The example given reflects a problem with the management of employee retirement benefits by Delta Airline.
One of the major financial burdens for many companies is the need to provide and maintain funds to provide benefits needed by former employees. The ways in which Delta Airline attempted to avoid bankruptcy included reducing the payout from this fund, as the returns on investments were not keeping pace with the number of retirees and their benefit demands. So, the answer is employee retirement benefits management.
Employee retirement benefits are a form of payment that an employer gives to an employee when they retire. Employees can be given the option of a defined benefit or a defined contribution retirement plan. A defined benefit retirement plan guarantees a specific benefit payout to the employee after they retire, based on their salary and length of employment with the company.
A defined contribution retirement plan allows the employee to contribute money to an account and choose how to invest those funds, with the employer often providing a matching contribution to the account.
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an aging of a company's accounts receivable indicates that $10,000 are estimated to be uncollectible. if allowance for doubtful accounts has a $1,100 credit balance, the adjustment to record bad debts for the period will require a group of answer choices debit to bad debts expense for $10,000. debit to allowance for doubtful accounts for $8,900. debit to bad debts expense for $8,900. credit to allowance for doubtful accounts for $10,000.
debit for [tex]$10000[/tex] to Bad Debt Expense and debit for [tex]$8900\\[/tex] to Bad Debt Expense.
A receivable that may eventually turn into a bad debt is known as a doubtful account or uncertain debt. Establishing a provision for doubtful accounts is crucial for your balance sheet and revenue statement if customers make purchases on credit.
It is documented under assets as a reduction after the accounts receivables line and is created in a reserve account, also referred to as a contra account, which lowers your accounts receivables. Calculate the amount of receivables that could turn into bad debts over a specific period of time and apply that amount to your reserve account.
debit to Bad Debt Expense for[tex]$10000\\[/tex]
debit to Bad Debt Expense for [tex]$8900.\\[/tex]
credit to Allowance for Doubtful Accounts for [tex]$10000.\\[/tex]
debit to Bad Debt Expense for[tex]$11100.[/tex]
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Question 5
If you are using data-driven decision-making, what action steps would you take? Select all that apply.
If you are using data-driven decision-making, the action steps you would take include collecting and analyzing data to identify trends and patterns. Here option A, B, C, and D are the correct answer.
Using data to inform and guide decision-making (option b), continuously monitoring and evaluating the effectiveness of decisions (option c), and making adjustments to decisions based on data analysis (option d). Options e, ignoring data and making decisions based on intuition, is not a step in data-driven decision-making.
Data-driven decision-making involves using data to make informed decisions. By collecting and analyzing data, you can identify trends and patterns that can help guide your decision-making. Continuously monitoring and evaluating the effectiveness of your decisions allows you to make adjustments based on data analysis. This approach helps ensure that your decisions are based on evidence rather than intuition.
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Complete question:
If you are using data-driven decision-making, what action steps would you take? Select all that apply.
a. Collect and analyze data to identify trends and patterns.
b. Use data to inform and guide decision-making.
c. Continuously monitor and evaluate the effectiveness of decisions. d. Make adjustments to decisions based on data analysis.
e. Ignore data and make decisions based on intuition.
where k represents capital equipment and l is labor. your company has already spent a total of $11,000 on the 5 units of capital equipment it owns. due to current economic conditions, the company does not have the flexibility needed to acquire additional equipment. if workers at the firm are paid a competitive wage of $80 and chairs can be sold for $500 each, what is your profit-maximizing level of output and labor usage?
The profit-maximizing level of output is approximately 241 chairs, and the company should use 36.8 units of labor.
To find the profit-maximizing level of output and labor usage, we need to use the production function to determine the marginal product of labor and then use that information to calculate the marginal revenue product of labor.
Assuming the production function is Cobb-Douglas with a capital share of 0.5, we have:
Q =[tex]K^(0.5)L^(0.5)[/tex]
Taking the derivative with respect to labor gives:
dQ/dL = 0.5[tex]K^(0.5)L^(-0.5)[/tex]
We can simplify this to:
MP_L = 0.5[tex](K/L)^(0.5)[/tex]
where MP_L is the marginal product of labor.
