It is better to know what a person's long-term career goals are before hiring. This helps you to determine whether or not the person will be committed to the company in the long run.
It is best to address this point during the interview process because it gives you the opportunity to ask potential employees about their career goals, what they hope to achieve in the future, and their plans for personal growth.
This will help you to determine whether or not the candidate will be a good fit for the company in the long term.
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We have learned on how to do strategic planning. Building on the knowledge you have acquired, you are required to create corporate mission, vision, objectives, strategies, targets, and Key Performance Indicators (KPIs). By following the conventional strategic planning process, start by conducting environmental scanning and outline several strategic factors which emerged from the same. Remember, all the objectives created must fall within the types of objectives we learned in the classroom (e.g., CSR, profit maximization/revenue maximization, growth, survival, etc. For those who are going to choose non-profit organization, create different kind of objectives. You may have a real or an imaginary organization. NAME OF THE COMPANY.. INDUSTRY... 1. Strategic factors/critical issues emerged from environmental scanning External factors (1). (ii) (iii). (iv) (v).. You may add more Target Internal factors (1). (ii). (i). (iv). (v). 2. Mission.... Strategic Objective (from each of the types of objectives) Strategy Policy (Guide to implementation of the strategy) KPIS BUS 5204-STRATEGIC BUSINESS MANAGEMENT TERM PAPER (25%) REQUIREMENTS: We have learned on how to do strategic planning. Building on the knowledge you have acquired, you are required to create corporate mission, vision, objectives, strategies, targets, and Key Performance Indicators (KPIs). By following the conventional strategic planning process, start by conducting environmental scanning and outline several strategic factors which emerged from the same. Remember, all the objectives created must fall within the types of objectives we learned in the classroom (e.g., CSR, profit maximization/revenue maximization, growth, survival, etc. For those who are going to choose non-profit organization, create different kind of objectives. You may have a real or an imaginary organization. NAME OF THE COMPANY.. INDUSTRY. 1. Strategic factors/critical issues emerged from environmental scanning External factors (1)............ (ii).. (iii). (iv). (v). You may add more Internal factors (1). (ii). (iii). (iv).. (V).. 2. Mission..... 3. Vision....... Strategic Objective (from each of the types of objectives) Strategy Policy (Guide to implementation of the strategy) Target KPIS
Strategic planning is a process of setting the business direction and identifying the methods to attain the set objectives. The process of strategic planning includes environmental scanning, identifying strategic factors, corporate mission, vision, objectives, strategies, targets, and Key Performance Indicators (KPIs).
Name of the company: McDonald’sIndustry: Fast food restaurant Key Performance Indicators
1. Strategic factors/critical issues emerged from environmental scanningExternal factors: Economic factors- Increase in inflation rates, Increase in labor costs, and low disposable income. Political factors- Political instability, Changes in regulations and taxation laws.
2. Mission: To serve delicious and healthy food to people globally by following the highest standards of quality, service, and cleanliness.
3. Vision: To be the largest and most successful fast-food chain in the world.
Strategic Objective for Key Performance Indicators : To develop a sustainable environment and minimize the impact on the environment by producing environmentally friendly products, ensuring proper waste disposal and recycling, and minimizing carbon footprint.
Strategy: To introduce more healthy and vegan options in the menu to cater to the changing food choices of consumers. This is called Strategic planning
Policy: To promote the use of eco-friendly and recyclable materials for packaging and delivery.
Target: To achieve a 10% increase in the sales of the new vegan and healthy options by the end of the year.
Key Performance Indicators (KPIs): Net profit, Customer satisfaction ratings, Employee satisfaction ratings, Rate of employee turnover, and Environmental impact scores.
Social factors- Lifestyle changes, Health consciousness among people, Increase in number of individuals who prefer eating healthy food technological factors- Adoption of online and mobile app delivery systemsInternal factors: Employee training, Development and management techniques, Promotions and salary hikes, Financial constraints, Inventory management
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(Net present value calculation) Carson Trucking is considering whether to expand its regional service center in Mohab, UT. The expansion requires the expenditure of $10,500,000 on new service equipment and would generate annual net cash inflows from reduced costs of operations equal to $3,500,000 per year for each of the next 9 years. In year 9 the firm will also get back a cash flow equal to the salvage value of the equipment, which is valued at $0.9 million. Thus, in year 9 the investment cash inflow totals $4,400,000. Calculate the project's NPV using a discount rate of 10 percent. If the discount rate is 10 percent, then the project's NPV is $ (Round to the nearest dollar.)
The Net Present Value (NPV) of Carson Trucking's expansion project in Mohab, UT, can be calculated by determining the present value of future cash flows. The project requires a $10,500,000 investment in new service equipment and is expected to generate annual net cash inflows of $3,500,000 for 9 years, with an additional cash flow of $4,400,000 in year 9 from the salvage value of the equipment. Using a discount rate of 10 percent, the NPV of the project is found to be $13,179,728.
To calculate the NPV, we use the formula PV = CF1/(1+r) + CF2/(1+r)2 + ... + CFn/(1+r)n, where PV represents the present value of cash inflows, CF is the cash flow, r is the discount rate, and n is the number of years.
In this case, the cash inflows consist of annual net cash inflows of $3,500,000 for 9 years and a cash flow of $4,400,000 in year 9 from the salvage value of the equipment.
Substituting the given values into the formula, we calculate the present value of the cash inflows over the 9-year period:
PV = $3,500,000/(1+0.10) + $3,500,000/(1+0.10)2 + ... + $3,500,000/(1+0.10)9 + $4,400,000/(1+0.10)9
After evaluating this expression, we find that the present value of the cash inflows is $23,679,727.72.
Next, we calculate the NPV by subtracting the initial investment of $10,500,000 from the present value of the cash inflows:
NPV = PV - I
NPV = $23,679,727.72 - $10,500,000
NPV = $13,179,727.72
Therefore, if the discount rate is 10 percent, the NPV of Carson Trucking's expansion project is $13,179,728 (rounded to the nearest dollar). This positive NPV indicates that the project is expected to generate a return higher than the discount rate and can be considered financially viable.
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The finance department has been directed to reduce the cash-to-cash cycle time to 25.6 days.
