after two or three years of making loan payments on a new car, the balance owed is greater than the value of the car, which is a situation referred to as upside-down. group of answer choices true false

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Answer 1

The given statement is true because After two or three years of making loan payments on a new car, it is common for the balance owed on the car loan to be greater than the value of the car.

There are several factors that contribute to this situation. Firstly, new cars typically experience rapid depreciation in their early years of ownership. As soon as a car is driven off the lot, its value begins to decline. However, the loan balance takes longer to decrease due to interest and the amortization schedule.

Additionally, if a large down payment was not made or if the loan term is long, it can further contribute to being upside-down on the car loan. High interest rates, fees, and negative equity carried over from a previous car loan can also exacerbate the situation.

Being upside-down on a car loan can have financial implications. If the car is sold or involved in an accident, the insurance payout may not be sufficient to cover the remaining loan balance, leaving the borrower responsible for the difference.

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Related Questions

a material weakness in internal control represents a control deficiency thatgroup of answer choicesmore than remotely adversely affects a company's ability to initiate, authorize, record, process or report external financial statements reliably.results in a reasonable possibility that internal control will not prevent or detect material financial statement misstatements.exists because a necessary control is missing or not properly designed.reduces the efficiency and effectiveness of the entity's operations.

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A material weakness in internal control is a control deficiency that has a significant impact on a company's ability to initiate, authorize, record, process, or report external financial statements reliably.

This deficiency results in a reasonable possibility that internal control will not prevent or detect material financial statement misstatements.

Material weaknesses exist because a necessary control is missing or not properly designed.

When a company has a material weakness in internal control, it reduces the efficiency and effectiveness of the entity's operations, and it can create a higher risk of fraud, errors, and financial statement misstatements.

Resolving material weaknesses in internal control is essential to maintain the integrity of financial reporting, comply with regulatory requirements, and improve the overall performance of the organization.

It is critical for management and auditors to identify and assess the significance of material weaknesses in internal control and take prompt corrective actions to address them.

In summary, a material weakness in internal control represents a significant risk to the reliability and accuracy of financial reporting, and it requires a long answer to explain its implications and importance.

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Which of the following is not a disclosure that should be part of a partnership agreement?
A. The way profits will be divided among partners.
B. The list of personal assets of each partner.
C. The specific responsibilities of each partner.
D. The salaries and drawing accounts of each partner.

Answers

Option B, the list of personal assets of each partner, is not a disclosure that should be a part of a partnership agreement.

A partnership agreement is a legal document that outlines the terms and conditions of a partnership. It should include the way profits will be divided among partners, the specific responsibilities of each partner, and the salaries and drawing accounts of each partner.

These disclosures are essential to avoid misunderstandings and conflicts among partners. However, personal assets are not relevant to the functioning of the partnership, and therefore, do not need to be disclosed in the agreement.

The partnership agreement should instead focus on the business assets and liabilities, capital contributions, and decision-making processes of the partnership. It is important for partners to discuss and agree upon these terms before starting a partnership to ensure a smooth and successful partnership.

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what is the fundamental difference between a fixed-price and a cost-plus contract?

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The fundamental difference between a fixed-price and a cost-plus contract is how the price is determined and how the risk is allocated between the parties involved.

In a fixed-price contract, the price for the goods or services to be provided is agreed upon in advance and is typically based on the seller's estimate of the cost to produce the goods or provide the services, plus a profit margin. The buyer agrees to pay the fixed price, regardless of any cost overruns or changes in the seller's cost structure. The risk of any cost increases or delays in the project completion is borne by the seller.

In contrast, in a cost-plus contract, the buyer agrees to pay the seller for the actual costs incurred in producing the goods or providing the services, plus an agreed-upon profit margin. The seller is responsible for providing documentation of the actual costs incurred, and the buyer typically has the right to audit those costs. The risk of any cost increases or delays in the project completion is borne by the buyer.

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the factor of the internal rate of return is 5.033 for a project lasting 7 years. the internal rate of return is

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The IRR ( internal rate of return) of the project is 12.20%.  