Given that the company has already spent $11,000 on capital equipment, we can assume that K = 11,000/5 = $2,200 per unit of capital equipment. So:
MP_L = 0.5[tex](2,200/L)^(0.5)[/tex]
To find the profit-maximizing level of labor usage, we need to calculate the marginal revenue product of labor, which is given by:
MRP_L = P * MP_L
where P is the price of the product, which is $500 in this case.
MRP_L = 500 * 0.5(2,200/L)^(0.5)
To maximize profits, the company should hire labor up to the point where MRP_L equals the wage rate. So:
80 = 500 * 0.5[tex](2,200/L)^(0.5)[/tex]
Solving for L gives:
L = 36.8
To find the profit-maximizing level of output, we can substitute L into the production function:
Q =[tex]K^(0.5)L^(0.5) = (11,000/5)^(0.5) * 36.8^(0.5)[/tex]= 240.8
Therefore, the profit-maximizing level of output is approximately 241 chairs, and the company should use 36.8 units of labor.
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a taxpayer purchased a house for $300,000 to be used as a personal residence. after living in the house for three years, the taxpayer rented the house for two years. at the end of the rental period, the taxpayer moved back in and lived in the house for an additional one year. the house then sold for $525,000. what amount of gain, if any, will the taxpayer recognize for federal tax purposes?
The taxpayer will recognize a gain of $45,000 for federal tax purposes.
The taxpayer lived in the house for four out of the five years (3 + 1), or 80% of the time, and thus is entitled to exclude 80% of the gain from taxable income. The remaining 20% of the gain will be taxed as a long-term capital gain at a rate of 15% for most taxpayers (20% for high-income earners).
The total gain from the sale of the house was
$525,000 - $300,000 = $225,000.
The gain that can be excluded is
$225,000 x 80% = $180,000.
As a result, the taxpayer's taxable gain is
$225,000 - $180,000 = $45,000.
Therefore, the taxpayer will recognize $45,000 in gain for federal tax purposes.
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when products ordered on a retailer's website are shipped to customers directly from the vendor, the retailer and vendor are using a system of a. outsourcing b. drop shipping c. third party logistics d. cross-docking
The correct answer is b. drop shipping. When products ordered on a retailer's website are shipped to customers directly from the vendor, it is known as drop shipping.
When a retailer uses drop shipping, they do not hold the products in inventory but rather transfers the orders and shipment details to the vendor, who then ships the product directly to the customer. This allows the retailer to offer a wider range of products without the need for a physical inventory, reducing costs and the risk of overstocking.
Drop shipping is a form of outsourcing as the vendor is responsible for fulfilling the orders, but it differs from traditional outsourcing in that the retailer remains responsible for customer service and order processing. This system is often used in e-commerce and can be beneficial for both the retailer and vendor.
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in 1972, the federal government established the special supplemental nutrition program for women, infants and children (wic). recipients of aid must be women who are pregnant or breastfeeding or children under the age of 5 whose family income falls below 185% of the federal poverty line. this is an example of which of the following types of federal aid? choose 1 answer: choose 1 answer: (choice a) mandates a mandates (choice b) revenue sharing b revenue sharing (choice c) block grants c block grants (choice d) categorical grants d categorical grants
An example of types of federal aid is Categorical grants. So, the correct answer is D).
The special supplemental nutrition program for women, infants, and children (WIC) is an example of a categorical grant, which is a type of federal aid that provides funding for specific purposes, such as a program or project.
Categorical grants typically have specific guidelines and requirements that must be met in order to receive funding. In this case, the federal government established WIC to provide supplemental nutrition assistance to low-income pregnant and breastfeeding women, as well as children under age 5.
The program is funded through categorical grants to state agencies, which are responsible for administering the program and distributing benefits to eligible recipients. So, the correct option is D).
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express authority consists of the agent's: a.ability to mingle the agent's funds with those of the principal. b.ability to hold power of attorney for the principal. c.written or oral instructions from principal to agent. d.inability to conduct business for the principal.
Express authority consists of the agent's ability to hold power of attorney for the principal. (option b).
Express authority refers to the explicit or specific instructions given by a principal to an agent, authorizing the agent to act on the principal's behalf.
Express authority can also include the power of attorney, which is a legal document that grants an agent the authority to act on behalf of the principal.
