The SEC requires companies to disclose fees paid to independent public accounting firms for audit and consulting services in the belief that
Multiple Choice
a such diselosures will end the practice of auditors performing nonaudit services for audit clients
b audit firm consulting on client's accounting information processing systems essentially impairs audit independence.
c client directors and finsncial statement users should consider all aspects related to auditors' independence, and information about fees is important.
d financial analysts will attribute far fess credibinty to financial statemeftis audied by public accounting firms that earn substantial nonaudit fees from audit clients.

Answers

Answer 1

The SEC requires companies to disclose fees paid to independent public accounting firms for audit and consulting services in the belief that client directors and financial statement users should consider all aspects related to auditors' independence and information about fees is important. Choice C is the correct answer.

Why does the SEC require companies to disclose fees paid to independent public accounting firms for audit and consulting services?

The SEC (Securities and Exchange Commission) mandates that firms disclose fees charged to independent public accounting firms for audit and consulting services in order to help consumers make more informed decisions about auditors' independence.

Financial analysts would attribute far less credibility to financial statements audited by public accounting firms that earn significant non-audit fees from audit clients, according to choice D, which is incorrect.

Choice A and B are incorrect because the SEC requires firms to disclose the fees charged to independent public accounting companies in order to aid consumers in making more informed judgments about auditor independence. Choice C is the correct answer.

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Related Questions

B2C buying is _____.
Group of answer choices
simple
methodical
high
risk
a
coordinated decision with buy-in and approval from many
people
analytical including cost-benefit analysis

Answers

B2C buying is analytical, including cost-benefit analysis.

B2C buying, which refers to the process of consumers purchasing products or services for personal use, is characterized by an analytical approach that often involves cost-benefit analysis. Consumers typically engage in a decision-making process where they assess the value and benefits of a product or service in relation to its cost. They consider factors such as quality, features, price, brand reputation, and personal preferences before making a purchase. This analytical mindset allows consumers to make informed choices and maximize the perceived value of their purchases. By evaluating the costs and benefits, consumers aim to ensure that their buying decisions align with their needs, preferences, and budgetary constraints.

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Kelly Phillips Erb, IRS Issues New Guidance on the Tax Treatment of Cryptocurrency (Oct. 9, 2019). Currently, when a US dollar is used to purchase an asset there is no potential tax until the item is sold. However, when a cryptocurrency unit is exchanged for an asset, there generally is a potential tax at the purchase of the asset. What effect do you think current tax policy regarding cryptocurrencies will have on the future viability of digital currency? How would you change tax policy regarding digital currency?

Answers

The current tax policy regarding cryptocurrencies, which imposes potential taxes at the time of purchasing assets with cryptocurrency, may have a negative impact on the future viability of digital currency. To enhance the viability of digital currency, tax policies should be revised to provide a more favorable environment for its use.

The tax treatment of cryptocurrencies can significantly influence their future viability. Under the current tax policy in the United States, when a cryptocurrency unit is exchanged for an asset, there is generally a potential tax liability at the time of the asset's purchase. This means that individuals using cryptocurrencies for transactions may face immediate tax consequences, unlike traditional transactions where taxes are typically incurred only upon the sale of the asset.

This tax policy can create complications and disincentives for using cryptocurrencies as a medium of exchange. The potential tax liability at the point of purchase increases the complexity of cryptocurrency transactions and adds a burden for users who may need to calculate and report gains or losses for each individual purchase.

It also reduces the attractiveness of digital currency for everyday transactions, as users may prefer to avoid potential tax obligations by using traditional currencies instead.

To enhance the future viability of digital currency, tax policies should be revised. One possible approach could be to align the tax treatment of cryptocurrency transactions more closely with traditional transactions involving fiat currencies. This could involve deferring the tax liability until the cryptocurrency is sold or exchanged for fiat currency, similar to the current treatment of traditional assets.

Such a change would provide a more favorable environment for the use of digital currency and encourage its adoption as a mainstream form of payment.

Overall, revising tax policies to provide a more balanced and accommodating framework for cryptocurrencies could help foster their future viability. By reducing the immediate tax burden on cryptocurrency transactions and aligning the tax treatment with traditional assets, digital currencies would have a better chance of becoming widely accepted and integrated into everyday financial activities.

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a) What risks can an imvestor face in case of a foreign direct imvestment? (4) b) WSM Wine Importers, inc, purchased 75,000 cases of French wine at a cost of 6,000,000 euros. If the current exchange rate is 0.7576 euros to the US. dollar, what is the purchase price of the wine in U.S. dollars? (3) c) The current direct quote in New York is 01075 dollars per yen. Suppose the current direct quote in Tokyo is 91 yen per dollar. What is the appropriate indirect quote in New York? What will arbitrageurs do to eliminate the differential rates in these markets?

Answers

Arbitrage helps to ensure that exchange rates remain relatively consistent across markets, as any discrepancies create opportunities for profit-seeking traders to exploit them, ultimately leading to rate equalization.

a) An investor in a foreign direct investment (FDI) can face several risks, including:

Political and Regulatory Risk: Changes in government policies, regulations, or political instability in the host country can negatively impact the investment. This includes risks of expropriation, nationalization, or unfavorable changes in taxation and trade policies.Currency Risk: Fluctuations in exchange rates can affect the value of the investment. If the investor's home currency weakens against the host country's currency, it can result in lower returns or even losses when converting profits back to the investor's currency.Economic Risk: Economic factors such as inflation, recession, or changes in interest rates in the host country can impact the profitability of the investment. Economic downturns can lead to reduced consumer demand, affecting sales and revenue.Operational Risk: Challenges related to operating in a foreign market, such as cultural differences, language barriers, unfamiliar business practices, and difficulties in managing remote operations, can pose risks to the investor.

b) To calculate the purchase price of the wine in U.S. dollars, we need to multiply the number of euros by the exchange rate:

Purchase price in U.S. dollars = 6,000,000 euros * 0.7576 euros/US dollar = $4,545,600.

