doing voluntary tasks that are highly visible is an example of the impression management tactic ingratiation. T/F

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Answer 1

Doing voluntary tasks that are highly visible is an example of the impression management tactic ingratiation.

The statement is False.

Voluntary tasks that are highly visible are not necessarily an example of the impression management tactic known as ingratiation. Ingratiation refers to a deliberate effort by an individual to enhance their likability or gain favor with others by using flattery, conformity, or other strategies.

While voluntary tasks that are highly visible may be perceived positively and could potentially contribute to impression management, they do not inherently represent ingratiation. Ingratiation typically involves more direct attempts to win favor, such as excessive compliments, agreement with others' opinions, or engaging in behaviors solely for the purpose of gaining approval.

Therefore, while voluntary tasks can be a form of impression management, they may not necessarily fall under the specific tactic of ingratiation.

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Related Questions

By entering a project’s limiting factors into a project management software system, a manager can receive ________ recommendations.
a project portfolio
b resource leveling
c Gantt charting
d risk analysis

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B) A manager can get recommendations for resource leveling by entering the project's limiting constraints into a project management software system.

When it comes to resource leveling, project managers frequently employ a type of technique called the critical route. Project managers need to be aware of the three main constraints: time, scope, and money. The three limitations or the project management triangle are common names for them.

The four fundamental restrictions that every project must manage are scope, time, budget, and quality. The ability and understanding of the project manager to assess all of these restrictions and create the plans and procedures to maintain their balance is essential to a project's success.

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Italy and Japan are trading partners and have flexible exchange rates. The Italian currency is the euro and the Japanese currency is the yen. (a) Suppose that the exchange rate between the euro and the yen is 1 euro = 100 yen. What is the price of an Italian coat in yen if the coat costs 120 euros in Italy? (b) Assume that real interest rates increase in Japan. Identify what will happen to net financial capital flows between Italy and Japan. (c) Draw a correctly labeled graph of the foreign exchange market for the yen and show the effect of the increase in real interest rates in Japan on the value of the yen. (d) Based solely on the change in the exchange rate identified in part (c), what will happen to Italy’s exports to Japan? Explain.

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Based on the change in the exchange rate from part (c), Italy's exports to Japan will decrease. This is because the appreciation of the yen makes Italian goods more expensive for Japanese consumers, leading to a decrease in demand for Italian products.

To calculate the price of the Italian coat in yen, multiply the cost in euros by the exchange rate. In this case, 120 euros * 100 yen/euro = 12,000 yen. So, the coat costs 12,000 yen in Japan.When real interest rates increase in Japan, it makes Japan more attractive for investors. As a result, net financial capital flows from Italy to Japan will increase, as investors move their money to take advantage of higher returns in Japan. In the foreign exchange market graph, the x-axis represents the quantity of yen, and the y-axis represents the exchange rate (yen per euro). An increase in real interest rates in Japan leads to higher demand for yen, causing the demand curve to shift to the right. This results in an appreciation of the yen (higher value of yen per euro).

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If the parent company owns 90% of the subsidiary company's outstanding common stock, the company should generally account for the investment in the subsidiary under the
A. divestiture method.
B. cost method.
C. fair value method.
D. equity method.

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If the parent company owns 90% of the subsidiary company's outstanding common stock, the company should generally account for the investment in the subsidiary under the D. equity method.

When a parent company owns 90% or more of the outstanding common stock of a subsidiary company, it generally has significant influence or control over the subsidiary's operations and financial decisions. In such cases, the parent company should account for its investment in the subsidiary using the equity method.

The equity method is a widely accepted accounting approach for reporting investments in subsidiaries and associates. Under the equity method, the parent company recognizes its initial investment in the subsidiary as an asset on its balance sheet. Additionally, the parent company records its share of the subsidiary's earnings or losses on its income statement as equity in earnings of the subsidiary.

The equity method is applied when the parent company can exercise significant influence over the subsidiary, typically demonstrated by ownership of 20% to 50% or more of the subsidiary's voting stock. In this case, with the parent company owning 90% of the subsidiary's common stock, it meets the criteria for significant influence.

By using the equity method, the parent company reflects the financial performance of the subsidiary in its consolidated financial statements. This method provides a more accurate representation of the parent's economic interest in the subsidiary and allows for proper consolidation of financial information.