It is worth noting that express authority does not give the agent the right to mingle their funds with those of the principal. The agent is expected to keep their finances separate from those of the principal to avoid any potential conflicts of interest.
In conclusion, express authority is a crucial legal concept that governs the relationship between a principal and an agent. It provides clear guidelines for the agent's actions and enables the principal to delegate specific tasks or decisions to the agent.
Hence the correct option is (a).
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both product development strategies and diversification strategies involve . group of answer choices developing a new product selling in a company's current market selling in new as well as existing markets selling a company's current products leaving the current market
The correct response is c. selling a company's current products. Selling a company's present products is the main objective of both market penetration and market development plans.
Penetration is the action or entering or passing through something. It provides a great understanding. A great example of this is penetration, that includes one thing moving through another. You may talk of an army storming into a citadel or a dagger piercing through clothes. When someone enters another person's vagina or anus without that person's consent, they are committing an assault by penetration. Examples of such body parts include fingers. The Broadband Penetration Rate is the proportion of a nation's or town's total population who uses the Internet.
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rabeya runs a consulting firm that works almost exclusively on project-type assignments. which type of approach to organization should rabeya use that would allow her to utilize the right people with the right skill set on each project?
Rabeya is the owner of a consultancy business that specializes nearly entirely in projects. To be able to use the correct individuals with the proper skill set on each project-type, Rabeya should organize her work using functional hierarchy.
Conglomerate (H-Form) Design: Used by a grouping of unconnected enterprises to form an entity. An organic organization may change with its surroundings rather quickly.
Planning: The Rabeya process of figuring out how to bring an organization to where it wants to go in the future and the best way to do it. 2.) Organizing: The process of creating employment, classifying jobs into units, and building hierarchies of power inside and between units and jobs.
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which of the following would not be held in a money market fund: select one: a. high credit quality, very low duration debt b. agency securities c. corporate bonds d. commercial paper
Money market funds typically invest in short-term, low-risk securities, such as high credit quality, very low duration debt (such as Treasury bills), agency securities, and commercial paper.
The correct answer is (c) corporate bonds. Corporate bonds, on the other hand, are longer-term debt instruments that are generally considered to be riskier than the other types of investments held in money market funds. While corporate bonds can provide higher yields, they are not typically held in money market funds due to their longer maturities and higher risk profile.
Money market funds are designed to invest in short-term, low-risk securities that are highly liquid and provide investors with a way to earn a return on their cash holdings while maintaining easy access to their money. Typically, money market funds invest in securities that have a maturity of less than one year, and they focus on maintaining a stable net asset value of $1 per share.
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your firm's existing bonds trade with a yield to maturity of eight percent. the state of missouri has offered to loan your firm $10,000,000 at zero percent for five years. repayment will be of the form of $2,000,000 per year for five years; the first payment is due in one year.what is the value of this offer
The present value of the loan offer is $8,130,733. Since the loan is being offered at zero percent interest, it represents a lower cost of borrowing than the eight percent yield to maturity on the existing bonds.
To determine the value of the loan offer, we need to compare it to the cost of borrowing from the market.
Assuming that the $10,000,000 loan is used to replace existing bonds, the cost of borrowing from the market is eight percent. The present value of five annual payments of $2,000,000 at an eight percent discount rate is:
PV = $2,000,000 / (1 + 8%) + $2,000,000 / (1 + 8%)^2 + ... + $2,000,000 / (1 + 8%)^5
PV = $2,000,000 x [(1 - (1 / (1 + 8%)^5)) / 8%] = $8,130,733
Therefore, the present value of the loan offer is $8,130,733. Since the loan is being offered at zero percent interest, it represents a lower cost of borrowing than the eight percent yield to maturity on the existing bonds. Therefore, the loan offer is valuable and the firm should consider accepting it.
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why do developing nations impose few or no restrictions on logging? why do developing nations impose few or no restrictions on logging? no ancient forests remain in developing nations. most timber is extracted by local corporations that support the government. there is an infinite supply of timber because wood is a renewable resource. local residents use most of the timber, and the government does not want to impose restrictions on its citizens. they do not want to hinder economic development.
