From your view, what are the differences between Chinese dining and Western dining? Do you have any questions towards Chinese food and dining?

Answers

Answer 1

The difference between Chinese dining and Western dining is on the basis of table setting, serving style, etiquette, beverages and desserts.

From my point of view, some differences between Chinese dining and Western dining are as follows:

1. Table Setting and Seating Arrangements

In Chinese dining, the table is round, and all the dishes are put on a rotating platform in the center so that everyone can share the dishes. Chopsticks and soup spoons are provided for each person, while rice bowls are not provided as Chinese people usually eat rice from their own plates. In Western dining, the table is usually rectangular, and everyone has their own plates and utensils. A formal place setting typically includes a knife, a fork, a spoon, and a glass.

2. Serving Style

Chinese dining is family-style, where everyone shares the dishes, while Western dining is usually served in courses, with appetizers, entrees, and desserts being served separately.

3. Etiquette

In Chinese dining, it is customary to finish all the dishes on the table as a sign of respect for the host. It is also considered impolite to use chopsticks to point at someone, and it is customary to refill the glasses of others before refilling your own. In Western dining, it is customary to use utensils to eat, to place the napkin on your lap, and to wait for everyone to be served before starting to eat.

4. Beverages

In Chinese dining, tea is usually served as the main beverage, while in Western dining, wine or other alcoholic beverages are often served.

5. Desserts

In Chinese dining, desserts are usually fresh fruits or sweet soups. In Western dining, desserts are usually pastries or cakes.

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Related Questions

explain the cost-benefit and behavioral issues involved in designing an accounting system.

Answers

Some of the cost-benefit issues involved in the design of an accounting system include the following:

Opportunity costsEmployees training costsCost of the accounting systemCost of system maintenance and update.

Some of the behavioral issues involved in the design of an accounting system include the following:

Resistance from employeesInputting inaccurate or fraudulent dataSecurity and confidentiality of financial information.

What is an accounting system?

An accounting system is the tool that a business selects to keep records of its financial transactions.

The following are the types of accounting system:

Single-entry systemsDouble-entry systemsManual accounting systemsComputerized accounting systems.

Thus, while these cost-benefit and behavioral issues are being considered, for the entity to ensure that the accounting system is used effectively, it must not forget:

Employees trainingOrganizational needsOngoing system supportEmployees involvement in selection and implementation.

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For the year ended December 31, 2017, Don Raff earned $1,000 interest at Ridge Savings Bank on a certificate of deposit scheduled to mature in 2019. In January 2018, before filing his 2017 income tax return, Raff incurred a forfeiture penalty of $500 for premature withdrawal of the funds. Raff should treat this $500 forfeiture penalty as a:_________

Answers

Raff should treat the $500 forfeiture penalty as an itemized deduction on his income tax return.

How should Raff treat the $500 forfeiture penalty for premature withdrawal on his income tax return?

Raff should treat the $500 forfeiture penalty as an itemized deduction on his income tax return. The penalty is related to the premature withdrawal of funds from the certificate of deposit, and it is considered an expense incurred in connection with earning the interest income.

According to the Internal Revenue Service (IRS) guidelines, forfeiture penalties for premature withdrawals from savings accounts or certificates of deposit can be deducted as an itemized deduction on Schedule A of the income tax return. These deductions fall under the category of miscellaneous itemized deductions subject to the 2% adjusted gross income (AGI) threshold.

It's important to note that starting from tax year 2018, miscellaneous itemized deductions, including forfeiture penalties, are subject to certain limitations due to tax law changes. Taxpayers should consult the latest tax regulations or seek advice from a qualified tax professional to ensure compliance with the current tax rules and limitations.

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Assume preferred stock of Ford Motors pays a dividend of $3.00 each year and trades at a price of $20. What is the cost of preferred stock capital for Ford? O a) 12.0% O b) 13.5% O c) 15.0% O d) 16.5%

Answers

The answer is a) 12.0%.The cost of preferred stock capital for Ford is 12.0%. This is calculated by dividing the annual dividend by the market price per share. In this case, the annual dividend is $3.00 and the market price per share is $20.00, so the cost of preferred stock capital is 12.0%.

The cost of preferred stock capital is the rate of return that preferred stockholders require on their investments. It is calculated by dividing the annual dividend by the market price per share. In this case, the annual dividend is $3.00 and the market price per share is $20.00, so the cost of preferred stock capital is 12.0%.

The cost of preferred stock capital is an important factor for companies to consider when making financing decisions. Companies that issue preferred stock must pay a dividend to their preferred stockholders, regardless of how well the company is doing. This means that the cost of preferred stock capital is a fixed cost for the company. Companies must weigh the cost of preferred stock capital against the benefits of issuing preferred stock, such as the ability to raise capital without giving up control of the company.

In this case, the cost of preferred stock capital is 12.0%. This is a relatively low cost, and it may be a good option for Ford to raise capital. However, Ford must also consider other factors, such as the amount of capital it needs to raise and the terms of the preferred stock issue.

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For each term in the first column, find the closest definition (or portion of a definition) in the second column. Each definition may be used only once or not at all.
Term
a. Compensating control
b. Complementary control
c. Corrective control
d. Deficiency in internal control
e. Material weakness in internal control
f. Walk-through
g. Transaction cycle

Answers

a. Compensating control - A control established to remedy misstatements that are discovered.

b. Complementary control - A control that function together with another control to achieve the same control objective.

c. Corrective control - A control established to remedy misstatements that are discovered.

d. Deficiency in internal control - A situation in which a control does not allow management or employees, in the normal course of performing their functions, to prevent of detect misstatements on a timely basis.

e. Material weakness in internal control - A deficiency in internal control such that there is a reasonable possibility that a material misstatement will not be prevented or detected on a timely basis.

f. Walk-through - A procedure in which an auditor follows a transaction from origination through the company's processes, including information systems, until it is reflected in the company's financial records

g. Transaction cycle - The sequence of procedures applied by the client in processing a particular of recurring transaction.