Therefore, the purchase price of the wine in U.S. dollars is $4,545,600.

c) The appropriate indirect quote in New York can be calculated by taking the reciprocal of the direct quote in Tokyo:

Indirect quote in New York = 1 / direct quote in Tokyo = 1 / 91 yen per dollar = 0.01099 dollars per yen.

Arbitrageurs will attempt to eliminate the differential rates by taking advantage of the price differences between the two markets. In this case, if the indirect quote in New York is higher than the direct quote in Tokyo, arbitrageurs would buy yen in Tokyo with dollars and sell them in New York to make a profit. This process would continue until the exchange rates align and the differentials are eliminated.

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Answer the following questions regarding international trade:

(a) What is the common myth regarding the benefits from international trade?

(b) What is the associated implication arising from this myth?

(c) What is the true benefit from international trade?

Answers

The common myth regarding international trade is that it benefits one country at the expense of another. This misconception leads to concerns about unfair competition and potential job losses. In reality, the true benefit of international trade lies in mutual gains, increased prosperity, and improved efficiency through specialization and access to a wider range of goods and services at lower prices.

(a) The common myth regarding the benefits from international trade is the belief that it primarily benefits one country at the expense of another. This notion suggests that if one country gains in terms of economic growth, jobs, or wealth, it must be at the detriment of another country.

(b) The associated implication arising from this myth is the fear of unfair competition and the belief that trade leads to job losses and economic decline. This can result in protectionist measures such as tariffs, quotas, or subsidies, as countries attempt to shield their domestic industries from international competition.

(c) The true benefit from international trade is mutual gains and increased prosperity for all participating countries. Trade allows countries to specialize in the production of goods and services in which they have a comparative advantage, leading to increased efficiency and productivity. By engaging in trade, countries can access a wider variety of goods at lower prices, improve consumer welfare, and foster economic growth. Trade also promotes innovation, fosters international cooperation, and encourages cultural exchange. It is not a zero-sum game where one country's gain is another country's loss, but rather a positive-sum game where all countries involved can benefit and contribute to global economic development.

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Indicate the impact (increase/decrease/no change) for each of the following transactions on total assets, liabilities, and owners' equity.
(a) Paid the current month's rent.
(b) Provided services to customers for cash.
(c) Provided services to customers on account.

Answers

(a) Paid the current month's rent:

- Impact on total assets: Decrease. Cash, which is a component of total assets, is reduced when the rent payment is made.

- Impact on liabilities: No change. There is no change in liabilities since the payment of rent does not involve any borrowing or repayment of debts.

- Impact on owners' equity: No change. The payment of rent does not directly affect owners' equity.

(b) Provided services to customers for cash:

- Impact on total assets: No change. The provision of services for cash increases the cash component of total assets, offsetting the increase in accounts receivable.

- Impact on liabilities: No change. There is no change in liabilities as cash is received directly from customers.

- Impact on owners' equity: No change. The provision of services for cash does not directly affect owners' equity.

(c) Provided services to customers on account:

- Impact on total assets: Increase. Accounts receivable, which is an asset, increases as services are provided to customers on credit.

- Impact on liabilities: No change. There is no immediate change in liabilities as the customers' payment is pending.

- Impact on owners' equity: No change. The provision of services on account does not directly affect owners' equity.

Overall, the impact on total assets, liabilities, and owners' equity for each transaction is as follows:

(a) Paid the current month's rent: Total assets decrease, liabilities remain unchanged, and owners' equity remains unchanged.

(b) Provided services to customers for cash: Total assets remain unchanged, liabilities remain unchanged, and owners' equity remains unchanged.

(c) Provided services to customers on account: Total assets increase, liabilities remain unchanged, and owners' equity remains unchanged.

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The Lo Sun Corporation offers a 5.8 percent bond with a current market price of $823.50. The yleld to maturity is 8.18 percent. The face value is $1,000. Interest is paid semiannually. How many years until this bond matures?
5.82 years
22.36 years
23.27 years
28.40 years
11. 64 years

Answers

The bond offered by Lo Sun Corporation, with a yield to maturity of 8.18% and a current market price of $823.50, will mature in approximately 22.36 years.

To calculate the number of years until the bond matures, we need to use the yield to maturity (YTM), current market price, and face value of the bond. The YTM represents the average annual return expected from the bond until it matures.

First, we calculate the annual coupon payment by multiplying the face value of the bond ($1,000) by the coupon rate (5.8% = 0.058) to get $58.

Next, we need to determine the number of periods until maturity. Since interest is paid semiannually, we divide the YTM by 2 to get the semiannual yield (4.09% = 0.0409).

Using the semiannual yield, current market price, and coupon payment, we can calculate the number of periods until maturity using a financial calculator or spreadsheet software. The calculation yields approximately 22.36 years.

Therefore, the bond will mature in approximately 22.36 years.

