The annual benefit of parents gifting $300 each year to their child if the parents are in the 35 percent bracket and the child is in the 15 percent bracket is $40.50.
The annual benefit of parents gifting $300 each year to their child if the parents are in the 35 percent bracket and the child is in the 15 percent bracket can be calculated using the following formula:
Annual benefit = (Gift amount) x (Donor tax bracket - Donee tax bracket) x (1 - Donor tax bracket)
Substitute the values in the above formula to calculate the annual benefit of parents gifting $300 each year to their child if the parents are in the 35 percent bracket and the child is in the 15 percent bracket.
Annual benefit = (300) x (0.35 - 0.15) x (1 - 0.35)
Annual benefit = 300 x 0.20 x 0.65
Annual benefit = $40.50
Therefore, the annual benefit of parents gifting $300 each year to their child if the parents are in the 35 percent bracket and the child is in the 15 percent bracket is $40.50.
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(5. From the age distribution, if a country has more workforce that fall between
56 years and above, what are the likely economic effect on such a country?
Answer & Explanation: Aging workforce refers to the part of working individuals that has reached a certain age and beyond often 40 years and above.
Having more aging workforce is HARMFUL for economic growth. This is so because an aging workforce will lead to a decline in labour participation rate due to the retirement age for kost countries. This will also lead to an increase in social security tax and eventually a decline in productivity.
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Which of the following functions would be implied authority for an apartment manager?
selling the apartment complex
selling the apartments' appliances
collecting rent from the tenants
All of the above would be included in implied authority.
The functions would be Implied authority for an apartment manager is collecting rent from the tenants.
According to the Implied authority, it is an authority that is not express or written into a contract, but it is authority an agent is assumed to have in order to transact the business for a principal.
Each partner in a business has the Implied authority to act in the name of the company. The implied authority of a partner to bind the firm conferred by this section.
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what is the price of a bond with a par value of $1,000, a 2.53% semiannual coupon, 7.06% discount rate and 28 years to maturity?
The price of the bond is equal to its par value of $1,000, which means that it is trading at par.
To calculate the price of a bond with a par value of $1,000, a 2.53% semiannual coupon, a 7.06% discount rate, and 28 years to maturity, we can use the following formula:
Price of bond = (C / (1 + r/n)^(nt)) + ((FV) / (1 + r/n)^(nt))
Where:
C = semiannual coupon payment = 0.0253 x $1,000 / 2 = $12.65
r = annual discount rate = 7.06%
n = number of compounding periods per year = 2 (semiannual)
t = number of years to maturity = 28
Plugging in the values, we get:
Price of bond = \(($12.65 / (1 + 0.0706/2)^(228)) + (($1,000) / (1 + 0.0706/2)^(228))\)
= $747.18 + $252.82
= $1,000.00
Therefore, the price of the bond is equal to its par value of $1,000, which means that it is trading at par.
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3. Not all the busines contracts
are legal. Justify.
Answer:
They could be scams wanting money out of you. It is simple as that they can act as a business but they aren't. To be honest with you you are your own business because whatever you do is good or well so you don't need approval on others so my answer is scammers cause other businesses are working hard to make money and respect their customers!
For internal record keeping, most companies carry their inventory using the _____ basis. Multiple choice question. LIFO FIFO average cost specific identification
For internal record keeping, most companies usually carry their inventory by using the inventory cost flow method that's known as LIFO.
LIFO simply means last in, first out. It's a method of account that's used to account for inventory. Under this method, the cost of the most recently bought goods are expensed first.
It should be noted that companies typically use LIFO because it realistically matches the current cost of an inventory with the current revenue that it produces.
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1. What is the difference between the consumer market and the business market?
Answer:
Business markets refer to organizations, businesses, or entities that acquire products and services for use in the production of other services and products. On the other hand, consumer markets refer to markets where producers sell their products or services directly to the final consumers.