The equity method requires the parent company to adjust the carrying value of its investment based on its share of the subsidiary's earnings or losses, as well as any dividends received. The parent's share of the subsidiary's net income increases the carrying value of the investment, while the parent's share of net losses or dividends decreases the carrying value.

Using the equity method also enables the parent company to report the subsidiary's assets, liabilities, revenues, and expenses on a proportional basis, reflecting the economic substance of the parent-subsidiary relationship.

In summary, when the parent company owns 90% of the outstanding common stock of a subsidiary, it should generally account for the investment in the subsidiary under the equity method. This method accurately reflects the parent's economic interest in the subsidiary and facilitates proper consolidation of financial information.

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discuss the different types of items (needs, impulse purchases, complementers) that are found in stores. describe how customers react to them and what it means for placement within a store.

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A customer's tendency to purchase goods and services without prior planning is known as "impulsive buying." Emotions and feelings typically play a role when a customer makes such impulsive purchases.

One cannot categorize impulsive buying into a single product category. Products like clothes, mobile phones, and chocolates are all examples of impulsive buying, as are expensive items like cars, jewelry, and so on. Indiscreet purchasing implies making a spontaneous buy. It is based on unfounded assumptions. Advertisers attempt to tap this way of behaving of clients to support deals. There is an extraordinary probability that clients wind up making an acquisition of items in the wake of entering the hypermarket with practically no real purpose of doing as such. Many manufacturers of mobile phones have a tendency to take advantage of this trait in customers by introducing products like fitness bands, watches, and other accessories that can be added to mobile phones.

Placing the product in a visible location where customers are most likely to see it is one way to boost visibility and sales when people make impulsive purchases. The two best ways to pull this off in retail stores are to place impulse products near your bestsellers and at the checkout area. Setting items at the checkout zone is a typical and profoundly powerful strategy. The likelihood that shoppers will make additional purchases is somewhat higher when they are at the point-of-sale area because they are likely already in the mood to buy.

When it comes to having impulse purchases close to your POS, you typically have two options. The first is to place them in front of your checkout counter or on top of it. Check out the image below. The store has a display directly in front of the counter as well as well-arranged products on top of it. The best drive items are the ones that are not difficult to get a handle on — both truly and intellectually. Keep them brief. According to Lynn Switanowski, a business consultant, "Such products don't need a lot of explaining." Because you understand what it does, it sells itself.

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A loan for a new car costs the borrower 8% per month. What is the EAR? 80% 9.6% 10.03% 6.87%. A loan for a new car costs the borrower 8% per mon.

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The Effective Annual Rate (EAR) for a loan with an 8% monthly interest rate is approximately 10.03%.

To calculate the EAR, we need to consider compounding. Since the loan interest is stated monthly at a rate of 8%, we can use the following formula to find the EAR: EAR = (1 + r/n)^n - 1

Where "r" is the monthly interest rate (8% or 0.08) and "n" is the number of compounding periods in a year (12 for monthly compounding).

Plugging in the values, we have:

EAR = (1 + 0.08/12)^12 - 1

≈ 0.1003 or 10.03%

Therefore, the Effective Annual Rate (EAR) for the loan is approximately 10.03%. This represents the true annualized cost of borrowing, taking into account the compounding effect over the course of a year. It is important to consider the EAR when comparing loan options or evaluating the overall cost of borrowing.

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Say true if the statement is correct and false if it is wrong. 1. Complaints & suggestion boxes are Medias or tools of downward communication.

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The Answer-The statement is true.

when the federal government cuts taxes and increases spending to stimulate the economy during a period of recession, such actions are designed to be:group of answer choicespassive.automatic.countercyclical.nondiscretionary.

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When the federal government cuts taxes and increases spending during a recession, these actions are designed to be countercyclical. Option C is correct.

Countercyclical policies aim to stabilize the economy by working against the current economic trend. In a recession, they help boost economic activity by increasing demand, encouraging businesses to invest, and promoting job creation.

Cutting taxes leaves consumers with more disposable income, while increased government spending injects money into the economy. Both actions stimulate growth and counteract the negative effects of the recession, making these policies countercyclical in nature.

Therefore, option C is correct.

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to abstract from reality in an economic model means that:

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To abstract from reality in an economic model means to simplify and reduce the complexities of the real world in order to focus on a particular aspect or phenomenon of interest. Economic models are often used to understand how various factors and variables interact to influence economic outcomes.