The amount of discount that reduces the net present value of a project by one is known as the inner rate of interest (IRR). You must determine the discount rate that causes the NPV of the initiative to equal zero in order to compute the IRR for an initiative with a starting cost of 10,000 and an anticipated net financial return of 5,000 per year for seven years.

The formula for NPV is:

NPV =[tex](CF1 / (1 + IRR)^1) + (CF2 / (1 + IRR)^2) + ... + (CFn / (1 + IRR)^n)[/tex] - Initial investment

here CF1, CF2, ... CFn are the cash flows and n is the number of years in the project.

The formula for IRR is:

IRR = -1 / (ln(1 + NPV))

Where NPV is the present value of the cash flows.

Using the formula for IRR, you can find the discount rate that makes the NPV of the project equal to zero.

IRR = -1 / (ln(1 + 5033 * (5000 - 10000 / [tex](7 * 1 + 1))^7))[/tex]

IRR = -1 / (ln(1 + 5033 * 3125))

IRR = 12.20%

Therefore, the IRR of the project is 12.20%.  

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Correct Question:

The factor of the internal rate of return is 5.033 for a project lasting 7 years. the internal rate of return is ______%.

brandon orally assigned his right to $100 to will as a gift. this assignment is:

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The assignment is valid but unenforceable. In general, assignments can be made in writing or orally. However, certain types of contracts, such as contracts for the sale of goods over $500, must be in writing to be enforceable under the statute of frauds.

In this case, Brandon orally assigned his right to $100, which is below the threshold for the statute of frauds.

Therefore, the assignment is valid in that it can transfer the right to $100 to Will as a gift. However, if Brandon later decides to revoke the assignment, Will would not have legal recourse to enforce the oral assignment because it cannot be proven in court.

In summary, the oral assignment of $100 from Brandon to Will is valid but unenforceable, meaning that it is not binding in a court of law.

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(T/F) each activity within the systems analysis phase has an end product and one or more milestones.

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True. Each activity within the systems analysis phase of the Systems Development Life Cycle (SDLC) has an end product and one or more milestones.

The systems analysis phase is an important part of the SDLC where the existing system is studied and analyzed to identify potential improvements or requirements for a new system. This phase consists of several activities such as requirements gathering, feasibility study, system design, and prototyping, each of which has a defined end product and one or more milestones. The end product of each activity in the systems analysis phase serves as a basis for the subsequent activities in the SDLC. The milestones, on the other hand, are used to track progress and ensure that the project is on schedule. These milestones are usually based on the completion of the end product of each activity and serve as a guide for the next phase of the SDLC.

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the british pound trades at $1.1248 in london and $1.1241 in new york. how much profit could you earn on each trade with $10,000?

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it is possible to earn a profit of £5.50 on each trade with $10,000. However, it is important to note that this calculation does not take into account any transaction costs or fees that may be incurred during the trade.

In order to calculate the profit that could be earned on each trade with $10,000, we first need to understand the concept of exchange rates and how they work.Exchange rates refer to the value of one currency in relation to another. In this case, we are comparing the value of the British pound in London and New York. The difference in exchange rates is caused by a number of factors such as economic conditions, political stability, and interest rates.To calculate the profit that could be earned on each trade with $10,000, we need to consider the difference in exchange rates between London and New York. Based on the information given, the British pound trades at $1.1248 in London and $1.1241 in New York. Therefore, the difference in exchange rates between the two cities is $0.0007.To calculate the profit that could be earned on each trade with $10,000, we need to convert this difference in exchange rates into the currency being traded. In this case, we are trading British pounds, so we need to convert $0.0007 into pounds.To do this, we need to use the exchange rate between the pound and the dollar. Based on the information given, we know that $1 is equal to £0.79. Therefore, $0.0007 is equal to £0.00055.Now that we have converted the difference in exchange rates into pounds, we can calculate the profit that could be earned on each trade with $10,000. To do this, we simply need to multiply £0.00055 by $10,000.£0.00055 x $10,000 = £5.50
Therefore, the profit that could be earned on each trade with $10,000 is £5.50.

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The six-step process for green sourcing does not include which of the following? a) Assess the opportunity. b) Assess the supply base. c) Notify the state environmental agencies of your plans. d) Engage supply chain sourcing agents. e) Develop the sourcing strategy.

