Label the following headings, line items, and notes with the numbers 1 through 13 according to their sequential order in preparing a statement of cash flows.A. "Cash flows from investing activities" titleB. "For period Ended date" headingC. "Cash flows from operating activities" titleD. Company nameE. Schedule or note disclosure of noncash investing and financing transactionsF. "Statement of Cash Flows" headingG. Net increase (decrease) in cash $ #H. Net cash provided (used) by operating activities $ #I. Cash (and equivalents) balance at prior period-end $ #J. Net cash provided (used) by financing activities $ #K. "Cash flows from financing activities" titleL. Net cash provided (used) by investing activities $ #M. Cash (and equivalents) balance at current period-end $ #

Answers

Answer 1

The sequential order that a statement of cash flow is prepared, given the headings, and line items is :

D. Company nameF. "Statement of Cash Flows"B. "For period Ended date"C. "Cash flows from operating activities" H. Net cash provided (used) by operating activitiesA. "Cash flows from investing activities"L. Net cash provided (used) by investing activitiesK. "Cash flows from financing activities"J. Net cash provided (used) by financing activitiesG. Net increase (decrease) in cashI. Cash (and equivalents) balance at prior period-endM. Cash (and equivalents) balance at current period-end E. Schedule or note disclosure of noncash investing and financing transactions

How to design a statement of cashflows ?

The first thing to put down is the company name and then the title, "Statement of Cash Flows. " The next line should have the period that the statement is for.

Starting off is the cashflows from operating activities and then the net cash from those activities. Investing activities comes after that and then the cash flows from financing activities. The net cash from all activities is calculated, and then the cash balance at the period end.

Find out more on the statement of cashflows at https://brainly.com/question/24179665

#SPJ1


Related Questions

what type of chart typically displays the critical path? group of answer choices gantt chart. pert chart. three interdependent variables. work breakdown structure.

Answers

Gantt chart displays the critical path.

A Gantt chart is a type of bar chart that shows a project timetable. It was created by Henry Gantt, who popularized the format between the years of 1910 and 1915. The dependency structures between activities and the state of the current schedule are also displayed in modern Gantt charts. Teams may better plan their work around deadlines and manage resources when they use Gantt charts. Gantt charts are another tool used by project planners to keep an overview on their initiatives. They show, among other things, how dependent tasks, milestones, and tasks with different start and end dates relate to one another.

A Gantt chart is a horizontal bar chart that displays the tasks or events that make up a project's scheduled schedule between the start and finish dates.

Learn more about Gantt Chart here: https://brainly.com/question/13067654

#SPJ4

one reason why banks are required to deposit a minimum amount of reserves at the federal reserve is so that:

Answers

The federal reserve uses reserve requirements as a tool to alter the amount of money in the economy and affect interest rates.

In order to match consumer deposits, banks are required to hold a certain quantity of cash in their safes or at the nearby Federal Reserve bank. One of the three basic instruments of monetary policy, together with open market operations and the discount rate, is the reserve requirement, which is determined by the board of governors of the Federal Reserve.

The Federal Reserve Board declared on March 15, 2020, that as of March 26, 2020, the reserve requirements ratios would be fixed at 0%. The reserve requirement ratios for net transactions accounts varied depending on the number of institutions' net transactions accounts before the change took effect on March 26, 2020.

There are certain nations without reserve requirements. Canada, the United Kingdom, New Zealand, Australia, Sweden, and Hong Kong are among these nations.

Money cannot be created indefinitely; instead, some of these nations must abide by capital requirements, which are the minimum amounts of capital that a bank or other financial institution must possess in order to meet the standards of its respective financial regulators.

To know more about federal reserve click here,

https://brainly.com/question/382312

#SPJ4

Ren's tent company has total fixed costs of $300,000 per year. The firm's average variable cost is $120 for 10,000 tents. At that level of output, the firm's average total costs equal.

Answers

The firm average total cost is $150

"Information available from the question"

In the question:

Ren's tent company has total fixed costs of $300,000 per year.

The firm's average variable cost is $120 for 10,000 tents.

At that level of output, the firm's average total costs equal.