To build a model, economists typically make assumptions about the behavior of individuals, firms, and markets. These assumptions are often based on observations or empirical data, but they may not perfectly reflect the real world. By making these assumptions, economists can create a simplified representation of economic behavior that allows them to study the relationships between different variables and make predictions about how changes in one variable may affect others.

However, it is important to note that while economic models may be useful for understanding certain aspects of the economy, they are not a perfect representation of reality. Assumptions made in economic models may not always hold true in the real world, and real-world economic behavior can be much more complex than what is captured in a model. Therefore, it is important to use economic models as a tool to aid in understanding, rather than as a definitive answer to economic questions.

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the stock in bowie enterprises has a beta of 1.23. the expected return on the market is 11.30 percent and the risk-free rate is 2.86 percent. what is the required return on the company's stock?

Answers

The required return on Bowie Enterprises' stock is 13.24%.

The required return on Bowie Enterprises' stock can be calculated using the Capital Asset Pricing Model (CAPM) formula:

Required Return = Risk-Free Rate + Beta * (Expected Market Return - Risk-Free Rate)

Plugging in the given values, we get:

Required Return = 2.86% + 1.23 * (11.30% - 2.86%)

Required Return = 2.86% + 1.23 * 8.44%

Required Return = 2.86% + 10.38%

Long Answer: Therefore, the required return on Bowie Enterprises' stock is 13.24%.

This means that in order to compensate investors for the risk of investing in Bowie Enterprises, the company must generate a return of at least 13.24%.

If the expected return is lower than this required return, investors may choose to invest elsewhere where the returns are more favorable.

Additionally, this calculation helps investors to determine whether or not a particular stock is undervalued or overvalued based on its expected return compared to its required return.

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exercise 13-13a (algo) outsourcing decision affected by opportunity costs lo 13-3 Finch Electronics currently produces the shipping containers it uses to deliver the electronics products it sells. The monthly cost of oroducing 9,400 containers follows.

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The outsourcing decision for Finch Electronics is influenced by opportunity costs, which refer to the potential benefits or profits that could be foregone by not pursuing an alternative course of action, such as outsourcing the production of shipping containers.

When considering whether to outsource the production of shipping containers, Finch Electronics must evaluate the opportunity costs associated with producing the containers in-house. Opportunity costs are the benefits or profits that could be obtained from the best alternative use of the company's resources. In this case, producing the shipping containers internally requires the allocation of resources such as labor, materials, equipment, and facilities. The costs incurred in producing 9,400 containers on a monthly basis must be weighed against the potential benefits or profits that could be obtained by utilizing those resources in a different way.

To assess the opportunity costs, Finch Electronics needs to compare the cost of producing the containers internally with the cost of outsourcing them to a third-party manufacturer. If the cost of outsourcing is lower than the cost of internal production, the company could potentially redirect its resources to more profitable activities, such as focusing on core business functions or investing in product development and marketing. On the other hand, if the cost of producing the containers internally is lower, the opportunity cost of outsourcing would involve forgoing the potential savings and benefits associated with in-house production. The decision will ultimately depend on a thorough analysis of costs, efficiency, quality control, and the strategic priorities of Finch Electronics.

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.Better ideas or technological knowledge causes:
A. the production function to shift upward.
B. the depreciation function to shift downward.
C. the production function to shift downward.
D. the investment function to shift downward.

Answers

Better ideas or technological knowledge cause the production function to shift upward. So, the correct answer is A.

The production function to shift upward. This is because improved ideas and technology increase the overall efficiency and productivity of an economy.

The production function represents the relationship between inputs (such as labor and capital) and outputs (such as goods and services) in an economy. It shows how much output can be produced with a given set of inputs.

Technological advancements and better ideas can lead to an improvement in the efficiency and productivity of the production process, resulting in an upward shift of the production function.

When there are better ideas or technological knowledge available, the same amount of inputs can produce a greater quantity of output. This is because new technologies, techniques, or innovations enable workers and firms to produce goods and services more efficiently.

For example, advancements in machinery, automation, computer systems, or production techniques can streamline processes, reduce costs, and increase output per unit of input.

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Paying women for three prenatal checks represents which RBF scheme?
A. Supply-side results based financing
B. Contracting out
C. Cash on delivery
D. Conditional cash transfer

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The RBF scheme that involves paying women for three prenatal checks is a type of conditional cash transfer. (Option D)

The RBF scheme that involves paying women for three prenatal checks is a type of conditional cash transfer (CCT). This involves making cash transfers to individuals or households based on certain conditions, such as attending prenatal checks or ensuring their children attend school. In this case, women are incentivized to attend prenatal checks by receiving cash transfers upon completion of three visits.