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The six-step process for green sourcing does not include (c) Notify the state environmental agencies of your plans.

The six-step process for green sourcing typically includes the following steps:

a) Assess the opportunity: Identify the potential opportunities for green sourcing and the benefits that could be achieved by implementing it.

b) Develop the sourcing strategy: Develop a sourcing strategy that includes criteria for evaluating suppliers based on their environmental performance.

c) Assess the supply base: Evaluate the environmental performance of the suppliers in the supply base and select those that meet the sourcing criteria.

d) Engage supply chain sourcing agents: Work with sourcing agents to identify and evaluate potential suppliers and negotiate contracts.

e) Implement the sourcing strategy: Implement the sourcing strategy and track the environmental performance of suppliers over time.

f) Monitor and improve: Monitor supplier performance and identify areas for improvement, and work with suppliers to implement corrective actions where necessary.

Therefore, option c) "Notify the state environmental agencies of your plans" is not typically included in the six-step process for green sourcing.

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using the lifo retail method, a new layer at retail is determined by subtracting what from ending inventory at retail?

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To determine a new layer at retail using the LIFO retail method, subtract the beginning inventory at retail from the ending inventory at retail.

The LIFO (Last-In, First-Out) retail method is an inventory valuation method that assumes the most recent items added to inventory are the first ones to be sold. This method is useful for companies with fluctuating inventory costs, as it can help manage the impact of changing costs on the financial statements.

When using the LIFO retail method, a new layer at retail is determined by taking the ending inventory at retail and subtracting the beginning inventory at retail. This calculation identifies the new layer of inventory that has been added during the accounting period. The new layer's cost is then combined with the cost of the beginning inventory, and the total cost of goods available for sale is calculated. Finally, the cost of goods sold is determined by subtracting the ending inventory cost from the total cost of goods available for sale.

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time value of money considers which of the following item(s) that change the value of money?multiple choiceinflationinterestcurrency changesall of the options are true

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The correct answer to the multiple-choice question is "d) all of the options are true." Each of the options listed (inflation, interest, and currency changes) can influence the value of money, and considering them is essential in the context of the time value of money.

The concept of the time value of money is crucial to understand in the field of finance and economics. It recognizes that the value of money can change over time due to various factors. This understanding is important when making financial decisions, such as investing, borrowing, or calculating future cash flows.

Inflation:

Inflation refers to the general increase in prices over time, leading to a decrease in the purchasing power of money. When inflation occurs, the same amount of money will be able to buy fewer goods or services in the future compared to the present. As a result, the value of money diminishes over time. The time value of money takes inflation into account by recognizing that a dollar received today is generally worth more than a dollar received in the future.

To explain this concept mathematically, let's consider an example. Suppose you have $100 today, and the inflation rate is 3% per year. If you were to save the money and not invest it, its value would erode due to inflation.

After one year, the purchasing power of $100 would decrease to $97 (100 - 100 * 0.03). Therefore, to account for inflation and maintain the same purchasing power, future cash flows should be adjusted by the inflation rate.

Interest:

Interest is the cost of borrowing money or the return earned on invested capital. It plays a significant role in the time value of money because it affects the value of money over time. When money is invested, it has the potential to earn interest, thus increasing its value. Conversely, when money is borrowed, it incurs interest, reducing its value over time.

Mathematically, interest can be calculated using formulas such as compound interest or simple interest. Compound interest involves earning interest not only on the initial amount but also on the accumulated interest from previous periods. By considering interest rates and compounding periods, the time value of money incorporates the notion that a dollar received in the future is worth less than a dollar received today.

Currency Changes:

Currency changes, such as fluctuations in exchange rates, can impact the value of money. If you are dealing with multiple currencies, changes in exchange rates can affect the relative value of those currencies. For instance, if you exchange your money from one currency to another, the value of the exchanged amount may differ depending on the prevailing exchange rate.

However, it's important to note that currency changes have a relatively smaller impact on the time value of money compared to inflation and interest rates. Currency changes are more relevant in international transactions or when dealing with multiple currencies, whereas inflation and interest rates affect the value of money universally.