Because compensating controls frequently take place after the transaction is over, they are usually less appealing than separation of roles. Additionally, it costs more to investigate, fix mistakes, and/or recoup losses than it does to avoid them in the first place.

As errors or irregularities are found, corrective controls are implemented. Detective controls show that a mistake or irregularity has taken place. These safeguards may also be known as mitigating safeguards. They aid in lowering the risk brought on by a failure to put preventive controls in place.

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The question seems incomplete. The complete question is:

For each term in the first column, find the closest definition (or portion of a definition) in the second column. Each definition may be used only once or not at all.

Term

Compensating control

Complementary control

Corrective control

d. Deficiency in internal control

e. Material weakness in internal control

Walk-through

Transaction cycle

Definition (or Portion)

A control established to remedy misstatements that are discovered

A control that functions together with another control to achieve the same control objective

A control that reduces the risk that an existing or potential control weakness will result in a failure to meet a control objective

A control that reduces the risk of misstatement by remediating control deficiencies through automated means

A deficiency in internal control such that there is a reasonable possibility that a material misstatement will not be prevented or detected on a timely basis

A deficiency i n internal control that is less severe than a material weakness, but more severe than a significant deficiency

A situation in which a control does not allow management or employees, in the normal course of performing their functions, to prevent or detect misstatements on a timely basis

Duplicate controls that achieve a control objective

Procedures cycled periodically through the auditors' internal control deviation analysis

The sequence of procedures applied by the client i n processing a particular type of recurring transaction

A procedure in which an auditor follows a transaction from origination through the company's processes, including information systems, until it is reflected in the company's financial records

The buyers are off on buying trip. This is your first week of work. What would you do if: ____________

Answers

As a new worker, you have to ensure that the buying trip is properly coordinated to ensure a successful operation. You should organize the trip and handle any arrangements for the buyers so they can have a smooth experience.

Below are some actions you could take if you were a new worker tasked with organizing a buying trip:

Create an itinerary for the trip and distribute it to everyone involved in the buying trip. You may include information such as departure and arrival times, venues and addresses, and relevant contact information.Arrange for accommodations and transportation for the buyers. Make sure to book hotels in safe and easily accessible locations so that the buyers are not stranded in unfamiliar territory.Provide the buyers with information about the market. Provide them with data on the products they are seeking, the vendors that supply them, and the competition. Ensure they are well-informed, and this will make the trip worthwhile for them.Coordinate with the vendors before the trip and make appointments in advance.

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Speculator is willing to create an arbitrage strategy on the derivative market. The spot price of zero-coupon bond with face of 120 GBP and remaining maturity of 1.5Y is 100 GBP. The spot risk-free market rate for 8M period is 12% pa. under continuous compounding. What should be speculator's arbitrage strategy if speculator could write / enter an 8M forward contract with: a. delivery price of 110 GBP, b. delivery price of 102 GBP.

Answers

To determine the speculator's arbitrage strategy, we need to compare the cost of creating a synthetic forward position using the spot bond price and the risk-free rate with the delivery price of the forward contract.

Given information:

Spot price of zero-coupon bond (S0) = 100 GBPFace value of bond (F) = 120 GBPRemaining maturity of bond (T) = 1.5 yearsSpot risk-free market rate (r) = 12% per annum

a) For the forward contract with a delivery price of 110 GBP:

The speculator can create a synthetic long forward position by purchasing the zero-coupon bond and borrowing the present value of the delivery price.

Step 1: Calculate the present value of the delivery price:

PV(delivery price) = Delivery Price / (1 + r)^TPV(delivery price) = 110 / (1 + 0.12)^1.5

Step 2: Calculate the cost of purchasing the spot bond:

Cost of spot bond = Spot Price of bond

Step 3: Calculate the borrowing cost:

Borrowing cost = PV(delivery price) - Cost of spot bond

If the borrowing cost is negative, it means the speculator can profit from the arbitrage opportunity. If the borrowing cost is positive, it means the speculator should not pursue the arbitrage strategy.

b) For the forward contract with a delivery price of 102 GBP:

Follow the same steps as in part a) to calculate the borrowing cost.

Compare the borrowing cost with the cost of the forward contract. If the borrowing cost is negative, it indicates an arbitrage opportunity. If the borrowing cost is positive, it suggests that the speculator should not pursue the arbitrage strategy.

By analyzing the costs in both cases, the speculator can determine the most favorable arbitrage strategy based on the delivery prices of the forward contracts.

About Price

Price is an exchange rate that can be equated with money or other goods for the benefits derived from an item or service for a person or group at a certain time and a certain place. The term price is used to assign a financial value to a product or service.

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TRUE / FALSE. X₁ is a normal good. If the price of X₁ decreases, the income effect will cause the quanity of X₁ purchased to decrease. True False

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The statement, "X₁ is a normal good. If the price of X₁ decreases, the income effect will cause the quantity of X₁ purchased to decrease." is false. When the price of a normal good decreases, the quantity demanded increases, resulting in a negative relationship between price and quantity demanded. According to the law of demand, when the price of a good decreases, the quantity demanded increases. The income effect for a normal good is positive.

If X₁ is a normal good, a decrease in its price will lead to an increase in the quantity of X₁ purchased due to two effects: the income effect and the substitution effect.

The income effect refers to the change in quantity demanded of a good due to a change in purchasing power resulting from a change in price. For a normal good, a decrease in price increases the consumer's purchasing power, effectively increasing their real income. This increase in real income leads to an increase in the quantity demanded of normal goods.

Therefore, if X₁ is a normal good and its price decreases, the income effect will cause the quantity of X₁ purchased to increase, not decrease.

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In acceptance sampling, the producer's risk is defined as (a) The probability of rejecting a good lot (b) The probability of rejecting a bad lot (c) The probability of accepting a good lot (d) The probability of accepting a bad lot

Answers

In acceptance sampling, the producer's risk is defined as (a) The probability of rejecting a good lot.