You are the operations manager and need to adjust the COGS to achieve that goal. Given the following information, what must your COGS be?
Days in the period: 26
Sales: $2,283,181
AR: $5,468,800
AP: $4,721,574
Inventory: $3,589,109
(Your answer should be a percentage with 2 decimal places)
COGS refers to the cost of goods sold. This is an accounting metric that determines the cost of producing goods and services that have been sold during a given period.
The COGS formula is:COGS = Beginning Inventory + Purchases – Ending InventoryThe cash-to-cash cycle is a metric that determines the length of time between a company's payment for inventory and the receipt of cash from the sale of that inventory. The cash-to-cash cycle formula is:Cash-to-Cash Cycle = Days of Inventory + Days of Sales Outstanding – Days of Payables OutstandingFrom the given information, the cash-to-cash cycle time is 25.6 days.
Outstanding (DSO) = (Accounts Receivable / Sales) x Number of days in the periodDSO = ($5,468,800 / $2,283,181) x 26DSO = 62.33Days of Payables Outstanding (DPO) = (Accounts Payable / COGS) x Number of days in the periodDPO = ($4,721,574 / COGS) x 26The cash-to-cash cycle is:25.6 = 26 + 62.33 - DPO25.6 = 88.33 - DPODPO = 88.33 - 25.6DPO = 62.73. COGS as a percentage of sales is:COGS as a Percentage of Sales = (COGS / Sales) x 100COGS as a Percentage of Sales = ($1,549,836.37 / $2,283,181) x 100COGS as a Percentage of Sales = 67.78%Therefore, the COGS should be 67.78%.
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Suppose Australia can produce either 200 units of textiles or 200 units of cars, while Japan can produce either 180 units of textiles or 240 units of cars given the resources they have (see Table 1). Currently in autarky Australia produces 100 units of textiles and 100 units of cars, while Japan produces 90 units of textiles and 120 units of cars. After opening for trade Australia consumes 115 cars and 108 Textiles with the cars being traded at 1.25 Cars/Textile. Based on this data and theory of comparative advantage (Ricardian model), answer the following (assume constant opportunity cost):
Table 1
Product
Textiles (T)
Cars (C)
Australia
200
200
Japan
180
240
(a): Compute the opportunity costs and state which country has comparative advantage in Textiles, and which has comparative advantage in Cars
(b): What is the price range Cars will trade at (i.e. terms of trade limits)?
(c): Suppose the countries trade and both countries completely specialize, show (compute) the production gains and consumption gains from trade
Opportunity costs are the expenses of the next-best alternative. For example, if a student goes to college, the opportunity cost is the money they could have earned if they had worked instead.
(a) In this scenario, Japan has a lower opportunity cost for cars because it can produce cars at a lower cost than textiles. Australia, on the other hand, has a lower opportunity cost in textiles because it can manufacture textiles at a lower cost than cars. As a result, Japan has a comparative advantage in cars, whereas Australia has a comparative advantage in textiles.
(b) The price range that automobiles will trade at will be between 1 and 1.25 textiles per car. This is because the cost of producing one automobile in Japan is 1.5 times that of producing one textile. As a result, if the price of cars is less than one textile per car, Japan will export textiles to Australia rather than cars because it will receive more textiles for the same price.
(c) If both countries specialise, Australia will produce 200 units of textiles and Japan will produce 240 units of cars. Australia will trade 85 textiles for 106.25 cars, whereas Japan will trade 115.63 cars for 92.5 textiles. Before trade, Australia produced 100 textiles and 100 cars.
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are principles of morality or rules of conduct.
Group of answer choices
Cultures
Ethics
Customs
Traditions
Answer:
Identify the nature of clups or socity
The International Property Rights Index (IPRI) scores countries based on the legal and political environment and how well property rights are protected. The following table lists the IPRI scores and GDP per person in 2018 for six countries. Countries with higher income per person generally have property rights protection than those with lower income per person. What can the government of a relatively poor country do to promote economic prosperity? Check all that apply. Impose steep tariffs on imports from foreign countries in order to protect domestic industries. Establish and enforce strong property rights. ∵ CENGAGE | MINDTAP Problems \& Applications (Ch 12) Countries with higher income per person generally have property rights protection than those with lower income per person. What can the government of a relatively poor country do to promote economic prosperity? Check all that apply. Impose steep tariffs on imports from foreign countries in order to protect domestic industries. Establish and enforce strong property rights. Minimize corruption among government officials. Give inventors and authors exclusive, temporary rights to market and sell their creations.
The government of a relatively poor country can take various measures to promote economic prosperity. One way to do so is to establish and enforce strong property rights. As per the International Property Rights Index (IPRI), countries with higher income per person generally have property rights protection than those with lower income per person.
Hence, in order to encourage economic prosperity, the government must take necessary steps to protect the property rights of its citizens.Another way to promote economic prosperity is to minimize corruption among government officials. This helps in ensuring fair and transparent distribution of resources. Giving inventors and authors exclusive, temporary rights to market and sell their creations is another step towards promoting economic prosperity.
This not only encourages innovation but also boosts the economy by creating new jobs and businesses. However, imposing steep tariffs on imports from foreign countries in order to protect domestic industries may not be a suitable option for promoting economic prosperity. This can lead to retaliation from other countries, resulting in a trade war that can negatively impact the economy of the poor country.
Hence, the government should focus on establishing and enforcing strong property rights, minimizing corruption, and promoting innovation to ensure long-term economic growth.
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Three aspects that influence the design of an accounting
information system are: _______, _______, ________.
The three aspects that influence the design of an accounting information system are the volume of data, the nature of the organization, and the complexity of the data processing requirements.
The volume of data: The volume of data in an accounting system has a significant impact on its design. As the volume of data increases, the system must be able to handle the data efficiently and effectively. Nature of the organization: The nature of the organization has a significant impact on the design of the accounting system.
The accounting system must be customized to meet the specific needs of the organization, including its size, structure, and operations. The complexity of data processing requirements: The complexity of data processing requirements is another factor that influences the design of an accounting system.
As the complexity of data processing requirements increases, the system must be able to handle more complex data processing tasks, such as data mining, forecasting, and analysis, among others.
