In the organizing framework, the inputs are the first step in the process. They are the starting point for any system or process and are the driving force behind what happens next. Here option A is the correct answer.
These inputs are then processed, meaning they are transformed or manipulated in some way to create the desired outcome. The outcome is the result of the process and is what is generated or produced as a result of the inputs and processes.
In this framework, inputs have a direct impact on outcomes. The nature and quality of the inputs will determine the quality and effectiveness of the processes and ultimately, the outcomes.
For example, if the inputs are of poor quality, then the processes will be affected, and the outcomes will also be of poor quality. On the other hand, if the inputs are of high quality, the processes will be effective, and the outcomes will also be of high quality.
Complete question:
In the organizing framework, multiple choice inputs lead to processes, which lead to outcomes.
A - inputs lead directly to outcomes.
B - outcomes never affect inputs.
C - outcomes never affect processes.
D - inputs are unrelated to processes.
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Determine if each scenario is good credit or bad credit.
A FICO credit score of 800.
Always paying a late fee on monthly bills.
Closing all unused accounts.
✓ Not using all of the credit available on your credit cards.
SUBMIT ANSWER
O ASK FOR HELP
1) unsure
2) bad
3) good
4) good
but im PRETTY sure the first one is bad.. IM NOT SURE!!
how can we use the list of preference while making decisions
Answer:
you Nepal ?
Explanation:
hey what you asking
4-year-old boy has a marked depression of the sternum below the clavicular-manubrium junction. choose the appropriate skeletal deformity.
The appropriate skeletal deformity in this case is called Pectus Excavatum.
Pectus Excavatum is a congenital condition characterized by a depression or concavity of the sternum, causing the chest to appear sunken or "caved-in." It is commonly present at birth or becomes noticeable during early childhood.
The depression is typically located below the clavicular-manubrium junction, as described in the scenario.
Pectus Excavatum is caused by an abnormal growth of the rib cage and sternum, resulting in the inward displacement of the sternum. While the exact cause is not fully understood, it is believed to involve both genetic and environmental factors.
In mild cases, Pectus Excavatum may not cause significant health issues, but more severe cases can lead to respiratory and cardiovascular complications due to compression of the lungs and heart. Additionally, the condition can have psychological and social impacts on individuals due to the altered appearance of the chest.
Treatment options for Pectus Excavatum include observation for mild cases, whereas moderate to severe cases may require surgical intervention, such as the Nuss procedure or the Ravitch procedure, to correct the deformity and improve both the physical and psychological well-being of the individual.
It is important for parents or caregivers to consult with a healthcare professional to obtain an accurate diagnosis and discuss appropriate management options for a child with a marked depression of the sternum below the clavicular-manubrium junction. Pectus Excavatum, also known as "sunken chest" or "funnel chest," is a relatively common skeletal deformity that affects the chest wall. In this condition, the sternum (breastbone) and adjacent rib cage are abnormally shaped, resulting in a concave or depressed appearance of the chest.
Pectus Excavatum can vary in severity, ranging from mild to severe cases. Mild cases may have minimal cosmetic impact, while severe cases can cause significant chest depression and compression of underlying organs, leading to potential respiratory and cardiovascular symptoms.
The exact cause of Pectus Excavatum is not fully understood, but it is believed to be a combination of genetic and environmental factors. It often appears during childhood or adolescence, with some cases showing a family history of the condition. It is more commonly seen in males than females.
Apart from the visible depression of the sternum below the clavicular-manubrium junction, other signs and symptoms can include:
1. Shortness of breath, especially during physical activity.
2. Fatigue or decreased exercise tolerance.
3. Chest discomfort or pain.
4. Heart palpitations or irregular heartbeat (in severe cases).
5. Body image concerns or psychological impact.
Diagnosis of Pectus Excavatum is typically based on physical examination, medical history, and imaging studies, such as X-rays or CT scans. Treatment options vary depending on the severity of the condition and associated symptoms. Mild cases may not require treatment, while moderate to severe cases may benefit from surgical intervention.