Now, According to the question:

Total fixed costs = $300,000 per year

Average variable cost = $120

Tents = 10,000

To find out

We know that average total costs is sum of average fixed cost and average variable cost    ….1

here

Average fixed cost = total fixed cost ÷  number of unit output

Average fixed cost = 300,000/10,000

Average fixed cost = $30

Average total costs = Average fixed cost  + average variable cost

Average total costs = $30 + $120

Average total costs = $150

Learn more about Average Cost at:

https://brainly.com/question/29759594

#SPJ4

the t-shirt factory purchased 12 futures contracts on cotton at a quoted price of 55.50 as a hedge against its inventory needs. at the time it actually needed the cotton, the spot price was 56.10. cotton futures are based on 50,000 pounds and quoted in cents per pound. how much did the shirt factory save by hedging cotton?

Answers

The shirt factory saved $550 by hedging cotton.

A business contract is a legally binding agreement between two or more parties that outlines the terms of a business relationship. It typically contains details such as the parties involved, the goods or services being exchanged, and any applicable timelines or conditions

To calculate this, take the difference between the quoted price of the futures contract (55.50) and the spot price (56.10) and multiply it by the quantity of cotton in the futures contract (50,000 lbs):

(56.10 - 55.50) x 50,000 lbs = $550

So, the shirt factory saved $550 by hedging cotton.

For more questions like Cotton click the link below:

https://brainly.com/question/14804594

#SPJ4

Trading stock or selling stock, selling real estate for profit, and selling other assets that gain value over time.a. Wagesb. Passivec. Earnedd. Portfolio

Answers

Trading stock or selling stock, selling real estate for a profit, and selling other assets that gain value over time is a portfolio

A portfolio is a collection of assets that an individual or organisation holds, like stocks, real estate, or other investments. A portfolio is a way of organizing and managing investments, allowing the tracking of the performance of different assets and making decisions about how to allocate resources. Trading stock or selling stock is one way that individuals and organizations can add to or change the composition of their portfolios.

When someone buys or sells the stock, they are essentially buying or selling a share in a company. If the value of company increases over time, the stock will gain value, and the entity owning the stock will see a corresponding increase in the value of its portfolio. Similarly, selling real estate for a profit can also add to the value of a portfolio. Real estate can be a valuable asset, and if the property value increases over time, the entity owning it can sell it for a profit, adding to the value of its portfolio.

Read more about portfolio on:

https://brainly.com/question/25929259

#SPJ4

gomez is considering a $235,000 investment with the following net cash flows. gomez requires a 12% return on its investments. (pv of $1, fv of $1, pva of $1, and fva of $1) (use appropriate factor(s) from the tables provided.) year 1 year 2 year 3 year 4 year 5 net cash flows $66,000 $46,000 $79,000 $162,000 $48,000 (a) compute the net present value of this investment. (b) should gomez accept the investment?

Answers

Yes, Gomez should accept the project because the net present value is positive.

What is net present value and why is it important?

Net present value is the present worth of an investment's after-tax cash flows less the initial investment. The net present value of a project or investment indicates how much money it will make or lose in terms of today's money. Due to the effects of factors like inflation and lost compound interest, future cash flow of a project does not accurately reflect current cash flow, hence NPV is adjusted accordingly.

Year       Net Cash Flows       Present value at 12%    PV of Net Cash Flows      

1                 $66,000                   0.893                             $59,824

2                 $46,000                   0.7972                            $47,035

3                 $79,000                   0.7118                              $57,656

4                 $162,000                  0.6355                            $85,157  

5                 $48,000                    0.5674                            $20426

Total           $401000                                                           $270098

                                                                                             $235,000

                                                                                              $35098

NPV = $35098

To learn more about net present value, visit:

https://brainly.com/question/27557482

#SPJ1

when angela wanted to provide financial security for her dependents, she considered purchasing a product that would provide income replacement in the event of her untimely death and also provide a savings/investment component while she is alive. which company would she most likely do business with?

Answers

The company would most likely do business with the life insurance company.

The act of placing money into a business or corporation to earn a profit is called making an investment. With a small business, an investor takes on the extra danger of making little to no profit because the commercial enterprise may additionally or may not succeed. making an investment is a powerful way to position your cash to paintings and potentially construct wealth. clever making an investment might also allow your cash to outpace inflation and growth in fees. The extra increased ability to make an investment is often because of the strength of compounding and the chance-return tradeoff.