The developing nations impose few or no restrictions on logging becuase they do not want to hinder economic development and local residents often use most of the timber, and the government does not want to impose restrictions on its citizens.
The reasons for developing nations imposing few or no restrictions on logging are complex and multifaceted. One of the primary reasons is the lack of awareness and understanding of the negative environmental impacts of logging.
In many developing nations, logging is viewed as a critical industry that generates revenue and provides employment opportunities. Therefore, governments often prioritize economic development over environmental conservation, and they do not impose strict regulations on logging activities.
Another reason why developing nations impose few or no restrictions on logging is that most of the timber is extracted by local corporations that support the government. In many cases, these corporations have strong political connections and wield significant influence over the government's decision-making processes.
As a result, they are often able to avoid or circumvent environmental regulations and continue to exploit forest resources for their own profit. Furthermore, there is a mistaken belief that wood is a renewable resource, and there is an infinite supply of timber. However, this is not entirely true.
Although trees can be replanted, the process of forest regeneration is slow, and it takes many years for the forest to return to its original state. Additionally, logging often leads to deforestation, soil erosion, and loss of biodiversity, which can have long-lasting and severe environmental consequences.
Lastly, local residents often use most of the timber, and the government does not want to impose restrictions on its citizens. In many developing nations, timber is used for fuel, construction, and other essential purposes. Therefore, the government fears that imposing restrictions on logging would lead to economic hardship for local residents and hinder economic development.
In conclusion, the reasons why developing nations impose few or no restrictions on logging are multifaceted and complex. It is crucial to raise awareness of the negative environmental impacts of logging and implement regulations that balance economic development with environmental conservation.
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Which expense contributes to a business's cost?
2.
(
Wages, salary, maintenance, rent, and depreciation are all examples of expenses. To calculate profits, revenue is subtracted from expenses. To lessen the tax burden and increase profits, businesses are permitted to deduct some expenses from taxes.
What are a business's costs of expenses?An expense is a business's operational cost incurred to produce income. Operational income is the company's profit after running costs like salaries, depreciation, and cost of goods sold have been subtracted.
These consist of payroll taxes, insurance deductibles, commissions, bonuses, and other perks including paid time off, health insurance, and retirement savings schemes. When beginning and registering a business, the majority of states in the U.S. will demand some kind of business license.
You can more easily keep track of your business costs if you keep your personal and business accounts separate. Maintaining a healthy cash flow and being eligible for tax deductions that could lower your taxable income require keeping track of business expenses.
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which of the four schools of thought is the only one that conforms to the belief that workers and employers are equals in the labor market?
The school of thought that conforms to the belief that workers and employers are equals in the labor market is the Industrial Relations school of thought. Correct option is C.
Industrial Relations is a field of study that focuses on the relationship between employers and employees in the workplace. It views the labor market as a power struggle between workers and employers, with both parties striving to achieve their goals and objectives.
Unlike mainstream economics, which emphasizes the efficiency of the labor market and assumes that workers and employers are rational and self-interested, the Industrial Relations school of thought recognizes the unequal distribution of power between workers and employers.
The Human Resource Management school of thought, on the other hand, emphasizes the importance of managing human resources effectively to achieve organizational goals, and it does not necessarily view workers and employers as equals in the labor market.
In summary, the Industrial Relations school of thought is the only one that conforms to the belief that workers and employers are equals in the labor market, while mainstream economics and human resource management do not hold this belief.
Therefore, Correct option is C.
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Complete question is:
Which of the four schools of thought is the only one that conforms to the belief that workers and employers are equals in the labor market?
A) Mainstream economics.
B) Human resource management .
C) Industrial relations.
t. the common stock currently sells for $100 a share and there are 5,000,000 shares outstanding. the firm's marginal tax rate is 40 percent. what is the wacc?
When the common stock currently sells for $100 a share and there are 5,000,000 shares outstanding with the firm's marginal tax rate is 40 percent, the WACC here is 9.7%.
The cost of each element of the company's capital structure must be determined, and each element must then be given a weight based on how much of the total capital structure it makes up in order to calculate the Weighted Average Cost of Capital (WACC).
