of 11.6 percent, and an after tax cost of debt of 4.4 percent. the cost-saving proposal is somewhat riskier than the usual project the firm undertakes; management uses the subjective approach and applies an adjustment factor of 1 percent to the cost of capital for such risky projects.

Here we need to find the maximum initial cost the company would be willing to pay for the project.

Here we have to find the 2% adjustment factor, the required

=> WACC = 8.89%+2% = 10.89%

And the annual post-tax cost savings = $1.82 million

Then the PV of the savings is calculated as,

=> $1.82 million/10.89% = $ 167,125,803

Therefore, the maximum initial cost is $ 167,125,803.

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what is one way that cash flows from investing activities are the opposite of cash flows from financing activities?

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Cash flows from investing activities frequently reflect cash flows related to cash the company has loaned to others.

The main difference between cash flows from investments and cash flows from financing is that cash flows from investments are used to fund investments whereas cash flows from financing are used to operate the company. It is to be used to fund. Investing activity refers to income or expenditure on long-term assets such as equipment and facilities.

Investments or cash flows from investments Cash flows show how much cash was generated or used from various investment-related activities in a given period. Investing activities include purchasing speculative assets, investing in securities, or selling securities or assets. Financing activities are cash flows from activities such as the issuance of bonds between a company and its owners and creditors.

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kodi company has a debt-equity ratio of .70. return on assets is 7.6 percent, and total equity is $450,000. a. what is the equity multiplier? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. what is the return on equity? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) c. what is the net income? (do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.)

Answers

1.70 is the equity multiplier, 13.26% is the return on equity and  $70,278.00 is the net income.

How do you calculate the net income?

Given that,

Debt-equity ratio = 0.70

Return on assets = 7.8%

Total equity = $530,000

Debt = 0.70 × Equity

       = 0.70 × $530,000

       = $371,000

Assets = Debt + Equity

          = $371,000 + $530,000

          = $901,000

(a) Equity multiplier = Assets/equity      

                                = 901,000/530,000

                                = 1.70

(b)  Return on Assets =  Assets × Return on assets percent

                                    =$901,000 × 7.8%

                                    = $70,278.00  

Return on equity = return on assets/ equity

                            = 70,278.00/530,00

                            = 13.26%

(c)  Net income = Return on Assets

                          = $70,278.00  

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a company issued 5-year, 7% bonds with a par value of $95,000. the company received $92,947 for the bonds. using the straight-line method, the amount of interest expense for the first semiannual interest period is:

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A) $3,530.3

B)Debit Cash $200,000; debit Premium on Bonds Payable $8,531; savings Bonds Payable $208,531.

C) Debit Bond Interest Expense $13,808.00; debit Premium on Bonds Payable $1,042.00; credit score Cash $14,850.00.

Explanation:

discount:

95,000 - 92,947 = 2,053

This quantity is distribute equally among all interest pay money:

2,053 / 10 charge = 205.3

cash outlay + amortization on bargain = activity expense

95,000 x 7% x 1/2 + 205.3 = $3,530.3

B)debit the money received

we credit the bond payable for their face value

we alter the use of top class when lower and top rate when higher

C) we calculate the premium and divide oer whole payment to get the amortization:

280,420 - 270,000 = 10,420 / 10 = 1,042

cash outlay - amortization on top class = activity expense

270,000 x 11% x 1/2 - 1,042 = 13,808

What is semiannually interest?

Interest compounded semiannually ability that the compound hobby fee is calculated on the bases of the important brought with the results of the compound activity price from the previous term's calculation, and this will happen twice a year.

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An example of a correction of an error in previously issued financial statements is a change?a. in the tax assessment related to a prior period. b. in the service life of plant assets, based on changes in the economic environment. c. from the cash basis of accounting to the accrual basis of accounting. d. from the FIFO method of inventory valuation to the LIFO method.

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A conversion from the capital account to the accrual method of accounting occurs when a mistake in previously published financial statements is fixed.

