The correct procedure would be to debit cash over and short for the difference of $43.
A debit is an accounting transaction that lowers liabilities or increases assets.All debits are made on the left side of the ledger in double-entry bookkeeping, and these debits must be balanced by corresponding credits on the right side of the ledger.A balance sheet credits negative balances and debits positive values for assets and expenses.In a typical journal entry, all debits are listed on the top lines, followed by all credits on the line below the debits. A debit is on the left side of the chart when using T-accounts, and a credit is on the right. The trial balance and adjusted trial balance both use debits and credits to make sure that all entries balance.Learn more about Debit, here
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for the monopoly, economic profits cannot persist in the long run, because the entry of new firms is inhibited. true false
It is TRUE that, For the monopoly, economic profits cannot persist in the long run, because the entry of new firms is inhibited.
A market structure that is characterized by a single seller offering a distinct product. In a monopoly market, there is no competition for the seller because there is no other close substitute for the goods he is selling.
In a market with a monopoly, an entity becomes the sole seller of goods due to elements like a government license, resource ownership, copyright, and patent protection, as well as high starting costs. All of these factors prevent other sellers from entering the market. Monopolies also have access to information that is not shared by competing sellers.
Due to the characteristics of a monopoly market, the sole seller controls the market and sets the prices. He takes pleasure in having control over the price of his goods.
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what is the number of shares that would be repurchased (if the current market price is $50) in the repurchased scenario? what is the dividend per share that could be paid in the dividend scenario? (0.4 points)
The current market on any given day can be determined by looking at the most recent market close and checking stock prices of various companies.
What does Current market mean?
The current market refers to the current state of a market, which includes stock, bond, commodity, and other financial instrument prices. It also includes "market sentiment," which is the collective view of buyers and sellers on the future direction of prices.
What is the number of shares that would be repurchased (if the current market price is $50) in the repurchased scenario?
In the repurchase scenario, the number of shares that would be repurchased is equal to the total dollar amount of the repurchase ($4,100,000,000) divided by the current market price of the shares ($50). This would result in 82,000,000 shares being repurchased.
What is the dividend per share that could be paid in the dividend scenario?
In the dividend scenario, the dividend per share that could be paid would be equal to the total dollar amount of the dividend ($4,100,000,000) divided by the total number of outstanding shares ( 82,000,000 ). This would result in a dividend per share of $50.
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Which of the following is normally not one of the traditional components of the triple constraint? A. Within time B. Within cost C. Within performance (Scope, technology or quality) D. Accepted by the customer
Out of the choices provided above, being accepted by the customer is normally not one of the traditional components of the triple constraints. Therefore, the option D holds true.
The triple constraints can be referred to or considered as the phenomenon, which is used for the representation of the productivity capacity of a project. The productivity and the capacity of the project depends mainly upon three factors, i.e., within time; within cost; and within performance. It does not take into account, the nature of the consumers in the market.
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nu company reported the following pretax data for its first year of operations. net sales 2,820 cost of goods available for sale 2,420 operating expenses 820 effective tax rate 20 % ending inventories: if lifo is elected 840 if fifo is elected 1,130 what is nu's net income if it elects lifo?
Nu's net income if it elects lifo is $552 if lifo is elected 840 if fifo is elected 1,130.
Calculating the problem:If Nu elects FIFO, we have:
Cost of good sold = Cost of goods available for sale - Ending inventories
= 2,420 - 1,130
= $1,230
Gross profit = Net sales - Cost of good sold
= 2,820 - 1,290
= $1,530
Net operating income = Gross profit - Operating expenses
= 1,530 - 840
= $690
Tax = $690 × 20% = $138
Net income = $690 - $138
= $552
Operating Income:
Operating profit refers to the company's adjusted earnings after deducting all operating expenses and depreciation. Operating expenses or operating expenses are simply the costs incurred to keep a business running.
Is operating income the same as sales?Operating profit is not the same as operating profit. Operating income is the gross cash inflow from primary income-generating activities. Business income is the income after deducting business expenses.
What are good operating income ?A high operating profit margin indicates that the company is making enough money to pay for all the associated expenses necessary to sustain its business. An operating margin of 15% or higher is considered good for most companies.