The WACC can be determined using the following formula, assuming that the company's capital structure only consists of common stock:
WACC = Cost of Equity x Weight of Equity
The cost of equity should be applied since the company's capital structure only consists of common stock. With the help of the Capital Asset Pricing Model (CAPM), we can calculate the cost of equity:
Cost of Equity= Risk-Free Rate + Beta x (Market Risk Premium)
Assume that the stock's beta is 1.2, the risk-free rate is 2.5 percent, and the market risk premium is 6 percent. These figures allow us to determine the cost of equity at:
Cost of Equity = 2.5% + 1.2 x 6% = 9.7%
Next, we need to determine the weight of equity in the company's capital structure. Since the company has only common stock, the weight of equity is 100%.
Weight of Equity = 100%
Finally, we can calculate the WACC as:
WACC = Cost of Equity x Weight of Equity = 9.7% x 100% = 9.7%
Therefore, the WACC for the company is 9.7%.
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abc company purchases a bond with a face value of $100,000 for $98,253 cash. abc company purchased this bond at a.a cost of $100,000. b.a discount of $1,747. c.a premium of $1,747. d.face value.
For $98,253 in cash, ABC Company buys a bond with a face value of $100,000. This bond was bought by ABC Company for its face value.
Face value is a term used in finance to describe a security's nominal or monetary worth as stated by its issuer. The face value of stocks is the original purchase price of the shares, as shown on the certificate. or take someone or something for what they are on the surface. 1. To accept somebody or something without questioning if they are who they say they are. You shouldn't accept these threats at their value. The true worth of a digit in a number is known as face value. We multiply a number's digit value by its numerical value to obtain its place value. As 5 is in the tens place in the number 452, for instance, its place value is (5 10) = 50.
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which of the following statements is true? i. buyers bear the majority of the tax burden if the tax is originally imposed on buyers. ii. buyers bear the majority of the tax burden if the tax is originally imposed on sellers. iii. buyers and sellers will always bear equal amounts of the tax burden. iv. buyers and sellers will jointly bear the tax. i only iii only iv only ii only
The true statement among the given options is "ii. buyers bear the majority of the tax burden if the tax is originally imposed on sellers."
When a tax is imposed on a product or service, it affects both the buyers and the sellers. However, the distribution of the tax burden between the buyers and sellers depends on who the tax is originally imposed on.
If the tax is originally imposed on the sellers, then the sellers have to pay more tax, which in turn increases the price of the product or service for the buyers. As a result, the buyers bear the majority of the tax burden in this case.
On the other hand, if the tax is originally imposed on the buyers, then the buyers have to pay more tax directly. Therefore, the buyers will bear the majority of the tax burden in this case. The correct option is ii only.
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a $1,000 par value bond is currently selling for $1,030. this bond has a coupon rate of 7% and coupon is paid semiannually on jan 1st and july 1st each year. today is november 1st and you just bought this bond. how much will you billed for buying one bond?
When a bond is purchased between coupon payment dates, the buyer has to pay the seller the accrued interest for the period from the last coupon payment date to the settlement date.
In this case, the last coupon payment date was July 1st and the settlement date is November 1st, which means there are four months between the two dates.
To calculate the accrued interest, we can use the following formula:
Accrued Interest = (Coupon Rate * Face Value * Number of Days) / (Number of Days in Coupon Period * 100)
Number of Days = 122 (from July 1st to November 1st, inclusive)
Number of Days in Coupon Period = 182 (since the coupons are paid semiannually)
Coupon Rate = 7%
Face Value = $1,000
Accrued Interest = (0.07 * $1,000 * 122) / (182 * 100) = $23.62
Therefore, if you just bought one bond on November 1st, you would be billed $1,030 + $23.62 = $1,053.62.
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klein manufacturing creates large batches of standardized products used by electricians, such as wiring and switches that must be produced in standard sizes. a continuous production process would work well for klein manufacturing. group of answer choices true
The statement "klein manufacturing creates large batches of standardized products used by electricians, such as wiring and switches that must be produced in standard sizes. a continuous production process would work well for klein manufacturing." is true.
Klein Manufacturing creates large batches of standardized products like wiring and switches that are used by electricians.
These products must be produced in standard sizes, which makes them suitable for a continuous production process. In continuous production, large volumes of identical products are made with no interruptions or changes in the production line.