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The net income of the Mark and Browning partnership is $453000. The partnership agreement specifies that Mark and Browning have a salary allowance of $120000 and $177000, respectively. The partnership agreement also specifies an interest allowance of 8% on capital balances at the beginning of the year. Each partner had a beginning capital balance of $297000. Any remaining net income or net loss is shared equally. What is Mark's share of the $453000 net income?
a $174240
b $143760
c $198000
d $132240

Answers

The Mark's share of the $453000 net income is option (a) $174240.

The net income of the Mark and Browning partnership is $453000. The partnership agreement specifies that Mark and Browning have a salary allowance of $120000 and $177000, respectively. The partnership agreement also specifies an interest allowance of 8% on capital balances at the beginning of the year. Each partner had a beginning capital balance of $297000. Any remaining net income or net loss is shared equally.The calculation of Mark's share of the $453000 net income is as follows:Interest allowance per partner = 8% of the beginning capital of each partner 8% of $297000

= 0.08 × $297000

= $23,760. Mark's beginning capital balance = $297000Mark's share of the interest allowance = $23,760Mark's share of the salary allowance = $120000Mark's share of the total allowable deductions = Mark's share of the interest allowance + Mark's share of the salary allowance

= $23,760 + $120000

= $143,760Total allowable deductions for both partners

= $120000 + $177000 + $23,760 + $23,760

= $344520. The remaining net income after all the allowable deductions = Total income – Total allowable deductions

= $453000 - $344520

= $108480Mark's share of the remaining net income

= 1/2 × $108480

= $54,240. Therefore, the Mark's share of the $453000 net income is option (a) $174240.

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At the end of the year, Xavier received a form from his employer that reported annual earnings and the amounts deducted for taxes. That form is called a______
(a) 1040
(b) 1099
(c) W 4
(d) W 2

Answers

The correct form Xavier received from his employer is a W-2. The correct answer is (d) W-2.

A W-2 form, also known as the Wage and Tax Statement, is a document provided by an employer to an employee at the end of the year. It reports the employee's annual earnings and the amounts withheld for taxes, including federal income tax, Social Security tax, and Medicare tax. The W-2 form is used by employees to prepare their individual income tax returns and accurately report their income and tax liabilities to the Internal Revenue Service (IRS).

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Usually, debt costs less than equity because

a. it has lower risk profile
b.interest on debt is tax-exepmt
c.all answers are true
d.it has a priorety in interest payment

Answers

Debt generally costs less than equity for multiple reasons. Firstly, debt typically has a lower risk profile compared to equity. Debt is a contractual obligation that requires the borrower to repay the principal amount along with interest over a specific period.

Secondly, interest on debt is often tax-exempt or tax-deductible, depending on the jurisdiction. This tax advantage lowers the effective cost of debt for the borrower, making it more affordable compared to equity financing. Lastly, debt holders generally have a priority in interest payment over equity holders. In the event of financial distress or bankruptcy, debt holders have a higher claim on the assets and cash flows of the company. This priority gives debt holders more security and increases their chances of receiving repayment, thereby reducing the risk associated with lending. Considering these factors, debt is typically a more cost-effective form of financing compared to equity, making it a preferred choice for many companies seeking capital.

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Write a 150-200 words summary on Importance of Business law
learning in their practical life and upload it in the e portfolio
space.

Answers

Importance of business law learning in practical lifeBusiness law, also known as commercial law, is a vital subject in the study of business management. It is concerned with the legal aspects of commercial and trade activities. Studying business law equips students with knowledge and skills that are highly useful in their practical life.

Some of the reasons why studying business law is essential include:Protects businesses and consumers: Business law plays a crucial role in protecting businesses and consumers from fraudulent activities and unfair trade practices. It helps maintain a level playing field for all businesses, preventing monopolies and ensuring fair competition.Ensures compliance with legal requirements: By studying business law, students can understand the legal requirements of running a business, such as taxation laws, employment laws, and contract laws. This knowledge can help business owners avoid legal issues that may arise due to non-compliance.Improves decision making: Understanding business law can help students make better decisions in their personal and professional lives. It enables them to evaluate the legal implications of their actions and make informed decisions that comply with the law.Fosters critical thinking skills: Business law requires students to analyze complex legal issues and apply their knowledge to real-life situations. This fosters critical thinking skills that are essential in problem-solving and decision-making.

Enhances career prospects: A solid foundation in business law can lead to a wide range of career opportunities. Students with a background in business law can pursue careers in law, finance, business, government, and academia.In conclusion, studying business law is crucial in today's world. It equips students with practical knowledge and skills that are necessary for their personal and professional lives. By understanding business law, students can make informed decisions, comply with legal requirements, and succeed in their careers.

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In this discussion question, you will apply the time value of money concepts to finance.

How do financial managers use the time value of money? What factors do you need to know before the time value of money can be calculated? In your opinion, are any of these factors "subjective"/variable? How does the finance manager determine the value of these factors? What does s/he need to consider?

Answers

Financial managers use the time value of money to evaluate the worth of future cash flows in today's terms, enabling them to make informed investment and financing decisions.

Factors required for time value of money calculations include the interest rate, the length of time, and the cash flows involved. These factors can be considered subjective/variable as they depend on various external factors such as market conditions, inflation rates, and risk preferences. Finance managers determine the value of these factors by analyzing market data, economic indicators, and historical trends. They need to consider factors like inflation, risk, and opportunity cost when determining interest rates and discount rates. Additionally, they should account for uncertainties and potential changes in the factors over time to make accurate financial projections and decisions.

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What is your opinion about the importance of project control and
risk planning? In your discussion, be sure to discuss how to create
a time-phased project budget that can be used for project
control.