CCTs are a popular RBF scheme used in many low- and middle-income countries to improve maternal and child health outcomes. They have been shown to increase the use of healthcare services, such as prenatal care and vaccinations, and to improve health outcomes, such as reducing maternal and child mortality. CCTs are also seen as a way to address poverty and inequality, as they target transfers to the most vulnerable populations.

However, there are also concerns about the sustainability of CCTs, as they require ongoing funding to maintain the cash transfers. There is also debate about whether CCTs are effective in the long term or if they simply create a dependency on cash transfers. Overall, while CCTs are a promising RBF scheme for improving maternal and child health outcomes, it is important to carefully consider their design and implementation to ensure their effectiveness and sustainability.

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The value of a brand is often calculated by assessing the
A. difference between brand equity and brand liability.
B. corporate profitability divided by the monthly brand earnings.
C. earning potential of the brand over the next 12 months.
D. effect of brand dilution if it occurred.
E. average product line depth.

Answers

The value of a brand is often calculated by assessing the difference between brand equity and brand liability. Option A is correct.

When assessing the value of a brand, one of the common approaches is to calculate the difference between brand equity and brand liability. Brand equity refers to the intangible value or perception associated with a brand, including factors such as brand recognition, customer loyalty, and brand reputation. Brand liability, on the other hand, refers to any negative factors that may impact the brand's value, such as product recalls, legal issues, or negative publicity.

By subtracting brand liability from brand equity, companies can get an estimate of the overall value of their brand. This calculation takes into account both the positive and negative factors that influence the brand's worth. It provides a more comprehensive understanding of the brand's financial standing and its potential impact on the company's overall profitability.

Hence, A. is the correct option.

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I intended to go to the evening meeting it is scheduled for the same time as the main speaker's presentation. but Which of the following sentences is corre ctuated? but, As a matter of fact, I saw my week.

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None of the given sentences is correctly punctuated. The correct sentence would be:

"I intended to go to the evening meeting, but it is scheduled for the same time as the main speaker's presentation."

In this sentence, a comma is needed after "evening meeting" to separate the two independent clauses connected by the coordinating conjunction "but." The conjunction "but" is used to indicate a contrast between the speaker's intention to attend the meeting and the conflict with the main speaker's presentation.

The second sentence, "As a matter of fact, I saw my week," does not make sense in the context of the first sentence and does not provide any further information related to the situation. It seems like a random statement that is unrelated to the topic at hand.

Proper punctuation is crucial for effective communication, as it helps to clarify the intended meaning of a sentence and avoid misunderstandings.

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a firm currently produces 500 units at a price of $20. if it earns $1,000 profit, what must the average cost be

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The average cost for the firm must be $18 per unit in order to earn a $1,000 profit while producing 500 units at a price of $20.

To determine the average cost, we need to use the formula: Average Cost = Total Cost / Quantity Produced.

We know that the firm currently produces 500 units at a price of $20, which means that their total revenue is 500 x $20 = $10,000.

To calculate the total cost, we need to subtract the profit from the revenue:

Total Cost = Total Revenue - Profit
Total Cost = $10,000 - $1,000
Total Cost = $9,000

Now we can calculate the average cost:

Average Cost = Total Cost / Quantity Produced
Average Cost = $9,000 / 500
Average Cost = $18

Therefore, the average cost for the firm must be $18 per unit in order to earn a $1,000 profit while producing 500 units at a price of $20.

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what is the goal of integrated marketing communications quizlet

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The goal of integrated marketing communications (IMC) is to create a seamless and consistent message that reaches the target audience through various channels and touchpoints.

IMC aims to create a unified brand message that encompasses advertising, public relations, sales promotion, personal selling, and digital marketing efforts. By integrating these elements, companies can ensure that their brand messaging is consistent across all platforms, which can lead to better brand recognition, increased customer loyalty, and higher sales.

Additionally, IMC allows for better targeting of specific demographics by tailoring messages to fit each channel and touchpoint. Ultimately, the goal of IMC is to create a cohesive and memorable brand experience for the customer, which can lead to long-term success for the company.

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the following 4 step process is used for fulfilling an order. this process is staffed by two workers: worker a performs what is the takt time of the process if it works at half of its capacity

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The takt time of a process is calculated by dividing the available production time by the customer demand. In this scenario, the process is staffed by two workers (Worker A and Worker B) and operates at half of its capacity.