This type of process is efficient, cost-effective, and ideal for producing standardized products, such as those made by Klein Manufacturing. By implementing a continuous production process, Klein Manufacturing can effectively meet the demands of their customers and ensure a consistent supply of high-quality products.
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the estimated amount of overhead that should be allocated to individual product lines is: under an abc system the materials handling costs allocated to one unit of wm is:
The estimated amount of overhead that should be allocated to individual product lines is determined using Activity-Based Costing (ABC) method.
Under an abc system the materials handling costs allocated to one unit of wm depend on the specific cost driver.
ABC is a costing technique that assigns overhead costs to products and services based on the activities that are required to produce them. Under ABC, overhead costs are allocated to products or services based on their use of different activities in the production process.
The amount of overhead allocated to individual product lines will depend on the nature and extent of the activities required to produce those products.
For example, if a product line requires extensive use of machine setup activities, then a larger portion of the overhead costs associated with machine setup will be allocated to that product line.
On the other hand, the materials handling costs allocated to one unit of WM (assuming "WM" refers to a specific product) would depend on the specific cost driver used to allocate these costs under the ABC system. The cost driver could be the number of times a unit of WM is moved or the distance it is moved within the production process, for example.
In summary, the amount of overhead allocated to individual product lines and the materials handling costs allocated to a specific unit of WM would both depend on the cost drivers used in the ABC system, and the nature and extent of the activities required to produce those products.
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netflix has used the long tail in the dvd-by-mail business to its advantage, crafting a business model that creates close ties with film studios. what do film studios stand to gain from taking advantage of the netflix model targeted at increasing the firm's long-tail offerings?
Film studios stand to gain increased revenue and exposure by offering their films on Netflix's long-tail offerings, as well as valuable data insights and greater control over their content and distribution.
Revenue benifits:
Film studios stand to gain several benefits from taking advantage of the Netflix model targeted at increasing the firm's long-tail offerings. These benefits include:
Increased revenue: By offering their films on Netflix, studios can reach a wider audience and generate more revenue than they would through traditional distribution channels.Increased exposure: By being included in Netflix's long-tail offerings, films that may not have received much attention in traditional distribution channels can gain exposure to a larger audience.Data insights: Netflix's extensive data analytics capabilities can provide valuable insights to film studios about consumer preferences and viewing habits, which can help inform future content production and distribution decisions.Greater control: By working closely with Netflix, film studios can retain greater control over their content and distribution, ensuring that their films are presented in the best possible way to consumers.Overall, taking advantage of the Netflix model targeted at increasing the firm's long-tail offerings can provide film studios with increased revenue, exposure, data insights, and control, making it a valuable partnership for both parties.
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what organization spurred the news industry to become more impartial and objective? the associated press united press international the hutchins commission the hearst foundation
The organization that spurred the news industry to become more impartial and objective was the Hutchins Commission. Here option C is the correct answer.
In the mid-20th century, concerns arose regarding the role of the media in shaping public opinion and the potential for biased reporting. To address these concerns, the Commission on Freedom of the Press was formed in 1942, led by Robert M. Hutchins, then-president of the University of Chicago.
The commission spent several years studying the news industry and published its findings in the landmark report, "A Free and Responsible Press," in 1947.
The report called for a new standard of objectivity and professionalism in journalism, emphasizing the importance of accuracy, fairness, and balanced reporting. It also highlighted the need for a clear distinction between news and opinion, and for news outlets to serve the public interest.
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Complete question:
What organization spurred the news industry to become more impartial and objective?
A - the associated press
B - united press international
C - the Hutchins commission
D - the Hearst Foundation
assume that inventories declined by more than what analysts predicted. this implies that part 2 a. planned aggregate expenditure was less than real gdp. b. planned aggregate expenditure is unrelated to real gdp. c. planned aggregate expenditure was greater than real gdp. d. planned aggregate expenditure was equal to real gdp.
The inventories declined by more than what analysts predicted implies that planned aggregate expenditure was greater than real gdp. The correct answer is "c"
When inventories decline by more than what analysts predicted, it suggests that firms have sold more goods than they had anticipated, meaning that actual demand for goods and services was higher than what they had planned for. This implies that actual aggregate expenditure was higher than planned aggregate expenditure. When actual aggregate expenditure is greater than planned aggregate expenditure, it indicates that real GDP is higher than what was initially anticipated, as there has been more economic activity than what was forecasted. Option: c is correct.