Every time we've got invested in our personal commercial enterprise, we've got reaped the rewards tenfold. investing in startup companies is a completely risky enterprise, but it is able to be very worthwhile if and whilst the investments do repay. the general public of new groups or merchandise definitely do now not make it, so the chance of dropping one's whole funding is a real possibility.

To learn more about investment visit here:

brainly.com/question/15353704

#SPJ4

The management of Kunkel Company is considering the purchase of a $27,000 machine that would reduce operating costs by $7,000 per year. At the end of the machine�s five-year useful life, it will have zero scrap value. The company�s required rate of return is 12%.
Click here to view Exhibit 13B-1 and Exhibit 13B-2, to determine the appropriate discount factor(s) using table.
Required:
1. Determine the net present value of the investment in the machine. (Any cash outflows should be indicated by a minus sign. Use the appropriate table to determine the discount factor(s).)
2. What is the difference between the total, undiscounted cash inflows and cash outflows over the entire life of the machine? (Any cash outflows should be indicated by a minus sign.)

Answers

1) The machine's investment's net present value is (-1,767).

2) There will be an $8000 difference between cash inflows and outflows over the machine's lifetime, which hasn't been discounted.

A strategy used by businesses to assess the value of a project is capital budgeting. The profitability of the potential project or investment is evaluated using this method. It assesses the risks and potential returns of the investment. In capital budgeting, there are several approaches to evaluating a project. Internal rate of return, payback time, and net present value are a few of the techniques.

1. Calculation of the net present value of the investment:

Year   Cash Flows       Present Value         Present Value

                                      Factor (12%)

(a)              (b)                     (c)                              (b * c)

0           (-$27000)                 1                        (-$27000)

1                 $7000                 0.8929                  $6250

2                $7000                 0.7972                   $5580

3                $7000                 0.7118                     $4982

4                $7000                 0.6355                   $4449

5                $7000                 0.5674                   $3972

        NET PRESENT VALUE                              (-$1767)  

The investment in the machine has a net present value of (-1,767).

The device would save operating costs by $7,000 per year, based on the information in the question; as a result, it generates an annual cash inflow. The cash flows are multiplied by the value in accordance with the designated discounting factor for each phase of the machine's life. The net present value of the machine is ($1,767), which is a negative amount. The machine investment plan ought to be rejected as a result.

2) Calculate the difference between undiscounted cash inflows and outflows over the machine's lifetime as follows:

Difference = Undiscounted Cash Inflows - Undiscounted Cash Outflows

Difference = $35000 - $27000

Therefore, the difference = $8,000

The undiscounted cash inflows are calculated as follows:

Undiscounted Cash Inflows =  Cash Inflow during each year * Number of periods (years) of cash inflow

Undiscounted Cash Inflows = 7000 * 5 = $35,000

As a result, there will be an $8 000 difference between undiscounted cash inflows and outflows over the period of the machine's lifetime.

The undiscounted cash inflow is calculated by multiplying the period of cash inflows by the cash inflow for each period. The machine's acquisition price, or the undiscounted cash outflow, has been fixed at $27,000. The difference between the two is calculated by taking the cash outflow and subtracting it from the undiscounted cash inflows.

To know more about Capital Budgeting, refer to this link:

brainly.com/question/21598960

#SPJ4

helmer's rockers manufactures two models, standard and premium. weekly demand is estimated to be 100 units of the standard model and 70 units of the premium model. the following per unit data apply: standard premium contribution margin per unit $18 $20 number of machine-hours required 3 4 if there are 600 machine-hours available per week, how many rockers of each model should jim helmer produce to maximize profits?

Answers

The demand for 100 units of the Standard model per week may be satisfied by Helmer's Rockers while using the remaining 196 hours to make 49 units of the Premium variant.

Data and Calculations:

                                                 Standard     Premium

Estimated weekly demand      100 units      70 units

Contribution margin per unit    $18              $20

Machine-hours required           3                    4

Total machine-hours required 300 hrs       280 hrs

Contribution per machine hour $6 ($18/3) $5 ($20/4)

Total Machine-hours available = 496

To maximize profit, produce   100 units      49 units

Machine-hours used                 300 hrs        196 hrs

By generating all 100 units of the Standard model's weekly demand and 49 units of the Premium model in the remaining 196 hours (496 - 300), Helmer's Rockers may optimize profitability.