Surgical correction of Pectus Excavatum can be performed using techniques like the Nuss procedure or the Ravitch procedure. These procedures involve reshaping the chest wall and repositioning the sternum to achieve a more normal chest contour.
It is important for individuals with Pectus Excavatum, especially children, to be evaluate by a healthcare professional to determine the appropriate management approach based on the specific characteristics of their condition.
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Answer question below with 150 words:
How do the income statement and the balance sheet help management make good decisions?
Answer:
The income statement and the balance sheet are two essential financial statements that help management make informed and wise decisions. The income statement shows the performance of a company over a certain period of time by providing information on revenue, expenses, and profits. This provides management with an understanding of how their business is performing, as well as any areas that need improvement. It also helps them to measure their successes and failures, gain insights into future opportunities, and decide on how to allocate their resources.
The balance sheet, on the other hand, provides a snapshot of the company's financial position at a given moment. It shows the total assets, liabilities, and equity owned by the company, allowing management to spot any upcoming cash flow problems and devise strategies to address them. It also helps management to better understand where their assets are invested, as well as their current financial assets and liabilities.
Overall, both the income statement and the balance sheet are important tools for management when making decisions. They offer an in-depth look at the financial position of a business and enable management to effectively manage their resources and plan for the future.
which of the following best characterizes the statement? the statement demonstrates that association proves causation. the statement ignores the secondary effects of government policies. the statement violates the ceteris paribus condition. the statement contains the fallacy of composition.
The statement demonstrates that association proves causation, which is a logical fallacy. This fallacy assumes that because two events or phenomena are observed to occur together, one event is the cause of the other.
However, this is not necessarily true and does not take into account any secondary effects. This statement also violates the ceteris paribus condition which states that all other factors must remain equal for an effect to be attributed to any one variable. Furthermore, this statement also contains the fallacy of composition which states that what is true of the parts, is also true of the whole.
This is not always true and can lead to false conclusions. In summary, the statement demonstrates that association proves causation, ignores secondary effects, violates the ceteris paribus condition, and contains the fallacy of composition.
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What is a trend in business
Which is a good rule to follow when sending business emails? (1 point)
Answer:
Avoid forwarding spam and unnecessary messages such as chain letters.
Explanation: did the test
The good rule that must follow at the time of sending business emails is to avoid forwarding spam and unwanted texts like chain letters.
What is email?An email, is also called as the electronic mail. It is one of the most extensively employed features of the Internet, that is mostly used in the formal business organizations.
It allows a person to transport and acquire messages from nay person in the globe that has an email account. Within the TCP/IP suite, email uses a variety of protocols.
When sending business emails, a good tip to follow is to avoid forwarding spam and undesirable texts like chain letters.
Therefore, the use of formal languages and proper formats made the emails more accurate.
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The best reason to record income at the top of a budget is
a. to easily add expenses to it.
b. to know how much money is available.
c. to avoid spending too much money.
d. to see that is is more important than expenses.
B) To know how much money is available.
You can clearly see how much money you have available to spend or save by listing revenue at the top of a budget.
Making judgments on how to divide your money and prioritize your expenses requires knowledge of this information.
You may see how much money is available to cover your bills, pay off debts, and save for the future by putting revenue at the top of your budget.
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if the required reserve ratio
Answer:
4
Explanation:
Formula: 1 / Reserve money ratio -> 1 / 0.25 = 4
Quesition: You have received a
flowsheet as shown below and you are required to advise your line
manager about the changes that must be made on the flowsheet.
Indicate anything that you think is wrong
I'm sorry, but as a text-based AI, I'm unable to view or analyze any visual content such as a flowsheet.
However, if you can describe the flowsheet or provide specific information from it, I'll do my best to help you identify any potential issues or areas that may need improvement.
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At Frank's company, the strength of the organizational structure is that the results are based on
the effectiveness of the managers, but its main weakness is costs can be increased due to a
decrease in efficiency. This is an example of which structure?
Osimple
O functional
O divisional
O matrix
Answer:
divisional
Explanation:
-A simple structure s a structure in which there is little specialization and there is a central authority that controls everything and has the power.