The takt time of the process for fulfilling an order with two workers, where worker A works at half of its capacity, can be calculated using the following formula:

Takt Time = Available Time / Required Units

Assuming that the available time is 8 hours (480 minutes), and the required units are 100, the takt time would be:

Takt Time = 480 / 100 = 4.8 minutes

Therefore, worker A would need to complete their task within 4.8 minutes in order to maintain the desired production rate. However, since worker A is only working at half of its capacity, the actual takt time would be double, which is 9.6 minutes.

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The takt time of a process is the maximum amount of time allowed for each step in order to meet customer demand. In this case, we have a 4 step process that is staffed by two workers, and we need to determine the takt time if worker A is working at half capacity.

Assuming that worker B is working at full capacity, we can calculate the overall cycle time as the sum of the times for each step. Let's say that the cycle time is 10 minutes. If worker A is only working at half capacity, then they are only able to complete half of their work in the allotted time. Therefore, their work time would be 5 minutes, and the takt time for the process would be 10 minutes (cycle time) divided by the number of products required in that time period.

So, if we need to produce 6 products in 1 hour, then the takt time would be 10 minutes per product. If worker A is only working at half capacity, then they can complete 1 product every 10 minutes, while worker B completes 2 products in the same time period. It's important to monitor takt time to ensure that processes are running efficiently and meeting customer demand.
The Takt time is a key concept in Lean Manufacturing and represents the available production time divided by the customer demand. In the given scenario, there is a 4-step order fulfillment process operated by two workers, with Worker A performing the first step. To calculate the Takt time at half capacity, we first need to know the available production time and customer demand.

Assuming you have these values, you can calculate the Takt time as follows:

Takt time at half capacity = (Available Production Time / Customer Demand) * 2

The "2" multiplier accounts for the fact that the process is working at half of its capacity. Once you calculate the Takt time, it will provide an indication of the required pace to meet customer demand while working at half capacity. This information can help optimize the process and ensure the right balance between supply and demand, leading to improved efficiency and reduced waste.

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Monopoly - End of Chapter Problem Suppose that Diamonds Forever is a single-price monopolist in the diamond market. Diamonds Forever has five potential customers: Raquel, Jackie, Joan, Mia, and Sophia. Each of these customers will buy at most one diamond - and only if the price is just equal to, or lower than, her willingness to pay. Raquel's willingness to pay is $400; Jackie's, $300; Joan's, $200; Mia's, $100; and Sophia's, $0. Diamonds Forever's marginal cost per diamond is $100. The result is the demand schedule for diamonds shown in the table: a. Calculate Diamonds Forever's total revenue and its marginal revenue. b. From your calculations, plot the demand curve and the marginal revenue curve.
c. Suppose Diamonds Forever currently charges $200 for its diamonds. If it lowers the price to $100, what is the price effect? What is the quantity effect? d. Using the MC curve in the diagram, determine which quantity maximizes its profit and which price Diamonds Forever will charge.

Answers

a. To calculate Diamonds Forever's total revenue, we multiply the price by the quantity sold at that price. Total revenue is the sum of these values. The marginal revenue is equal to the price, as a monopolist sells all units at the same price.

b. The demand curve can be plotted based on the given willingness to pay values.

c.  To calculate the price effect, we compare the total revenue at the original price ($200) to the total revenue at the new price ($100). The quantity effect is the change in quantity demanded resulting from the price change.

d. Diamonds Forever will charge a price of $400 to maximize its profit.

a. To calculate Diamonds Forever's total revenue, we multiply the price per diamond by the quantity sold at that price:

Price Quantity Total Revenue

$400 1 $400

$300 1 $300

$200 1 $200

$100 1 $100

$0 0 $0

The total revenue is the sum of these values:

Total Revenue = $400 + $300 + $200 + $100 + $0 = $1,000

To calculate marginal revenue, we look at the change in total revenue as we sell one more unit. Since the price is constant at each quantity, the marginal revenue is equal to the price:

Marginal Revenue = Price = $400

b. The demand curve can be plotted based on the given willingness to pay values:

Price Quantity Demanded

$400 1

$300 2

$200 3

$100 4

$0 5

The demand curve would be a downward-sloping line from left to right. The marginal revenue curve will coincide with the demand curve since the price remains constant at each quantity.