Answers

Project control and risk planning are crucial elements in successful project management. Project control ensures that a project stays on track and meets its objectives by monitoring progress, identifying deviations, and taking corrective actions.

It involves tracking project milestones, managing resources, and adhering to the project schedule. Effective project control helps prevent cost overruns, delays, and scope creep, ensuring project success.

Risk planning, on the other hand, involves identifying and analyzing potential risks that may impact the project. By proactively addressing risks, project managers can develop mitigation strategies and contingency plans to minimize their impact.

Creating a time-phased project budget is a critical component of project control. It involves breaking down the project's financial resources and allocating them to specific time periods, tasks, and deliverables.

This enables project managers to monitor and control project costs against the budget throughout the project's duration. By comparing actual expenditures with the planned budget, project managers can identify any budget variances, take appropriate actions, and ensure financial accountability.

In summary, project control and risk planning are essential for project success. They provide a structured approach to monitor progress, manage resources, and mitigate potential risks.

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Which of the following is not a benefit of effective supply chain management? a) Just-in-time production b) Vendor-managed inventory c) Reducing the bull-whip effect d) Increasing the number of suppliers

Answers

The option that is not a benefit of effective supply chain management is increasing the number of suppliers.

Supply chain management involves the planning and management of all activities involved in sourcing and procurement, conversion, and logistics management. Its primary goal is to create net value, develop a competitive infrastructure, and synchronize supply and demand. An effective supply chain management provides various benefits to the organization, such as the following:
Just-in-time production: It refers to the production of goods in the quantity needed at the right time, avoiding the need to store large inventory. This method is effective in reducing storage costs.
Vendor-managed inventory: It is a system where the supplier is responsible for monitoring and maintaining the inventory of the customer, ensuring that stock is always available when required. This approach helps the organization save time and money.
Reducing the bull-whip effect: It is a phenomenon that occurs when changes in customer demand create a ripple effect along the supply chain. Effective supply chain management minimizes the bullwhip effect and ensures that demand is met without overstocking.
Increasing the number of suppliers: Having too many suppliers can increase complexity, reduce supplier loyalty, and increase risk. As a result, increasing the number of suppliers is not a benefit of effective supply chain management. The correct option is d) Increasing the number of suppliers.

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where was the first high level language operating system created

Answers

The first high-level language operating system, known as the Manchester Mark 1 Autocode, was created at the University of Manchester in England.

The first high-level language operating system was created at the University of Manchester in England. It was known as the Manchester Mark 1 Autocode and was developed in the late 1940s and early 1950s. Autocode was a pioneering effort to create a high-level language for programming computers, allowing users to write instructions in a more English-like syntax instead of directly using machine code. The development of Autocode marked an important step towards the development of modern programming languages and operating systems.

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Based on the relevant reading and your research, explain why 'financial statements don't work for digital companies', and use Tesla as an example. Do these financial statements meet their objective of providing relevant information to users?

Answers

Financial statements, as traditionally designed, may not fully capture the complexities and unique characteristics of digital companies like Tesla.

Intangible Assets: Digital companies heavily rely on intangible assets such as intellectual property, brand value, and customer relationships. However, traditional financial statements primarily focus on tangible assets like property, plant, and equipment. This leads to a significant underrepresentation of the true value and potential of digital companies.

In the case of Tesla, its brand value, technological innovation, and software development capabilities play a crucial role in its success. However, these aspects may not be adequately reflected in traditional financial statements. Non-Financial Performance Measures: Digital companies often use non-financial performance measures to assess their growth, such as user engagement, customer acquisition, and market share.

For Tesla, metrics like vehicle deliveries, energy storage deployments, and charging infrastructure expansion are vital indicators of its success and market penetration. Rapidly Changing Environment: Digital companies operate in dynamic and rapidly changing environments, where innovation, disruption, and adaptability are key. Traditional financial statements, prepared annually or quarterly.

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Cloud computing delivers the following benefits to businesses managing information EXCEPT:

Answers

Cloud computing delivers the following benefits to businesses managing information EXCEPT cost savings.

Cloud computing offers several advantages to businesses, including scalability, flexibility, and improved collaboration. By leveraging cloud services, businesses can easily scale their computing resources up or down based on demand, allowing them to avoid costly investments in hardware and infrastructure. Additionally, the cloud provides flexibility by enabling employees to access information and applications from anywhere with an internet connection. It promotes collaboration by allowing multiple users to work on shared documents in real-time.

However, while cloud computing can bring significant cost savings compared to traditional on-premises infrastructure, it is not entirely cost-free. Businesses still incur expenses related to cloud service subscriptions, data transfer, and any additional features or customization required. Thus, the cost savings aspect is not a benefit that can be directly attributed to cloud computing.

In conclusion, cloud computing delivers numerous benefits to businesses managing information, such as scalability, flexibility, and improved collaboration. While it may not provide direct cost savings, it can still offer a more cost-effective solution compared to maintaining and managing on-premises infrastructure.
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The shareholders' equity section of the Jason Company as of December 31, 2017, was as follows:

Common stock $180,000
Additional paid-in capital (Common stock) 110,000
Retained earnings 160,000
Total shareholders' equity $450,000
.
On January 15, the company repurchased 1,500 shares of its own stock at $60 for treasury stock. On January 16, as part of a compensation package, the company reissued half of the treasury shares to executives, who exercised stock options for $20 per share. On January 28, the company reissued the remainder of the treasury stock on the open market for $65 per share. Which of the following would be included in the journal entry recorded on January 28?