Explanation:
______ organizational structures work best in unstable, complex, changing environments. a) Hierarchical b) Flat c) Matrix d) Centralized
The organizational structure that works best in unstable, complex, changing environments is the matrix structure.
This is because the matrix structure allows for cross-functional collaboration and enables teams to work together to solve problems. In a matrix structure, employees report to both a functional manager and a project manager, which allows for a more flexible approach to managing projects. This structure also allows for better resource allocation and decision making since it brings together different perspectives and expertise. In contrast, hierarchical and centralized structures may be too rigid and slow to adapt to changing environments, while flat structures may lack the necessary hierarchy and structure to effectively manage complex projects.
Matrix organizational structures work best in unstable, complex, changing environments. This structure combines elements of both hierarchical and flat structures, allowing for flexibility and collaboration. It enables employees to report to multiple managers, fostering communication and adaptability. In complex environments, the matrix structure is particularly beneficial because it encourages cross-functional teamwork and enhances decision-making capabilities, which are crucial for navigating constant change.
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If the Federal Reserve raises interest rates, what is the likely effect on tax receipts, interest expenses, and the budget deficit
Answer:
When interest rates increase, it affects the ways that consumers and businesses can access credit and plan their finances.
PLEASE HELP QUICKLY: (FIRST ANSWER GETS BRAINLIEST) PERSONAL & FAMILY FINANCE
Ivywood Country Club recently hired Spencer to find additional resources, make major decisions involving membership, and develop ideas for new swag to be sold in the pro shop. What unique skill did the club MOST likely need when they hired Spencer?
capital capacity
labor talent
entrepreneurial ability
Answer:
entrepreneurial ability
Explanation:
Entrepreneurial ability is the capacity to understand every aspect of a business. It entails combining a range of technical, management, and personal skills. Entrepreneurial ability incorporates creativity, ambition, determination, teamwork, risk management, and a sense of responsibility.
Spencer must have Entrepreneurial abilities; that's why the club hired him. The club believes that his creativity and determination will be useful in finding additional resources. Spencer can recognize, attract, and retain talent. Entrepreneurial abilities involve taking over a business that already exists and making it better.
Read the last paragraph under the heading""Elasticity of Supply. "" Would a lawn care business have elastic or inelastic supply in the short term? Explain your answer
To calculate the overhead applied to a job incurring $1,000 of direct labor, we need to determine the overhead rate per direct labor dollar. The overhead rate can be found by dividing the total factory overhead costs by the total direct labor costs.
The overhead applied to a job incurring $1,000 of direct labor would be $2,250. This is determined by multiplying the overhead rate per direct labor dollar, which is $2.25, by the direct labor cost of the job.
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6. Describe at least three things a bank would consider about you when deciding whether to give you a loan. (1-3 sentences. 3.0 points)
Explanation:
Your Credit History
Your Ability To Pay The Loan
Your Cash Flow History
5. A target market is a specific group of consumers toward whom a firm directs its marketing effort.
A target market is a specific group of consumers that a firm has identified as the most likely to be interested in its product or service. It is important for companies to understand their target market because it allows them to tailor their marketing efforts and messaging to appeal directly to their audience.
This results in more effective marketing campaigns, as well as a better return on investment.
In order to identify their target market, companies need to conduct research to understand the needs, wants, and behaviors of their potential customers. This can involve analyzing demographic data such as age, gender, and income level, as well as psychographic data such as lifestyle, values, and interests.
Once a target market has been identified, a company can then develop marketing strategies that are tailored to that specific group. For example, a company that sells high-end fashion items may target affluent consumers who value luxury and exclusivity, while a company that sells eco-friendly cleaning products may target environmentally-conscious consumers who prioritize sustainability.
Overall, understanding and targeting a specific market is essential for any successful marketing campaign. By tailoring their efforts to a specific group of consumers, companies can increase their chances of reaching and engaging with their target audience, ultimately leading to increased sales and brand loyalty.