c. The price effect refers to the change in total revenue resulting from a price change. If Diamonds Forever lowers the price from $200 to $100, the price effect can be calculated as the difference in total revenue:

Price Effect = Total Revenue at $100 - Total Revenue at $200

= ($100 + $100 + $100 + $100 + $100) - ($200 + $200 + $200 + $200 + $200)

= $500 - $1,000

= -$500

The quantity effect refers to the change in quantity demanded resulting from a price change. In this case, the quantity effect can be calculated as the difference in quantity demanded:

Quantity Effect = Quantity Demanded at $100 - Quantity Demanded at $200

= 5 - 1

= 4

d. To determine the quantity that maximizes profit, we look for the quantity at which marginal cost (MC) equals marginal revenue (MR). In this case, MC is given as $100. From our previous calculation, MR is also equal to the price, which is $400.

Since MC = MR, the quantity that maximizes profit is 1 diamond.To determine the price Diamonds Forever will charge, we look at the demand curve and find the corresponding price at the quantity that maximizes profit. In this case, at a quantity of 1, the price is $400.

Therefore, Diamonds Forever will charge a price of $400 to maximize its profit.

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(Figure: Profit Margin 3) JoJo's company data is in the graph below. JoJo would earn a profit: Price or cost $12 Marginal cost $11 $10 $9 $8 $7 $6 ...

Answers

The price of $12 per unit would result in the largest profit margin for JoJo's business.

The profit margin is calculated by subtracting the marginal cost from the price. When the price is set at $12, the profit margin would be $1 per unit ($12 - $11). This is higher than the profit margin at any other price point. As the price decreases, the profit margin also decreases, until it becomes negative at a price of $6.

1. JoJo would make a profit at a price of $12 since the price is more than the marginal cost.

2. At a price of $11, JoJo would break even, as the price is equal to the marginal cost.

3. At prices below $11 ($10, $9, $8, $7, $6), JoJo would not earn a profit because the price is lower than the marginal cost.



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6. on january 1, 2021, atmos energy purchased 26% of the outstanding voting common stock of cabot for $300,050. the book value of the acquired shares was $275,450. the excess of cost over book value is attributable to a building on cabot's books that was undervalued and had a remaining useful life of five years. for the year ended december 31, 2021, cabot reported net income of $125,800 and paid cash dividends of $25,600. what is the carrying value of atmos's investment in cabot at december 31, 2021?'

Answers

Therefore, the carrying value of Atmos' investment in Cabot at December 31, 2021 is $56,672.

The carrying value of Atmos' investment in Cabot at December 31, 2021 can be calculated by applying the equity method of accounting.

The equity method of accounting is a method of accounting for investments in which the investor company is able to exert significant influence over the investee.

The equity method of accounting is used when the investor company owns between 20% and 50% of the voting stock of the investee company.

Under the equity method, the investor records its investment on its balance sheet as an asset at the cost of the investment and recognizes its proportionate share of the investee's net income on its income statement.

The investor also records its proportionate share of any dividends paid by the investee as a reduction in the investment account.

Thus, the carrying value of the investment on the investor's balance sheet reflects the original cost of the investment plus or minus the investor's share of the investee's net income or loss and dividends paid to the investor.

The carrying value of Atmos' investment in Cabot at December 31, 2021 can be calculated as follows:

Initial cost of investment: $300,050

Less: Portion of investment's book value at date of purchase: $275,450

Excess of cost over book value attributable to building: $24,600

Amortization of excess over book value (5 years): $4,920

Atmos' share of Cabot's net income (26% x $125,800): $32,808

Atmos' share of Cabot's dividends paid (26% x $25,600): $6,656

Carrying value of Atmos' investment in Cabot at December 31, 2021

= $300,050 - $275,450 + $4,920 + $32,808 - $6,656 = $56,672

Therefore, the carrying value of Atmos' investment in Cabot at December 31, 2021 is $56,672.

This represents the original cost of the investment plus or minus the investor's share of the investee's net income or loss and dividends paid to the investor.

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for a 10-year annuity, the annual cashflow increase by ....... from year 1 to year 2.

Answers

For a 10-year annuity, the annual cash flow does not necessarily have to increase from year 1 to year 2. The increase or decrease in cash flow from year to year depends on the specific terms and conditions of the annuity.