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According to relational database theory, all tables should have a primary key. What is a primary key? Why is it important?
In a relational database theory, a primary key is a field in a table that uniquely identifies each row in that table.
This is necessary to allow for the efficient identification of a particular row, especially when there are a large number of rows in the table. The primary key is used to establish relationships between tables. For instance, a primary key in one table can be used as a foreign key in another table.
By ensuring that the primary key is unique for each record in the table, it guarantees that there will be no duplicate records, and that the data is consistent and accurate. Furthermore, the primary key also makes it easy to locate a specific record in the table. Thus, it serves as a link between tables, allowing for the efficient management of data and reducing the potential for errors or inconsistencies in the data.
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The current free cash flow to equity (FCFE) of a firm is $458. If the risk-free rate is 5.93% , the beta of the stock is 1.38 and the equity market risk premium is 5.45%, what is the current market value of equity of this stock if the FCFE is expected to grow at 1.69% in perpetuity?
The current market value of equity for this stock is approximately $3867.82.
To calculate the current market value of equity (MVE) using the free cash flow to equity (FCFE) approach, we can use the following formula:
MVE = FCFE / (k - g)
Where:
FCFE = Free Cash Flow to Equity
k = Discount rate (required rate of return)
g = Growth rate of FCFE
Given the following values:
FCFE = $458
Risk-free rate = 5.93%
Beta = 1.38
Equity market risk premium = 5.45%
Growth rate (g) = 1.69%
First, we need to calculate the required rate of return (k) using the Capital Asset Pricing Model (CAPM):
k = Risk-free rate + (Beta * Equity market risk premium)
k = 5.93% + (1.38 * 5.45%)
k = 13.55%
Now we can substitute the values into the formula:
MVE = $458 / (13.55% - 1.69%)
MVE = $458 / 11.86%
MVE ≈ $3867.82
Therefore, the current market value of equity for this stock is approximately $3867.82.
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Which of the following major problems did Beth leroel Deaconess Medical Center (BiD) face in 2002? Select one: a. A lawsult attempting to dissolve the center b. Poor relationships between clinical staff and management C. A corporate takeover attempt by a competitor d. Employees fearing job cuts as a result of the merger of Beth israel and Decconess Hospital Which of the following turnaround strotegies was adopted by Poul tevy, the chief erecutive officer of the Beth isroel Deoconess Medicol Center (BiD), in 2002? Select one: a. He encouraged the different departments to focus exciuslvely on their own profitoblity b. He promoted sllo working within the organization C. He ensured that there wore no job cuts. d. He shared with all staff the full scole of the financial difficulties
Beth Israel Deaconess Medical Center (BiD) faced several major problems in 2002, which included employees fearing job cuts as a result of the merger of Beth Israel and Deaconess Hospital.
It is noteworthy that the corporate takeover attempt by a competitor and a lawsuit attempting to dissolve the center were not among the major problems the center faced in 2002.The turnaround strategy adopted by Poul Tevy, the Chief Executive Officer of the Beth Israel Deaconess Medical Center (BiD), in 2002 was that he shared with all staff the full scale of the financial difficulties.
Tevy's decision to share the financial difficulties of the center with all the staff was geared towards achieving the objective of getting all hands on deck. The sharing of the financial difficulties helped to improve staff buy-in and allowed for the whole organization to be on the same page in terms of the efforts required to turn things around.
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Read Countrywide Home Loans, Inc. v. Reid on page 170. Answer the case questions.
CASE QUESTIONS
1. Explain what happened with the joint tenancy with right of survivorship.
2. Who owns what now?
3. Does Countrywide have a mortgage?
4. Are Troy and Judy liable for the mortgage? Is their property subject to the mortgage?"
Countrywide Home Loans, Inc. v. Reid is a legal case in which Troy Reid and Judy Reid co-owned a property with a joint tenancy with the right of survivorship. Countrywide Home Loans, Inc. had a mortgage on the property. The case dealt with the rights of the parties involved in the case.
1. The property co-owned by Troy Reid and Judy Reid had a joint tenancy with the right of survivorship. When Troy Reid passed away, his ownership in the property passed to Judy Reid automatically under the right of survivorship.
2. Judy Reid owns the entire property after the death of Troy Reid under the joint tenancy with the right of survivorship.
3Yes, Countrywide has a mortgage on the property.
4. Troy and Judy are both liable for the mortgage on the property as it is still outstanding and Countrywide Home Loans, Inc. has a right to the property as security for the loan. The property is still subject to the mortgage, and Countrywide Home Loans, Inc. has the right to foreclose on the property to recover the outstanding loan balance.
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Households in a given economy enjoy consumption of two goods: stuff (21) and energy (r2). It is known that the household preferences over these two goods can be represented by u(11, 12)=1+aln(r2), where a; varies by household. It is also known that w> 10a.
(a) Depict the problem of a representative household if the inital prices are pi = 1 and p2 = 1 and find the demand for energy as a function of a. It is known that 50% of households consume less than 10 units of energy. What can we infer about their a?
The problem of a representative household in this scenario is to determine the optimal consumption of goods "stuff" and "energy" given the initial prices.
To find the demand for energy as a function of a, we can start by maximizing the utility function
u(11, 12) = 1 + a
ln(r2) subject to the budget constraint p1 * 11 + p2 * 12 = w, where p1 and p2 are the prices of goods "stuff" and "energy" respectively, and w is the household's income.
In this case, the initial prices are pi = 1 and p2 = 1, so the budget constraint becomes 11 + 12 = w, which simplifies to
w = 23.
Now, we can maximize the utility function u(11, 12) = 1 + a
ln(r2) subject to the budget constraint w = 23.
Differentiating the utility function concerning r2, we get
d(u)/d(r2) = a/r2.
Equating this to the price of energy (p2 = 1),
we have a/r2 = 1, which gives r2 = a.
Therefore, the demand for energy as a function of a is r2 = a.
Given that 50% of households consume less than 10 units of energy, we can infer that a < 10.
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In your OWN words, explain the history (how it began) and the
importance of studying Macroeconomics.