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wookie company issues 6%, five-year bonds, on january 1 of this year, with a par value of $107,000 and semiannual interest payments. semiannual period-end unamortized premium carrying value (0) january 1, issuance $ 8,251 $ 115,251 (1) june 30, first payment 7,426 114,426 (2) december 31, second payment 6,601 113,601 use the above straight-line bond amortization table and prepare journal entries for the following. (a) the issuance of bonds on january 1. (b) the first interest payment on june 30. (c) the second interest payment on december 31.
Bond premium per year = $1630.20
Bond premium per 6 months = $815
What is Bond premium?If the bond's purchasing price exceeds its face value, a taxpayer must pay a premium. The premium is the discrepancy between the face value and the purchasing price. Taxpayers who pay premiums for bonds may, and in certain situations, are required to, amortize those premiums.
Date General Journal Debit Credit
01-jan cash $115,251
Premium on bonds payable $8,251
Bonds payable $107,000
(to record issuance)
30-jun Internet expense $2,385
Premium on Bonds payable
($8251-7426) $825
Cash ($107000*6%*6/12) $3210
(to record #1 interest)
31-Dec Interest Expense $2385
Premium Bonds payable
($7426-6601) $825
Cash($107000*6%*6/12) $3210
(to record #2 interest)
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what is the benefit of including ad extensions in your search ads? take up more space in the serps improve click-through rate provide more value to potential customers all of the above
Ad extensions are an important aspect of optimizing your paid search advertising and can help with ad rank.
These extensions allow you to add additional bits of information to your adverts, which then gives searchers more to read and more reasons to choose your product or service. Ad extensions are an important aspect of optimizing your paid search advertising and can help with ad rank. These extensions allow you to add additional bits of information to your adverts, which then gives searchers more to read and more reasons to choose your product or service.
You can raise your ad rank and outrank your competition if your ad has the same CPC (cost per click) bid and quality score as theirs. Extensions can assist raise your CTR (click through rate) (click through rate). More clicks means more traffic to your site.
Ad Extensions are additional pieces of information that expand your advertisement to make it more useful to users. Ad extensions typically include telephone numbers, additional links from your website, seller reviews.
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the dual price measures, per unit increase in the right hand side of the constraint,
The dual price measures, per unit increase in the right-hand side of the constraint the change in the value of the optimal solution.
optimal solutionThe best option for a corporation to solve a problem or achieve its goals is referred to as the optimum solution. The phrase is often used in business. However, it can also be used in economics, military strategy, mathematics, and other situations. It is a different approach that yields the best results in a given situation.
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the current yield on a bond is the yearly interest of the bond divided by the cost of the bond at closing. group startstrue or false
the current yield on a bond is the yearly interest of the bond divided by the cost of the bond at closing. group starts. It is False.
Bonds are investment securities where an investor lends money to a company or a government for a set period of time, in exchange for regular interest payments. Once the bond reaches its maturity, the bond issuer returns the investor's money.
The current yield on a bond is the yearly interest of the bond divided by the price of its bond. Current Yield is the annual interest divided by the market price of a bond.
Therefore, the statement is False.
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in order to measure the output of a job position, the necessary inputs (raw materials, human resources, and equipment) are required to complete the activity needed. in her new role, which equipment will be needed for ayanna to effectively complete the tasks, duties, and responsibilities of this position?
Patient information system equipment will be needed for Ayanna to effectively complete the tasks, duties, and responsibilities of this position.
What information from the list below is mentioned in a job description?A work specification is a written description of the educational requirements, particular attributes, amount of experience, physical, emotional, technical, and communication skills necessary to fulfill the duties of the job, as well as any distinctive sensory demands.
The job title, FLSA status, and date are all listed in the job identification part of a job description. The components of a job's overview describe its primary responsibilities and tasks. One component of a job description is dedicated to the standards of performance.
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worker on worker workplace violence accounts for about 7 percent of cases, yet they receive the most press coverage. why is that?
It often makes news headlines because it happens so infrequently. Most acts of violence among workers involve injuries and beyond, and the media likes to cover that sort of thing.
Who commits the most violence in the workplace?Customers or clients are responsible for most incidents of workplace violence - about 40%. This group includes a wide range of people, including current and former customers, patients, customers, passengers, criminal suspects, inmates, and inmates. Their violent motives also vary widely.
