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Net cash flow from operating activities for 2021 for Oriole Company was $500000. The following items are reported on the financial statements for 2021: Depreciation

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Net cash flow from operating activities for 2021 for Oriole Company was $500000. The following items are reported on the financial statements for 2021: Depreciation and amortization Cash dividends paid on common stock Increase in accounts receivable $ 29200 18400 36700 Based only on the information above, Oriole's net income for 2021 was: 3492500 $444900 5434100 $507500

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