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How do you find consumer surplus and producer surplus at the equilibrium price?
Answer:
The consumer surplus is q∗∫0d(q)dq−p∗q∗.
The producer surplus is p∗q∗−q∗∫0s(q)dq.
The sum of the consumer surplus and producer surplus is the total gains from trade.
Net Income ($82)
Charges in Working Capital $100
FCFO
$[?]
$150
Fill in the blanks
on this financial
statement.
Disposal of PPE
Purchase of PPE
FCFI
Issuance of Stock
($27)
$[ ]
$540
Dividend Payment ($110)
Issuance of Debt
$68
Debt Repayment ($25)
Interest Expense
($75)
FCFF sĩ
Total FCF $[
FCFO = $182
FCFI = $216
FCFF = $ -82
Total FCF = $583
What are the above terminologies and how did we arrive at the answers?FCFO - Free Cahs Flow to Firm is derived by adding Net Income to Charges in Working Captial
= $82 + $100
= $182
FCFI - Free Cash flow to Firm (Investing
= Disposal of PPE - Purchase of PPE + Issuance of Debt + Debut repayment
= 150 - 27 + 68 + 25
= $216
FCFF = Free Cash Flow to Firm
= Dividend payment + Interst Exprense + FCFI
= $110 + 75 + 216
= $401
Total FCF = FCFO + FCFF
= $182 + $401
= $583
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Before laws, humans lived in _______. Group of answer choices a state of universal law a state of nature traditional states constitutional states
Before laws, humans lived in a state of nature.
The concept of the "state of nature" refers to a hypothetical condition in which individuals exist in the absence of a formal governing authority or established laws.
It is a theoretical idea that explores the hypothetical state of human existence before the establishment of organized societies and legal systems. In the state of nature, individuals are believed to have natural rights and freedoms but also face challenges such as the absence of a structured legal framework to resolve disputes or protect these rights.
Prior to the development of laws and organized societies, humans are believed to have lived in a state of nature, characterized by a lack of formal governance and established legal systems. The state of nature is a theoretical concept used to examine the hypothetical conditions of human existence before the establishment of laws and societal structures.
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the following selected data are adapted from the november 26, 2017, and november 27, 2016, consolidated balance sheets and income statements for the years then ended for levi strauss
In conclusion, without specific data, it is challenging to provide a detailed explanation. However, analyzing financial ratios and trends can provide valuable insights into a company's financial performance and position.
The given question is asking for a clear and concise explanation based on selected data adapted from the November 26, 2017, and November 27, 2016, consolidated balance sheets and income statements for Levi Strauss. Unfortunately, you have not provided any specific data or details from the balance sheets or income statements, making it difficult to give a specific answer. However, I can guide you on how to analyze such data.
To understand the financial position and performance of a company like Levi Strauss, you would typically compare key financial ratios and trends between the two years. Some important ratios to consider include profitability ratios like gross profit margin and net profit margin, liquidity ratios like current ratio and quick ratio, and solvency ratios like debt-to-equity ratio.
By comparing these ratios between the two years, you can identify any changes or trends in the company's financial health. For example, an increase in profitability ratios may indicate improved efficiency, while a decrease in liquidity ratios may suggest a potential cash flow problem.
In conclusion, without specific data, it is challenging to provide a detailed explanation. However, analyzing financial ratios and trends can provide valuable insights into a company's financial performance and position.
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Look for _____ in research information showing preferential treatment or consideration regardless of legitimate reasoning.
credibility
relevance
bias
additional sources
Answer:
bias
Explanation:
bias is the true anwer
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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You are a potential stockholder and are concerned that a particular company you are ready to invest in, might have too much debt. which financial statement would provide you with the information needed to evaluate your concern?
You are a potential stockholder and are worried that a particular company you want to invest in has a large amount of debt. The financial statement that provides the information necessary to assess concerns is the balance sheet.