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Complete Question

Time value of money considers which of the following item(s) that change the value of money?

Multiple choice :

a) inflation

b) interest

c) currency changes

d) All of the options are true

approving the effort that occurs during the production process is known as acceptance sampling. true or false?

Answers

False. Acceptance sampling is a method used to determine whether or not to accept a batch of products based on a sample. It is not the approval of the effort put into the production process, which is the main focus of process control and quality management.

Acceptance sampling is a statistical quality control method used to approve or reject a batch of products during the production process. This method evaluates a sample of items from the entire batch to determine whether the quality meets the predetermined standards

If the sample meets the criteria, the entire batch is accepted; if not, it may be rejected or subjected to further inspection.

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if the add-on method is used to calculate a finance charge of $100.80 on a $1,800 loan, the amount to be: group of answer choices paid to the borrower is $1,699.20. paid to the borrower is $100.80. repaid to the borrower is $1,800. repaid is $1,699.20. repaid is $1,900.80.

Answers

The correct answer is C, the amount to be repaid to the borrower is $1,800, which is the principal loan amount.

A borrower is a person or entity that receives money or other assets from a lender, with the expectation that it will be paid back at a later time. Borrowers typically enter into an agreement with the lender that outlines the terms of the loan, including the amount borrowed, interest rate, repayment schedule, and any other applicable fees or charges.

Borrowers can include individuals, businesses, governments, and other organizations. They may seek to borrow funds for a variety of reasons, such as to finance a home purchase, pay for educational expenses, or expand a business. In some cases, borrowers may use the funds to invest in assets or projects that they believe will generate a return that exceeds the cost of borrowing.

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the approach to operational analysis which identifies key competencies of the job is known as

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The approach to operational analysis that identifies key competencies of a job is commonly known as competency modeling. This approach involves defining the specific skills, knowledge, and behaviors required to perform a job successfully.

Competency modeling helps organizations to understand the critical abilities and qualities needed for their employees to perform at the highest level. This process involves identifying the knowledge, skills, and abilities required for different positions, determining the proficiency levels needed for each competency, and then measuring employee performance against these standards. By using competency modeling, organizations can improve their hiring practices, training programs, performance management processes, and overall workforce development. Competency modeling can also help organizations to align their business strategies with their talent management practices and ensure that they have the right people in the right roles.

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The approach to operational analysis which identifies key competencies of the job is known as competency-based analysis.

This approach involves identifying and defining the specific knowledge, skills, and abilities (KSAs) required for successful job performance, as well as the behaviors and attitudes that are essential for effective job performance. Competency-based analysis is typically used to identify gaps in the current workforce's skills and knowledge, determine the training and development needs of employees, and design job descriptions and selection criteria.

By focusing on the specific competencies required for each job, employers can ensure that they hire and train individuals who possess the necessary KSAs to perform the job effectively.

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miles is an autistic adult who has no children. he works 30 hr a week at a gas station. his wages are not high enough to purchase food. should miles pursue a program to help him buy food in texas?

Answers

Yes, Miles should pursue a program to help him buy food in Texas. Autistic adults face many challenges in their daily lives, and one of them is being able to afford basic necessities such as food. As Miles is not earning enough to purchase food, it is important that he seek assistance to meet his basic needs. There are several programs in Texas that offer food assistance to low-income individuals, including SNAP (Supplemental Nutrition Assistance Program) and TANF (Temporary Assistance for Needy Families).

SNAP is a federal program that provides food assistance to eligible low-income individuals and families. The program issues electronic benefits transfer (EBT) cards that can be used to purchase food at authorized retailers. TANF, on the other hand, is a state-run program that provides temporary financial assistance to families with children in need.

Miles may also consider seeking assistance from local food banks and pantries. These organizations provide free or low-cost food to individuals and families in need. Additionally, Miles may be eligible for other forms of assistance, such as Medicaid, which can help cover medical expenses.

In summary, given Miles' low income and inability to afford food, he should definitely pursue a program to help him buy food in Texas. He should explore the different assistance programs available to him and take advantage of them to meet his basic needs.