A. A credit to Treasury Stock for $48,750

B. A credit to Additional Paid-In Capital, Treasury Stock for $48,750

C A debit to Cash for $45,000

D. A credit to Additional Paid-In Capital, Treasury Stock for $3,750

Answers

The journal entry recorded on January 28 would include a credit to Treasury Stock for $48,750.

The journal entry recorded on January 28 is related to the reissuance of the remainder of the treasury stock on the open market for $65 per share. Let's break down the transaction and its impact on the accounts.

The company repurchased 1,500 shares of its own stock at $60 for treasury stock on January 15. This transaction decreases both cash and shareholders' equity. However, it does not affect the journal entry recorded on January 28.

On January 16, as part of a compensation package, the company reissued half of the treasury shares to executives who exercised stock options for $20 per share. This transaction involves the transfer of shares from treasury stock to common stock at a lower price. The difference between the exercise price ($20) and the repurchase price ($60) would be accounted for as an increase in additional paid-in capital, treasury stock. However, this transaction is also not relevant to the journal entry recorded on January 28.

On January 28, the company reissued the remainder of the treasury stock on the open market for $65 per share. This is the transaction that would impact the journal entry. The company receives cash for the sale of the shares, which should be recorded as a debit to Cash. Additionally, the reissuance of the treasury stock would result in a reduction in the Treasury Stock account. Therefore, a credit should be made to Treasury Stock for the value of the shares sold, which is $48,750 .

To summarize, the journal entry recorded on January 28 would include a credit to Treasury Stock for $48,750 to account for the reissuance of the remaining treasury stock on the open market.

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Bradham and other members and trustees of the Mount Olivet Church brought an action to cancel a mortgage on the church property. The mortgage had been executed previously by Davis and other former trustees of the church and given to Robinson as mortgagee. The court found that the church was not indebted to the mortgagee for any amount. Should the mortgage be canceled?

Answers

The answer to whether the mortgage should be canceled depends on the court's findings and the specific details of the case.

Based on the information provided, the court found that the church was not indebted to the mortgagee for any amount. This implies that there was no valid reason for the mortgage to be in place, as the church did not owe any debt to the mortgagee. In such a situation, it is possible that the court may decide to cancel the mortgage.

Canceling the mortgage means that the legal agreement between the church and the mortgagee would be declared null and void. This would release the church from any obligations or liabilities associated with the mortgage, and the mortgagee would no longer hold any claim on the church property.

The cancellation of the mortgage would effectively free the church from any financial burdens or encumbrances imposed by the mortgage agreement. However, it is important to note that the final decision lies with the court, taking into consideration all the relevant facts and legal considerations of the case.

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Management is often faced with the alternative of continuing to make a product or component internally, or going to an external source and purchasing the product or component. In gathering relevant information for these two alternatives, briefly identify the quantitative factors that should be considered. Are there any qualitative factors that should also be considered?

Answers

Answer: Effective leadership, supported by an appropriate structure and culture, plays a vital role in guiding and motivating employees during transitional change.

Explanation:

The role of leadership within Johnson of Whixley is crucial in driving and facilitating effective transitional change within the organization. Leadership plays a pivotal role in guiding and inspiring employees during times of change, ensuring a smooth transition and achieving the desired outcomes. Here's how the structure and culture of the organization can support effective transitional change:

1. Clear Vision and Direction: Effective leadership provides a clear vision and direction for the organization during transitional change. By communicating a compelling vision and outlining strategic objectives, leaders inspire and align employees towards the new focus of the organization. They set the tone and create a sense of purpose, motivating employees to embrace and contribute to the change process.

2. Effective Communication: Communication is vital during transitional change, and strong leadership ensures effective communication throughout the organization. Leaders should communicate the reasons behind the change, the expected benefits, and provide regular updates to keep employees informed and engaged. They should encourage open dialogue, listen to concerns, and address any resistance or uncertainty among employees.

3. Empowering and Engaging Employees: Leadership should empower employees by involving them in the decision-making process and providing opportunities for input and feedback. By including employees in the change process, leaders promote a sense of ownership and commitment to the new focus. They should foster a culture of collaboration, innovation, and continuous learning, encouraging employees to contribute their ideas and skills towards achieving the organization's goals.

4. Role Modeling and Support: Leaders should serve as role models during transitional change, embodying the values and behaviors expected from employees. They should demonstrate resilience, adaptability, and a positive attitude towards change. By leading by example, leaders inspire confidence and motivate employees to embrace the new direction. Additionally, leaders should provide support and resources to facilitate the change, ensuring employees have the necessary tools and training to succeed.

5. Recognition and Rewards: Leaders should recognize and reward employees' efforts and achievements during the transitional change. By acknowledging and appreciating their contributions, leaders foster a sense of motivation, loyalty, and commitment among employees. Rewards can be both tangible, such as bonuses or promotions, and intangible, such as public recognition or opportunities for growth and development.

The structure and culture of Johnson of Whixley should support these leadership practices. The organizational structure should promote clear lines of communication, empower employees at all levels, and provide flexibility to adapt to changes. A culture of trust, transparency, and collaboration should be fostered, where employees feel valued, supported, and encouraged to contribute their ideas and skills. This supportive structure and culture create an environment where effective leadership can thrive and drive successful transitional change.

By providing a clear vision, effective communication, empowerment, and recognition, leaders can inspire employees, facilitate successful change, and maximize the benefits of the organization's new focus.

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Quantitative factors that should be considered include costs (direct, indirect, and purchasing costs) and the time required for production. Additionally, qualitative factors such as overall goals, reputation, impact on employees, and impact on customers should also be considered.