Learn more about maximize profits Visit :

brainly.com/question/4171648  

#SPJ4

your company has recently initiated a new system in which to develop its game capsules. you want to find out how users of that new system are reacting to it. how will you find out?

Answers

Your business has lately started using a new technology to create its game capsules. Discuss at the steering committee how users of that new system are responding to it if you want to learn more.

What verb is develop?

To cause anything to progressively get bigger, more developed, more powerful, etc. This youngster is maturing regularly. (From something) develop (into something) This area has quickly transformed from a sleepy fishing village into a flourishing tourist destination.

What is an example of develop?

To grow in size, growth, and development Jessica has been regularly working out to build up her back muscles. This story was then turned into a book. This island's economy is centered on tourism. Its goal of the course is to foster.

To know more about develop visit:

brainly.com/question/29438845

#SPJ4

henry, a perfectly competitive wheat grower in southern california, notices that the market price of wheat is greater than his marginal cost. what should henry do?

Answers

Henry, a perfectly competitive wheat grower in southern California, notices that the market price of wheat is greater than his marginal cost expands his output to increase profits

In economics, marginal cost is the change in total cost that occurs when output increases, the cost of producing additional quantity.

Marginal cost refers to the increase in production costs caused by the production of additional product units. Also called the marginal cost of production. By calculating marginal cost, firms can see how output affects costs and, ultimately, profits.

Marginal cost is the additional cost of producing an additional good. For example, say that to make 100 car tires, it costs $100. To make one more tire would cost $80. This is then the marginal cost: how much it costs to create one additional unit of a good or service. The costs of production determine the marginal cost.

Learn more about marginal cost https://brainly.com/question/17230008

#SPJ4

1. which of the following causes a negative supply shock? a. a technological advance b. increasing productivity c. an increase in oil prices d. a decrease in government spending e. a decrease in consumption

Answers

The causes of negative supply shock are: A technological advance, increasing, and an increase in oil prices.

A negative supply shock causes manufacturing costs to increase and the quantity provided to decrease at any level of the total price, which causes the curve to move to the left. Any aggregate price level will see a rise in supply and a fall in production costs, which will cause the curve to move to the right. shock in demand.

Supply shocks are brought on by unanticipated occurrences like natural catastrophes or geopolitical events that lower output or disrupt the supply chain. Due to the political and socioeconomic unpredictability of its source in the Middle East, crude oil is a commodity that is thought to be susceptible to negative supply shocks.

Hence the correct option is A, B, and C

To know more about Negative Supply Shock here

https://brainly.com/question/28268401

#SPJ4

Employers who provide health insurance to their employees must ensure that the employees’ health information is not disclosed to unauthorized parties.a. Trueb. False

Answers

Employers who provide health insurance to their employees must ensure that the employee’s health information is not disclosed to unauthorized parties. True

Information is defined as knowledge gained through learning, communication, research, or education. In essence, information is the result of analyzing and interpreting a piece of data. Data is a single number, figure, or graph, whereas information is the perception of these pieces of knowledge. Information plays an important role in almost everything we do in today's society. Information is any fact, data, number, image, document, sound or human action that must be communicated to a recipient in order to explain, inform and confirm that the recipient may use the information for a specific purpose.

Information can come from almost anywhere: media, blogs, personal experiences, books, journals and journal articles, expert opinions, encyclopedias, web pages, etc. The type of information you need depends on the question you are trying. Answer. This information helps avoid duplication of studies. Information stimulates the thought processes of users, especially scientists. This information helps scientists, engineers, researchers, and others stay up to date with the latest advances in the subject matter.

Learn more about Information here:

https://brainly.com/question/4231278

#SPJ4

the procedure used by accountants to convert data about individual transactions to financial statements is called

Answers

It is known as the process through which accountants turn information about specific transactions into financial statements. the cycle of accounting.

An accountant is a person who engages in the practice of accounting or accountancy. After passing certification exams provided by the relevant professional bodies, accountants may use titles like "Chartered Accountant," "Chartered Certified Accountant," "Certified Public Accountant," or "Registered Public Accountant." These experts are subject to disciplinary action for professional misconduct and have legal authority to certify financial statements for organizations, among other responsibilities. Non-qualified accountants are free to work independently or in the employ of a qualified accountant because they have no legal rights or obligations. The personal characteristics of accountants may have a significant impact on the audit process, as well as on audit fees and audit quality, according to Cahan & Sun's analysis of archival data. A misunderstanding about practitioners has crept into popular culture.