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an investor receives a return from an investment due to: group of answer choices asset allocation among different asset classes. capital gains on the sale of an investment. diversification among or within asset classes. rebalancing by buying more equities. recurring deposits.
An investor receives a return from an investment due to options (a) Asset allocation among different asset classes, (b) Capital gains on the sale of an investment (c) Diversification among or within asset classes and (e) Recurring deposits.
An investor can receive returns from an investment through various means. The following options are available
a) Asset allocation among different asset classes: This refers to the distribution of investment funds across various asset classes, such as stocks, bonds, and real estate. By diversifying their portfolio across various asset classes, investors can reduce their overall risk and improve their chances of generating returns.
b) Capital gains on the sale of an investment: This refers to the profits made from selling an investment for more than its purchase price. Capital gains can occur in various types of investments, including stocks, real estate, and mutual funds.
c) Diversification among or within asset classes: Diversification is a strategy of spreading investment funds across different investments within a single asset class or across various asset classes. This reduces the risk of losses by preventing any one investment from having too much impact on the overall portfolio.
d) Rebalancing by buying more equities: Rebalancing is a strategy of adjusting an investment portfolio to maintain the desired asset allocation. If one asset class has performed better than others, it may require additional investment to maintain the original allocation.
e) Recurring deposits: This refers to the practice of regularly depositing funds into an investment account, such as a retirement account or a savings account. Recurring deposits allow investors to build their portfolios over time and benefit from compound interest.
Therefore, the correct options are (a) Asset allocation among different asset classes, (b) Capital gains on the sale of an investment (c) Diversification among or within asset classes and (e) Recurring deposits.
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if the return on the risk-free security is 3% and the return on digital computer incorporated is expected to be 18% (with beta of 1.5), what must be the return on the market, according to capm? multiple choice question.
Using CAPM, the return on the market must be 13%. Therefore, the correct option is B.
According to CAPM (Capital Asset Pricing Model), the expected return of an asset depends on the risk-free rate, the expected market risk premium, and the beta of the asset. Using CAPM, the expected return on Digital Computer Incorporated can be calculated using the formula:
Expected return = Risk-free rate + Beta * (Market return - Risk-free rate)
Given the risk-free rate is 3%, the expected return on Digital Computer Incorporated is 18%, and its beta is 1.5, we can solve for the market return:
18% = 3% + 1.5 * (Market return - 3%)
To find the market return, follow these steps:1. Subtract the risk-free rate from the expected return: 18% - 3% = 15%
2. Divide this result by the beta: 15% / 1.5 = 10%
3. Add the risk-free rate back to the result: 10% + 3% = 13%
Hence, the return on the market, according to CAPM, is Option B: 13%.
Note: The question is incomplete. The complete question probably is: If the return on the risk-free security is 3% and the return on Digital Computer Incorporated is expected to be 18% (with beta of 1.5), what must be the return on the market, according to CAPM? A) 11.75%` B) 13.00% C) 15.00% D) 10.00%.
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a spot rate may be defined as group of answer choices the u.s. dollar value of a foreign currency. the forecasted future value of a foreign currency. the price a foreign currency can be purchased or sold today. the euro value of a foreign currency. the price today at which a foreign currency can be purchased or sold in the future.
The definition of spot rate is "the price at which a foreign currency can be purchased or sold today". The correct option is C.
The spot rate is the cost of a currency on the spot date, which is the current date when the deal is concluded. It's the most up-to-date and accurate cost of a currency available. It is the cost that traders pay for immediate currency delivery rather than for a currency to be paid at some future date. The spot rate is also known as the "spot price" or the "spot exchange rate."
A spot rate is different from a future exchange rate or a forward exchange rate, which is the projected exchange rate for a future date. A forward exchange rate is a future exchange rate that is decided at the time the transaction is made but is scheduled for a future date. Forward exchange rates are used to hedge foreign exchange risks by locking in the exchange rate for a future date.
When two parties accept a forward exchange rate, they are agreeing to exchange currencies at a predetermined exchange rate and date in the future.
Option C is the correct answer.