Macroeconomics is a branch of economics that deals with the study of the entire economy or a nation's economy as a whole. It's a vast field of study that involves topics such as economic growth, inflation, national income, and employment, among others.
This branch of economics aims to understand the factors that influence the growth and stability of the economy and how policymakers can address various economic issues.
The history of macroeconomics can be traced back to the Great Depression, which lasted from 1929 to 1939. The Great Depression was a period of severe economic downturn that caused widespread poverty and unemployment. Economists such as John Maynard Keynes and Friedrich Hayek began to investigate the causes of the Great Depression and proposed various theories to explain it.
John Maynard Keynes is considered the father of macroeconomics due to his work, "The General Theory of Employment, Interest and Money," which outlined his economic theories. His book advocated for government intervention in the economy to stabilize economic growth and employment levels. This idea was in sharp contrast to the classical economists' belief that the economy would self-correct without government intervention.
Importance of studying macroeconomics
Studying macroeconomics is crucial because it helps individuals understand the broader economic environment and its effect on various economic actors such as firms, households, and the government. The study of macroeconomics provides policymakers with a framework for analyzing the economy and implementing policies to address various economic issues such as inflation, unemployment, and economic growth.
In conclusion, macroeconomics is a vital field of study that provides policymakers with the necessary tools to address various economic issues. The study of macroeconomics also helps individuals understand the broader economic environment and how it affects their daily lives.
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Eles from the Internet can contain viruses. Unless you need to edit, it's safe to stay in Protected View Enable Editing Case 6.3: The Helsinki Museum of Art and Design 1. Critique the WtA gap analysis. Could there be other explanations for the gaps? 2. Make recommendations for closing the gaps found in the WtA.
The terms 'Protected View' and 'Enable Editing' to be included, it is assumed that this solution is about Microsoft Office, most likely Microsoft Word. Therefore, the solution to Case 6.3 will be on the computer that runs.
Unless you need to edit, it's safe to stay in Protected View Enable Editing. The above statement is true as a document that is downloaded from the internet can contain viruses. The Protected View mode is a default view in Office Word 2010 and later versions to protect users from documents that are downloaded from the Internet.
The Protected View mode helps protect your computer from various threats like viruses, ransomware, and malware by allowing only the user to view the document and disabling any functionality in the document that could be a potential threat. If a document in Protected View mode requires editing, the user can click on the "Enable Editing" button at the top of the screen to make changes to the document.
It is recommended that the Protected View mode is not disabled as it could lead to a potential threat to your computer.In this case, the Helsinki Museum of Art and Design needs to evaluate its website to find gaps in its website. These gaps were identified in a Web-to-Anything (WtA) gap analysis. Below are the critiques and recommendations for the case:
1. Critique the WtA gap analysis. Could there be other explanations for the gaps? WtA gap analysis is a technique used to find gaps in a website and compare it to its expected behavior. The Helsinki Museum of Art and Design used a WtA gap analysis and found the following gaps: There are several missing links on the site that make it difficult to find information.The museum’s exhibits are only available in Finnish.
The content of the museum’s website is outdated and irrelevant. The website is not optimized for mobile devices.There is a lack of social media presence for the museum. There is a gap between the services offered by the museum and what is expected by visitors. There could be other explanations for the gaps identified in the WtA analysis. The website might not have been updated in a long time, or there could have been errors made in the development process of the website.
2. Make recommendations for closing the gaps found in the WtA. The following are recommendations for closing the gaps found in the WtA analysis: The museum should update the website and remove any outdated information. The museum should translate the exhibits to multiple languages to cater to a diverse audience. The website should be optimized for mobile devices to cater to users that access the website on mobile devices.
The museum should increase its social media presence and advertise its exhibits. The museum should add more links on its website to make it easier to navigate and find information.
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The following data is available relating to the performance of a hedge fund and the market portfolio. The risk-free rate of return during the sample period was 4.07%. What is the Jensen measure of performance evaluation (in percentage) for the hedge fund?
Hedge Fund Market Portfolio
Average return 11.14% 9.53%
Standard deviations of returns 38.10% 8.96%
Beta 1.34 1.00
The Jensen measure of performance evaluation (in percentage) for the hedge fund is 1.38%. The formula to calculate Jensen Measure of Performance Evaluation is given by;Jensen Measure of Performance Evaluation = Portfolio Return - [Risk-Free Rate + Beta x (Market Return - Risk-Free Rate)]
Where, Portfolio Return = Average Return of the Hedge Fund; Market Return = Average Return of the Market PortfolioRisk-Free Rate = 4.07%; Beta = (Standard Deviation of Returns of Hedge Fund / Standard Deviation of Returns of Market Portfolio)The given data for hedge fund and market portfolio can be tabulated as;
Hedge Fund Market Portfolio
Average return 11.14% 9.53%.
Standard deviations of returns 38.10% 8.96%
Beta 1.34 1.00
Beta = 38.10% / 8.96% = 4.25
Jensen Measure of Performance Evaluation = 11.14% - [4.07% + 1.34 x (9.53% - 4.07%)] = 1.38%. Therefore, the Jensen measure of performance evaluation (in percentage) for the hedge fund is 1.38%.
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There are literally 100 ′
s of measures we use in marketing to capture our process performance, customers, competition the economy and so on. Moreover, there are 1000's of decisions marketing managers need to make everyday which researchers can help. The following is a partial list of the most common research studies marketing managers hire researchers to do. Pick one of the following- especially one that may relate to your future career goal. Then describe the following in a onepage summary. 1. What is the general purpose of the study? 2. How are studies like this generally performed? Where would data come from and what analysis might be performed? 3. What problems are managers likely to be trying to solve? 4. What variables (or metrics) would the researcher likely report? Brand and Communications Development - Brand Positioning - Brand Equity, Assets and Community - Communication Optimization/Effectiveness - Category/Brand/Product Name Testing
Brand and Communications Development research aims to assess and enhance brand positioning, equity, assets, community, and communication strategies.
These studies involve a combination of qualitative and quantitative research methods. Qualitative methods like focus groups and interviews gather insights into consumer perceptions, while quantitative methods like surveys and experiments collect numerical data. Data sources include surveys, market research databases, social media, and competitor analysis. Statistical techniques and data visualization tools are used for analysis. Managers seek to solve problems related to assessing brand effectiveness, optimizing communication campaigns, and testing category, brand, and product names.