-Functional structure is a structure in which a company is divided in groups according to specialized activities. Because of this specialization, companies with this structure can increase productivity but the communication is rigid and the cooperation between departments is difficult.
-Divisional structure is a structure in which there are different divisions and each one concentrates on a specific product or service and has all the functions and resources for that. This structure can create inefficiencies because the specialized functions are separated but the results of one division don't affect the other ones.
-Matrix structure is a structure in which employees report to more than one manager and it is used in companies that have different lines to have more flexibility and increase productivity.
According to this information and the statement, the answer is that this is an example of divisional stucture because in this structure each division has its own resources and specialized functions and because of that the results are based on the effectiveness of the managers but as each division has its own specialized functions, this creates inefficiencies.
To become a successful entrepreneur, you should:
Select one:
O Prepare to risk all of your family assets.
O Plan to quit your job before starting.
O Choose a business that is in a field you enjoy.
O Expect to put down a lot of money.
Wyalusing Industries has manufactured prefabricated houses for over 20 years. The houses are constructed in sections to be assembled on customers’ lots. Wyalusing expanded into the precut housing market when it acquired Fairmont Company, one of its suppliers. In this market, various types of lumber are precut into the appropriate lengths, banded into packages, and shipped to customers’ lots for assembly. Wyalusing designated the Fairmont Division as an investment center. Wyalusing uses return on investment (ROI) as a performance measure with investment defined as average productive assets. Management bonuses are based in part on ROI. All investments are expected to earn a minimum return of 16 percent before income taxes. Fairmont’s ROI has ranged from 29. 2 to 32. 4 percent since it was acquired. Fairmont had an investment opportunity in 20x1 that had an estimated ROI of 28 percent. Fairmont’s management decided against the investment because it believed the investment would decrease the division’s overall ROI. The 20x1 income statement for Fairmont Division follows. The division’s productive assets were $23,100,000 at the end of 20x1, a 5 percent increase over the balance at the beginning of the year.
Fairmont Division Income Statement For the Year Ended December 31, 20x1 (in thousands) Sales revenue 22,500 Cost of goods sold 13,900 Gross margin 8,600 Operating Expenses: Administrative 1,800 Selling 4,300 6,100 Income from operations before income taxes 2,500.
Required:
1. Calculate the following perofrmance measures for 20x1 for the Fairmont Division.
a. Return on Investment (ROI)
b. Residual Income
2. Would the management of Fairmont Division have been more likely to accept the investment opportunity it had in 20X1 if residual income were used as a performance measure instead of ROI? Explain your answer
1. The performance measures for 20x1 for the Fairmont Division are as follows:
a. Return on Investent (ROI) is 11.09%.
b. Residual Income is ($1,108,000).
What is a performance measure?A performance measure is a technique that measures outcomes or results, enabling management, lenders, and investors to gauge the effectiveness and efficiency of their investments.
A performance measure may be applied to the following resources:
Human resourcesEmployee timeFundingInvestments.Data and Calculations:Required minimum return = 16% before taxes
Ending productive assets = $23,100,000
Beginning productive assets = $22,000,000 ($23,100,000/1.05)
Average productive assets = $22,550,000 ($23,100,000 + $22,000,000)/2
Return on Investment = Income from operations before income taxes/Average productive assets x 100
= $2,500/$22,550 x 100
= 11.09%
Residual Income = Income before taxes - Cost of Capital or (Average productive assets x Minimum Required Returns)
= $2,500,000- ($22,550,000 x 16%)
= $2,500,000 - $3,608,000
= ($1,108,000)
Thus, while the Return on Investment (ROI) is 11.09%, the Residual Income is ($1,108,000).
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Guaranteed benefits under government programs such as Social Security or Medicare are called
A.
automatic stabilizers.
B.
controllable expenditures.
C.
entitlements.
D.
discretionary spending.
Guaranteed benefits under government programs such as Social Security or Medicare are called c) entitlements.