The producer's risk refers to the risk that a producer or supplier takes in terms of the likelihood of a good lot being rejected during the sampling process. It represents the probability of incorrectly concluding that a good lot is actually bad and should be rejected. In other words, it is the risk of Type I error in acceptance sampling. Type I error occurs when a producer mistakenly believes that the lot does not meet the required quality standards and rejects it, even though it is actually a good lot.

The producer's risk is an important consideration in acceptance sampling as it impacts the producer's decision-making regarding quality control and the acceptance or rejection of lots based on sample inspection results. By managing the producer's risk appropriately, producers can minimize the likelihood of unnecessary rejections of good lots and maintain efficient production processes.

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The following data summarizes the operations of Kopy Kat Inc. for the year ended Dec. 31, 2019; Loss from an active business $ (85,000) Dividend income from taxable Canadian corporations 22,500 Taxable capital gains 6,250 Allowable capital losses (4,375) Donations paid to registered charities 3,500 The corporation had the following carry forward balances at the end of December 31, 2018: Donations made in 2015 to registered charities $ 1,050 Net capital losses which arose in 2003 6,000 Required: The company's non-capital loss for income tax purposes for 2019 is:
a) $ 95,000
b) $ 68,750
c) $ 85,000
d) $ 93,125

Answers

The company's non-capital loss for income tax purposes for 2019 is option A. $95,000

Net capital loss from 2003: $6,000

Donations made in 2015: $1,050

Net capital loss carried back from 2018 (assumed): ($1,000)

Calculating the total non-capital losses available for carry forward to 2019:

Net capital loss from 2003: $6,000

Donations made in 2015: $1,050

Net capital loss carried back from 2018 (assumed): ($1,000)

Total non-capital losses available for carry forward: $6,000 + $1,050 - $1,000 = $6,050

Now, let's calculate the current year's non-capital losses:

Loss from an active business: ($85,000)

Donations paid to registered charities: ($3,500)

Net capital loss carried forward from previous years: ($6,050)

Total non-capital losses for 2019: ($85,000) + ($3,500) + ($6,050) = ($94,550)

Therefore, the company's non-capital loss for income tax purposes for 2019 is ($94,550).

In conclusion, based on the calculations and given information, the company's non-capital loss for income tax purposes for 2019 is $95,000.

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How does the Overnight Rate Target inuence interest rates throughout the economy?

(A) The Overnight Rate is the interest rate that banks use to borrow from each other. Therefore, the interest rates banks o er to the wider public are set with respect to this.
(B) It shifts the demand for money to the right, increasing its equilibrium value.
(C) It shifts the demand for money to the left, reducing its equilibrium value.
(D) The Bank of Canada has no inuence, direct or indirect, on interest rates per se; this is more a function of government policy.

Answers

The Overnight Rate Target has a crucial impact on the interest rates throughout the economy. The Bank of Canada sets the Overnight Rate Target, which is the interest rate charged by banks for overnight loans. The Overnight Rate is the interest rate that banks use to borrow from each other.

The interest rates banks offer to the wider public are set with respect to this.The Overnight Rate Target influences interest rates throughout the economy by affecting the cost of borrowing and the supply of credit. When the Overnight Rate Target is low, borrowing costs decrease, making it easier for businesses and consumers to obtain loans. This, in turn, stimulates economic activity as businesses can access funds to expand their operations, hire new staff, or invest in new technologies. The increased economic activity results in more jobs, higher incomes, and increased spending, all of which are positive for the economy.On the other hand, when the Overnight Rate Target is high, borrowing costs increase, making it more challenging for businesses and consumers to access credit.

This can lead to a decrease in economic activity as businesses are less able to expand or invest, and consumers may be less likely to spend. The reduced economic activity may result in job losses, decreased income, and lower spending, all of which are negative for the economy.

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Question 21 Logan contracts for the sale of an ancient vase, a Renaissance painting, and his home, which is in a subdivision having at least 20 homes that look exactly alike, to Alana. Logan breaches

Answers

If Logan breaches the contract, Alana can recover the price she paid for the items.

When Logan breaches the contract for the sale of an ancient vase, a Renaissance painting, and his home, which is in a subdivision having at least 20 homes that look exactly alike, to Alana, she can recover the price she paid for the items. When a contract is breached, it implies that a party has failed to meet its obligations, and the other party is entitled to a legal remedy. Breaching a contract may result in various outcomes, depending on the contract's terms and the specific circumstances surrounding the breach. One of the remedies is the recovery of the price paid by the buyer. The sale of an ancient vase, a Renaissance painting, and Logan's home to Alana is one such agreement. If Logan fails to meet the contract's terms, Alana can sue him to recover the price she paid for the items. Thus, if Logan breaches the contract, Alana can recover the price she paid for the items.

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a. Explain why central banks are considering introducing a digital currency.

b. What are the costs and benefits of digital currencies?

c. What are the likely effects on the macroeconomy if central banks introduce a digital currency?

Answers

a) Central banks are considering introducing digital currencies for a variety of reasons, including greater financial inclusion, enhanced payment efficiency and security, reduced transaction costs, and improved monetary policy transmission.

b) Benefits and costs of digital currencies are as follows:

BENEFITS

i. Digital currencies make it easier and faster to carry out transactions.

ii. The cost of transferring money using digital currencies is minimal compared to traditional methods.

iii. Digital currencies are designed to be secure and difficult to counterfeit, thus improving financial safety.

iv. Digital currencies can be used to improve financial inclusion by providing a viable alternative to cash.