Metrics reported may include brand awareness, equity indicators, community engagement, and communication effectiveness.
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Marginal damage costs and marginal abatement costs 4.1. Using complete sentences, please explain why marginal damage costs rise as the quantity of pollution increases. 4.2. Using complete sentences, please explain why marginal abatement costs rise as the extent of abatement increases.
4.1. The marginal damage costs are incurred when pollution is not reduced to a level that is considered socially optimal. When the quantity of pollution increases, the marginal damage costs rise as well.
The pollution will be more likely to affect people's health, property, and other interests. The adverse effects of pollution will be more pronounced when the quantity of pollution increases.
4.2. The marginal abatement costs are incurred when pollution is reduced to a socially optimal level. When the extent of abatement increases, the marginal abatement costs also rise.
The first units of abatement might be relatively easy and inexpensive to achieve, but as the extent of abatement increases, it becomes increasingly difficult and expensive to achieve further reductions in pollution.
The most cost-effective abatement measures are adopted first, but as more and more abatement is achieved, the cost of reducing the remaining pollution increases.
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Similarities: Explain the similarities that exist between incorporating the TBL framework into both the service industry and the manufacturing industry, and why.
Differences: Explain the differences that exist between incorporating the TBL framework into the service industry and the manufacturing industry, and why.
While there are similarities in terms of environmental sustainability, social responsibility, and economic viability, differences arise due to variations in inputs and outputs, as well as supply chain complexity. It's important for both industries to customize their TBL implementation strategies to align with their specific needs and challenges.
Incorporating the Triple Bottom Line (TBL) framework into both the service and manufacturing industries has similarities and differences.
Similarities:
1. Environmental sustainability: Both industries can benefit from implementing eco-friendly practices to reduce their carbon footprint. This can involve energy conservation, waste management, and the use of sustainable materials.
2. Social responsibility: Incorporating TBL means prioritizing the well-being of employees, customers, and communities. Both industries can focus on fair labor practices, diversity and inclusion, and community engagement initiatives.
3. Economic viability: TBL emphasizes long-term profitability and financial success. Both industries can benefit from adopting sustainable business models, such as investing in renewable energy sources or optimizing resource efficiency.
Differences:
1. Inputs and outputs: In the manufacturing industry, the TBL framework may primarily focus on reducing waste and improving resource efficiency in production processes. In the service industry, the emphasis may be on minimizing energy consumption and waste generated during service delivery.
2. Supply chain complexity: Manufacturing industries often have more complex and lengthy supply chains, requiring increased coordination and transparency to ensure sustainability. Service industries may have shorter supply chains, but still need to consider factors like transportation and waste management.
In conclusion, while there are similarities in terms of environmental sustainability, social responsibility, and economic viability, differences arise due to variations in inputs and outputs, as well as supply chain complexity. It's important for both industries to customize their TBL implementation strategies to align with their specific needs and challenges.
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Shamrock Corporation purchased land adjacent to its plant to improve access for trucks making deliveries. Expenditures incurred in purchasing the land were as follows: purchase price, $71,500; broker's fees, $7,000; title search and other fees, $5,300; demolition of an old building on the property, $5,900; grading, $1,100; digging foundation for the road, $3,200, laying and paving driveway, $24,000: lighting $7,600; signs, $2,000. List the items and amounts that should be included in the Land account. $
The Land account for Shamrock Corporation should include the purchase price, broker's fees, title search, and other fees, demolition costs, grading expenses, foundation digging, driveway construction, lighting installation, and signage expenses, totaling $128,600.
The items and amounts that should be included in the Land account for Shamrock Corporation are as follows:
Purchase price: $71,500
This is the actual cost incurred by Shamrock Corporation to acquire the land.
Broker's fees: $7,000
These are fees paid to the broker who facilitated the purchase of the land.
Title search and other fees: $5,300
These expenses include costs related to conducting a title search, legal fees, and other fees associated with verifying the ownership and legality of the land purchase.
Demolition of an old building on the property: $5,900
This cost is incurred to clear the land by demolishing an existing building or structure.
Grading: $1,100
Grading refers to the process of leveling and preparing the land for construction or other purposes.
Digging foundation for the road: $3,200
This expense is associated with excavating the land to create a foundation for the road that will provide access for trucks making deliveries.
Laying and paving driveway: $24,000
This amount represents the cost of constructing and paving the driveway, which is necessary for smooth and safe access to the plant.
Lighting: $7,600
These costs include the installation of lighting fixtures to ensure visibility and safety on the land.
Signs: $2,000
This amount covers the expenses of installing signs for directions, warnings, or identification purposes on the land.
In total, the Land account for Shamrock Corporation would include the above items, totaling $128,600 ($71,500 + $7,000 + $5,300 + $5,900 + $1,100 + $3,200 + $24,000 + $7,600 + $2,000).
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What is the difference between nominal and real wages? 12.Prove that a decline in the price level will shift the Ns curve (in the labor market modeled in terms of nominal wages). 13.Using the classical model, explain and diagrammatically represent what happens to P and Y because of: a. a rise in the money supply b. a decline in taxes c. a rise in the amount of capital utilized in the production process 14.Using the classical model, explain and diagrammatically represent what happens to P,Y,W, and N because of: a. a decline in the money supply b. a rise in taxes c. a decline in the technology coefficient 15. The price level in year 1 is lower than the price level in year 2; the Real GDP level in year 1 is higher than the Real GDP in year 2. What could have caused this set of events? Explain and diagrammatically represent your answer.
Nominal wages are actual dollar amount received by an individual as payment for their work while real wages take into account the impact of inflation on purchasing power.
What is the difference between nominal and real wages?Nominal wages represent the amount of money a worker earns in current dollars without considering changes in the overall price level. Real wages adjust for inflation by factoring in the purchasing power of those wages.
In other words, real wages reflect the actual goods and services that can be purchased with the earned income. By accounting for changes in the cost of living, real wages provide a more accurate measure of the standard of living and economic well-being over time.
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A higher real GDP level is represented by a higher level of real output (Y).
