Slate Corporation's stockholders' equity accounts at December 31, 2021, included Common Stock with a par value of $10 per share.
The company had authorized 500,000 shares, out of which 20,000 shares were issued. The total amount of Common Stock issued was $200,000.
To calculate the number of shares that can still be issued, we subtract the number of issued shares from the number of authorized shares.
Authorized shares - Issued shares = Unissued shares
500,000 shares - 20,000 shares = 480,000 shares (Unissued shares)
The total amount of Common Stock issued, $200,000, represents the par value of the issued shares.
The par value is the nominal value assigned to each share by the company. In this case, each share has a par value of $10.
To find the total value of the authorized shares, we can multiply the par value by the number of authorized shares.
Par value per share × Authorized shares = Total value of authorized shares
$10 per share × 500,000 shares = $5,000,000 (Total value of authorized shares)
In conclusion, Slate Corporation had 20,000 shares of Common Stock issued at a par value of $10 per share, resulting in a total value of $200,000.
The company still had 480,000 shares that could be issued based on the authorized shares of 500,000. The total value of the authorized shares is $5,000,000.
To know more about Stock visit:
https://brainly.com/question/25765493
#SPJ11
..................................................................................................................................................................................................is ......................................................................................................................................................................... anyone here
Answer:
yuh :)
Explanation:
You receive a text alert that you must fertilize 14 more acres in the next hour before it begins to
rain. What should you do?
A. Maintain current speed because you will be able to cover the additional acres in one hour.
B. Increase the engine speed to approximately 2,700 rpm to cover the additional acres in one
hour.
C. Increase speed to approximately 7.1 mph to cover the additional acres in one hour.
D. Increase to second gear to cover the additional acres in one hour.
Answer:
C
Explanation:
Increase speed to approximately 7.1mph to cover the additional acres in one hour
______ economics considers the desirability of certain aspects of the economy and underlies expressions of support for particular economic policies.
The aspect of economics that looks at the desirability of some sections of the economy and underlies expressions of support for some economic policies is called Normative Economics.
What is the focus of Normative Economics?Normative economics focuses on how economic policies impact the people. That is the outcome of economic goals and public policy and what those policies ought to be.
In other words, it is very subjective in nature and focuses on what should be rather than what is.
See the link below to learn more about Normative Economics:
https://brainly.com/question/20841086
02.01 LC)
Work you do for pay is called a _____.
A. service industry
B. diverse workforce
C. job
D. volunteer job
only people who own property need insurance
true or false
Answer:
false
Explanation:
pretty sure that is false as one can have life insurance without property.
Still double check...
Responsibility accounting is a system that does NOT consider A. responsibility. B. accountability. C. performance evaluation. D. static budgeting.
Responsibility accounting is a system that considers responsibility, accountability, and performance evaluation, but it may use a static budgeting approach. All the options are correct.
Responsibility accounting is a system that emphasizes assigning responsibility to individual managers or departments for specific tasks, such as cost control or revenue generation. This system also stresses the importance of accountability, which means holding managers responsible for achieving their assigned goals.
Performance evaluation is a crucial aspect of responsibility accounting, as it involves measuring the effectiveness of individual managers or departments in achieving their objectives.
However, responsibility accounting may use a static budgeting approach, which means setting a fixed budget at the beginning of the period and not allowing for adjustments throughout the period.
Despite this limitation, responsibility accounting remains a valuable tool for organizations to evaluate the effectiveness of their managers and departments.All the options are correct.
For more questions like Accounting click the link below:
https://brainly.com/question/13310721
#SPJ11
What is an appropriate response when an interviewer asks what salary you are looking for
during your initial interview? Would the response change if you'd been given an offer?
what is the biggest attraction for business considering enganing in international business?
A. The lack of domestic resources
B. The cost of labor
C. The number of burdensome regulations
D. The size of the market
Answer:
A the lack of domestic resources
Hey everyone, I just thought you all should know that...
you are AMAZING
you are BEAUTIFUL
you are SMART
you are KIND
you are NOT going to give up on your FIGHT
and you better stay ALIVE!!! <33
Answer:
thanks lol
you too-
HELP ME PLEASE:
Identify and describe the company or business jeff Bezos operated, managed, and taken a financial risk. What are the main products/services offered? How did he get started? What challenges did jeff Bezos encounter on the way and how did he manage those obstacles?
