1answer.
Ask question
Login Signup
Ask question
All categories
  • English
  • Mathematics
  • Social Studies
  • Business
  • History
  • Health
  • Geography
  • Biology
  • Physics
  • Chemistry
  • Computers and Technology
  • Arts
  • World Languages
  • Spanish
  • French
  • German
  • Advanced Placement (AP)
  • SAT
  • Medicine
  • Law
  • Engineering
Feliz [49]
3 years ago
5

For each of the following items, indicate whether it would be classified as an (O) operating activity, an (I) investing activity

, a (F) financing activity, or a significant (N) noncash financing and investing activity. __________ (1) Received cash dividends from investments in trading securities. __________ (2) Collected accounts receivable from customers. __________ (3) Issued bonds payable for cash. __________ (4) Paid wages to employees. __________ (5) Issued stock for cash. __________ (6) Sold equipment for cash. __________ (7) Purchased land in exchange for a note payable. __________ (8) Paid cash dividends. __________ (9) Received interest from investments in trading securities. _________ (10) Purchases of land for cash.
Business
1 answer:
dmitriy555 [2]3 years ago
7 0

Answer:

The categorization is shown below:

Explanation:

The cash flow statement includes three types of activities which are listed below:

1. Operating activities: It involves those transactions that after net income affect the working capital. It will subtract the rise in current assets and a reduction in current liabilities, while adding the reduction in existing assets and a rise in current liabilities.  

This will moderate the adjustments in working capital. In addition, the depreciation expenses are applied to the net profit and the loss on the selling of assets is added, while the gain on the sale of assets is excluded

2. Investing activities: it tracks operations that involve purchasing and selling long-term properties. Purchase is cash outflow while selling is cash inflow

3. Financing operations: it tracks transactions that have an impact on long-term debt and equity balance of shareholders. Share issue is a cash inflow while redemption and dividend are cash outflows.

Therefore, the categorization is shown below:

(1) Received cash dividends from investments in trading securities. = an (I) investing activity

(2) Collected accounts receivable from customers.= an (O) operating activity

(3) Issued bonds payable for cash.= a (F) financing activity

(4) Paid wages to employees. = an (O) operating activity

(5) Issued stock for cash. = a (F) financing activity

(6) Sold equipment for cash. =  an (I) investing activity

(7) Purchased land in exchange for a note payable. = a significant (N) non-cash financing and investing activity

(8) Paid cash dividends. = a (F) financing activity

(9) Received interest from investments in trading securities. = an (I) investing activity

(10) Purchases of land for cash.  = an (I) investing activity

You might be interested in
Kelly sells women's accessories. Her prospective buyer is smiling and is eyeing the samples Kelly brought with her to the sales
Paladinen [302]

Answer:

Ask the potential client to try out the accessories and give the prices.

Explanation:

Having the legs uncrossed and her arms relaxed the client is showing that is comfortable with the situation and open to accept the products offered by Kelly. The best way to proceed would be presenting her prices offer and starting the negotiation, she should pay attention to the client's behavior to know of she is willing to negotiate and acquire the products.

3 0
3 years ago
A key objective for a retail layout is to A. expose customers to​ high-margin items. B. balance​ low-cost storage with​ low-cost
BARSIC [14]

Answer:

A. expose customers to​ high-margin items.

Explanation:

Retail layout refers to how retailers organize the shelf space and allocate all the products in a way that allows them to influence customer decisions. The objectives of the layout include creating a good customer experience and allowing customers to access easily the products with higher margins to generate more value for the company. According to this, the answer is that a key objective for a retail layout is to expose customers to​ high-margin items.

8 0
3 years ago
Dre works as an executive in a large cooperation. He believes he is much more ethical and competent than the other executives in
Yuri [45]

Answer:

A) illustrate self-serving bias.

Explanation:

According to my research on studies conducted by various psychologists, I can say that based on the information provided within the question Dre's beliefs are an illustration of a self-serving bias. This is people's tendency to attribute positive events to their own character but attribute negative events to external factors. Which is what Dre is exhibiting by attributing positive traits such as ethicality and competence to himself.

I hope this answered your question. If you have any more questions feel free to ask away at Brainly.

7 0
3 years ago
In the case of snack corp, when the price they sell their product at is _______ average cost of production, profits are ______ d
antiseptic1488 [7]

In the case of snack corp, when the price they sell their product at is <u>below</u> the average cost of production, profits are <u>negative</u> due to<u> </u><u>negative</u> average profit.

Average profit is defined as total profit divided by performance, or total profit for each period divided by a number of periods. The formula for calculating average profit is Average Revenue - Average Cost = Average Profit.

But in general, small businesses have healthy profit margins between 7% and 10%. However, be aware that certain companies may have lower profit margins. B. A retail or food company. This is because overhead costs tend to be high. Average profit is calculated by dividing the total profit for the year by the number of years of profit.

Learn more about Average profit here: brainly.com/question/26215194

#SPJ4

5 0
1 year ago
Shi Import-Export’s balance sheet shows $300 million in debt, $50 million in preferred stock, and $250 million in total common e
Mamont248 [21]

Answer:

Shi Import-Export’s  WACC is 9.44%

Explanation:

WACC is the minimum return that a project MUST  offer before it can be accepted. It shows the risk of the company

<em>Capital Source            Weight         Cost             WACC</em>

Debt                                30%          4.5%               1.35%

Preferred Stock               5%           5.8%               0.29%

Common Equity             65%           12%.               7.80%

Total                              100%                                 9.44%

<em><u>Cost of Debt </u></em>

Cost of Debt = Interest × ( 1-tax rate)

                     = 6% ×  ( 1-0.25)

                     = 4.5%

<em><u>Cost of Preferred Stock</u></em>

Cost of Preferred Stock = 5.8%

<em><u>Cost of </u></em><u>Common Equity</u>

Cost of Common Equity = 12%.

<em><u /></em>

3 0
2 years ago
Other questions:
  • Chrzan, Inc., manufactures and sells two products: Product E0 and Product N0. Data concerning the expected production of each pr
    13·1 answer
  • he Snella Company reports 2015 Pre-tax Net Income of $10,000. The following items exist:Premiums Paid for Key Officer Life Insur
    8·1 answer
  • The Sports Club plans to pay an annual dividend of $1.20 per share next year, $1.12 per share a year for the following two years
    12·1 answer
  • Select two skills and two personal values from the list in the article that you feel you have to offer in the workplace. Discuss
    8·1 answer
  • ShipCo. produces storage crates that require 1.2 meters of material at $.85 per meter and 0.1 direct labor hours at $15.00 per h
    7·2 answers
  • The Pioneer Company has provided the following account balances: Cash $38,000; Short-term investments $4,000; Accounts receivabl
    10·1 answer
  • A corporation is concerned about their exposure to criminal liability after the most recent election cycle placed a number of ne
    13·1 answer
  • If a bank holds $450,000 in required reserves, and $1.8 million in total deposits, then the deposit expansion multiplier is:____
    7·1 answer
  • Profit on sale of fixed assets is used to creat
    10·1 answer
  • Gregg Company uses the allowance method for recording its expected credit losses. It estimated credit losses at three percent of
    8·1 answer
Add answer
Login
Not registered? Fast signup
Signup
Login Signup
Ask question!