Nominal wages refer to the actual dollar amount received by workers for their labor, while real wages take into account the effect of inflation on purchasing power.
A decline in the price level will shift the Ns curve (labor market supply curve modeled in terms of nominal wages) as follows:
Decline in price level → decrease in cost of goods and services.
Increase in purchasing power → increase in real wages.
Higher real wages motivate workers to supply more labor.
Increased labor supply → rightward shift of the Ns curve.
Effects on P and Y due to:
a. Rise in the money supply:
Increase in money supply → higher purchasing power.
Increased demand → upward pressure on prices (P) and higher real output (Y).
b. Decline in taxes:
Decrease in taxes → higher disposable income.
Increased demand → upward pressure on prices (P) and higher real output (Y).
c. Rise in capital utilization:
Increase in capital → higher productivity.
Higher potential output (Y) → outward shift of the production possibilities frontier (PPF).
Increased supply → decreased price level (P).
Effects on P, Y, W, and N due to:
a. Decline in the money supply:
Decrease in money supply → lower purchasing power.
Decreased demand → lower prices (P) and real output (Y).
Potential decrease in wages (W) and employment (N).
b. Rise in taxes:
Increase in taxes → lower disposable income.
Decreased demand → lower prices (P) and real output (Y).
Potential decrease in wages (W) and employment (N).
c. Decline in the technology coefficient:
Decrease in technology → lower productivity.
Lower potential output (Y) → leftward shift of the production possibilities frontier (PPF).
Decreased supply → increased price level (P).
Potential decrease in wages (W) and employment (N).
A combination of factors can lead to a lower price level and higher real GDP:
Decrease in the overall price level (deflation).
Increase in production of goods and services (economic growth).
Possible cause: decrease in aggregate demand between the two years.
Decrease in aggregate demand → lower price level.
Despite the lower price level, higher real GDP indicates increased production.
Diagrammatic representation:
A decrease in aggregate demand shifts AD curve left, lowering the price level (P).
A higher real GDP level is represented by a higher level of real output (Y).
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Course: International Market entry
Write a minimum of 400 words.
Many of the fast-food operations are entering markets in Middle Eastern countries. In the United States, breakfast items are very popular and are responsible for a majority of the profit from sales, primarily from drive-in customers. However, to their dismay, managers found that there was practically no demand for breakfast items.
Firstly, due to hot weather conditions, people sleep late and wake up late. Secondly, they do not eat burgers, and sausage or bacon is prohibited. Also, drive-in business is not popular since people go to work at different periods of time.
Do you agree with some or all the above reasons? why?
Discuss the "Self-reference Criterion" as a potential reason and explain its effects on the Fast-food industry in the Middle East region.
Fast food industries in Middle Eastern countries have been noted to differ from the ones in the United States. One of the significant differences is the lack of demand for breakfast items.
According to some sources, this is attributed to different factors such as the hot weather conditions and the eating habits of the people. Although these reasons may have some merit, there is another potential reason that could also be a contributing factor. The self-reference criterion is a potential reason that could affect the fast-food industry in the Middle East region. This concept is described as an unconscious reference to one's cultural values when making decisions related to foreign cultures. It means that people are likely to use their own cultural beliefs and values when making decisions that involve foreign cultures without even realizing it.
This concept can have both positive and negative effects on the fast-food industry. On the one hand, it could help fast-food industries identify the values and cultural beliefs that people hold and use them to develop products that are more appealing to their target market. On the other hand, it could also lead to making incorrect assumptions about the target market and developing products that may not be well received.
In conclusion, while factors such as hot weather conditions and eating habits may be contributing to the lack of demand for breakfast items in Middle Eastern countries, the self-reference criterion is a potential reason that could affect the fast-food industry in the region. Therefore, it is crucial for fast-food industries to understand the values and cultural beliefs of the people in their target market to develop products that meet their needs and preferences. This could lead to higher sales and more success in the region.
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Which among the following is NOT a reporting obligation of an entity under AML/CTF Act, 2006 (Cth)?
a. Correspondence Report
b. Compliance Report
c. Suspicious Matter Report
d. Suspicious Matter Report
e. Threshold Transaction Report
Suspicious Matter Report is NOT a reporting obligation of an entity under AML/CTF Act, 2006 (Cth).
Under the AML/CTF Act, 2006 (Cth), reporting obligations for entities are aimed at combating money laundering and terrorist financing. The reporting obligations include:
a. Correspondence Report: This report is required when an entity receives a correspondent banking relationship request.b. Compliance Report: Entities are obligated to submit compliance reports to the regulatory authorities, providing information about their AML/CTF programs and compliance with the Act.c. Suspicious Matter Report: Entities must report suspicious matters, such as transactions or activities that raise suspicions of money laundering or terrorist financing.e. Threshold Transaction Report: Entities are required to report certain cash transactions that exceed the prescribed threshold amount.The incorrect option is d. Suspicious Matter Report, as it appears twice in the list. Therefore, d is NOT a reporting obligation under the AML/CTF Act, 2006 (Cth).
In summary, the reporting obligations of an entity under the AML/CTF Act, 2006 (Cth) include Correspondence Reports, Compliance Reports, and Threshold Transaction Reports. The option "d. Suspicious Matter Report" is incorrect as it is repeated in the list.
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In this exercise we will examine Karl's choices of his two summer obsessions: live concerts at
Cat's Cradle and movies on the lawn in Southern Village. He has $200 per month to spend on
these. Three of his indifference curves for the two events are illustrated on the attached graph.
The initial prices of the two events are the concert price (PC) of $25 and the movie price of (PM)
of $10.
1. Given Karl's budget and the prices of the two events, what is his preferred combination of
concerts and movies given his budget each month? Illustrate it on the attached graph. How
do you know that this is his preferred combination? Explain in two sentences.
2. Due to Covid, the audience for indoor concerts has declined and Cat's Cradle has lowered
the concert price (PC) to $12.50. What is Karl's new preferred combination of events?
Illustrate it on the attached graph. How do you know that you have the right combination?
Explain in two sentences.
3. What has happened to Karl's choices of concerts and movies as we move from question 1
to question 2? Is this consistent with the law of demand? Explain in one sentence.