Learn more about accountants from

brainly.com/question/14941603

#SPJ4

a loss on impairment of an intangible asset is the difference between the asset’s:___.

Answers

A destruction on disorder of an intangibles is the distinction between the asset's carrying value and its fair market value.

What else do you mean by assets?

An asset is an object with corporation or country owns, private company, or country controls or owns with the expectation of future benefit. A firm's balance sheet shows its assets. They are divided into current, repaired, financial, and intangible. Personal assets include cash and its equivalents, bank deposits, checking and term deposits, money market accounts physical cash, and Treasury bills.

What are instances of assets?

Asset Examples

Cash and its equivalents.Accounts receivable (AR)Securities that are tradeable.Trademarks.Patents.Product design.Distribution rights.Buildings.

To know more about Assets visit:

https://brainly.com/question/14404094

#SPJ4

(a) what is the annual payment? (b) of this amount, how much represents interest in year 1? (c) how much principal is included in the year 1 payment? (d) how much interest is included in the year 2 payment? (e) over time, has the interest become a smaller or larger component of the annual payment?

Answers

A. 9160

B. 2640.00

C. 6520

D. 1858

E. Smaller

In accounting, amortization refers to expensing the acquisition price minus the residual price of intangible belongings in a scientific way over their envisioned "useful financial lives" that allows you to mirror their consumption, expiry, obsolescence, or any other decline in price due to the use or the passage of time. The term amortization can also seek advice from the completion of that method, as in "the amortization of the tower turned into expected in 1734".

Depreciation is a corresponding concept for tangible assets. Methodologies for allocating amortization to every accounting period are normally similar to the ones for depreciation. but, many intangible properties including goodwill or positive manufacturers can be deemed to have an indefinite useful life and are consequently not concerned with amortization (despite the fact that goodwill is subjected to an impairment take a look at each year).

To learn more about Amortization visit here:

brainly.com/question/24232991

#SPJ4

Complete Question:

Access An Online Loan Calculator With Annual Payments, Such As The One At Mycalculators.Com, To Produce An Amortization Schedule for Welton corp.'s installment note that has the original principle of 22,000, the interest of 12% compounded annually, and a term of 3 years.

(a) what is the annual payment? (b) of this amount, how much represents an interest in year 1? (c) how much principal is included in the year 1 payment? (d) how much interest is included in the year 2 payment? (e) over time, has the interest become a smaller or larger component of the annual payment?

For Local factors explain how Competitors and Supplies affect your business

Answers

When the market is competitive, businesses will have greater incentives to lower prices, to improve the quality of their products and services, and to provide buyers with more options.

The suppliers can influence the business by raising or lowering the prices of goods.

What is a business?

The business refers to an organization or enterprising entity engaged in commercial, industrial, or professional activities.

All of the businesses need to have a business plan to get successful. And a proper business plan and its execution which brings a business to massive heights in the first place.

Learn more about Business here:

https://brainly.com/question/4120338

#SPJ1

roberta is single. she purchased a new main home in march of 2016 for $900,000. roberta will be itemizing her deductions. on what portion of the acquisition debt will interest be deductible on roberta's tax return for 2021?

Answers

The following are the 2022 standard deduction amounts: Married Couple Filing Jointly or Qualifying Widow/er - $25,900 ($800 increase) Head of Household: $19,400 ($600 more) Separately Filing as Single or Married - $12,950 (an increase of $400).

An individual may claim home mortgage interest (also known as qualifying residence interest) as an itemized deduction on Schedule A (Form 1040) if it is paid or incurred on purchase debt. A primary or secondary residence's construction, improvement, or purchase may result in acquisition debt, which is a financial commitment. Consequently, a mortgage loan for a home is an instance of purchase debt. If you are single and just have one job, it is normally a good idea to claim one allowance. If you are married and filing jointly, you should only claim one allowance. You would additionally claim one allowance if you filed as the household's head. Come tax season, you'll probably receive a refund.

To learn more about deduction amounts click the link below:

brainly.com/question/29105607

#SPJ4

an economics graduate student in the united states earns an $18,000 stipend per year. the u.s. sees significant inflation. how might the student react?

Answers

US business students earn $18,000 in scholarships annually. There is massive inflation in the US. students respond by asking for an increase in the cost of living on scholarships.