What are the most common causes of workplace violence?Studies have identified factors that may increase the risk of violence for some workers in certain workplaces. These factors include exchanging money with the masses and working with fickle and insecure people. Working alone or in remote locations can also foster the potential for violence. Companies that do not conduct thorough background checks on potential employees are prone to violence or risk hiring someone with a history of violence.
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on december 1, 20x4, line corp. received a donation of 2,000 shares of its $5 par value common stock from a stockholder. on that date, the stock's market value was $35 per share. the stock was originally issued for $25 per share. by what amount would this donation cause total stockholders' equity to decrease? $70,000 $50,000 $20,000 $0
Amount would this donation cause total stockholders' equity to decrease is $0
Option D is correct.
Donated shares are treated like treasury shares. Treasury stock and earnings or earnings accounts increase the value of the stock market. An increase in treasury stock will reduce shareholders' equity, but conversely, profits and earnings will increase shareholders' equity.
What is market value?
The market value reflects a company's worth in terms of the stock market. It is the price an asset would get in the marketplace. When referring to businesses, market value and market capitalization are equivalent. It is a sum of money calculated using the share price of the company as of the current trading day.
What are the price and market value?There are two types of price viz. cost price and the market price. The cost price is the price at which you procure the stock while the market price is what the stock is currently quoting at in the current market. Typically, estimates of value are used to calculate the difference between cost price and market price.
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push or pull? choosing channel strategies marketing channels make possible the flow of products and services from a manufacturer, through intermediaries, to a buyer. achieving control of the channel is often challenging for the manufacturer, and promotional strategies are frequently used to move products through the channel of distribution. it is at this juncture that manufacturers must decide whether to use a push strategy, a pull strategy, or a combination of both in its channels of distribution. with a push strategy, manufacturers direct the promotional mix to channel members, such as wholesalers and retailers, to gain cooperation in ordering and stocking its products. as a result of the manufacturers' promotional efforts, intermediaries make products available for purchase by consumers. with a pull strategy, manufacturers direct the promotional mix to consumers, primarily in the form of advertising. in turn, consumers stimulate demand through the intermediaries back to the manufacturer. this activity is important because manufacturer marketing managers want to gain control of their distribution channels, which is often very challenging. promotional activities can be helpful in moving a product through channels of distribution. manufacturer marketing managers need to decide whether to use push or pull strategies (or both) in their channels of distribution.
Wholesalers, retailers, distributors, as well as the Internet are examples of distribution channels. The company sells directly to the customer through a direct distribution channel.
What are channel strategies in marketing?A marketing channel strategy outlines how a business will use multiple marketing channels to connect with customers. Choosing which channels to employ, assigning resources to each channel, and defining goals are all part of this strategy. As a result, market segmentation may be part of a channel strategy. Before the item reaches the customer, a number of intermediaries are utilized through detours.
For instance, a vendor could reserve small and midsize firms for its channel partners while focusing primarily on large organizations with its direct sales staff. Product, pricing, placement, and promotion make up the four Ps. They serve as an illustration of a "marketing mix," or the collection of techniques and tactics employed by marketers to accomplish their marketing goals. A vendor's plan to transfer a good or service via a chain of commerce to the final consumer is referred to as a channel strategy.
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what is the primary difference between international trade transactions and international asset transactions? multiple choice question. trade transactions involve large quantities of wholesale goods, while asset transactions involve individual retail quantities. trade transactions involve goods and services, while asset transactions involve the transfer of property rights. trade transactions are controlled by the government, while asset transactions are governed by the free market. trade transactions involve more than two countries, while asset transactions involve a single buyer and a single seller.
The primary difference between international trade transactions and international asset transactions is trade transactions involve goods and services, while asset transactions involve the transfer of property rights.
Global trade, financial transactions which might be made among nations. the various gadgets commonly traded are patron items, which include tv units and apparel; capital goods, which include equipment; and uncooked materials and food.
nearly every kind of product can be observed inside the worldwide marketplace, for example, meals, clothes, spare components, oil, jewelry, wine, stocks, currencies, and water. offerings are also traded, including in tourism, banking, consulting, and transportation. The five principal motives worldwide alternate takes region are differences in generation, differences in aid endowments, variations in demand, the presence of economies of scale, and the presence of government guidelines.