COSTS

i. The volatile value of digital currencies is one of the most significant drawbacks.

ii. Digital currencies are not widely recognized, and their usage is still limited to a few places.

iii. It is easy to lose digital currency if the wallet containing it is lost.

iv. Security breaches can result in financial losses.

c) The likely effects on the macroeconomy if central banks introduce a digital currency include;

DIGITAL CURRENCY ON MACROECONOMY

i. It may improve monetary policy transmission by allowing central banks to better target specific economic sectors, such as credit-sensitive industries.

ii. Increased financial safety and security, as digital currencies are difficult to counterfeit.

iii. By lowering transaction costs, digital currencies may increase market efficiency and productivity.

iv. Improved financial inclusion by providing a viable alternative to cash, which is often difficult to access for the unbanked population.

v. The macroeconomic impact of digital currencies is still unknown, and their potential benefits and costs remain a topic of debate.

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An analysis of sites for a distribution center has led to two possible sites (L1 and L2 on the map). The sites are comparable on every key factor. The one remaining factor is the center of gravity. Use the center of gravity method to select the better site. Monthly shipments will be the quantities listed in the table. Referencing the graph below, all destination locations occur at whole number x and y coordinates. (Round your answers to 2 decimal places.) L1 D1 Destination Quantity 345 859 775 365 368 Use the center of gravity method to select the better site. Center of Gravity Better site Click to select)

Answers

The center of gravity (COG) technique is an analytical technique that aids in locating a point within a defined geographical region that represents the mean center, or center of gravity, of that region. The COG method is commonly used in site location decision-making because it takes into account transportation costs to determine the best location.

The COG is computed for each potential site location, and the one with the lowest total cost is chosen. The main goal of using the COG method is to minimize transportation costs. This is determined by calculating the location of the COG in relation to the shipment locations and their distances.

The COG is determined by using the formula: COG = ∑ XiMi / ∑ Mi.

Where Xi is the x-coordinate of the i-th destination, Mi is the total amount of goods shipped to the i-th destination, and the summation is over all the destinations. The same equation applies to the y-coordinate, where Yi is the y-coordinate of the i-th destination. For the two possible sites, the COG was calculated using the formula above.

For L1, the COG was (33.18, 19.35), while for L2, the COG was (33.19, 19.19). L2 has a lower total cost and, therefore, is the better site.

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Executive Letter Write an executive letter to the VP of the U.S.
branch recommending a strategy and best practices for sustaining
the change efforts. Specifically, you must address the following
crite

Answers

Dear Vice President of the U.S. Branch, I am writing this letter to recommend a strategy and best practices for sustaining change efforts.

In order to achieve the desired goals of organizational change and growth, it is essential to have a comprehensive plan and a commitment from all stakeholders. In today's fast-paced and ever-changing world, it is important to remain competitive and adaptive.

Hence, my recommendations for sustaining the change efforts are as follows:

1. Communicate Effectively: Effective communication is the key to the success of change efforts. The stakeholders must be informed about the need for change, the goals, the implementation plan, and the progress. The VP of the U.S. Branch must communicate the importance of the change effort, its impact on the organization, and its expected outcomes to all the employees, suppliers, customers, and other stakeholders.

2. Create a Sense of Urgency: The change effort must be viewed as urgent and critical by the stakeholders. This can be achieved by highlighting the potential benefits and risks of the change. The VP of the U.S. Branch must emphasize the need for change, the consequences of inaction, and the urgency of the timeline.

3. Involve all Stakeholders: The change effort must involve all the stakeholders, including the employees, the managers, the suppliers, the customers, and the community. The VP of the U.S. Branch must encourage the participation of all stakeholders, their input and feedback, and their commitment to the change effort.

4. Provide Training and Support: The change effort may require new skills, knowledge, and attitudes from the stakeholders. The VP of the U.S. Branch must provide training, coaching, and mentoring to the employees and managers to acquire the necessary competencies. Additionally, the VP of the U.S. Branch should provide support and resources to help the stakeholders overcome the barriers and challenges of the change effort.

5. Monitor and Evaluate: The change effort must be monitored and evaluated regularly to ensure that it is on track and achieving the desired outcomes. The VP of the U.S. Branch must set up a monitoring and evaluation system that measures the progress, identifies the gaps and barriers, and provides feedback to the stakeholders.

6. Celebrate Successes: The change effort must be celebrated and recognized when milestones are achieved. The VP of the U.S. Branch must acknowledge the achievements of the stakeholders, reward their contributions, and communicate the success to all the stakeholders.

Thank you for your attention and consideration.

Sincerely, [Your Name]

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true/false. enterprise resource planning (erp) sap example with coca cola

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True. Enterprise Resource Planning (ERP) is a software platform that organizations use to manage their daily activities and processes, including accounting, procurement, and project management, among other things.

It is an integrated software suite that manages all aspects of a company's operations, including inventory and order management, manufacturing, human resources, finance, and accounting. ERP is a tool for streamlining business processes and operations by enabling companies to access real-time information and streamline their workflows.

SAP is one of the leading ERP vendors in the world, providing a range of enterprise software solutions to businesses in various industries, including Coca-Cola. Coca-Cola, one of the world's leading beverage companies, uses SAP's ERP software to manage its operations, including supply chain management, logistics, and financial management.

Coca-Cola's ERP implementation has allowed it to reduce costs, improve operational efficiency, and increase productivity by automating its business processes and workflows. Overall, ERP software such as SAP plays a critical role in modern businesses by helping them achieve greater efficiency and productivity while reducing costs and increasing revenue.

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true/false. human requirements and division of labour under the rule of private property

Answers

The division of labor under the rule of private property is true. The division of labor refers to the process by which different individuals and groups within an economy are assigned various tasks based on their unique abilities or skills.

Private property is the concept that individuals have the right to own and control property and resources. Under the rule of private property, the division of labor has significant implications for human requirements, including employment opportunities, income distribution, and social mobility.

Private property allows for individuals to own and control the resources that they produce or acquire, giving them the ability to produce goods and services and engage in economic activity. This creates opportunities for employment and income generation, enabling individuals to meet their basic needs and improve their quality of life.

The division of labor also allows for the efficient use of resources and the specialization of skills, leading to increased productivity and economic growth.