What are balance sheets?A balance sheet is a summary of a company's assets, liabilities and equity at a particular point in time. It is one of the basic documents that make up a company's financial statements. There are three types of balance sheets: Comparative balance sheet. Vertical balance sheet and Horizontal balance sheet.
Why use a balance sheet?A balance sheet provides a snapshot of a company's financial position at a particular point in time. In addition to income and cash flow statements, the balance sheet helps business owners assess the financial health of their company. A balance sheet report on the organization's assets (what it owns) and liabilities (what it owes).
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A factory is considered what type of resource?
land
labor
physical capital
human capital
A factory falls under the category of physical capital, representing tangible assets and infrastructure utilized in the production process. Option C.
Physical capital refers to the tangible assets that are used in the production process to create goods or services. These assets include machinery, equipment, buildings, vehicles, and infrastructure. They are essential resources that contribute to the production capacity and efficiency of a business or organization.
A factory is a prime example of physical capital as it represents a dedicated space or facility equipped with machinery, tools, and equipment designed for manufacturing or production activities. It provides the necessary infrastructure and resources for transforming raw materials into finished products.
Factories typically house specialized equipment and machinery specific to the industry or production process they serve. This physical capital enables businesses to carry out mass production, streamline operations, and achieve economies of scale.
Physical capital is an important factor of production alongside other resources such as land, labor, and human capital. It plays a crucial role in enhancing productivity, output, and overall economic growth.
Effective management and investment in physical capital can lead to improved efficiency, cost reduction, and technological advancements in production processes.
In summary, a factory is categorized as physical capital, representing the tangible assets and infrastructure used in the production process. So Option C is correct.
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question 2 you have just purchased a home by borrowing \$400,000$400,000 for 30-years at a fixed apr of 3.87\%3.87%. the loan payments are monthly and interest is compounded monthly. what is the effective annual rate on the loan? (i.e., what is the interest rate once we take into account compounding?)
You have just purchased a home by borrowing $400,000 for 30 years at a fixed APR of 3.87%. The effective annual rate on loan payments are monthly, and interest is compounded monthly.
The effective annual rate (EAR) takes into account the compounding of interest over a year. To calculate the EAR on the loan, we need to consider the nominal annual interest rate (APR) and the compounding period.Step 1: Convert APR to monthly interest rate.To calculate the monthly interest rate, we divide the APR by 12 (number of months in a year). In this case, the monthly interest rate is 3.87% / 12 = 0.3225%.
Step 2: Calculate the effective monthly interest rate.To account for compounding, we need to add 1 to the monthly interest rate and then raise it to the power of 12 (number of compounding periods in a year). In this case, the effective monthly interest rate is (1 + 0.003225)^12 - 1 = 0.0409 or 4.09%.Step 3: Convert the effective monthly interest rate to the effective annual rate.Therefore, the effective annual rate on the loan, taking into account compounding, is approximately 4.98%.
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The one-size-fits-all mass market Multiple choice question. requires the largest marketing budget. results in a customized product. is very common today. no longer exists.
Answer:
No longer exist
Explanation:
Mass connects buyers and sellers in which a corporation tries to disregard a very small sector of the market in the specialty marketing arena. There is no commercial produced in the one-size-fits-all.
There are reports that local factory workers are working without proper safety equipment because the factory will not purchase what is needed. Injuries have started to increase. Which agency would handle these concerns
When workers are put in danger due to a lack of proper safety equipment in the workplace, it is essential that the issue be addressed immediately.The Occupational Safety and Health Administration (OSHA) is the primary agency that handles concerns related to worker safety.
OSHA is responsible for enforcing safety regulations in the workplace and investigating complaints related to safety violations. If local factory workers are working without proper safety equipment, they can file a complaint with OSHA. Once a complaint is received, OSHA will investigate the matter and determine whether any safety violations have occurred. If violations are found, OSHA can issue citations and fines to the factory to compel them to address the safety concerns.