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A student who just graduated from college but has not found a job would most likely be
frictionally unemployed.
structurally unemployed.
cyclically unemployed.
core unemployed.
A recent college graduate who hasn't secured employment is most likely frictionally unemployed.
While structural unemployment might endure for years, frictional unemployed is often a transient phenomena. While frictional unemployment is viewed as unavoidable and given less weight in the unemployment rate, frictionally unemployed is particularly troubling to economists. Until they land their first job after graduating from high school or college, they are officially "unemployed." People leave their jobs in search of better ones, which leaves them jobless in the meantime. People don't accept the first job that is offered to them because they believe they will later find a better one.
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as measured by the amount of time spent in recession, the 1983-2019 period was a. characterized by 4 downturns and 65 months of recession. b. the second most unstable 37-year period in american history. c. characterized by 2 downturns and 72 months of recession. d. the most stable era in american history.
The years 1983 to 2019 were the most stable in American history, according to the length of time the country spent in a recession.
What is recession?When there is a general fall in economic activity, there is a recession, which is a business cycle contraction. Typically, recessions begin when spending declines sharply across the board (an adverse demand shock). A financial crisis, a shock to global trade, a poor supply shock, the deflation of an economic bubble, or a big anthropogenic or natural calamity are a few potential causes (e.g. a pandemic).
According to the definition of a recession, it is "a significant decline in economic activity across the market, lasting more than a few months, often apparent in real GDP, real income, employment, industrial production, and, and financial sector activity, and wholesale-retail sales" in the United States. A similar concept has been accepted by the European Union.
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one profit-enhancing strategic approach a company can use to adjust to favorable and unfavorable exchange rate adjustments to its total production costs stemming from shipping footwear from production facilities in one geographic region to distribution warehouses in another region is to
one profit-enhancing strategic approach a company can use to adjust to favorable and unfavorable exchange rate to distribution warehouses in another region is to adjust the company's marketing and pricing.
The exchange rate is the price in which the one currency is expressed in terms of the another currency.
The exchange rate adjustments to its total production costs stemming from shipping footwear from production facilities in one geographic region to distribution warehouses in another region is to marketing and pricing.
The marketing is the activity or business of promoting and selling of goods and services according to the geographic region. The marketing include market research and advertising.
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some nations make manufacturers responsible for reducing e-waste. companies must recover used and discarded electronic equipment that they sell to customers. do you think this is a good idea?
It is a very good idea if a nations make manufacturers responsible for reducing e-waste, companies must recover used and discarded electronic equipment that they sell to customers.
What is e-waste?Electronic items that are nearing the end of their "useful life" are sometimes referred to as "e-waste." Common electronic products include computers, televisions, VCRs, stereos, copiers, and fax machines. Numerous of these items can be recycled, repaired, or reused. Electronic garbage, sometimes known as e-waste, refers to outdated electrical or electronic equipment. E-waste includes used electronics that are intended for recycling through material recovery, refurbishment, reuse, resale, or disposal. Because the parts used to build gadgets like laptops, cell phones, and televisions include metals and compounds known to be harmful to human health, e-waste is dangerous. Children frequently work, reside, and play in or close to e-waste recycling facilities, making them particularly susceptible to the effects of e-waste.
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when companies employ a multinational pricing policy that calls for setting different prices in different country markets. a) ethnocentric b) polycentric c) regiocentric d) geocentric e) extension
When companies employ a b) polycentric multinational pricing policy that calls for setting different prices in different country markets.
A pricing coverage is a company's technique to figuring out the charge at which it offers a terrific or provider to the marketplace. Pricing policies help groups ensure they continue to be worthwhile and provide them the flexibility to charge separate products in another way.
Pricing technique is exercised to alter the value of the producer's offerings appropriate to each producer and the customer. The pricing relies upon at the agency's average prices, and the customer's perceived value of an object, in comparison to the perceived value of competitors' product.
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Stock that was reacquired by the company and is still held by the issuing corporation is called:
Capital stock
Treasury stock
Redeemed stock
Callable stock
Preferred stock
The treasury stock can be called as the stock that was reacquired by the company and is still held by the issuing corporation. Therefore, the option B holds true.