An annuity is a financial product that provides a series of regular payments over a specified period. The cash flow pattern of an annuity can vary depending on the type of annuity and the specific terms chosen by the annuitant. In some cases, the cash flow may remain constant throughout the entire annuity period, meaning there is no increase or decrease from year to year. This is known as a level payment annuity. However, there are also annuities that feature increasing or decreasing cash flows over time. These variations can be designed to account for factors such as inflation, investment returns, or changing financial needs of the annuitant. Therefore, without further information about the specific terms of the annuity, it cannot be determined how the cash flow will change from year 1 to year 2.

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What are the differences between IFRS17 and IFRS4 on accounting policies?
Select one:
a. Different accounting policies
b. None of the above
c. One accounting policy for all insurance contracts

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The guidelines, standards, and procedures that accountants use to prepare financial statements are known as International Financial Reporting Standards (IFRS). Option A.

The critical distinction between IFRS 17 and IFRS 4 is the consistency of the utilization of bookkeeping medicines to regions like income acknowledgment and responsibility valuation. Entities were free to interpret revenue recognition and reserve calculation in accordance with IFRS 4.

All insurance contracts, including reinsurance contracts, issued or held by an entity are subject to IFRS 4 Insurance Contracts, with a few exceptions. IFRS 17 lays out the standards for the acknowledgment, estimation, show and exposure of insurance policies inside the extent of the norm.

The goal of IFRS 17 is to make sure that an organization gives accurate information about the contracts. Financial statement users can use this information to determine how insurance contracts affect the entity's financial position, performance, and cash flows.

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1. Which of the following is not a component of the master budget?
A. Operating budget
B. Budgeted income statement
C. Budgeted balance sheet
D. Statement of return on investment

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D. Statement of return on investment - is not a component of the master budget.

What  does the master budget have?

The master budget consists of several components that help organizations plan and manage their finances effectively. The operating budget is the main component of the master budget and includes detailed information on the expected revenues and expenses for the coming period.

The budgeted income statement and budgeted balance sheet are also essential components of the master budget. These statements provide an overview of the organization's financial position and help managers make informed decisions.

The statement of return on investment, on the other hand, is a performance measure that calculates the return on investment for a specific project or investment.

While it is a valuable tool for decision-making, it is not typically included in the master budget.

Hence, option d. is correct.

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A sportswriter wilting about the Cleveland Indians baseball team made the following observation the Indians suddenly slashed all ticket prices to $10, would their attendance increase? Not all that much and revenue would drop dramatically "What is the sportswriter assuming about price elasticity of demand for Indians tickets? What do you pay for in your life that you wouldn't eliminate even if the price went up by 2547

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The sportswriter is assuming that the price elasticity of demand for Indians tickets is inelastic, meaning that a decrease in price would not lead to a significant increase in demand.

If the demand for Indians tickets were elastic, a decrease in price would lead to a proportional increase in demand, and revenue would remain constant.

The sportswriter is assuming that the demand for Indians tickets is relatively insensitive to changes in price because he expects that even if the price of tickets were reduced to $10, the increase in ticket sales would not be enough to offset the decrease in revenue resulting from the lower ticket prices.

As for the second part of the question, there are certain goods or services that people might still pay for even if the price were to increase significantly. These goods or services are typically considered necessities or items of high value that people are willing to pay a premium for.

For example, people might still pay for healthcare services even if the prices were to increase significantly because they are necessary for maintaining good health. Similarly, people might be willing to pay a premium for high-quality or luxury goods, such as designer clothing or high-end electronics, because they perceive them as having greater value. Ultimately, the decision to continue paying for a good or service despite a price increase will depend on the individual's preferences, budget, and the perceived value of the good or service in question.

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a decrease in the price of the feed grains used to fatten cattle would cause

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A decrease in the price of feed grains used to fatten cattle would cause a decrease in the cost of raising cattle. This would ultimately lead to lower prices for cattle, as farmers would be able to produce them at a lower cost.

The cost of keeping cattle as a whole would probably reduce if the price of the feed grains needed to fatten animals dropped. If other circumstances stay the same, this can result in decreased pricing for cattle and the items they produce, as well as a rise in supply. The growth rate of a value (such as GDP, turnover, wages, etc.) gauges how much it changes over time (a month, a quarter, or a whole year). The percentage is a fairly universal way to communicate it.

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true or falsejohn applies for an unsecured home improvement loan. because the loan is not secured by a dwelling, it need not be reported on the hmda-lar.