Jeff Bezos has invested in many companies. But the one with he is most associated is Amazondotcom.
The main services of Amason are:
Jeff Bezos started out with online book sales from his rented home in Bellevue, Washington. Then the business expanded. He became the dominant player in online book sales on the internet.
One of the major challenges he faced is Antitrust Issues. Earlier on, however, he was being required by some companies to do at least 10 units of their books to qualify under their retail dealership.
Unfortunately, Amazondotcom was not yet doing that. They solved this problem by exploring a loophole in the system that required them to order 10 books not buy them. So they continued to order books that they didn't have or that were not on sale.
Who is Jeff Bezos?Jeffrey Preston Bezos is a businessman, media owner, investor, computer engineer, and commercial astronaut from the United States. He is Amazon's founder, executive chairman, and former president and CEO.
The majority of Jeff Bezos' wealth stems from his Amazon stock. According to Forbes, he still holds 11% of Amazon's stock and has sold an estimated $27 billion in stock since 1997. He is well-known for his philanthropic contributions to areas such as cancer research and climate warming.
From 1998 until 2021, Bezos' basic salary of $81,840 remained constant. He will also receive an extra $1.6 million in various forms of remuneration. As a result, Bezos' annual salary is around $1,681,840.
Learn more about Jeff Bezos:
https://brainly.com/question/28708868?
#SPJ1
Show how the distribution of income in an economy changes when
a BIG is introduced, funded by a proportional tax on income.
Introducing a Basic Income Guarantee (BIG) funded by a proportional tax on income can lead to changes in the distribution of income in an economy. The BIG redistributes income by providing a fixed amount to all individuals, regardless of their existing income levels. The proportional tax ensures that individuals with higher incomes contribute a larger share of their income to fund the BIG, resulting in a more equal distribution of income.
The introduction of a BIG funded by a proportional tax on income alters the distribution of income in an economy. The BIG guarantees a certain level of income to all individuals, providing a safety net and reducing poverty levels. By funding the BIG through a proportional tax, individuals with higher incomes contribute a higher proportion of their income, resulting in a more progressive tax system. This redistribution aims to address income inequality by providing support to lower-income individuals while ensuring that the burden of funding is shared by those with higher incomes. Overall, the introduction of a BIG funded by a proportional tax can lead to a more equitable distribution of income in an economy.
To learn more about Basic Income Guarantee click here
brainly.com/question/32736678
#SPJ11
This is my last question plzzzz get it right
Museum curators are in a tourism career.
A. True
B. False
Answer:
false
Explanation:
what assurance does the auditor provide that errors, irregularities (fraud), and direct effect illegal acts that are material to the financial statements will be detected?
Objective judgment assurance does the auditor provide that errors, irregularities (fraud), and direct effect illegal acts that are material to the financial statements will be detected.
When expenses are reduced as a result of a producer investing in additional markets or a larger range of operations, this is referred to as economies of scope.
The cost reductions that a business can obtain by using the same resources or technology to generate a variety of goods or services are known as economies of scope. By diversifying their operations and spreading their costs across a larger amount of output, producers can take use of economies of scope to cut their costs and increase their profitability.
To learn more about amount, click here.
https://brainly.com/question/13024617
#SPJ4
Suppose two competing projects have cash ?ows of the form(? A1, B1, B1, ..., B1) and (? A2, B2, B2, ..., B2), both with the same length and A1, A2, B1,B2 all positive. Suppose B1/A1 > B2/A2. Show that project 1 will have a higher IRR thanproject 2.
If the cash flow ratio B1/A1 is greater than the cash flow ratio B2/A2 for two competing projects, Project 1 will have a higher internal rate of return (IRR) than Project 2.
To show that Project 1 will have a higher internal rate of return (IRR) than Project 2, we can compare their net present values (NPVs). The IRR is the discount rate that makes the NPV of a project equal to zero.
Let's assume the cash flows for Project 1 are denoted as (A1, B1, B1, ..., B1), and the cash flows for Project 2 are denoted as (A2, B2, B2, ..., B2), where A1, A2, B1, and B2 are all positive values. It is given that B1/A1 > B2/A2.