The treasury stock can be referred to or considered as the stock units available within the share of an organization as a result of the retained holding within the internal shareholders of the company. Such stock is re-purchased from the general public, and continues to be the forming part of the equity capital of the company. Therefore, the significance regarding the same has been aforementioned.
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a company adopting a(n) approach to worldwide pr activities gives the host-country practitioner maximum leeway to incorporate local customs and practices into the pr effort. a) ethnocentric b) regiocentric c) local d) polycentric e) publicity
A company adopting a D) polycentric approach to worldwide pr activities gives the host-country practitioner maximum leeway to incorporate local customs and practices into the pr effort.
The polycentric technique is a hiring and staffing technique in which global subsidiaries of a rustic discover crew contributors from the host us of a, in preference to from the determined company's region. this could help subsidiaries better apprehend local wishes and operate within a selected network.
The polycentric method of recruitment means that we lease locals to fill our positions in a host USA. For instance, we should advertise on local activity forums or create a contract with a local recruitment organization.
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taco bell performs a pestel analysis and finds that an important sociocultural trend in the key group of 20-29 year old customers are very likely to care about the environment and their impact on it. to best capitalize on this trend, taco bell could:
Introduce “Zero Environmental Impact” burritos. The correct answer is option (b).
What is Zero Environmental Impact?Introduce burritos with "Zero Environmental Impact" Because Taco Bell should consider adding new items to their menu that have zero environmental impact, zero impact tends to imply decreasing the effect on the environment if they conduct a Pestel analysis and discover that the sociocultural trend has a significant impact on customers who are in the age range of 20 to 29 years.
Similar to eco-accommodating, but with a stronger focus on reducing the use of nature's resources. Making as little trash as is realistically possible (also known as "zero waste") will give consumers the impression that the business cares about them and the environment in which they live, which will progressively increase sales.
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The full question is,
Taco Bell performs a PESTEL analysis and finds that an important sociocultural trend in the key group of 20-29 year old customers are very likely to care about the environment and their impact on it. To best capitalize on this trend, Taco Bell could:
Group of answer choices
a). Lobby congress for more stringent environmental guidelines
b). Introduce “Zero Environmental Impact” burritos
c). Add French fries to the menu
d). Limit the number of hot sauce packets customers can take
waterway and crede, cpas, are preparing their service revenue (sales) budget for the coming year (2022). the practice is divided into three departments: auditing, tax, and consulting. billable hours for each department, by quarter, are provided below. department quarter 1 quarter 2 quarter 3 quarter 4 auditing 2,390 1,610 2,040 2,470 tax 3,060 2,200 2,040 2.550 consulting 1,530 1,530 1.530 1.530 average hourly billing rates are auditing $70, tax $80, and consulting $100. prepare the service revenue (sales) budget for 2022 by listing the departments and showing for each quarter and the year in total, billable hours, billable rate, and total revenue.
The practice is divided into three departments: auditing, tax, and consulting. Billable hours for each department, by quarter.
What exactly is tax?A tax is a compulsory fee or financial charge imposed by a government on a person or an entity in order to raise money for public works projects that provide the greatest infrastructure and facilities. Afterward, several public expenditure projects are funded using the funds obtained.
How come it's called tax?It comes from the Latin word taxare, which meaning "to evaluate." The related word "task," which comes from Old French, was previously used in English. For a while, the words "task" and "tax," the first needing labor and the second money, were both often used. The term "tax" later came to indicate something difficult or tiresome.
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Which of the following is a taxable event for imported goods?
(A) Unloading of imported goods at the customs port
(B) Date of entry into Indian territorial waters
(C) Date of presentation of bill of entry (D) Date on which the goods cross the customs barrier Ans.
(D) Date on which the goods cross the customs barrier
The movement of goods through Indian territorial waters is a taxable person for exports. The value of imports or exported products shall be determined by reference to transaction amount at the time and location of importation.
What exactly are territorial waters?
Any body of water that a sovereign state has control over, including maritime areas, the federal sea, coastal contiguous zone, and maybe the extended continental shelf, is referred to as territorial waters.
What does territorial water mean?