Entitlements are a category of government spending where individuals are granted specific benefits by law or through eligibility requirements. These benefits are considered mandatory spending, meaning they are not subject to the annual appropriations process and must be provided to eligible recipients.
Social Security and Medicare are prime examples of entitlement programs. Social Security provides retirement, disability, and survivor benefits, while Medicare offers health insurance coverage for older adults and certain disabled individuals. Both programs operate on a "pay-as-you-go" system, with current workers' contributions funding the benefits for current recipients.
Entitlement programs differ from discretionary spending, which includes items like defense and education that are subject to annual budget decisions. Automatic stabilizers, such as unemployment benefits and food assistance, are a separate category of government spending designed to mitigate economic fluctuations by increasing spending during recessions and decreasing it during expansions. Controllable expenditures, on the other hand, are expenses that can be directly influenced by policymakers through budgetary decisions. Entitlements are distinct from these categories due to their mandatory nature and legal obligations to provide benefits to eligible individuals.
Therefore, the correct answer is c) entitlements.
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Suppose a lite insurance company selis a $200,000 1-year lecms iffe insurance policy to a 20yoat-old female for $230. According to the Nabional Vial Statistics Report. 58(21) the probablity that the female survives the year is 0999544 Compute and interpret the expected value of this pollcy to the insurance company The expected valje is s (Round to the nearest cent as needed) Which of the folowing interpretations of the expected valise is correct? Select the correct choice below and fir in the answer box to complete your choice (Round to the nearest cent as needed) A. The insurance company expects to make a maximum profit of 5 on every 20 -year-old fermale it insures for 1 year. B. The insurance company expects to make a profit of : on every 20-year-old female it insures for 1 month C. The irsurance company expecis to make a minimum proft of A on every 20 -year-old female it insures for 1 month D. The insurance compary empecta ta make a profit of 3 on every 20 -yeat-old female it inscires for 1 year
The expected value of this policy to the insurance company is $229.95. The correct interpretation of the expected value is "The insurance company expects to make a minimum profit of $229.95 on every 20-year-old female it insures for 1 year." Therefore, the correct option is C.
Expected value of this policy to the insurance company can be computed as follows:
Expected Value = (Probability of Survival * Amount Paid by the Policy Holder) - (Probability of Death * Amount Paid to the Policy Holder)
Probability of survival is given as 0.999544 and hence the probability of death is 1 - 0.999544 = 0.000456
Amount paid by the policyholder is given as $230 and amount paid to the policyholder in case of death is $200,000
Expected Value = (0.999544 * $230) - (0.000456 * $200,000)
Expected Value = $229.95
The expected value of this policy to the insurance company is $229.95. The correct interpretation of the expected value is "The insurance company expects to make a minimum profit of $229.95 on every 20-year-old female it insures for 1 year." Therefore, the correct option is C.
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How are the sales tax and the value-added tax similar?
Answer:
Sales tax is collected by the retailer when the final sale in the supply chain is reached via a sale to the end consumer. ... VAT (Value-Added Tax) is collected by all sellers in each stage of the supply chain. Suppliers, manufacturers, distributors and retailers all collect the value added tax on taxable sales.
Bye Have A Nice Day!Describe how the language and the culture you grew up with, play a role in your communication styles?
explain the role of director of board of directors in public company.
four points
Explanation:
The board of directors is elected to represent shareholders' interests. Every public company must have a board of directors composed of members from both inside and outside the company. The board makes decisions concerning the hiring and firing of personnel, dividend policies and payouts, and executive compensation.
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damita company reported net income of $72,025 and net sales of $745,000 for the current year. (a) compute damita's profit margin. (b) assuming workfit (a competitor) has a profit margin of 15%, which company is generating more profit on each dollar of sales?
Workfit is generating more profit on each dollar of sales compared to Damita Company.
To calculate Damita Company's profit margin and compare it to Workfit's profit margin, we need to use the net income and net sales figures for both companies.
(a) Computing Damita Company's profit margin:
Profit Margin = (Net Income / Net Sales) * 100
Given:
Net Income of Damita Company = $72,025
Net Sales of Damita Company = $745,000
Profit Margin of Damita Company = (72,025 / 745,000) * 100 ≈ 9.67%
Damita Company's profit bis approximately 9.67%.