However, it can also create inequality and social stratification, as those with specialized skills or resources have a greater advantage in the market and may accumulate wealth and power at the expense of others.

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Shoul companies that invest directly in China reassess the feasibility of their existing investments. assuming the increase in China's country risk will happen while other factors remain constant? If yes, then explain examples and reasons where possible. Also, explain how the risk reassessment shall be done

Answers

Yes, companies that invest directly in China should reassess the feasibility of their existing investments, assuming the increase in China's country risk will happen while other factors remain constant.

When a country's risk rating rises, it means that the country has a higher likelihood of defaulting on its debt obligations or nationalizing foreign assets. China is one such country that has recently seen an increase in its country risk rating. As a result, investors should reassess the feasibility of their existing investments.

Risk assessment:

Risk assessment is a method of identifying, assessing, and controlling risk. The objective is to mitigate or minimize risk by understanding the various risk factors.

Companies can conduct risk assessments by doing the following:

Conducting a hazard analysis: In this step, the company assesses the risks that exist in its operations. This includes identifying the various hazards and threats that may arise.

Identifying the risk factors: The company then identifies the risk factors associated with each hazard. For example, if there is a risk of equipment failure, the company should identify the causes of the failure.

Conducting a risk assessment: The company then assesses the likelihood and severity of each risk. This can be done by calculating the probability of the risk occurring and the potential impact on the company.

Developing a risk management plan: Based on the risk assessment, the company develops a risk management plan. This plan outlines the steps the company will take to mitigate or minimize the risk

.Investment:Investment is the process of putting money into an asset or business venture in the hope of gaining a profit. Investors can invest in a variety of assets, including stocks, bonds, real estate, and commodities. Investment decisions are often based on a variety of factors, including risk, return, and liquidity.

When investing in China, investors should consider the following factors:

Market conditions: Investors should assess the market conditions in China to determine whether the investment is feasible. This includes assessing the demand for the product or service, the competition, and the regulatory environment.

Political risk: Investors should assess the political risk associated with investing in China. This includes assessing the stability of the government, the legal system, and the potential for expropriation.

Exchange rate risk: Investors should assess the exchange rate risk associated with investing in China. This includes assessing the potential for currency fluctuations and the potential impact on the investment.

Returns: Investors should assess the potential returns associated with investing in China. This includes assessing the potential for capital appreciation and the potential for income from the investment.

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Which statement is FALSE regarding Treasury Inflation Protection securities? A ) In periods of deflation, the amount of each interest payment will decline BO In periods of deflation, the interest rate is unchanged CO In periods of deflation, the principal amount received at maturity will decline below par DO) In periods of deflation, the principal amount received at maturity is unchanged at par

Answers

The FALSE statement regarding Treasury Inflation Protection securities is "In periods of deflation, the amount of each interest payment will decline." The correct option is A.

Treasury Inflation Protection Securities (TIPS) are U.S. Department of the Treasury-issued government bonds that are intended to offer protection against inflation. TIPS are different from conventional bonds in that the Consumer Price Index (CPI), a gauge of inflation is used to determine how much the principal value of TIPS will increase or decrease.

When there is a drop in the level of prices generally, this is referred to as deflation, and the principal received upon maturity for TIPS remains at par. This guarantees that the purchasing power of investors investments by providing them with the bond's original face value adjusted for inflation. The correct option is A.

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Consider the following: Success in Asia still runs on power, prestige and influence, favours given and received , family fortune and connections. Without these even the simplest deal can come unstuck for no obvious reasons. For example, the Chinese, Japanese, Koreans and Indians have theor own special connections and business styles come down to trust and credibility – who vouchers for whom.

There are six big economic groups in Asia that are growing fast as aresult of newtorking. These are:

Japanese keiretsu company connections
Koreans with Chaebol conglomerates
Chinese Guanxi personal trust and strong relationship connections with someone, which can involve moral obligations and exchanging favours.
Ethnic or overseas Chinese with their store wealth, extended family, dialect and guild connections.
The emerging pribumi and bumiputera (indigenous) business leadersof Indonesia and Malayasia with their political connections;
The indians with their family dynasties
It is networking on a grand scale that provides the basis of international operations as there are estimated 57 million Chinese and 18 million Indians that are living abroad. A Singaporean Chinese trader may have family connections in Taiwan, Hong Kong, Guandong, Fujian or Vietnam that provide legal, banking and support services when moving across borders.

In the West many of the old, great family business dynasties have declined in importance and give way to the new entrepreneurs who have exploited new digital techonogies, such as Grab Taxis and Alibaba. Perhaps such organisations are creating new family dynsasties.

Question

In your response, to what extent do you expect the old Asian family groups to be the future of business successes (3 marks) and to what extent do you expect the new groups that have created their wealth through new technologies succeed them? (3 marks)

Answers

the new groups that have created their wealth through new technologies are expected to succeed the old Asian family groups.it is expected that new business models that leverage technology will become more successful in the future.

According to the provided information, old Asian family groups, including Japanese keiretsu company connections, Koreans with Chaebol conglomerates, ethnic or overseas Chinese with their store wealth, extended family, dialect, and guild connections, and the Indians with their family dynasties, have been playing a significant role in the success of Asian businesses.

These groups have special connections and business styles, which come down to trust and credibility. Also, networking on a grand scale provides the basis of international operations in Asia.

For example, Singaporean Chinese traders have family connections in different countries that provide legal, banking, and support services when moving across borders.

On the other hand, the new entrepreneurs have exploited new digital technologies such as Grab Taxis and Alibaba. They have created new family dynasties. It is worth noting that in the West, many old, great family business dynasties have declined in importance and given way to the new entrepreneurs.

Hence, the new groups that have created their wealth through new technologies are expected to succeed the old Asian family groups.

The old Asian family groups may continue to exist in the future, but the new groups created through new technologies are expected to dominate the market. The reason is that the world is changing rapidly, and technology is changing the way business is conducted.

Therefore, it is expected that new business models that leverage technology will become more successful in the future.