To compare the IRRs of the two projects, we calculate their respective NPVs using a discount rate that is higher than B1/A1 and B2/A2. Let's assume the discount rate is r.
The NPV for Project 1 is:
NPV1 = A1/(1+r) + B1/(1+r)²+ B1/(1+r)³ + ... + B1/(1+r)ⁿ
The NPV for Project 2 is:
NPV2 = A2/(1+r) + B2/(1+r)²+ B2/(1+r)³ + ... + B2/(1+r)ⁿ
Since B1/A1 > B2/A2, we can observe that each cash flow term in Project 1's NPV calculation is higher than the corresponding cash flow term in Project 2's NPV calculation.
Therefore, NPV1 > NPV2, indicating that Project 1 has a higher net present value. Since the IRR is the discount rate that makes the NPV equal to zero, a higher NPV implies that Project 1 will have a higher IRR than Project 2.
To know more about internal rate of return click here
brainly.com/question/31870995
#SPJ11
a company has net income of $150,000, interes expense of $20,000, average total assets of $1,200,000+and+a+tax+rate of 35%. the return on total assets is ______.
A company has a net income of $150,000, interest expense of $20,000, average total assets of $1,200,000, and a tax rate of 35%. the return on total assets is 7.04%.
To calculate the return on total assets (ROTA), we divide the net income by the average total assets and express it as a percentage.
Given:
Net Income = $150,000
Interest Expense = $20,000
Average Total Assets = $1,200,000
Tax Rate = 35%
First, we need to determine the earnings before taxes (EBT) by subtracting the interest expense from the net income:
EBT = Net Income - Interest Expense
EBT = $150,000 - $20,000
EBT = $130,000
Next, we calculate the tax amount by multiplying EBT by the tax rate:
Tax = EBT * Tax Rate
Tax = $130,000 * 0.35
Tax = $45,500
Now, we can calculate the earnings after taxes (EAT) by subtracting the tax amount from the EBT:
EAT = EBT - Tax
EAT = $130,000 - $45,500
EAT = $84,500
Finally, we calculate the return on total assets by dividing the EAT by the average total assets and expressing it as a percentage:
ROTA = (EAT / Average Total Assets) * 100
ROTA = ($84,500 / $1,200,000) * 100
ROTA = 0.0704166667 * 100
ROTA ≈ 7.04%
Therefore, the return on total assets for the given data is approximately 7.04%. It indicates that for every dollar of average total assets, the company generated approximately 7.04 cents of net income after taxes. The ROTA helps assess the company's efficiency in utilizing its assets to generate profits and provides insights into its overall profitability and performance.
The question was incomplete, Find the full content below:
a company has a net income of $150,000, interest expense of $20,000, average total assets of $1,200,000, and a tax rate of 35%. the return on total assets is ________.
Know more about Return on total assets (ROTA) here:
https://brainly.com/question/32167146
#SPJ11
Product enhancements
A) do not really change the basic product.
B) include guarantees and warranties.
C) include features and options
D) reduce the number of target markets one product can satisfy.
Answer:
C or A
Explanation:
I could answer better with more context
How long does it typically take for deeper aquifers to recharge?
We need to consider various factors such as the aquifer's depth, geological characteristics, and local climate conditions. Generally, deeper aquifers take a longer time to recharge compared to shallow ones due to their depth and lower permeability.
The process of recharging deeper aquifers involves several steps:
1. Precipitation: Rain or snowfall infiltrates the ground, adding water to the soil.
2. Infiltration: Water moves downward through the soil and unsaturated zone due to gravity.
3. Percolation: Water travels through the unsaturated zone, eventually reaching the water table.
4. Recharge: Once the water reaches the water table, it becomes part of the aquifer and is available for use.
The time it takes for deeper aquifers to recharge can range from several years to thousands of years, depending on the factors mentioned earlier. The depth of the aquifer, the permeability of the geological material, and the amount of precipitation received all play a role in determining the recharge rate.
Learn more about Aquifers here:
https://brainly.com/question/14916917
#SPJ11
List 5 motives for the construction of various media?