When management is deciding between producing a product or component internally or purchasing it from an external source, they should consider both quantitative and qualitative factors. Quantitative factors involve the costs associated with each option. This includes direct costs of production, costs of purchasing from external sources, and any additional indirect costs related to each option, such as equipment maintenance, employee training and management, and shipping or storing expenses. The time required for production should also be taken into account.

In addition to quantitative factors, qualitative factors are also crucial in the decision-making process. These factors include the company's overall goals and objectives, as well as its reputation. Management should consider whether producing the product internally aligns with the company's goals and helps maintain its reputation for excellence. On the other hand, purchasing from external sources might be seen as a way to reduce costs and improve efficiency.

The impact on employees and customers is another important qualitative factor. Management should consider how each option may affect employees, including the potential need for layoffs if production is outsourced. Additionally, the impact on customers should be evaluated, such as the potential for decreased quality or reliability if products are purchased from external sources.

In summary, management should consider quantitative factors such as costs and production time, as well as qualitative factors such as overall goals, reputation, and the impact on employees and customers, when deciding between producing a product internally or purchasing it externally.

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Andrew has been self-employed as a builder for several years and generated taxable trading profit of £82,000 in the 2020/21 tax year. He has trading losses brought forward of £10,000.

His partner Sophie works part time as a mobile dog groomer and has taxable trading profit of £10,560 for the tax year 2020/21.

What are the total NICs payable by Andrew and Sophie for the tax year 2020/21?

Answers

To calculate the National Insurance Contributions (NICs) payable by Andrew and Sophie for the tax year 2020/21, we need to consider their respective income and NICs thresholds.

Here's the breakdown:

Andrew's NICs:

Andrew is self-employed as a builder and generated taxable trading profit of £82,000. We need to calculate both Class 2 and Class 4 NICs.

Class 2 NICs:

For the tax year 2020/21, the Class 2 NICs are £3.05 per week for self-employed individuals earning above the Small Profits Threshold (SPT), which is £6,515.

Since Andrew's trading profit of £82,000 exceeds the SPT, he will be liable to pay Class 2 NICs.

Class 2 NICs = £3.05 per week x 52 weeks = £158.60

Class 4 NICs:

Class 4 NICs are calculated based on Andrew's taxable trading profit.

The Lower Profits Limit (LPL) is £9,568.

The Upper Profits Limit (UPL) is £50,270.

The LPL to UPL range is subject to a 9% Class 4 NICs rate, and any profits above the UPL are subject to a 2% rate.

Calculation:

NICs on the LPL to UPL range: (£50,270 - £9,568) x 9% = £3,494.46

NICs on profits above UPL: (£82,000 - £50,270) x 2% = £632.60

Total Class 4 NICs = £3,494.46 + £632.60 = £4,127.06

Therefore, Andrew's total NICs payable for the tax year 2020/21 are £158.60 (Class 2 NICs) + £4,127.06 (Class 4 NICs) = £4,285.66.

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(a) Zahmad owns RM10,000 of Costa stock that has a beta of 3.3. He also owns RM15,000 of Glorious with beta of 1.7) and RM5,000 of Starbook which has the same beta as the market. Assume that the market return will be 11.5 percent and the risk-free rate is 4.5 percent. Calculate the following: (1) Market risk premium. (2 marks) (i) Risk premium of each stock. (i) Risk premium of the portfolio. (3 marks) (iv) Expected return of the portfolio. (b) Consider an asset that provides the same return no matter what economic state occurs. What would be the standard deviation (risk) of this asset? Explain. (c) Golden Triangle Holdings Bhd. has issued preferred stock with an annual dividend of RM0.75 that will be paid in perpetuity. Currently, the stock is traded at a price of RM7.50. (I) If the discount rate is 8 percent, at what price should the preferred stock sell? [2 marks] (ii) What is the expected rate of return of the stock? (iii )Assume that you have a required rate of return of 9.5 percent, should you purchase the stock?

Answers

(a) To calculate the required values, we need to use the Capital Asset Pricing Model (CAPM) formula:

Market risk premium: The market risk premium is the difference between the market return and the risk-free rate. In this case, the market risk premium is 11.5% - 4.5% = 7%.

Risk premium of each stock: The risk premium of a stock is calculated by multiplying its beta with the market risk premium. For Costa stock, the risk premium would be 3.3 * 7% = 23.1%. For Glorious, the risk premium would be 1.7 * 7% = 11.9%. Since Starbook has the same beta as the market, its risk premium would be equal to the market risk premium, which is 7%.

Risk premium of the portfolio: To calculate the risk premium of the portfolio, we need to weigh the risk premiums of each stock by their respective investments. Assuming Zahmad's total investment is RM30,000 (RM10,000 + RM15,000 + RM5,000), the risk premium of the portfolio would be (RM10,000/RM30,000) * 23.1% + (RM15,000/RM30,000) * 11.9% + (RM5,000/RM30,000) * 7%.

Expected return of the portfolio: The expected return of the portfolio is calculated by adding the risk-free rate to the risk premium of the portfolio. So, the expected return of the portfolio would be 4.5% + risk premium of the portfolio.

(b) An asset that provides the same return regardless of the economic state would have zero standard deviation (risk). Standard deviation measures the variability of returns, and if the return is constant, there is no variability or risk associated with the asset. This could be a risk-free asset such as a government bond or a fixed-rate savings account, where the return is guaranteed and does not fluctuate with market conditions.