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This statement is False. According to the Home Mortgage Disclosure Act (HMDA) and its Loan Application Register (LAR) requirements in the United States.

A mortgage is a financial arrangement in which a person borrows money from a lender, typically a bank, to purchase a property such as a house or a commercial building. It is a form of secured loan where the property being purchased serves as collateral for the loan. The borrower agrees to repay the loan over a specific period of time, typically in monthly installments, with interest added to the principal amount.

The terms of the mortgage, including the interest rate, repayment period, and monthly payment amount, are usually determined at the time of borrowing. If the borrower fails to make the agreed-upon payments, the lender has the right to foreclose on the property and sell it to recover the outstanding loan amount. Mortgages are a common method for individuals and businesses to finance the purchase of real estate, allowing them to spread the cost over an extended period while building equity in the property.

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a call option has a premium of $2.50 with a strike of $50. the stock currently is priced at $51. the intrinsic value of the call option is $

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The intrinsic value of the call option is $1.00. The intrinsic value of a call option is the difference between the current stock price and the strike price. In this case, the stock price is $51, and the strike price is $50.

Therefore, the intrinsic value of the call option is $1.00 ($51 - $50). The premium of the call option, which is the price paid for the option, is separate from the intrinsic value and represents the time value of the option. The time value takes into account factors such as the time remaining until expiration, the volatility of the stock price, and interest rates. The premium can fluctuate independently of the intrinsic value and can affect the profitability of the option.

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please discuss which negotiation style (distributive or integrative) you would adopt when negotiating with a key partner and with primary, secondary and tertiary target audiences. why?

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When negotiating with a key partner and primary, secondary, and tertiary target audiences, it is recommended to adopt an integrative negotiation style.

Distributive negotiation is a style that aims to maximize individual gains through a win-lose approach. It involves a fixed pie, where negotiators try to claim the biggest piece for themselves. On the other hand, integrative negotiation is a style that aims to create value for all parties involved through a win-win approach. It involves expanding the pie by identifying common interests and creating mutually beneficial solutions.

When negotiating with a key partner and primary, secondary, and tertiary target audiences integrative negotiation approach is suitable. This is because integrative negotiation focuses on collaboration and creating mutually beneficial outcomes, fostering stronger long-term relationships.

Integrative negotiation is particularly important when dealing with key partners, as maintaining a strong relationship is crucial for ongoing cooperation and success. This approach ensures that both parties' interests are considered and leads to solutions that are more satisfying for everyone involved.

With primary, secondary, and tertiary target audiences, adopting an integrative negotiation style is beneficial as it demonstrates your organization's commitment to their needs and interests. This approach enhances your credibility, fosters trust, and strengthens your overall relationship with these stakeholders.

In summary, using an integrative negotiation style is more advantageous when negotiating with a key partner and target audiences, as it prioritizes collaboration, trust, and long-term relationships.

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A monopoly company: O can charge any price that it wants O all of the answer options O must earn an economic profit of zero in the long-run Oproduces where marginal revenue equals marginal cost O is productively efficient

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The Correct option is D,  A monopoly company among the options provided is: "produces where marginal revenue equals marginal cost."

Monopoly is an economic concept that refers to a situation in which a single entity or company has exclusive control over the supply of a particular product or service in a given market. This means that there are no direct competitors for that entity, allowing it to dictate prices, set rules, and exert significant influence over the industry. Monopolies often arise due to various factors such as barriers to entry, patents, government regulations, or aggressive business practices.

While some monopolies may be the result of exceptional innovation or efficiency, they can also lead to negative consequences. With no competition to keep prices in check, monopolistic firms have the power to charge higher prices, restrict consumer choices, and potentially exploit their dominance. This can result in reduced consumer welfare, limited innovation, and hindered economic growth.

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The degree to which a stakeholder claim requires immediate response is it's a.power. b. legitimacy. c.urgency. d.coercion

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The degree to which a stakeholder's claim requires immediate response is its (C) urgency.

This term refers to the level of importance or pressing need that a stakeholder's claim has in terms of being addressed or resolved quickly.

Urgency can be influenced by a variety of factors, including the potential consequences of not responding quickly, the level of impact on the stakeholder or others, and the urgency of the situation itself.

It's important for organizations to assess the urgency of stakeholder claims and prioritize them accordingly, as failing to respond to urgent claims can result in negative consequences for both the stakeholder and the organization as a whole.

In summary, the answer to your question is C - urgency.

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