(b) Comparing the profit margins between Damita Company and Workfit:
Assuming Workfit has a profit margin of 15%, we can determine which company is generating more profit on each dollar of sales by comparing their profit margins. The higher profit margin indicates a better performance in generating profit relative to sales.
Workfit's Profit Margin = 15%
Comparing the profit margins:
Damita Company's profit margin: 9.67%
Workfit's profit margin: 15%
Since Workfit's profit margin of 15% is higher than Damita Company's profit margin of 9.67%, Workfit is generating more profit on each dollar of sales compared to Damita Company.
It's important to note that profit margins alone do not provide a complete picture of a company's financial performance. Other factors such as operating expenses, debt, market conditions, and industry norms should also be considered when evaluating the financial health and profitability of a company.
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What are the internal factors that affect pricing?
The price-demand relationship varies in different market classes, and how the way the buyer perceives the price affects the pricing decision. 4 types of markets .
What factors might affect the firm's decision?The company can determinate their payout ratio and the cost of capital of their equity the rest of the option are determined by either the market or the government.It should be accepted as the return is based on the division which WACC is 8% therefore, it will make a good use of the capital as is above the expected capital costIf there is pure competition: merchants in these markets do not devote much time to marketing strategy. There is no charge for the products. It is standardized.In monopolistic competition: it is within a price range, it can vary by quality, or the services that accompany it.In oligopolistic competition: they can be uniform products or not, they are constantly watched over the competition. If prices rise, buyers will quickly change them as a supplier. There are few vendors and it costs others to enter.In a pure monopoly: a market formed by a single supplier, unregulated monopolies have the freedom to set their prices, however they do not take advantage of them for several reasons, not to attract competition, fear of regulation and to penetrate the market.Demand curve: curve that shows the number of units that the market will buy in a specific period at the different prices that could be charged.Price elasticity: Measurement of the sensitivity of demand between changes in the price. It is obtained with the following formula: Elasticity of demand with respect to price = percentage of change in the amount of demand Percentage of change in price.To learn more about factors refer to:
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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in 2015, what percent of adults, nationally, were current on all credit payments in the last year?
In 2015, the percentage of adults, nationally, that was current on all credit payments in the last year was "89.9%."
This is based on the information released by the Federal Reserve Bank of New York.
The statistics figure covers the percentage of adult that are 18 and above years of age, that has a credit file and a credit score.
Hence, in this case, it is concluded that the correct answer is 89.9 percent of the National or United American population was current on all credit payments between 2014 to 2015.
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What are the basic points to be considered while running the occupation? for each of them
Answer:
interest
qualification
skills
finance
A Web site is an example of a cross channel of communication.
A. True
B. False
PLS HELP!! Explain the Interest-Based Relational (IBR) Approach.
Answer: See explanation
Explanation:
In conflict resolution, the Interest-based Relational (IBR) approach is used to resolve conflict or issues while a personal relationship that is positive is still being maintained.
For the interest based relational approach, conflict is resolved through active listening and carefully analysing the issues involved. Such conflict is resolved by being non-confrontational and the point of view of everyone involved is listened to.
With a command economy, do individuals have choice and flexibility
which of the following is a disadvantage of single-rate method? group of answer choices it is very costly to implement. it may lead operating department managers to make sub-optimal decisions that are in their own best interest. it does not signal to department managers how variable costs and fixed costs behave differently. it requires managers to distinguish variable costs from fixed costs, which is often a challenging task.
The disadvantage of the single-rate method is it is less costly to implement. Thus, option A is correct.
The single-rate method is defined as a technique that uses one product cost rate to estimate the dollars that are assigned from a cost pool. It allocated a rate per cost for both variable and fixed units of costs and does not distinguish between them.
The single-rate method is also known as the single unit predetermined overhead rate that works based on the single cost driver. It can also result in sub-optimal decisions made by the manager of each department in a firm.
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The complete question is:
Which of the following is an advantage of the single-rate method?