(c) (i) To calculate the price at which the preferred stock should sell, we can use the dividend discount model. The price of the preferred stock is equal to the dividend divided by the required rate of return. In this case, the price should be RM0.75 / 0.08 = RM9.375.

(ii) The expected rate of return of the stock can be calculated by dividing the annual dividend by the price of the stock. In this case, the expected rate of return would be RM0.75 / RM7.50 = 10%.

(iii) If the required rate of return is 9.5% and the expected rate of return is 10%, it indicates that the stock's expected rate of return is higher than the required rate of return. Therefore, it may be a favorable investment decision to purchase the stock, as it offers a return higher than the required rate.

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LP Gas has a cost of equity of 16. 31 percent and a pretax cost of debt of 7. 8 percent. The debt-equity ratio is. 56 and the tax rate is 21 percent. What is the unlevered cost of capital

Answers

The unlevered cost of capital refers to the cost of capital for a company without taking into account the effects of debt. In this case, LP Gas has a cost of equity of 16.31%, a pretax cost of debt of 7.8%, a debt-equity ratio of 0.56, and a tax rate of 21%. To calculate the unlevered cost of capital, the weighted average cost of capital (WACC) formula can be used.

To calculate the unlevered cost of capital, we need to calculate the weighted average cost of capital (WACC). The WACC formula incorporates both the cost of equity and the cost of debt, taking into account their respective weights in the company's capital structure. Since we are interested in the unlevered cost of capital, we assume that the company has no debt, which means the weight of debt in the capital structure is zero. Therefore, the unlevered cost of capital is equal to the cost of equity.

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Lucky recently won $1,000,000 the Lotto 6/49 Draw. Forty-eight years old and single with no children, he has already received over 25 calls from eligible women. Lucky has given his investment options serious thought, and likes the features annuities can provide. He is in excellent health and both of his parents are still alive at age 94 and 92. Which of the following factors related to annuities would be most important to Lucky?

A. The guaranteed number of payments from the annuity

B. The rate of return he will earn within the annuity

C. Whether the annuity is based on smoker or non-smoker rates

D. Whether the annuity is a life annuity or for a term certain period

Answers

The most important factor related to annuities for Lucky would be D. Whether the annuity is a life annuity or for a term certain period.

In the Given Lucky's situation, the most important factor related to annuities would be D. Whether the annuity is a life annuity or for a term certain period.

Lucky is single with no children and in excellent health, with both of his parents alive at advanced ages. This suggests that he may have a longer life expectancy. In such a case, a life annuity would be more suitable for Lucky. A life annuity provides regular payments for the rest of the annuitant's life, ensuring a steady stream of income as long as Lucky lives. This option provides financial security and peace of mind, especially considering his excellent health and family longevity.

On the other hand, a term certain annuity would provide payments for a specified period, after which the payments would cease. Given Lucky's situation and the desire for long-term financial stability, a life annuity is likely the preferred option as it offers the potential for lifetime income.

Factors such as the guaranteed number of payments (A), rate of return (B), and smoker/non-smoker rates (C) may still be important considerations for Lucky, but given his circumstances, the longevity and assurance of income provided by a life annuity (D) would be the most critical factor for him to prioritize.

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a brokerage firm is planning to conduct its annual compliance meeting. which of the following statements concerning this activity is correct?

Answers

The correct statement concerning the brokerage firm’s annual compliance meeting is that the main answer is to inform the employees about the firm’s regulatory requirements and guidelines for conducting business.

What is a brokerage firm?

A brokerage firm is a financial institution that acts as an intermediary between the buyers and sellers of securities or other financial instruments. It also helps investors buy, sell, and trade stocks, bonds, mutual funds, and other securities.

What is an annual compliance meeting?

An annual compliance meeting is a mandatory meeting that is conducted by financial services companies, including brokerage firms, to inform their employees about regulatory requirements and guidelines for conducting business. The main purpose of the annual compliance meeting is to keep employees informed about new regulations and policies that impact their work. This helps the brokerage firm to stay compliant with relevant laws and regulations.

Therefore, the correct statement concerning the brokerage firm’s annual compliance meeting is that the main answer is to inform the employees about the firm’s regulatory requirements and guidelines for conducting business.

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What is the difference between exercising "due care" and "exercising professional skepticism?"

Requirements:

1. Answer the question in no more than 500 words.

2. be succinct.

3. Close the written assignment with a conclusion.

4. Share a list of references. Footnotes and references

Business ethics class

Answers

"Exercising due care" refers to the responsibility of professionals to perform tasks diligently, while "exercising professional skepticism" involves questioning and critically assessing information to identify potential errors or fraud.

Exercising due care implies the obligation of professionals to perform their duties with reasonable competence and diligence. It involves being thorough, accurate, and cautious in executing tasks, adhering to professional standards, and using the necessary skills and expertise required for the job. Professionals must exercise care to ensure that their work meets the expected quality and accuracy levels.

On the other hand, exercising professional skepticism goes beyond due care. It requires professionals to maintain an attitude of doubt and questioning while performing their responsibilities. Professionals with professional skepticism are vigilant and critical, continuously challenging the information and assumptions they encounter. They actively seek out inconsistencies, biases, or potential errors in financial statements, reports, or other forms of data. Professional skepticism helps professionals identify and address red flags or potential fraud, enhancing the quality and reliability of their work.

In summary, exercising due care emphasizes the diligence and competence required in performing professional tasks, while exercising professional skepticism adds an additional layer of critical thinking and questioning to identify potential errors or fraudulent activities.