4. What is the substitution effect of the price change on Karl's choice? Illustrate this on the
attached graph and provide a two-sentence explanation of what we learn from this effect.
5. What is the income effect of the price change on Karl's choice? Illustrate this on the
attached graph and provide a two-sentence explanation of what we learn from this effect.
1. Karl's preferred combination of concerts and movies given his budget each month is where his budget line intersects his highest indifference curve.
This point can be seen on the graph, where the budget line intersects the third indifference curve from the top. This is Karl's preferred combination because it gives him the highest possible level of utility, given his budget constraints.2. Karl's new preferred combination of events is where his budget line intersects his highest indifference curve after the price change.
We learn from this effect that as the price of concerts decreased, Karl substituted movies for concerts to maximize his utility, given his budget constraints.5. The income effect of the price change on Karl's choice is seen as a shift of his budget line, from AB to CD. We learn from this effect that as the price of concerts decreased, Karl's purchasing power increased, allowing him to consume more of both concerts and movies and thus increasing his overall utility.
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I need help Solving the question thank you!
on a semiannual basis ( 6 percent semiannually). What is the bond's yield to maturity? The bond's yield to maturity is %. (Round to two decimal places.)
Without the bond's price or any other relevant information, it is not possible to calculate the bond's yield to maturity.
To calculate the bond's yield to maturity (YTM), we need to gather some key information: the bond's price, face value, coupon rate, and the number of periods remaining until maturity.
Let's assume the bond has a face value of $1,000, a coupon rate of 6% (semiannually), and it pays coupons semiannually. We need the bond's price to proceed with the calculation.
The YTM can be determined through trial and error or by using financial calculators or spreadsheet functions. However, I'll illustrate the steps for the trial and error method.
1. Start with an initial guess for the YTM. It could be based on market interest rates or previous bond issuances.
2. Estimate the present value of the bond's cash flows, including both the coupon payments and the face value at maturity. The present value of each cash flow is calculated by discounting it at the estimated YTM.
3. Sum up the present values of all the cash flows.
4. Adjust the YTM until the sum of the present values matches the bond's price.
For example, let's assume the bond's price is $950. We can start with an initial guess for the YTM, such as 5%.
Using the estimated YTM, we can calculate the present value of each cash flow and sum them up. If the sum is not equal to $950, we adjust the YTM up or down and recalculate until we find the YTM that yields a present value sum equal to the bond's price.
The process involves iteration and can be time-consuming. Alternatively, using financial calculators or spreadsheet functions like the RATE function in Excel simplifies the calculation by finding the YTM directly.
Therefore, to determine the bond's yield to maturity, we would need the bond's price and perform the necessary calculations using the trial and error method or utilizing financial calculators or spreadsheet functions.
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Which of the following describes the potential energy of an object or set of objects? water is a reservoir water fowing down hill a car speeding up a hill a person running the 50 -yard dash a car speeding up a hill
The term potential energy describes the potential energy of an object or set of objects. Potential energy is the energy an object possesses because of its position or condition, i.e., its potential to be used.
It's like a battery that has the potential to be used for work, but until it's connected to a device, it remains unused. Potential energy is based on an object's height, mass, and gravity. When an object is at a higher height than another, it has more potential energy. When an object is heavier, it has more potential energy.
When an object is under the influence of gravity, it has more potential energy. So, out of the given options, the only example that describes the potential energy of an object is "water is a reservoir." This is because water at a higher elevation in a reservoir has more potential energy due to its position and gravity, which can be used to generate hydroelectric power or other work.
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Your friend, Molly, needs your help finding the average for a set of portfolio returns. They have calculated the returns (in %) as : month return 1 12.67 2 1.82 3 14.10 4 18.48 5 32.16 What is the arithmetic mean of these returns? Select one: a. 15.85% b. 15.64% c. 15.43% d. 0.00% e. insufficient information to determine f. 7.72% g. 79.23%
Based on the set of portfolio returns the arithmetic mean of these returns is: b) 15.64%.
How to find?Given set of portfolio returns in percentage are: month return 1 12.67 2 1.82 3 14.10 4 18.48 5 32.16.
To calculate the arithmetic mean of these returns, we need to sum all the returns and divide it by the total number of returns. Thus, the arithmetic mean of these returns is:b) 15.64%.
The calculation is as follows:
(12.67 + 1.82 + 14.10 + 18.48 + 32.16) / 5 = 79.23 / 5
= 15.846
≈ 15.64 %.
Therefore, the correct option is b) 15.64%.
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Q1//. _______of knowledge management suggests that
there is one approach of managing knowledge is best under all
circumstances.
A- Universalistic view
B- contingency view
C- organizational view
D- Truth view
A universalistic view of knowledge management would imply that there is a single best approach of managing knowledge, which should be adopted by all organizations in all circumstances. This seems to be implicit in the literature on knowledge management; for example, knowledge sharing is recommended as being useful to all organizations, although we believe that the use of direction may sometimes represent an equally effective but more efficient alternative. In contrast to this universalistic view, contingency theory, which has previously been used, for example, in the literature on organization design, suggests that no one approach is best under all circumstances. Whereas a universalistic view focuses on identifying a single path to successful performance, a contingency theory considers the path to success to include multiple alternative paths with success being achieved only when the appropriate path is selected. For instance an organization design with few rules or procedures is considered appropriate for small organizations, whereas one with extensive rules and procedures is recommended for large organizations.
Q2//knowledge specially............ provide organizations with provide a sustainabke competitive advantage.
A- context-specific tacit knowledge
B- context-specific explicit knowledge
C- procedural knowledge
D- declarative knowledge
"" "Please answer these two questions.. Based on your personal and scientific experience, you can use the attached picture and according to chegg policy, more than one question is answered in a question.." "" ""
Q1: A Universalistic view A universalistic view of knowledge management would imply that there is a single best approach of managing knowledge, which should be adopted by all organizations in all circumstances.
This seems to be implicit in the literature on knowledge management;
for example, knowledge sharing is recommended as being useful to all organizations, although we believe that the use of direction may sometimes represent an equally effective but more efficient alternative.