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which of the following should organizational structure and internal processes foster to help promote innovation? multiple select question. collaboration cross-functional communication interest in the market agility
To help promote innovation, organizational structure and internal processes should foster collaboration, cross-functional communication, and agility.
Collaboration,
Innovation often involves multiple perspectives and ideas from different areas of the organization.
Collaboration helps bring these perspectives together, facilitating the exchange of ideas and leading to more innovative solutions.
Cross-functional communication,
Effective communication between different departments and functions within the organization.
Helps ensure that everyone is working towards a common goal.
And allows for the sharing of ideas and feedback, leading to more innovative solutions.
Agility,
An organization that is agile is able to respond quickly to changes in the market or industry.
And can adapt to new circumstances, leading to innovation.
Therefore, to promote innovation organizational structure and internal processes should foster collaboration, cross-functional communication, and agility.
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on july 8, angstrom, incorporated sold 100 printers to office rental company at $600 each and offered a 2% discount for payment within 10 days. on july 15, office rental company paid the full amount in cash. what should angstrom record on july 15? transaction account title debit credit a. cash 60,000 a. accounts receivable 60,000 b. cash 58,800 b. accounts receivable 58,800 c. cash 58,800 c. sales discounts 1,200 c. accounts receivable 60,000 d. cash 60,000 d. sales discounts 1,200 d. sales revenue 58,800 multiple choice option a option b option c option d
Angstrom, Incorporated sold 100 printers to Office Rental Company at $600 each, which gives a total of $60,000.
Option C is the correct answer. Angstrom also offered a 2% discount for payment within 10 days, which is $1,200 (2% of $60,000). Therefore, the total payment amount after the discount is $58,800 ($60,000 - $1,200). On July 15th, when Office Rental Company paid the full amount in cash, Angstrom should record $58,800 as cash received, reduce accounts receivable by the same amount ($60,000), and record the sales discount of $1,200 as a reduction in sales revenue.
This transaction would be recorded as follows: Cash $58,800, Accounts Receivable $60,000, and Sales Discounts $1,200.
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in the bank location problem, four of the twenty counties were on adjacent to pennsylvania. (counties 1, 14, 15, 16.) if the bank president wanted to be sure that at least one bank was located in one of these counties, what type of constraint would need to be added to the model?
A constraint must be added to the model to ensure that at least one bank is located in any of the four counties adjacent to Pennsylvania (counties 1, 14, 15, 16).
This constraint would be a binary constraint, meaning that a certain variable must be either 0 or 1. In this example, the constraint would require that at least one of the four counties (1, 14, 15, 16) must be selected as a bank location. The constraint would be written as follows:
sum(x1, x14, x15, x16) ≥ 1
where x1, x14, x15 and x16 are binary variables representing whether or not the bank is located in each of the four counties. This constraint ensures that at least one of the counties is selected as a bank location.
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in the current year, a taxpayer exchanged farmland for an office building. the farmland had a basis of $250,000, a fair market value (fmv) of $400,000 and was encumbered by a $120,000 mortgage. the office building had an fmv of $350,000 and was encumbered by a $70,000 mortgage. each party assumed the other's mortgage. what is the amount of the taxpayer's recognized gain?
In the current year, a taxpayer exchanged farmland for an office building. The farmland had a basis of $250,000, a fair market value (FMV) of $400,000 and was encumbered by a $120,000 mortgage. The amount of gain recognized is equal to $20,000 computed as the lesser of the realized gain of $150,000 and the amount of debt relief of $50,000.
The office building had an FMV of $350,000 and was encumbered by a $70,000 mortgage. Each party assumed the other's mortgage. The amount of the taxpayer's recognized gain is $20,000.The basis is equal to the purchase price, plus any costs related to acquisition, and any capital improvements, minus any depreciation taken.
The basis in the farmland is equal to $250,000 ($250,000 purchase price).The realized gain on the farmland is $150,000, computed as the FMV of $400,000 less the basis of $250,000.The amount of debt relief is equal to $50,000 computed as the $120,000 mortgage relieved, less the $70,000 mortgage assumed on the building.
The amount of gain recognized is equal to $20,000 computed as the lesser of the realized gain of $150,000 and the amount of debt relief of $50,000.
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