It is important to note that workers also have the right to refuse unsafe work if they believe that their safety is at risk. If they do so, they should immediately report the issue to their supervisor and document the concern in writing. If the issue is not addressed, they can file a complaint with OSHA.
In conclusion, the safety of workers in the factory setting is of the utmost importance. If there are concerns regarding a lack of proper safety equipment, workers should file a complaint with OSHA. The agency will investigate the matter and take action to ensure that the factory provides a safe working environment.
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whats the difference between net, gross, and operating profit
shown below in t-account format are the beginning and ending balances ($ in millions) of both inventory and accounts payable. inventory beginning balance 90 ending balance 93 accounts payable 14 beginning balance 16 ending balance required: 1. use a t-account analysis to determine the amount of cash paid to suppliers of merchandise during the reporting period if cost of goods sold was $300 million. 2. prepare a summary entry that represents the net effect of merchandise purchases during the reporting period.
1.From the calculation, we can see that the amount of cash paid to suppliers of merchandise during the reporting period is -$298 million (negative value indicates a decrease in cash).
2. the summary entry representing the net effect of merchandise purchases during the reporting period is $5 million.
1. To determine the amount of cash paid to suppliers of merchandise during the reporting period, we need to consider the changes in inventory and accounts payable.
We can start by analyzing the inventory accounts:
Beginning inventory balance: $90 million
Ending inventory balance: $93 million
Next, let's analyze the accounts payable accounts:
Beginning accounts payable balance: $14 million
Ending accounts payable balance: $16 million
To calculate the cash paid to suppliers, we need to find the change in accounts payable. The change in accounts payable represents the amount of purchases made during the reporting period.
Change in accounts payable = Ending accounts payable balance - Beginning accounts payable balance
Change in accounts payable = $16 million - $14 million
Change in accounts payable = $2 million
Now, we need to consider the effect of cost of goods sold (COGS) on the accounts payable. Since COGS is the cost of inventory sold during the reporting period, we can subtract the COGS from the change in accounts payable to find the cash paid to suppliers:
Cash paid to suppliers = Change in accounts payable - COGS
Cash paid to suppliers = $2 million - $300 million
Cash paid to suppliers = -$298 million
From the calculation, we can see that the amount of cash paid to suppliers of merchandise during the reporting period is -$298 million (negative value indicates a decrease in cash).
2. To prepare a summary entry that represents the net effect of merchandise purchases during the reporting period, we need to consider the changes in inventory and accounts payable.
We can start with the inventory accounts:
Beginning inventory balance: $90 million
Ending inventory balance: $93 million
Next, let's consider the accounts payable accounts:
Beginning accounts payable balance: $14 million
Ending accounts payable balance: $16 million
To find the net effect of merchandise purchases, we need to calculate the change in inventory and the change in accounts payable:
Change in inventory = Ending inventory balance - Beginning inventory balance
Change in inventory = $93 million - $90 million
Change in inventory = $3 million
Change in accounts payable = Ending accounts payable balance - Beginning accounts payable balance
Change in accounts payable = $16 million - $14 million
Change in accounts payable = $2 million
Now, we can summarize the net effect of merchandise purchases:
Merchandise purchases = Change in inventory + Change in accounts payable
Merchandise purchases = $3 million + $2 million
Merchandise purchases = $5 million
Therefore, the summary entry representing the net effect of merchandise purchases during the reporting period is $5 million.
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Solving by Loan
Amortization formules
QUESTION 4 A $40,000 loan at 6.6% compounded monthly will be repaid by monthly payments over ten years. Calculate the interest component of Payment 35. O $171.57 $184.21 O $150.23 $80 O $200
The regular, planned payment that a borrower makes to a lender in order to repay a loan is referred to as a loan payment. In most cases, it covers both the loan's principal and interest payments. the interest component of Payment 35 is approximately $150.23.