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assume an economy where only burgers are traded. in a year, 100 burgers are traded at the rate of $5 per burger. assume two scenarios: a. the economy has $100 in the form of 20 $5 bills. b. the economy has $100 in the form of 100 $1 bills. calculate the velocity of money for both situations.

Answers

To answer your question, I'll start by defining velocity of money. Velocity of money is the rate at which money changes hands in an economy. It is calculated as the total value of transactions divided by the total money supply.

Now let's move on to scenario a. In this scenario, the economy has $100 in the form of 20 $5 bills. If each burger is traded at a rate of $5, then a total of 100 burgers will be sold in a year, giving a total transaction value of $500 (100 burgers x $5 per burger). Since the total money supply in the economy is $100, the velocity of money can be calculated as follows:

Velocity of money = Total value of transactions / Total money supply
Velocity of money = $500 / $100
Velocity of money = 5

Therefore, in scenario a, the velocity of money is 5.

Moving on to scenario b, the economy has $100 in the form of 100 $1 bills. Using the same calculation method as above, the total transaction value will still be $500 (100 burgers x $5 per burger). However, the total money supply is now $100, which means that the velocity of money can be calculated as:

Velocity of money = Total value of transactions / Total money supply
Velocity of money = $500 / $100
Velocity of money = 5

Therefore, in scenario b, the velocity of money is also 5 .

In conclusion, regardless of the form in which the money is held, the velocity of money remains the same as long as the total transaction value and total money supply are constant.

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Canada is the largest trading partner for the United States. In 2014, U.S. exports to Canada were more than $312 billion and imports from Canada totaled more than $347 billion. On January 1, 2014, the exchange rate between the Canadian dollar and the U.S. dollar was 1.06 Canadian dollars = 1 U.S. dollar. On January 1, 2015, the exchange rate was 1.17 Canadian dollars = 1 U.S. dollar. How would this change in exchange rates impact U.S. consumers and firms? O A. It would have a negative effect on U.S. firms that import parts for its products from Canada and U.S. consumers, but have a positive impact on U.S. firms that export to Canada. OB. The change in exchange rates would have a positive effect on U.S. firms that import parts for its products from Canada, U.S. consumers, and firms that export to Canada. O C. The change in exchange rates would have a negative effect on U.S. firms that import parts for its products from Canada, U.S. consumers, and firms that export to Canada. OD. It would have a positive effect on U.S. firms that import parts for its products from Canada and U.S. consumers, but have a negative impact on U.S. firms that export to Canada.

Answers

The change in exchange rates between the Canadian dollar and the U.S. dollar from 1.06 to 1.17 would have a positive effect on U.S. firms that import parts for its products from Canada and U.S. consumers but have a negative impact on U.S. firms that export to Canada.

1. In 2014, 1 U.S. dollar was equal to 1.06 Canadian dollars.
2. In 2015, 1 U.S. dollar was equal to 1.17 Canadian dollars.
3. This means that the U.S. dollar appreciated against the Canadian dollar, making it more valuable.
4. U.S. firms that import parts from Canada would benefit from this appreciation, as they would now require fewer U.S. dollars to buy the same amount of Canadian dollars for their imports, effectively making the parts cheaper.
5. U.S. consumers would also benefit, as the lower cost of imported goods from Canada would likely lead to lower prices for them.
6. On the other hand, U.S. firms that export to Canada would be negatively affected, as their products would become more expensive for Canadian consumers due to the appreciation of the U.S. dollar, potentially reducing demand for their products.

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A seller's agent intends to give part of his commission to the buyer. The agent:
a. is guilty of fraud
b. will be subject to disciplinary action by the Real Estate Commissioner
c. must disclose this fact to the seller
d. may freely do so

Answers

When seller's agent want to give part of his commission to buyer, the agent must disclose this fact to the seller. The Option C.

Is it permissible for agent to give part of commission?

According to law, a seller's agent is required to disclose any intention to give part of their commission to the buyer to the seller. This is because it could potentially affect the seller's decision-making process and they have the right to be fully informed about any incentives or arrangements related to the sale of their property.