Explaining finances is what?

Finance is the process of creating funds or cash for any kind of spending. It involves allocating various financial resources, including as lending, loans, and invested capital, to the areas of the economy that may benefit from them most.

Describe a problem with money:

The inability to pay either early or late debt obligations is financial hardship. Debt makes it harder to manage money and lowers one's purchasing power. Financial worries start to arise once all debts have been paid. There has to be a fix so that debts may be

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Why is low inflation good for the economy?

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Almost all economists recommend minimizing inflation. Low inflation helps sustain global competitiveness by encouraging saving, investment, and economic growth.

Economic stability also promotes economic growth. Typically, governments aim for an inflation rate of 2% or less. The optimum compromise between avoiding the expenses of inflation and also avoiding the costs of deflation when prices decline is thought to be this moderate but low rate of inflation. Regular consumers can profit from inflation in the following three scenarios, which show how the economy might gain from a consistent, moderate level of inflation is the word that economists use to describe the gradual rise in prices throughout an economy.

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is measured by the project’s impact on uncertainty regarding the firm’s future returns.

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The project's effect on the company's future earnings uncertainties serves as a proxy for corporate risk.

Stand-alone risk quantifies the variation in anticipated returns for a certain project. This risk cannot be diversified since it ignores other elements and concentrates on just one aspect of a corporation.

Corporate risk quantifies how approving the project impacts the company's entire riskiness or how the project's impact on risk is measured. Market risk as well as beta are interchangeable terms. The beta coefficient of the project serves to quantify beta risk.

Through providing the investor with a measurement of the creativity and experimentation with an investment evaluation return estimate, risk analysis helps the investment choice. The outcomes of the deterministic approach are enhanced by the use of the probabilistic method, which is not a replacement for it.

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teams that meet face-to-face . group of answer choices are more effective than virtual teams. often encounter more interpersonal issues than virtual teams. are less effective than virtual teams. can be equally effective as virtual teams.

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Teams that meet face-to-face can be equally effective as virtual teams. The correct option is C.

Why face to face is better than online classes?

The "real world" examples and experiences of your classmates and teachers will help you understand concepts better. You acquire new knowledge and abilities while studying in person, alongside other students, and in a real-world setting. Since you're all learning the same things, it's simpler to understand one another and share knowledge.

The good news is that virtual meetings can be just as effective as in-person meetings with the right tools and some advanced preparation. This is due to the fact that virtual meetings are excellent for fostering more personal connections between people.

Thus, the ideal selection is option C.

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what do you call the legal requirements that an organization must adopt a standard based on what a prudent organization should do, and then maintain that standard?

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The legal requirement that an organization must adopt a standard based on what a prudent organization should do, and maintain that standard is called due care.

Due care is a legal standard that establishes a duty for people to act reasonably based on the circumstances of a particular situation. This means that a person's conduct must not cause unreasonable harm to anyone else. Due care is about correcting something immediately. It is a way to implement something right away to perform mitigation procedures.

Due care is doing the right thing, the prudent man rule.

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despite your company’s strong training in ethical values and behaviors, you notice that the company’s top managers frequently engage in unethical behavior. of what is this an example?

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The  top managers frequently engage in unethical behavior is an example of an enacted value or norm

Enacted values or norms are those that a business and its personnel genuinely live out and exhibit on a regular basis. They are the values that are really demonstrated in practice and diverge slightly from the principles upheld by the business. The values that are actually being lived and experienced that are being enacted are the ones that have the most effects on the company's culture.

They are the principles that direct the actions and decisions of the organization's members and mould the workplace culture as a whole. In the given case,  the company's top management frequently acts unethically despite receiving extensive training in ethical ideals and behaviours. This refers to breaking the principles laid down by the company.