A) It is less costly to implement.
B) It classifies costs as fixed and variable costs.
C) It gives signals regarding how variable and fixed costs behave differently.
D) it requires managers to distinguish variable costs from fixed costs, which is often a challenging task.
The Berlin airlift operation, nicknamed "Operation Vittles," provided food, fuel, and basic supplies for Allied forces stationed in Berlin during World War II.
True
False
Answer:
False.
Explanation:
After the end of World War II, Germany was separated into four sectors, according to the nations controlling it. The nation was divided into four parts- Soviet, American, British, and French-controlled zones. This division was further taken in the case of Berlin, the capital city, dividing it among the four nations.
And the Soviets, in an attempt to drive the other three nations away from the capital city, blocked all forms of road access. The plan was to stop any flow of resources and necessities and it will result in France, Britain, and America abandoning their sections of Berlin.
But, taking advantage of the free airspace, the three nations began using their aircraft to drop basic supplies to the people living in their parts of Berlin. This operation was codenamed "Operation Vittles".
Thus, the correct answer is false. For, the airlift operation was to provide the basic necessities to the people, not the Allied forces station in Berlin.
Describe how the U.S. private enterprise economy works
Answer: Go ahead and copy and paste
Explanation: As an economic system, private enterprise is characterized by competition, open markets, private ownership, and private initiative. Producers take production initiative on the basis of price and profit-and-loss signals essentially given by consumers.
Answer:
As an economic system, private enterprise is characterized by competition, open markets, private ownership, and private initiative. Producers take production initiative on the basis of price and profit-and-loss signals essentially given by consumers. ... Private enterprise is open to all comers.
Flow Company has provided the following information for the year ended December 31, 2019: Cash paid for interest, $17,500 Cash paid for dividends, $7,500 Cash dividends received, $5,500 Cash proceeds from bank loan, $24,000 Cash purchase of treasury stock, $8,500 Cash paid for equipment purchase, $24,500 Cash received from issuance of common stock, $34,500 Cash received from sale of land with a $29,500 book value, $23,000 Acquisition of land costing $48,500 in exchange for preferred stock issuance. Payment of a $175,000 note payable by exchanging used machinery with a $74,500 book value and $175,000 fair value. How much was Flow's net cash flow from financing activities
Flow Company's net cash flow from financing activities for the year ended December 31, 2019 was $75,500.
Flow Company's net cash flow from financing activities can be calculated as follows: Cash paid for interest: $17,500 ,Cash paid for dividends: $7,500 ,Cash dividends received: $5,500 ,Cash proceeds from bank loan: $24,000 , Cash purchase of treasury stock: $8,500
Cash received from issuance of common stock: $34,500 Payment of a note payable by exchanging used machinery: $175,000
To calculate the net cash flow from financing activities, we need to subtract cash outflows from cash inflows. Therefore:
Net cash flow from financing activities = (Cash paid for interest + Cash paid for dividends + Cash purchase of treasury stock + Payment of a note payable by exchanging used machinery) - (Cash dividends received + Cash proceeds from bank loan + Cash received from issuance of common stock)
Plugging in the numbers: Net cash flow from financing activities = ($17,500 + $7,500 + $8,500 + $175,000) - ($5,500 + $24,000 + $34,500) = $139,500 - $64,000 = $75,500.Therefore, Flow Company's net cash flow from financing activities for the year ended December 31, 2019 was $75,500.
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The net cash flow from financing activities for Flow Company is -$21,500.
Explanation:The net cash flow from financing activities can be calculated by adding the cash paid for dividends and the cash received from issuance of common stock, and then subtracting the cash paid for interest and the cash proceeds from bank loan.
Net Cash Flow from Financing Activities = (Cash Paid for Dividends + Cash Received from Issuance of Common Stock) - (Cash Paid for Interest + Cash Proceeds from Bank Loan)
Substituting the given values, we get Net Cash Flow from Financing Activities = ($7,500 + $34,500) - ($17,500 + $24,000) = $20,000 - $41,500 = -$21,500
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