Answer and Explanation:
For the construction of various media, the five motives are as follows
1. Develop connections and make connections: For motivating the social media we have to establish the connections and through it, we can easily make the connections,
2. Sharing the news of the company: Post the news of the company to various social media so that the public at large get attracted towards it
3. Voice opinion: Voice opinion also matters for establishing the several medias
4. People opinion for the company: Customer satisfaction is the utmost priority for the company so that the company could able to know what changes are required in the product to deliver it in the best manner
5. Communicated with employees: The communication with the employees also matters as the employees could be delivered their idea to better the company services
Media is the plural word of the medium that is the means of communication. The news channels, radios, magazines, and many other social things are communicated to the general public by means of media only. The media covers the speech or the incident and lets it known to the general public at no time.
The five motives for the construction of social media are:
1. Developing and making connections: For motivating social media there is a need to establish connections and suing those conections new connections can be made.
2. Sharing the company's reviews: After the company gets its name on social media, it gets famous among a group of people at no more time.
3. Voice opinion: Voice opinion also matters for interacting the several medias
4. People's opinion of the company: Customer satisfaction is the utmost priority of the company so that the company could able to know what changes are required in the product to deliver it in the most satisfactory form.
5. Interaction with employees: Communication with the employees also matters as the employees could deliver their idea to better the company's services.
To know more about the construction of the various media, refer to the link below:
https://brainly.com/question/21162829
4.
manager wants to give a pay rise to everyone who is paid less than the average salary.
This table shows the annual salaries of the employees in the company.
Employee
Salary (in £ thousands)
AJ
16
TM
23
WF
23
SW
22
MT
15.5
RD
18.5
JR
20
LS
23
PB
36
Tick all of the employees who are paid less than the median salary.
Answer: AJ, MT, RD, Jr
Explanation:
Given the following data :
AJ - 16
TM - 23
WF - 23
SW - 22
MT - 15.5
RD - 18.5
Jr - 20
LS - 23
PB - 36
Median salary can be calculated thus :
Arranging salary in ascending order of Magnitude :
15.5, 16, 18.5, 20, 22, 23, 23, 23, 36 (£ thousand)
Meduan salary is the 5th figure in the arrangement = £22 thousand
Therefore, those earning less than the median salary are:
AJ, MT, RD, Jr
kim lee is single and earns $37,000 in taxable income. he uses the following tax rate schedule to calculate the taxes he owes.
A tax is a mandatory fee or financial charge levied by any government on an individual or an organization to collect revenue for public works providing the best facilities and infrastructure. The collected fund is then used to fund different public expenditure programs.
To calculate the taxes Kim Lee owes, we need to follow these steps:
Step 1: Identify the tax rate schedule applicable to a single person.
Step 2: Find the tax brackets that apply to Kim Lee's taxable income of $37,000.
Step 3: Calculate the taxes owed by multiplying the income within each bracket by the corresponding tax rate.
Step 4: Add up the taxes owed from all the brackets to get the total taxes.
Please provide the tax rate schedule so I can give you the exact calculation and the amount of taxes Kim Lee owes.
To learn more about “tax rate” refer to the https://brainly.com/question/9437038
#SPJ11
Consider a four-year project with the following information: Initial fixed asset investment =$655,000; straight-line depreciation to zero over the four-year life; zero salvage value; price =$28; variable costs =$16; fixed costs =$245,000; quantity sold =61,000 units; tax rate =21 percent. How sensitive is OCF to changes in quantity sold? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) △OCF/ΔQ
For this specific project, the operating cash flow (OCF) is sensitive to changes in quantity sold because a change in sales volume has a large effect on OCF will be $85,320.
The difference in operating cash flow (OCF) caused by a change in quantity sold (ΔQ) is referred to as sensitivity. The first step in determining the change in operating cash flow as a result of a change in quantity sold is to determine the current operating cash flow (OCF).
The current OCF is calculated as follows:
Sales revenue: quantity sold × price per unit
Sales revenue: $1,708,000 ($28 × 61,000 units)
Variable costs: quantity sold × variable cost per unit
Variable costs: $976,000 ($16 × 61,000 units)
Fixed costs: $245,000
Depreciation: $163,750 ($655,000 initial investment/4-year life)
Profit before tax: $323,250 ($1,708,000 − $976,000 − $245,000 − $163,750)
Taxes: $67,882.50 (21 percent × $323,250)
OCF: $255,367.50 ($323,250 − $67,882.50)
The next step is to determine the effect of a change in the quantity sold on sales revenue and variable costs, and then to recalculate the profit before tax and the OCF.