To calculate the interest component of a loan payment, we can use the amortization formula. The formula is:
\(I = P - (L - (n - 1) * P) * r\)
Where:
I = Interest component of the payment
P = Monthly payment
L = Loan amount
n = Number of payments
r = Monthly interest rate
In this case, the loan amount (L) is $40,000, the interest rate (r) is 6.6% (converted to a decimal by dividing by 100), and the number of payments (n) is 10 years * 12 months/year = 120 months.
To find the monthly payment (P), we can use the loan amortization formula:
P = L * (r * (1 + r)ⁿ) / ((1 + r)ⁿ⁻¹)
Now we can calculate the monthly payment (P):
P = 40000 * (0.066/12 * (1 + 0.066/12)¹²⁰) / ((1 + 0.066/12)¹²⁰⁻¹)
P ≈ $478.67
To find the interest component of Payment 35, we substitute the values into the interest component formula:
I = P - (L - (35 - 1) * P) * r
I = 478.67 - (40000 - (35 - 1) * 478.67) * (0.066/12)
I ≈ $150.23
Therefore, the interest component of Payment 35 is approximately $150.23.
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A family spends $51,000 a year for living expenses. If prices increase 5 percent a year for the next two years, what amount will the family need for their annual living expenses after two years? Only use the FV factor values obtained in Exhibit 1-A to calculate this solution. (Round your FV factor to 3 decimal places and final answer to the nearest whole dollar.)
After two years, the family will need $56,525 for their annual living expenses.
To calculate the amount the family will need for their annual living expenses after two years, we can use the Future Value (FV) formula.
First, we need to find the FV factor for a 5% annual increase over two years. Referring to Exhibit 1-A, the FV factor for 5% and two years is 1.102.
Next, we multiply the FV factor by the initial annual living expenses of $51,000.
$51,000 * 1.102 = $56,052.
Finally, we round the result to the nearest whole dollar.
Therefore, after two years, the family will need $56,525 for their annual living expenses.
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Beyond Meats describes its reason to exist as follows: "create The Future of Protein(8) delicious plant-based burgers, beef, sausage, crumbles, and more. By shifting from animal to plant-based meat, we can address four growing global issues: human health, climate change, constraints on natural resources, and animal welfare." This describes its ... a.goal
b. plan
c. mission
d. strategy
Beyond Meat describes its reason to exist as follows: "create The Future of Protein(8) delicious plant-based burgers, beef, sausage, crumbles, and more. By shifting from animal to plant-based meat, we can address four growing global issues: human health, climate change, constraints on natural resources, and animal welfare.
" This describes its mission .Beyond Meat's mission is to create delicious plant-based burgers, beef, sausage, crumbles, and more. By shifting from animal to plant-based meat, the company can address four growing global issues: human health, climate change, constraints on natural resources, and animal welfare. Beyond Meat's mission is to provide the world with plant-based meat alternatives that are sustainable, healthy, and ethical.
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The Common Stock account in a company's balance sheet is measured as:
a. The number of common shares outstanding × the stock's par value per share.
b. The number of common shares outstanding × the stock's current market value per share.
c. The number of common shares issued × the stock's par value per share.
d. The number of common shares issued × the stock's current market value per share.
The Common Stock account in a company's balance sheet is measured as: c. The number of common shares issued × the stock's par value per share.
The Common Stock account in a company's balance sheet represents the equity capital raised by issuing common shares to investors. It is measured by multiplying the number of common shares issued by the stock's par value per share.
Option a is incorrect because it mentions "outstanding" shares, which refers to the shares currently held by shareholders, rather than the total shares issued by the company.
Option b is incorrect because it uses the stock's current market value per share. While the market value of the stock can impact the company's market capitalization, the Common Stock account is typically not based on the current market value of the shares.
Option c is correct because it aligns with the common accounting practice of valuing the Common Stock account as the number of common shares issued multiplied by the stock's par value per share.
Therefore, the correct answer is c. The number of common shares issued × the stock's par value per share.
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