Any failure to disclose this information could lead to legal issues and disciplinary action by the Real Estate Commissioner. Therefore, it is important for the seller's agent to be transparent and upfront about any commission-sharing arrangements they have with the buyer.

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which supply chain planning function determines how much product is needed to satisfy all customer demands? demand planning order planning distribution management just-in-time planning replenishment planning

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The supply chain planning function that determines how much product is needed to satisfy all customer demands is demand planning. Option A is the correct answer.

Demand planning is a critical supply chain planning function that involves forecasting and estimating the quantity of products or services that customers will require within a specific time frame. It analyzes historical data, market trends, customer preferences, and other relevant factors to project future demand accurately.

By understanding and predicting customer demands, businesses can effectively plan their production, inventory levels, and distribution strategies to meet customer needs while minimizing costs and optimizing resources. Demand planning plays a key role in aligning supply with demand, ensuring customer satisfaction, and maximizing operational efficiency.

Option A, "demand planning," is the correct answer.

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discuss one of the major personality theories and how this theory is used to conduct assessment.

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One major personality theory is the Five-Factor Model (FFM), also known as the Big Five.

The Big Five theory suggests that there are five broad dimensions of personality: Openness, Conscientiousness, Extraversion, Agreeableness, and Neuroticism (OCEAN).

This theory is used to conduct assessments through self-report questionnaires such as the NEO-PI-R or the Big Five Inventory (BFI).

To assess personality using the Big Five theory, individuals are asked to rate their agreement with various statements related to the five dimensions. Their responses are then scored and compiled to create a profile, reflecting their standing on each dimension.

This assessment allows researchers, clinicians, and professionals to better understand an individual's personality traits and, in turn, predict their behavior, decision-making, and potential success in various life domains.

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consumers engage with online content primarily to: a. all of these are correct. b. verify things that they have heard. c. to be inspired to create or to try. d. obtain factual information.

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Consumers engage with online content for a variety of reasons, and (A) all of the options listed in the question may be correct depending on the individual consumer's motivations.

Some consumers may be seeking to verify information that they have heard through other channels, such as social media or word-of-mouth, while others may be looking for inspiration to create something new or to try a new product or service.

Additionally, many consumers turn to online content to obtain factual information about a particular topic, whether that be for personal interest or for professional purposes.

Overall, the reasons why consumers engage with online content are diverse and multifaceted and may vary depending on the individual and the specific content.

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self-centric presenters deliver presentations they want to give, without concern for the audience or what they may be thinking or feeling. audience-centric presenters deliver presentations that address the wants, needs, concerns, or feelings of the audience. guess which presenters deliver more effective, more successful presentations?

Answers

When it comes to delivering presentations, the primary goal should always be to connect with the audience. The correct option is audience-centric presenters.

It is crucial to understand what the audience wants, needs, or is concerned about, and then tailor the presentation accordingly.

When a presenter takes the audience's perspective into account, they can create a more meaningful and impactful presentation that resonates with the audience.On the other hand, self-centric presenters focus primarily on their own agenda and may overlook the audience's needs or concerns. Such presentations may come across as self-serving or irrelevant to the audience, leading to disengagement and ultimately, an ineffective presentation.To be an audience-centric presenter, one should invest time in researching the audience's interests, knowledge level, and preferred presentation style. It is also essential to establish a connection with the audience by being authentic and relatable, and addressing any concerns or questions they may have. By prioritizing the audience's needs, a presenter can increase their chances of delivering a successful and memorable presentation.In conclusion, audience-centric presenters are more effective and successful in delivering presentations because they prioritize the audience's needs and tailor the presentation accordingly. Taking the time to understand the audience's perspective and connecting with them can make a significant difference in the presentation's impact and outcome.

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when using the retail method to approximate average cost, the cost-to-retail percentage is applied to which goods?

Answers

When using the retail method to approximate average cost, the cost-to-retail percentage is applied to the goods that are available for sale during the period under consideration.

This includes both the beginning inventory and the purchases made during the period, but excludes any goods that have been sold or returned. The cost-to-retail percentage is calculated by dividing the cost of the goods available for sale by their retail value. This percentage is then used to estimate the cost of the ending inventory by multiplying it by the ending retail value of the inventory. The retail method is commonly used by retailers to estimate the cost of their inventory and to calculate their gross profit margin. It is a simple and convenient method, but it does have limitations and may not provide an accurate estimate of actual cost.