Q2: A- Context-specific tacit knowledge:
Knowledge, especially context-specific tacit knowledge, provides organizations with a sustainable competitive advantage. It is a well-known fact that organizations have long been interested in ways to create and sustain a competitive advantage over their rivals. Knowledge, as an asset, has received increasing attention in this context.
And a number of authors have suggested that knowledge, especially tacit knowledge, is an important source of competitive advantage for organizations. Tacit knowledge, unlike explicit knowledge, is difficult to articulate, formalize, and codify, and it is often acquired through experience and informal communication.
As a result, it is frequently context-specific and deeply embedded in the organization's culture. Because of its context specificity, tacit knowledge is difficult to imitate or transfer to another context, making it an important source of competitive advantage for organizations.
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BIG 5 PERSONALITY TRAITS WITH THE TRAINER ON 'ETHICS AND VALUEING THE CO-WORKERS'.
BIG 5 PERSONALITY TRAITS WITH THE EMPLOYEE DEALING WITH 'CONFLICT RESOLUTION MANAGER'.
Individuals with high levels of agreeableness, conscientiousness, openness to experience, emotional stability, and extraversion are more likely to demonstrate ethical behavior and value their co-workers' contributions.
The Big Five personality traits, also known as the Five Factor Model, provide a framework to understand individual differences in personality. When it comes to ethics and valuing co-workers, certain personality traits play a crucial role:
Agreeableness: People high in agreeableness are generally warm, compassionate, and cooperative. They are more likely to value their co-workers, treat them with respect, and empathize with their needs and concerns. This trait contributes to creating a positive and harmonious work environment.
Conscientiousness: Individuals high in conscientiousness are organized, responsible, and dependable. They are more likely to adhere to ethical standards and value their co-workers' contributions. Their strong work ethic promotes fairness, integrity, and a sense of accountability in their interactions.
Openness to experience: Those high in openness tend to be curious, imaginative, and open-minded. They are more inclined to appreciate diverse perspectives, seek creative solutions, and value the unique strengths of their co-workers. This trait fosters an inclusive and respectful atmosphere.
Emotional stability: People with high emotional stability are generally calm, resilient, and composed. They are better equipped to handle conflicts and disagreements with their co-workers in a constructive manner. Their emotional resilience promotes understanding, empathy, and effective communication during conflict resolution.
Extraversion: Extraverted individuals are outgoing, sociable, and assertive. They are more likely to build positive relationships with their co-workers, promote collaboration, and encourage open communication. Their sociability contributes to a supportive and cohesive team dynamic, where ethical values are valued and respected.
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It's about Is it included?
Most motherboards that have integrated components such as wireless and video capabilities can keep the cost of building a new system down. Why, based on some quick research, a high-end motherboard might have less or more of these integrated features?
Motherboards that have integrated components like wireless and video capabilities can keep the cost of building a new system down. However, a high-end motherboard may have fewer or more of these integrated features.Why a high-end motherboard might have fewer or more of these integrated features?A high-end motherboard has more advanced features than regular motherboards. Therefore, it may have fewer integrated features as the users might be installing more advanced and separate components. For example, high-end motherboards generally have improved CPU power delivery and thermal dissipation capabilities to manage overclocking and high-end CPUs. These features are more significant to high-performance computer users than integrated wireless and video capabilities.Motherboards that have more integrated features may cost less because they may have been manufactured at a lower cost than motherboards with fewer features. Nonetheless, integrated wireless and video capabilities may limit the customizability of the system.The cost of motherboards with fewer integrated features may be high due to the specialized technology involved in manufacturing them. These motherboards have high-performance features and are designed to work in conjunction with advanced components in order to provide maximum performance.
On January 1. 2020. Fisher Corporation purchased 40 percent ( 86.000 shares) of the common stock of Bowden, Inc., for $980,000 in cash and began to use the equity method for the investment. The price paid represented a $60.000 payment in excess of the book value of Fisher's share of Bowden's underlying net assets. Fisher was willing to make this extra payment because of a recently developed patent held by Bowden with a 15-year remaining life. All other assets were considered appropriately valued on Bowden's books. Bowden declares and pays a $100,000 cash dividend to its stockholders each year on September 15 . Bowden reported net income of $382,000 in 2020 and $358,000 in 2021 . Each income figure was earned evenly throughout its respective years. On July 1, 2021. Fisher sold 10 percent ( 21,500 shares) of Bowden's outstanding shares for $322,000 in cash. Although it sold this interest, Fisher maintained the ability to significantly influence Bowden's decision-making process. Prepare the journal entries for Fisher for the years of 2020 and 2021. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. Do not round intermediate calculations. Round your final answers to the nearest whole dollar.) Journal entrv worksheet
In 2020 and 2021, Fisher Corporation recorded 40% purchase of Bowden's common stock, $152,800 in net income, $40,500 in cash dividend, and $22,400 in gain on sale of investment.
To prepare the journal entries for Fisher Corporation for the years 2020 and 2021, we need to consider the transactions related to their investment in Bowden, Inc. Here are the journal entries:
2020:
1. To record the purchase of 40% (86,000 shares) of Bowden's common stock:
Investment in Bowden, Inc. (40% of $980,000) $392,000
Cash $392,000
2. To record Fisher's share of Bowden's net income ($382,000 * 40%):
Investment in Bowden, Inc. $152,800
Equity in Bowden's net income $152,800
3. To record Fisher's share of Bowden's cash dividend ($100,000 * 40%):
Cash (40% of $100,000) $40,000
Dividend income $40,000
2021:
4. To record Fisher's share of Bowden's net income ($358,000 * 40%):
Investment in Bowden, Inc. $143,200
Equity in Bowden's net income $143,200
5. On July 1, 2021, to record the sale of 10% (21,500 shares) of Bowden's outstanding shares:
Cash (10% of $322,000) $32,200
Investment in Bowden, Inc. (10% of cost) $9,800
Gain on sale of investment $22,400
Note: Since Fisher maintains the ability to significantly influence Bowden's decision-making process, we do not adjust the Investment in Bowden, Inc. account for the sale of shares.
These journal entries reflect the transactions related to Fisher Corporation's investment in Bowden, Inc. for the years 2020 and 2021.
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