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a monopoly can be formed by a bandwagon effect. which of the following products would most closely match the bandwagon effect? a) the chevrolet corvette b) the dell computer c) the apple watch d) the atlanta braves baseball club

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A monopoly can be formed by a bandwagon effect , the dell computer would most closely match the bandwagon effect.

A multiplayer board game with an economics focus is called Monopoly. By rolling two dice, players move around the game board to acquire, exchange, and develop real estate including houses and hotels. Players collect rent from their rivals in an effort to bankrupt them. There are extra ways to gain or lose money, including Tax squares, Chance cards, and Community Chest cards. Players receive a reward for each "Go" they pass. Additionally, they have the option of being imprisoned and barred from release until one of three conditions is met. House rules, multiple spin-offs, countless editions, and related media are all present. Monopoly has absorbed into international popular culture, with local license in more than 103 countries and printing in more than 37 languages.

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the classifications used to categorize cash inflows and outflows on the statement of cash flows includes activities, activities, and activities.

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The classifications used to categorize cash inflows and outflows on the statement of cash flows includes operating activities, financing activities, and investing activities.

Now, According to the question:

What is cash flow and is it profit?

The net amount of cash and cash equivalents entering and leaving a business is referred to as cash flow. Inflows are represented by money received, and outflows are represented by money spent.

Cash flow is not a profit because it is the money going in and out of a business over a period of time, but  profit is what remains of earnings after deducting expenses.

Hence, The classifications used to categorize cash inflows and outflows on the statement of cash flows includes operating activities, financing activities, and investing activities

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people working in teams are more effective in part due to , which is the enhancement to performance that comes simply from working with other people instead of by oneself.

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People working in teams are more effective in part due to social facilitation, which is the enhancement to performance that comes simply from working with other people instead of by onesel.

Social facilitation is the finding by researchers, shows that people somehow produce an increased level of effort as a result of the real, imagined, or implie presence of others. Social facilitation consists of 2 types of effect: co-action effects and audience effects.

Social facilitation occurs in the presence of a co-actor. This condition is called as co-action effect. Co-action effect is a phenomenon where someone's task performance increases and comes about by the mere presence of others doing the same task.

Social facilitation also occurs in the presence of a passive spectator or audience. This is known as audience effect. Audience effect occurs when an individual's performance is influenced by the presence of others (audiences), which causes an individual's dominant response to occur.

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Which types of controls are recommended for a global MNC versus a multi-domestic MNC?

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Global MNCs must exercise strict control over their subsidiaries. They don't choose to diversify their product range to cut costs because they concentrate on a small number of product lines.

They also use centralized planning for their strategy. Multi-domestic MNCs require less sway over their divisions.

While expansionary fiscal policy should increase output today, it will also cause output to grow at a slower rate than it would have otherwise. Similar to inflationary fiscal policy, contractionary fiscal policy will result in higher output down the road despite temporarily depressing output levels.

Whenever a central bank employs expansionary monetary policy, it helps to boost the economy. This boosts the availability of money, brings down interest rates, and raises demand. It promotes economic expansion.

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fidelity systems reports net income of $81 million. included in that number is depreciation expense of $10 million, and a gain on the sale of equipment of $2 million. records reveal increases in accounts receivable, inventory, and accounts payable of $4 million, $2 million, and $2 million, respectively. calculate fidelity's net cash flows from operating activities using the indirect method. (negative value should be indicated by minus sign. enter your answer in millions.)

Answers

$85 million

The indirect method of calculating net cash flows from operating activities is as follows:

Cash flow from operating activities

Net income - $81million

Add: Depreciation Expenses - $10million

Less: Gain on sale of equipment - $2million

Less: Increase in account receivable - $4million

Less: Increase in inventory - $2million

Add : Increase in account payable - $2million

Net cash flows from operating activities - $85million.

What you mean net cash flow?

Net cash flow refers to either the gain or loss of funds (after all debt has been paid off) over a period of time. A company is said to have positive cash flow if it has excess cash after paying all  operating expenses.

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