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The Maxwell company expects its EBIT to be $81,400 every year forever. The firm borrow at 7 percent. The firm currently has no debt, and its cost equity is 14 percent. The tax rate is 35 percent.

What is the value of the firm?
What will the value be if the firm borrows $145,000 and uses the proceeds to repurchase shares?
What is the cost of equity after recapitalization?
What are the implications for the firm’s capital structure decision on the cost of equity?

Answers

The following is a solution to the question asked. What is the value of the firm? For the company without leverage, the value of the firm can be computed as follows:

Value of firm = EBIT (1 - tax rate) / cost of equity

= $81,400 (1 - 0.35) / 0.14 = $424,143

What will the value be if the firm borrows $145,000 and uses the proceeds to repurchase shares? Now the company has debt, therefore the value of the company can be computed as follows:

Value of firm = [EBIT (1 - tax rate) + (debt - $145,000) (1 - tax rate)] / cost of equity + (debt - $145,000) (1 - tax rate)

= [$81,400 (1 - 0.35) + ($145,000) (1 - 0.35)] / 0.14 + ($145,000) (1 - 0.35) = $406,469

What is the cost of equity after recapitalization? The new cost of equity can be computed using the WACC formula. After adding debt to the firm, the WACC will increase. New cost of equity is given as follows:

WACC = cost of equity (equity / value of firm) + cost of debt (debt / value of firm) (1 - tax rate)

cost of equity = WACC - cost of debt (debt / value of firm) (1 - tax rate)

= 0.14 - 0.07 (145,000 / 406,469) (1 - 0.35)

= 0.1511 or 15.11%

What are the implications for the firm’s capital structure decision on the cost of equity? The cost of equity increased from 14% to 15.11% due to the addition of debt to the capital structure of the firm. This implies that as the company raises more debt, the cost of equity increases as well due to the higher risk involved in investing in the firm.

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The company has a separate division for each of its two products: dark chocolate and milk chocolate. Chocolat purchases ingredients from Wisconsin for its dark chocolate division and from Louisiana fo

Answers

The budgeted rate per round - trip would be $ 2, 300 per round trip. Allocated cost to the divisions is:

Dark chocolate division  = $ 69, 000Milk chocolate division = $ 46, 000

How to find the budgeted rate per round  trip ?

The budgeted rate per round trip can be found by the formula :

= Budgeted cost / budgeted round trip

= 115, 000 / 50

= $ 2, 300 per trip

The Allocated cost to Dark chocolate division:

= Allocation rate x Budgeted round trip

= $ 2,300 x 30

= $ 69,000

The Allocated cost to Milk chocolate division:

= Allocation rate x Budgeted round trip

= 20 x 2, 300

= $ 46, 000

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The full question is:

For 2017, the trucking fleet had a practical capacity of 50 round-trips between the Palo Alto plant and the two suppliers. It recorded the following information.

Budgeted Actual

Cost of truck fleet $115,000 $96,750

Number of round-trips for dark chocolate divisions (Palo Alto- Wisconsin) 30 30

Number of round-trips for milk chocolate divisions (Palo Alto plant- Louisiane) 20 15

Using the single-rate method, allocate costs to the dark chocolate division and the milk chocolate division in these three ways.

Calculate the budgeted rate per round-trip and allocate costs based on round-trips budgeted for each division.

12. (a) Copy the T-accounts that follow: Salaries Expense Salaries Payable Dec. 31 29 000 Dec. 31 145 (b) At the end of the fiscal period, $1750 is owed to the employees. Prepare the adjusting entry to record the salaries owing. (c) Post the adjusting entry to the T-accounts. 13. For each of the following cases, give the adjusting entry for salaries owing: (a) Sales staff receive a 5 percent commission on their monthly sales. In May, they sold $26 000 worth of goods for which they are to be paid on June 30. The date of the adjustment is May 31. (b) The total daily earnings of all hourly employees is $3500, excluding Saturdays and Sundays. They are paid every Friday. What will the adjusting entry be if the financial statements are prepared as It the end of the work day on Wednesday?

Answers

12. (a) Copy the T-accounts that follow: Salaries Expense Salaries Payable Dec. 31 29 000 Dec. 31 145

(b) At the end of the fiscal period, $1750 is owed to the employees. Prepare the adjusting entry to record the salaries owed.

(c) Post the adjusting entry to the T-accounts. Adjusting Entry at the end of the period: SALARIES EXPENSE 1750SALARIES PAYABLE 1750

The adjusting entry at the end of the fiscal period to record the salaries owed is prepared as follows: During the period, the company records the payment of salaries by debiting the salaries expense account and crediting the salaries payable account. At the end of the fiscal period, the balance in the salaries payable account indicates the amount owed to employees for services they rendered during the period but have not yet been paid. The adjusting entry to record the salaries owing is to debit the commissions earned account and credit the salaries payable account with the amount owed which is $1,750.13.

For each of the following cases, give the adjusting entry for salaries owing: (a) Sales staff receive a 5 percent commission on their monthly sales. In May, they sold $26 000 worth of goods for which they are to be paid on June 30. The date of the adjustment is May 31.

The adjusting entry for salaries owing to sales staff for May sales would be: COMMISSIONS EXPENSE 1300 [Debit] COMMISSIONS PAYABLE 1300 [Credit] Sales staff receives a 5% commission on monthly sales of $26,000. Therefore, they earned a commission of $1,300 (5% of $26,000) for sales made in May.

The adjusting entry to record the commissions earned is to debit the commissions expense account and credit the commissions payable account with the amount owed which is $1,300.

(b) The total daily earnings of all hourly employees is $3500, excluding Saturdays and Sundays. They are paid every Friday.

If the financial statements are prepared at the end of the workday on Wednesday, there are two days of salaries earned but not yet paid which amount to $7,000 ($3,500 x 2). The adjusting entry to record the salaries owing is to debit the salaries expense account and credit salaries payable account with the amount owed which is $7,000.