Consider the following example: Quantity sold: 70,000 units
Sales revenue: $1,960,000 ($28 × 70,000 units)Variable costs: $1,120,000 ($16 × 70,000 units)
Fixed costs: $245,000
Depreciation: $163,750
Profit before tax: $431,250 ($1,960,000 − $1,120,000 − $245,000 − $163,750)
Taxes: $90,562.50 (21 percent × $431,250)
OCF: $340,687.50 ($431,250 − $90,562.50)
As a result, the difference in operating cash flow (ΔOCF) caused by a change in quantity sold (ΔQ) is ΔOCF = $340,687.50 − $255,367.50 = $85,320.
Therefore, for this specific project, the OCF is sensitive to changes in quantity sold because a change in sales volume has a large effect on OCF.
To learn more about operating cash flow click here:
https://brainly.com/question/28185713#
#SPJ11
Write the answer in the empty income statement
The income statement net income is $61,305.
Income statement
Income statement for the year ended December 31 2020
Revenue:
Fees earned $74,175
Commission earned $42,590
Total revenue $116,765
Expenses:
Car expenses $13,600
General expense $3,985
Postage expense $415
Rental expense $7,640
Wages expense $29,820
Total expenses $55,460
Net income $61,305
($116,765-$55,460)
Therefore the income statement net income is $61,305.
Learn more about income statement here:https://brainly.com/question/24498019
#SPJ1
Writing the net income in an Income statement sheet for Compu-Paris Inc. for the year ended December 31, 2020, is as follows:
Compu-Paris Inc.
Income statementFor the year ended December 31, 2020
Revenue:Fees earned $74,175
Commission earned 42,590
Total revenue $116,765
Expenses:Car expenses $13,600
General expense 3,985
Postage expense 415
Rental expense 7,640
Wages expense 29,820
Total expenses $55,460
Net income $61,305
What is an income statement?An income statement is a financial statement that summarizes an entity's revenue and expenses to determine the net income.
Also called an income summary, it determines the entity's financial performance for a financial period.
Thus, Compu-Paris Inc.'s income statement shows that it earned a net income of $61,305 for the year ended December 31, 2020.
Learn more about preparing income statements at brainly.com/question/24498019
#SPJ1
what is entrepreneur
Answer: An entrepreneur is a person who creates a new business venture with all the possible risks. He is the person who brings an idea to the table for a new business. Then he acquires resources, labor, and capital to set up the business, produce goods and services
Explanation: Hope this was helpful
The two metaphors commonly used to describe the two views of the change process are?
The two metaphors commonly used to describe the two views of the change management process are calm waters and white-water rapids.
A metaphor is an idiom that, for rhetorical purposes, refers directly to one thing by mentioning another. Can clarify (or obscure) or identify hidden similarities between two different ideas. Metaphors are often compared to other types of images such as antithesis, exaggeration, metonymy, and simile. One of the most frequently cited examples of metaphor in English literature comes from As You Like It's a monologue.
This quote expresses a metaphor. Not a literal actor or actress. In arguing that the world is a stage, Shakespeare uses points of comparison between the world and the stage to convey his understanding of how the world works and the behavior of people within it.
Learn more about metaphors here:
https://brainly.com/question/9418370
#SPJ4
Best Coffee Enterprises is dealing in a variety of coffee like Expresso, Cappuccino, and Caffe latte etc. It has several outlets in the city. It has a good financial standing and enjoys a good reputation in the market. It purchases high-quality coffee beans from Global Traders and pays them at a future date. Briefly explain the source of finance given by Global Traders to Best Coffee Enterprises.
Different sources of finance exist operated by various companies. Global Traders exist offering Trade Credit as a source of finance to the Best Coffee enterprises. Trade credit exists as a business-to-business (B2B) arrangement in which a customer can buy goods without spending cash up front, and delivering the supplier at the latest scheduled date.