What is inflation and its causes?

The rate of price growth over a period of time is known as inflation. Inflation is usually a broad measure, such as a general rise in prices or an increase in the cost of living in a country.

There are three main causes of inflation: Demand pull, Cost increase. Inflation expectations.

Who benefits from inflation?

Historically, collectibles such as fine art, wine, and baseball cards can benefit during periods of inflation when the dollar loses purchasing power. When inflation is high, investors often look to real assets that are likely to retain value through market volatility.

To learn more about inflation visit:

https://brainly.com/question/29308595

#SPJ4

Answer:

D) Ask for a cost-of-living increase to her stipend

Explanation:

I got it right on the test

two things to remember when looking at a potential cost savings provided by an information system are that fixed costs don't usually go down, and each hotel, restaurant, or club has a unique cost structure. group of answer choices true false

Answers

The statement is true: two things to remember when looking at a potential cost savings provided by an information system are that fixed costs don't usually go down, and each hotel, restaurant, or club has a unique cost structure.

The advantage gained from taking steps to lower an organization's overall expenditure on assets, which has a direct influence on its bottom line, is known as cost savings. Cost-saving measures can include increasing productivity and obtaining reduced supply purchasing costs.

You can assess the cost savings as reported by Realize Operations Cloud using the Potential Cost Savings Dashboard. You can monitor recommendations and raise cost effectiveness over time by evaluating the possible savings. The dashboard displays capacity and cost reductions for powered-off and idle virtual machines, snapshots, orphaned disks, oversized virtual machines, and reclaimable hosts.

Two Methods for Calculating Potential Cost Savings

1) Calculate the possible cost at both the low and high ends. Verify these figures intuitively, and if the multiplier seems excessively high or low, change it.

2) Calculate possible savings.

To know more about Potential Cost Savings:

https://brainly.com/question/28341366

#SPJ4

What are 5 things federal taxes pay for?

Answers

The five things federal taxes pay for social security, Medicare, Medicaid, Veterans affairs The benefits and services.

The federal taxes is the largest source of revenue for the U.S. government.  federal taxes are based on your income and tax rates apply to everyone, regardless where they live or work.

The  federal taxes are collected by the federal government, while state income taxes are collected by the individual states in which a taxpayer lives and earns income.

The federal taxes money uses to improve infrastructure, provide public health care services and develop rural areas.

To know more about federal taxes here,

https://brainly.com/question/20309158

#SPJ4

We can calculate the issue price of a bond as the face amount plus the total periodic interest payments.
a. True
b. False

Answers

False, We can calculate the issue price of a bond as the face amount plus the total periodic interest payments.

The present value of the face amount plus the present value of the regular interest payments can be used to determine a bond's issue price. The present value is computed using the market rate of interest. For medium- to long-term financing, bonds are a different choice from issuing stock. Bonds are either issued or sold at a discount if they pay less than their face value or par. Bonds typically yield interest at the current market rate of interest or a premium if they yield more than the current market interest rate twice a year or semi-annually. The price of a bond is expressed as a proportion of its face value.

Know more about the Bonds at: https://brainly.com/question/17405470

#SPJ4

Which of these is the process of estimating expected future cash flows of a project using only the relevant parts of the balance sheet and income statements?​a. Pro forma analysis ​b. Substitutionary analysis ​c. Incremental cash flows ​d. Cash flow analysis

Answers

By using only the relevant parts of the balance sheet and income statements to estimate expected future cash flows is the process of (A) pro forma analysis.

What Is Pro Forma Analysis?

Pro forma analysis is a form of budgeting method that can be used in a company. The main purpose of using pro forma analysis is to estimate the future cash flows that occur in the company. This analysis is carried out using assumptions from projects that have already occurred and also only uses data references from the relevant parts of the balance sheet and income statement. The usage of results of this analysis can be used as a basis for consideration for potential investors and also for top management to make business decisions.

Learn more about pro forma analysis https://brainly.com/question/13126457

#SPJ4

legislation that involves concentrated benefits but widespread costs is called a. traditional public-goods legislation. b. populist legislation. c. primary legislation. d. special-interest legislation. e. competing-interest legislation.