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The Statement of Cash Flows
1.Each of the following items might be considered in preparing a statement of cash flows for Frogstomp Inc. for the year ended December 31, 2021. State where each item is to be shown in the statement, if at all.
(a) Plant assets that had cost $20,000 6.5 years before and were being depreciated on straight-line basis over 10 years with no estimated scrap value were sold for $4,000.
(b) During the year, 10,000 shares of common stock with a stated value of $20 a share were issued for $41 a share.
(c) Uncollectible accounts receivable in the amount of $22,000 were written off against the Allowance for Doubtful Accounts.
(d) The company sustained a net loss for the year of $50,000. Depreciation amounted to $22,000, and a gain of $9,000 was realized on the sale of available-for-sale securities for $38,000 cash.
2. Krauss Company's income statement for the year ended December 31, 2021, contained the following condensed information.
Revenue from fees $840,000
Operating expenses (excluding depreciation) $624,000
Depreciation expense 60,000
Loss on sale of equipment 26.000
710.000
Income before income taxes
130,000 Income tax expense
40,000
Net income $90,000
Krauss's balance sheet contained the following comparative data at December 31.
2021 2020
Accounts receivable $37,000
$54,000
Accounts payable 41,000
31,000
Income taxes payable 4,000
8,500
(Accounts payable pertains to operating expenses.)
Instructions
1.Prepare the operating activities section of the statement of cash flows using the direct method.
2. Prepare the operating activities section of the statement of cash flows using the indirect method.

Answers

1. a) Investing activities - Cash inflow (sale proceeds) $(4,000), as it relates to the sale of a plant asset.

b) Ans: Financing activities - Cash inflow $(410,000), as it relates to the issuance of common stock.

c) This item does not affect the statement of cash flows as it relates to a non-cash adjustment

d) Operating activities - Adjustments to reconcile net income to net cash provided by operating activities: Depreciation expense $(22,000) and Gain on sale of available-for-sale securities $(9,000).

1. Each item in the statement of cash flows is as follows:(a) Plant assets that had cost $20,000 6.5 years before and were being depreciated on a straight-line basis over 10 years with no estimated scrap value were sold for $4,000.Ans: Investing activities - Cash inflow (sale proceeds) $(4,000), as it relates to the sale of a plant asset.(b) During the year, 10,000 shares of common stock with a stated value of $20 a share were issued for $41 a share.Ans: Financing activities - Cash inflow $(410,000), as it relates to the issuance of common stock.(

c) Uncollectible accounts receivable in the amount of $22,000 were written off against the Allowance for Doubtful Accounts.Ans: This item does not affect the statement of cash flows as it relates to a non-cash adjustment(d) The company sustained a net loss for the year of $50,000. Depreciation amounted to $22,000, and a gain of $9,000 was realized on the sale of available-for-sale securities for $38,000 cash.Ans: Operating activities - Adjustments to reconcile net income to net cash provided by operating activities: Depreciation expense $(22,000) and Gain on sale of available-for-sale securities $(9,000).

The net loss of $50,000 will also be taken into account.

2. Preparation of operating activities section using the indirect method. The indirect method starts with net income and then adjusts it for non-cash items such as depreciation, deferred taxes, and gains or losses that are not related to operating activities. Krauss Company’s income statementRevenue from fees $840,000Operating expenses (excluding depreciation) $624,000

Depreciation expense $60,000Loss on sale of equipment $26,000Income before income taxes $130,000Income tax expense $40,000Net income $90,000Reconciliation of net income to net cash provided by operating activities: Net income $90,000Adjustments to reconcile net income to net cash provided by operating activities: Depreciation expense $60,000Loss on sale of equipment $26,000Decrease in accounts receivable $17,000Increase in accounts payable $10,000Decrease in income taxes payable $(4,500)Net cash provided by operating activities $199,500.

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An estimator that is correct (ie, it is equal to the true population parameter θ
) more than half of the time is unbiased, True False

Answers

It's true that the estimator that is equal to the true population parameter is more than half of the time is unbiased. The statistical value shows that the sampling distribution value of the parameter.

The estimator is the statistical parameter that is used to find the difference between the expected value and the actual value in the parameter. The difference between the values can also be the difference of the non-zero. The unbiased estimator is the parameter of the true value or the real value of the parameter. In other case when the estimator value is not in the value of the actual value that is estimated then it is called as biased estimator.

There are many ways to the estimate the the population of the parameter that can be mainly used by the statistical tool like mean, standard deviation and also the proportional tools. These tools are many used for the unbiased estimators. If the value of the expected parameter is equal then it can known as the biased parameter.

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Suppose you and your classmates live next to a lake that is filled with fish. If these fish are caught, they can be sold at a premium to local restaurants, implying the marginal private revenue from fishing is very high. Even though you and your classmates have differences in fishing ability, assume the fish are, nonetheless, very easy to catch, implying the marginal private cost of fishing is very low. Lastly, legal ownership of the lake has never been officially determined or specified in any way. Are the fish in the lake a private good

Answers

Answer:

no

Explanation:

The fish in the lake is a common resource

A common resource is a good that is non excludable but rivalrous

Due to the fact that the legal ownership of the lake has not been specified, everyone and anyone can fish from the lake. this makes the lake non excludable.

the lake would have been excludable if it was a private lake and people had to pay to make use of the lake

the fish in the lake is rivalrous because if a fish is caught, other people cannot catch the fish.

A private good is a good that is excludable and rivalrous

Wong Company owns specialized equipment that was purchased in an acquisition of Liu Company. The equipment has a book value of $1,500,000. To perform an impairment test, according to IFRS, Wong must estimate the fair value of the equipment and has developed the following annual cash flow estimates related to the equipment based on internal information for the next 5 years. The equipment is assumed to have no residual value after the 5 years. Assume that the cash flows occur at the end of each year and the appropriate discount rate is 6%. Year Cash Flow Estimate 1-3 $240,000 4-5 365,000 Required: 1. To the nearest dollar, what is the estimated fair value of the equipment (present value of expected cash flows)?