A coastal State's territorial sea stretches outward up to a distance of twelve miles out of its base. The coastal State has complete authority out over atmosphere above the sea, as well as the seabed and subsoil, within this zone.
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kreston co. has listed the following information on their statement of cash flows: salaries paid: $45,000 utilities paid: $7,000 cash from customers: $68,000 based on this information, what is the net cash from operations?
The Net cash from operations with salaries paid: $45,000, utilities paid: $7,000 and cash from customers: $68,000 is $16,000. So, option (D) will be regarded as suitable.
Write a short note on Net Cash.A company's financial statements will disclose a sum known as net cash. It is computed by deducting the total liabilities of a corporation from its total cash. Net cash can also mean the amount of cash that is still available after a transaction has been completed and all related costs and deductions have been taken into account. Net cash is a metric for evaluating a company's liquidity, or its ability to pay its debts on time, similar to the current ratio. An organization's financial commitments may take the form of investment activity, loan payments, or regular operating costs.
You must first sum up all cash (not credit) receipts for a period in order to determine net cash. Gross cash is a common term used to describe this sum. Gross cash is summed, cash paid for obligations and liabilities is subtracted, and the remaining amount is net cash.
To solve the question :
The net cash from operations :
= Cash from customer - ( salaries paid + utilities paid)
= $68,000 - ( $45,000 + $7,000)
= $16,000.
So, option (D) is relevant.
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The complete question is mentioned below :
Kreston Co. has listed the following information on their statement of cash flows:
Salaries paid: $45,000
Utilities paid: $7,000
Cash from customers: $68,000
Based on this information, what is the net cash from operations?
A : $23,000
B : $120,000
C : $32,000
D : $16,000
which of the following is the difference between the net present value (npv) method and the internal rate of return (irr) method of capital budgeting? a.npv assumes that each cash inflow received is reinvested at the required rate of return, whereas the irr assumes that each cash inflow is reinvested at the computed irr. b.npv considers the time value of money and irr does not. c.irr is used for choosing among mutually exclusive projects, and npv is not used for this purpose. d.npv measures profitability in relative terms, whereas irr measures profitability in absolute terms.
NPV measures profitability in relative terms, whereas irr measures profitability in absolute terms is the difference between the net present value (npv) method and the internal rate of return (irr) method of capital budgeting.
What are the main differences between the NPV method and the IRR?The current value of a future sum of money that has been discounted by a rate of return is called the present value. It informs you of the amount you'd have to put in today in order to earn a particular sum tomorrow. The difference between the present value of cash inflows and outflows over time is called net present value.
The difference between the current value of cash inflows and withdrawals over a period of time is known as net present value (NPV). The internal rate of return (IRR), on the other hand, is a formula used to determine the profitability of possible investments.
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the following is cost information for the creamy crisp donut company: entrepreneur's potential earnings as a salaried worker
Entrepreneur's potential earnings as a salaried worker is $286,000.
How does this occur?
In addition to giving you more financial freedom, increasing your earning potential will provide you the chance to better plan your budget and prepare for significant life expenditures like a home, your children's college expenses, or storing money in a savings account for emergencies.Let's start with the definition of your earning potential (income potential): this is the sum of money you should be able to accumulate over the course of a certain period of time. In other words, this is a reference to your potential for financial gain. Earning potentials are often determined by the highest wage in a given industry or profession.To know more about Earnings here
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The following is cost information for the Creamy Crisp Donut Company:
Entrepreneur's potential earnings as a salaried worker = $50,000
Annual lease on building = $22,000
Annual revenue from operations = $380,000
Payments to workers = $120,000
Utilities (electricity, water, disposal) costs = $8,000
Value of entrepreneur's talent in the next best entrepreneurial activity = $80,000
Entrepreneur's forgone interest on personal funds used to finance the business = $6,000
Refer to the data. Creamy Crisp's total economic costs are:
$286,000
The following is cost information for the Creamy Crisp Donut Company:
Entrepreneur's potential earnings as a salaried worker = $50,000
Annual lease on building = $22,000
Annual revenue from operations = $380,000
Payments to workers = $120,000
Utilities (electricity, water, disposal) costs = $8,000
Value of entrepreneur's talent in the next best entrepreneurial activity = $80,000
Entrepreneur's forgone interest on personal funds used to finance the business = $6,000
Refer to the data. Creamy Crisp's total revenues exceed its total costs including a normal profit by
if one of the goals of project management is altered to be more aggressive on a specific project without changing either of the others, what happens to project risk?