Conclusion: Exercising due care and exercising professional skepticism are both important concepts in professional practice. While due care focuses on performing tasks diligently and competently, professional skepticism encourages professionals to critically assess information and question assumptions. Both concepts contribute to the integrity and quality of professional work, promoting ethical and responsible behavior in various fields.

References:

- American Institute of Certified Public Accountants (AICPA). (2012). Professional skepticism in an audit of financial statements. Retrieved from https://www.aicpa.org/interestareas/frc/assuranceadvisoryservices/aicpasasbclarityproject/auditingstandards/2012professional-skepticism/ascsection23001.html

- Association of Certified Fraud Examiners (ACFE). (2019). Professional skepticism: The key to fraud prevention. Retrieved from https://www.acfe.com/uploadedFiles/ACFE_Website/Content/education-center/annual-fraud-conference/2019/docs/fraud-conf-2019-professional-skepticism-key-fraud-prevention.pdf

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You work in a non-unionized environment. A manager comes to you and tells you, as the HR Manager, that one of his employees needs a raise. You ask him why he says that. He says that he was on the evening shift last night and this employee pulled him aside to say that he is a very good worker and that he deserves a raise. You know that this employee is confident and even can be charming. Will you process a raise? - When thinking about this conversation what are some of the considerations that come to your mind? - What do you do next?

Answers

When thinking about the conversation of a manager asking for a raise for an employee in a non-unionized environment, there are several considerations that come to mind. Some of the considerations are as follows:

Policy: What does the company policy say about raises?

Salary Range: Is the employee being paid in the same salary range as others with similar qualifications and experience?

Performance: Has the employee’s performance been consistently good? If so, how has it contributed to the company’s growth?

Budget: What is the current budget for salary raises? How will a raise for this employee affect other employees and the company's bottom line?


Based on these considerations, the HR Manager should evaluate whether the employee is truly deserving of a raise. If the manager simply requests a raise based on one conversation with the employee and nothing more, it is important to investigate further to get a complete picture of the employee's performance and contribution to the organization.

What do you do next?

The HR Manager should investigate further to get a complete picture of the employee's performance and contribution to the organization before processing the raise. A meeting with the employee is appropriate to discuss their performance, future goals, and how they can contribute more to the company's growth. This discussion will help the HR Manager make an informed decision regarding the raise for the employee.


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which of the following goods probably has the highest price elasticity of supply? a) antique chairs b) baseball stadiums c) golf courses d) blue pencils

Answers

Out of the given goods probably the highest price elasticity of supply is for Antique chairs(a).

Goods that have a higher elasticity of supply are the ones whose supply tends to be more sensitive to price changes. The higher the availability of raw materials and the more time a producer has to adjust to price changes, the greater the price elasticity of supply. Generally, goods that have a higher price elasticity of supply include non-essential items, luxury goods, and specialty goods.

Antique chairs are most likely to have the highest price elasticity of supply. This is because antique chairs are made of unique and scarce materials. Hence, the production of antique chairs is more likely to be sensitive to price changes because the materials used to make them are not readily available.

Therefore, the supply of antique chairs is most likely to be highly responsive to any changes in price, making it the most elastic of the options given.

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The annual interest rate is \( 3 \% \). What is the present value (PV) of \( \$ 1,000 \) that you'll receive in 18 years?

Answers

The present value of receiving $1,000 in 18 years with an annual interest rate of 3% is approximately $625.04.

To calculate the present value (PV) of $1,000 that you'll receive in 18 years with an annual interest rate of 3%, we can use the formula for present value of a future amount:

PV = FV / (1 + r)^n

In this case:

FV = $1,000

r = 0.03 (3% annual interest rate)

n = 18 years

Let's calculate the present value:

PV = $1,000 / (1 + 0.03)^18

PV = $1,000 / (1.03)^18

PV = $1,000 / 1.600782079

Using a calculator, we find that:

PV ≈ $625.04

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How can a brand succeed if it has some perceived points of weakness in terms of competitive parity?

If it can "break even" in those disadvantageous areas and achieve advantages in other areas

If it ignores those weakness to avoid bringing attention to them.

If it can convince consumers those weaknesses don't matter

If it can show that competitors have weaknesses, too

If it can explain to consumers that they have misunderstood the product

Answers

A brand succeed if it has some perceived points of weakness in terms of competitive parity if "it can "break even" in those disadvantageous areas and achieve advantages in other areas".

How to strengthen a brand

To strengthen a brand  -

1. Define a clear brand identity and positioning.

2. Consistently deliver on brand promises.

3. Build strong relationships with customers through exceptional experiences.

4. Invest in brand marketing and communication.

5. Adapt and innovate to stay relevant.

6. Monitor and respond to customer feedback.

7. Foster brand loyalty and advocacy.

8. Continuously improve products and services.

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Please explain why China has not ratified all eight core and
fundamental labor agreements of the International Labour
Organization (ILO).

Answers

China has not ratified all eight core and fundamental labor agreements of the ILO due to concerns regarding its domestic policies, economic model, and potential impact on its state-owned enterprises and overall stability.

China has not ratified all eight core and fundamental labor agreements of the International Labour Organization (ILO) primarily due to concerns related to its domestic policies and economic model. China's economic development has been characterized by a focus on export-led manufacturing and maintaining a competitive advantage in global markets.

Ratifying all ILO agreements, particularly those related to workers' rights and freedom of association, could require significant changes to China's labor laws and industrial relations practices. Additionally, the Chinese government may have reservations about the potential impact of these agreements on its state-owned enterprises and the overall stability of its economy.

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