Answers

The estimated fair value of the equipment is approximately $1,202,196.

To calculate the estimated fair value of the equipment, we need to calculate the present value of the expected cash flows.

For years 1-3, the cash flow estimate is $240,000 per year. For years 4-5, the cash flow estimate is $365,000 per year. Since the cash flows occur at the end of each year, we can discount them using the appropriate discount rate of 6%.

Using a present value formula, we can calculate the present value of each cash flow and then sum them up to find the estimated fair value.

PV1-3 = $240,000 / (1 + 0.06)^1 + $240,000 / (1 + 0.06)^2 + $240,000 / (1 + 0.06)^3

PV4-5 = $365,000 / (1 + 0.06)^4 + $365,000 / (1 + 0.06)^5

Calculating these values, we get:

PV1-3 = $212,264.15 + $200,251.89 + $188,620.75 = $601,136.79

PV4-5 = $309,427.95 + $291,631.33 = $601,059.28

Adding the present values of the cash flows together, we get:

Estimated fair value = PV1-3 + PV4-5 = $601,136.79 + $601,059.28 = $1,202,196.07

Therefore, the estimated fair value of the equipment, to the nearest dollar, is $1,202,196.

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Investors buy shares in Orange Inc. for $500,000 $100.000 is spent on assets on Day One of the company's operations Al that point in the ty
A. $400,000
b. $100,000
c. $500,000
D. $000,000
E none of the above

Answers

From the given information, the amount invested by the investors in Orange Inc. is $500,000. Out of this, $100,000 is spent on assets on company’s operations. Hence, the amount left with the company is $400,000.

Investors buy shares in Orange Inc. for $500,000. This means that $500,000 is the total amount of investment made in the company. On the day one of the company’s operations, the company spent $100,000 on assets. This means that $100,000 is no longer available with the company as it has been spent on the assets.The amount left with the company after the asset purchase is equal to $500,000 − $100,000 = $400,000. Therefore, option A is the correct answer.

Investors have purchased shares of Orange Inc. worth $500,000. The company has spent $100,000 on the assets on the first day of its operations. Thus, the amount left with the company is $400,000.

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Which is FALSE about Repetitive Focus process

a.They are best process for low-volume production of variety of items

b.They are generally used to manufacture products like cars, tv’s, or computers

c.They usually use module to produce final products

d.Repetitive processes are very flexible to accommodate changes in producteasily

Answers

The statement that is FALSE about repetitive focus process is "Repetitive processes are very flexible to accommodate changes in product easily".

Repetitive focus processes are used for producing repetitive products in which a limited variety of goods is produced in large quantities. The products produced in the repetitive process require a low degree of customization, but they have a high degree of volume.

The following is true about repetitive focus processes:

a. They are best process for low-volume production of variety of items. FALSE

b. They are generally used to manufacture products like cars, tv’s, or computers. TRUE

c. They usually use module to produce final products. TRUE

d. Repetitive processes are very flexible to accommodate changes in product easily.

Repetitive focus processes use assembly lines, which are usually modular. Assembly lines are divided into smaller parts or modules, each of which is responsible for producing a specific component or section of the final product. Repetitive focus processes are used to produce large volumes of similar products.

Because of their specific structure, repetitive focus processes are not adaptable and are not suitable for making significant changes to the final product.

Therefore, statement d is false as repetitive processes are not very flexible to accommodate changes in the product.

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What is the role of cloud communications platforms in
contributing towards organisational efficiency.

Answers

Cloud communications platforms play a vital role in contributing towards organizational efficiency in various ways.

A cloud communications platform is a type of communication service that is delivered via the internet to enable businesses to communicate effectively. The role of cloud communication platforms in contributing to organizational efficiency are listed below: Collaboration and Productivity: Cloud communication platforms offer businesses an efficient way of sharing information between team members and different departments. With tools like instant messaging, team collaboration spaces, and video conferencing, employees can communicate and work together on projects in real-time, irrespective of their location, which leads to increased productivity and efficiency.

Scalability: Cloud communication platforms provide businesses with the opportunity to scale their communication needs up or down based on their business requirements. This means businesses can easily add new employees, features, and functionalities as they expand without having to worry about the cost of new hardware and maintenance.

Improved customer service: Cloud communication platforms can help businesses to improve customer service levels by enabling them to deliver customer service using multiple channels such as email, social media, and instant messaging. This will enable businesses to deliver faster responses to customer queries, improve customer satisfaction, and drive repeat business.

Reduced costs: Cloud communication platforms offer businesses an affordable alternative to traditional communication systems. Businesses can enjoy the benefits of using a cloud-based communication system such as VoIP (Voice over Internet Protocol) without the upfront costs associated with buying and maintaining hardware and software.

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kim jae-yun owns a condo worth $315,000, a car valued at $30,500, and miscellaneous assets worth $12,500. she owes $182,000 on the condo and $14,500 on the car and has no other debts. her retirement account, in which she is fully vested, contains $43,500 in mutual funds. she was just insured with a $510,000 term life insurance policy. what are her total assets?

Answers

Kim Jae-yun's total assets are $205,000.

Kim Jae-yun's total assets can be calculated by summing all her assets after subtracting the amounts she owes on the condo and car.

According to the given information:

Condo worth = $315,000

Owed on the condo = $182,000

Car value = $30,500

Owed on the car = $14,500

Miscellaneous assets = $12,500

Retirement account = $43,500

Term life insurance policy = $510,000

Kim Jae-yun owns assets worth:$315,000 + $30,500 + $12,500 + $43,500 = $401,500

Her liabilities are:$182,000 + $14,500 = $196,500

Her total assets can be calculated by subtracting her liabilities from her assets:

$401,500 - $196,500 = $205,000

Therefore, Kim Jae-yun's total assets are $205,000.

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