Answers

legislation that involves concentrated benefits but widespread costs is called Special interest legislation

Special interest legislation is yet uncharted territory in the eyes of European legal scholarship. Though widely acknowledged, Public Choice Theory and North American studies of law and economics have had very little influence on the theory of legislation. In this chapter, I will make the case for a fair evaluation of the input and output of legislation in terms of conflicting social and economic interests, and I'll work to provide the groundwork for limiting the role of special interests in legislation as well as its legal foundations. It's not always a populist slant that draws criticism to the Special interest legislation problem. To elaborate on the opposite, it is consistent with modern pluralism.Thus, neoliberal critics of the welfare state who stress the connection between state involvement and vested interests as well as networks of supporters of the state's impartial role are also sources of Special interest legislation opponents. In the second section of my essay, I'll offer constitutional law defenses of the expression of interests on the one hand and constitutional law standards that place restrictions on Special interest legislation on the other. Special interest legislation is not expressly forbidden, but it is subject to restrictions imposed on specific, tailored legislation and the prohibition of arbitrary action. Additionally, the criteria of proportionality and coherence support a rationality control of legislation that can aid in exposing the negative impacts of special interest involvement.The interrelationship between Special interest legislation and state aid law will be another area of focus. While additional procedural rules are in place to prevent legislative capture and allay concerns about post-democracy, substantive criteria are a way to deal with excess.

To know more about legislation:

https://brainly.com/question/12719635

#SPJ4

an employer cannot discharge a worker who, in good faith, refuses to work in a high-risk area if bodily harm or death might result.

Answers

The statement that An employer cannot discharge a worker who, in good faith, refuses to work in a high-risk area if bodily harm or death might result is True.

Who is an employer?

An employer  can be described as a person, company, or organization that employs people and they pay this  people for their work however the people who are paid to work are called employees.

It should be noted that  employer cannot discharge a worker that possses good faith, that claim that he can not work in a high-risk area which could bring about bodily harm or death .

Learn more about employer at:

https://brainly.com/question/26463698

#SPJ1

TRUE /FALSE an employer cannot discharge a worker who, in good faith, refuses to work in a high-risk area if bodily harm or death might result.

one of the obstacles to cooperation between unions and international firms is the wide variation in the structure of unions around the world. group startstrue or falsetrue, unselectedfalse, unselected

Answers

The statement is True. One of the obstacles to cooperation between unions and international firms is the wide variation in the structure of unions around the world.

The definition of cooperation is human beings working collectively to attain effects or people helping every different out to obtain a common intention. An example of cooperation is when one person hands you a brick and also you lay the brick.

Additionally, they differ depending on the monetary activity, how contributors use the Cooperative and the kind of management. There are six styles of classification: Agricultural Co-op (acknowledged in Manitoba as “New era Co-op”), client Co-op, Credit Union, Housing Co, and insurance Co-op and worker co-op.

Learn more about cooperation here https://brainly.com/question/1669538

#SPJ4

sharmilla works for shasta lumber, a local lumber supplier. the company annually provides each employee with a shasta lumber shirt so that employees look branded and advertise for the business while wearing the shirts.are shasta's employees required to include the value of the shirts in income?

Answers

No, Shasta's employees are not required to include the value of shirts as a part of their income.

Income can be referred to or considered as the amounts earned by an individual during a particular period of time against the physical and/or mental exertion undergone with a view to gain fruitful returns out of it. An employment generates income for an individual. However, an employee shall not consider the value of shirts in their income, because they would not be wearing that shirt had they not been employed.

Learn more about income here:

https://brainly.com/question/14732695

#SPJ4

Suppose the government imposes a tariff of $20 per unit. the amount of revenue collected by the government from the tariff is?

Answers

The amount of revenue collected by the government from the tariff is $12000 if the government imposes a tariff of $20 per unit.

Tariff is the amount which is imposed on the products that gets imported from other countries. The main reason to impose the tariff is to protect the rights of the domestic manufacturers.

Data according to the attached graph

A rectangular area that represent the revenue collected by the government.

Domestic Demand = 1500 units

Supply = 900 units

Import = 1500 - 900 = 600 units

Tariff imposed = $20 per unit

Total revenue collected

= 600 × $20

= $12000

The given question is incomplete, to find the answer of the given question attached graph is required

To know more about revenue here

https://brainly.com/question/28270825

#SPJ4

mr. dowdy invests $2 million in a hedge fund with a 2/20 fee structure. the fund has a total of $33 million of assets under management and the return in the first year is 23%. assume that management fees are paid at the beginning of each year and performance fees are paid at the end of each year in which they are applicable. what is the amount of the performance fee that mr. dowdy will pay in the first year?