What are the features of trade credit?It exists referred to as the payment holds authorized by the creditor for a specified period for their raw material.It exists usually comprehended as an instant source of finance.It usually occurs in B2B businesses where the payees exist and desired to pay within their established deadline.Trade credit exists as a business-to-business (B2B) arrangement in which a consumer can buy goods without spending cash up front, and paying the supplier at a later scheduled date. Usually, companies that work with trade credits will give customers 30, 60, or 90 days to pay, with the transaction recorded through an invoice.
To learn more about trade credit refer to:
https://brainly.com/question/18648957
#SPJ9
Which level of government are Planning workers most likely to work for?
A) state
B) federal
C) local
D) international
The level of government is Planning workers most likely to work for local. Thus, the correct option is (C).
A single sovereign state's lowest levels of public administration are collectively referred to as "local government" in the United States.
When the word "government" is used in this context, it explicitly alludes to a level of bureaucracy that is geographically confined and has a set of responsibilities.
A variety of essential services for residents and companies in certain areas are handled by the local government.
Therefore, the correct option is "C".
To know more about the local government, visit:
https://brainly.com/question/22670499
#SPJ2
Which of the following is not an example of a liability?
A. A home you own
B. An apartment you rent
C. Student Loans
D. Your phone bill
Answer:
B
Explanation:
You are renting so you are temporarily living there, unlike a home owner. They own the home meaning they are responsible for the upkeep. Renters that responsability falls upon the land lord.
The option that is not an example of a liability is an apartment that you rent.
What is a liability?
A liability can be described as something that one is responsible for.
The reason why the rented apartment is not a liability is the fact that it is rented. That is you are not in charge of the place.
The maintenance and others lies in the hands of the owner and not in your hands because you do not own the place.
The student loan and phone bill are all expenses that you are responsible for. They are liabilities.
Read more on https://brainly.com/question/15006644?referrer=searchResults
Which of the following statements is true?
Answer:
True
Explanation:
Consider this situation. a factory makes blue and green widgets. the cost of making both types of widgets is the same. both types of widgets sell for $5 apiece. the factory can make 20 widgets of either color in a day. the factory has been making 10 blue and 10 green widgets a day. the price of blue widgets rises to $6. assuming that all other factors remain the same, how should the factory respond to this increase of price? a. by decreasing the number of blue widgets suppliedb. by increasing the number of blue widgets supplied c. by increasing the number of green widgets supplied
In this situation, the factory should respond to the increase in price of blue widgets by increasing the number of blue widgets supplied.
This is because blue widgets are now more profitable to produce, as they are selling for $1 more than green widgets. By increasing the number of blue widgets produced, the factory can increase its overall profit margin. It may not be necessary to decrease the number of green widgets produced, as they are still selling at the same price and therefore still profitable. However, increasing the number of green widgets produced may also be considered as an option, as it will help increase the total revenue of the factory. It is important to remember that this decision should be based on the market demand for both blue and green widgets, and not just on the price change. The factory should also consider other factors such as the production costs, overall market conditions, and competition before making a final decision. The factory should also consider the production costs of blue and green widgets, and see if there are any cost advantages that would make one product more profitable than the other. It is also important to note that factory should consider the overall impact of this decision on the company's revenue and profit. The factory should analyze the overall financial impact of this decision, and see if the increased production of blue widgets will lead to an increase in overall revenue and profit. If not, the factory should consider other options that could lead to an overall increase in revenue and profit.
To know more about market conditions:
https://brainly.com/question/7970813
#SPJ4
A brand-new website should NOT choose target keyword phrases based on...
a. Relevance.
b. Traffic.
c. Competition.
d. Current ranking.
A brand-new website should not choose target keyword phrases based on its current ranking as it does not have any ranking yet. Instead, the website should focus on the relevance of the keyword phrases to its content, the potential traffic the phrases can bring, and the level of competition for those phrases.
The correct answer is B .
By selecting relevant, high-traffic keywords with low competition, the website can increase its chances of ranking well and attracting organic traffic. A brand-new website should not choose target keyword phrases based on its current ranking because it has no established ranking yet.
Instead, it should focus on relevance, traffic, and competition to select the most effective keywords to improve its search engine visibility and attract more visitors. Focusing on these factors will help the website grow and eventually improve its ranking over time.
To know more about ranking yet visit :
https://brainly.com/question/31785197
#SPJ11