There is not enough information to determine the effect on risk. Only one of goals of project management. we get information regarding the project if we get information regarding another project risk too. So option a is correct.
management includes the sports of putting the strategy of an corporation and coordinating the efforts of its employees (or of volunteers) to perform its targets through the application of to be had resources, which includes economic, herbal, technological, and human assets. "Run the commercial enterprise"[1] and "trade the commercial enterprise" are concepts that are used in management to distinguish among the continued transport of goods or offerings and adapting of goods or services to meet the changing needs of customers - see fashion. The time period "management" can also consult with the ones folks who manipulate an organization—managers.
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Which of the following is considered to be a relatively weak tool of monetary policy? O A. quantitative easing B. altering the discount rate C. reserve requirements O D. reducing the money supply
Altering the discount rate (B) can be considered to be a relatively weak tool of monetary policy.
Monetary policy is a set of tools made by a nation's central bank to promote sustainable economic growth through controlling the overall money supply available to the nation's bank, its consumers, and business. Monetary policy allows the central bank to control the amount of money supply in the market and economy.
Let's discuss every option we have.
Quantitative Easing or QE is a monetary policy where the central bank purchased as many as possible securities on the open market to achieve a desired outcome. Quantitative easing creates new bank reserves and providing bank with more liquidity. QE encourage bank to do more lending and investment. The central bank will implement QE when the economic growth of a country is stalled.
Altering the discount rate happens when the central bank decides to change the discount rate charge to the banks. Discount rate is the interest rate set by the central bank on loans extended by the central bank to other banks. However altering discount rate will not directly affect the money supply in the economy. Because the bank will only borrow money on discount rate from the central bank if they are unable to keep their reserve requirements after trying to borrow from other banks, which has lower interest rate than the discount rate.
Reserve requirements are the amount of cash that banks must keep on their account to ensure the banks' liquidity. Reserve requirements ensures that the bank is able to meet its liabilities in casse of sudden withdrawals. Reserve requirements will direcly affect the amount of lending the banks can provide to the market. This policy will affect the amount of money supply in the economy directly.
Reducing the money supply cannot be considered as a monetary policy tool. Reducing the money supply is one of the monetary policy objectives. The central bank may have 3 kind of objectives when making monetary policy:
To increase the money supply to encourage more spending in the economyTo decrease the money supply to decrease the inflationTo maintain the money supply to avoid further raised or overinflationLearn more about Monetary Policy here: https://brainly.com/question/28038989
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When a buyer returns merchandise purchased for cash, the buyer will record the transaction as a 1 debit to Merchandise Inventory and a credit to Cash 2 debit to Cash and a credit to Merchandise Inventory 3 debit to Cash and a credit to Sales 4 debit to Sales and a credit to Accounts Payable
Option 2, When a buyer returns merchandise purchased for cash, the buyer will record the transaction as a debit to Cash and a credit to Merchandise Inventory.
When goods are returned, the accounts receivable or cash account is credited to repay cash or lower what the buyer owes, and the sales returns and allowances account is debited to reduce sales. The accounts involved in the transaction are the purchases account and the cash account if goods are paid for in cash. It debits the purchases account and credits the cash account. The cash account and buyer sales account are the accounts involved in a transaction when goods are sold for cash. It debits the cash account and credits the sales account.
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An activity that has a direct cause-effect relationship with the resources consumed is atn) cost driver overhead rate cost pool Oproduct activity
Atn) cost driver overhead rate cost pool Oproduct activity is one that has a direct causal connection to the resources used. cost Driver refers to the activity that causes a change in the cost.
Your cost drivers are all the things you do that you have to pay for in order to produce your product. Your cost drivers are separated into groupings of associated costs by your cost pools.
A causative factor, commonly referred to as an activity cost driver, affects how much an activity costs. A change in the price of warehousing or the volume of output are two examples.
The direct reason of a cost is known as a cost driver, and it has an impact on the overall cost incurred. For instance, the number of units consumed determines the total electricity bill if you need to calculate how much electricity was used during a specific time period.
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