Answers

28160 is the amount of the performance fee that Mr. dowdy will pay in the first year.

What are performance fees?

A performance fee is money paid to an asset manager for making money. Most commonly, it is expressed in terms of investment returns, which are frequently both recognized and deferred.

The given the amount:

invests $2 million

2/20 fee structure

$33 million of assets

first year is 23%

performance fee that Mr. dowdy = ?

performance fee that Mr. dowdy = 2mil- 40,000= x1

performance fee that Mr. dowdy = x1 × (1+.23)=X2

performance fee that Mr. dowdy = X2-2mil= X3

performance fee that Mr. dowdy = X3×.2= 28160

As a result, the 28160 is the amount of the performance fee that Mr. dowdy will pay in the first year.

Learn more about on performance fee, here:

https://brainly.com/question/13190078

#SPJ1

Alisha is preparing an email for an internal audience. Who would be most likely to receive that email?.

Answers

Answer:

Based on the audience that Alisha is preparing the email for, the person that would probably receive this email is one of her coworkers.

Explanation:

Who comprises the internal audience?

The email by Alisha is being prepared for an internal audience. An internal audience in a company refers to all the people within the company including employees, employers, managers, board of directors, and executives.

The fact that Alisha is sending the email to an internal audience means it would likely go to a coworker who would be an employee like Alisha as opposed to customers and vendors.

Other Questions
once a peptide bond has been formed between the amino acid attached to the trna in the p site and the amino acid associated with the trna in the a site, what process occurs next? a. What abiotic factor in a desert is likely to have caused both populations to stabilize after experiencing a period of exponential growth? Explain your answer. (2 points)b. What is a likely reason that the environment has a greater carrying capacity for population A than for population B? (3 points) what is one way that cash flows from investing activities are the opposite of cash flows from financing activities? what act requires federal agencies to integrate environmental values into their decision making processes by considering the environmental impacts of their proposed actions and reasonable alternatives to those actions? Nurse performing a skin assessment for a client who expresses concern about skin cancer. What findings should the nurse identify as a potential indication of a skin malignancy? Was Thomas Jefferson a good president in march, margaret made a loan to pete for $10,000. three months later, she began to hear rumors about pete's failing financial condition. when in july, pete asked her to loan him an additional $2,000 to buy inventory, margaret required a security interest in the inventory and also demanded that pete secure the first loan with his personal automobile. in september, pete filed bankruptcy. will the security interest in the automobile be enforceable? Can someone please help me with this question a 17-year-old boy presents to his pediatrician complaining of persistent drainage from his ear. he has a history of chronic ear infections and, one month prior, was started on amoxicillin secondary to symptoms of hearing loss and drainage along with physical exam findings of an inflamed, bulging tympanic membrane. when his symptoms failed to resolve, his medication was changed to amoxicillin-clavulanate; however, the patient is still experiencing symptoms. given his history and the persistence of symptoms despite antibiotic therapy, what diagnosis should be considered? 2(6-x)=3 help help help help Help pls I dont understand On what type of communication did the ancient Greek, Aristotle, primarily focus? a intrapersonal communication b interpersonal communication c group communication d public communication e He focused on all types of communication are 4:1 and 8:3 eqivalent ratios? in her april 11 entry anne reports a burglary why did it cause such an ordeal hiding in the annex The system of government where powers are shared between the...1.The system of government where powers are shared between the National and State Government with different powers and functions exercised by botha) federal system b) confederate system c) unitary system d) oligarchy 2. Presidential nominations are confirmed by the?a) senate b) house of representative c) unite state supreme court d) cabinet What occurs in a chemical reaction?A. Reactants break bonds and form new bonds to make new substances.B. Reactants break bonds and reform the same bonds.C. Reactants break bonds, but do not form new substances.D. No chemical bonds get broken. I really need help on this :-( What mashed potatoes made of? in chapter 11, miss havisham shows pip the dining room in satis house. what is on the dining room table? which types of controls are recommended for a global mnc versus a multi-domestic mnc? individuals who favor limited government control over the economy but want the state to intervene forcefully to create a traditional social order are known as