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what is the birthplace for the largest percentage of asians who became naturalized in 2010?

Answers

In 2010, the United States Citizenship and Immigration Services reported that the largest percentage of Asians who became naturalized citizens were from the Philippines. In fact, almost one-third of all Asian immigrants who were naturalized that year were originally from the Philippines.

The Philippines has a long history with the United States, dating back to the Spanish-American War in 1898 when the U.S. acquired the Philippines from Spain. As a result, the Philippines has had a close relationship with the U.S. ever since, including a shared language and culture, which has made it a popular destination for Filipino immigrants.

In addition to the historical ties, many Filipinos come to the U.S. for economic opportunities. The Philippines has a large population, limited job opportunities, and a lower standard of living than the U.S. This has led many Filipinos to seek better economic prospects in America. Filipinos are also well-represented in many industries in the U.S., including healthcare, nursing, and education. Many Filipinos are highly educated and skilled, which has made them valuable contributors to the U.S. economy.

Overall, the Philippines has been a major source of immigration to the U.S. for many years, and this trend is likely to continue in the future. With a strong connection to the U.S., a desire for better economic prospects, and a highly skilled population, Filipinos will continue to play an important role in the fabric of American society.

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the statement "balancing the budget on the backs of the poor" refers to

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The statement "balancing the budget on the backs of the poor" refers to a situation where a government tries to achieve a balanced budget by implementing policies that disproportionately affect lower-income individuals.

This can include reducing social welfare programs, increasing taxes or fees on essential goods, or cutting public services that predominantly benefit the poor. These measures may result in short-term financial savings for the government, but often have negative long-term consequences for the poor, such as reduced access to education, healthcare, and other essential services. In this context, the statement highlights the need for fair and equitable policy decisions when addressing budgetary concerns.

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which of the following is not a way in which systems projects are considered to be feasible? a. operationally b. physically c. technically d. economically

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Pption b, physically. Systems projects are typically considered feasible based on their operational, technical, and economic feasibility.

Operational feasibility refers to whether the proposed system aligns with the organization's goals and objectives, and whether the system can be easily integrated into existing business processes. Technical feasibility assesses whether the proposed system can be developed and implemented given the organization's technical resources and capabilities. Economic feasibility considers whether the costs associated with developing and implementing the system are justifiable and provide a return on investment.

Physical feasibility, on the other hand, refers to whether the proposed system can physically be implemented in the organization's environment. While this may be a consideration in certain types of projects (e.g. construction or infrastructure), it is not typically a primary consideration for systems projects. Therefore, option b is the correct answer to your question.

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Which of the following is not one of the traditional components found in mission statements?
A) major products and services
B) profitability
C) target customers and markets
D) geographic domain
E) contribution to society

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The traditional component not found in mission statements is B) profitability.

Mission statements typically include the company's purpose, values, and goals. They often outline the company's major products and services, target customers and markets, geographic domain, and contribution to society. However, profitability is not typically included in mission statements.

While profitability is certainly important to a company's success, it is not the main focus of a mission statement. Instead, mission statements tend to focus on the company's overall purpose and values, as well as how it plans to serve its customers and society as a whole. By articulating these elements clearly, a mission statement can help guide a company's decision-making and strategic planning over the long term.

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In which of the following ways may staffing practices change in response to benefit cost controls?
A.
Increase in benefits cost per hour by having employees work more hours with fixed benefits costs
B.
Organizations having their employees classified as contractors rather than employees
C.
Growth in the number of full-time workers
D.
Rehiring previously laid off employees
E.
Giving temporary workers pay for time not spent working

Answers

B. Organizations having their employees classified as contractors rather than employees.

Staffing practices may change in response to benefit cost controls by classifying employees as contractors rather than employees. By doing so, organizations can avoid providing certain benefits and protections that are typically associated with full-time employment, such as health insurance, retirement benefits, and paid time off. This allows the organization to reduce benefit costs and shift some of the financial burden onto the contractors themselves.

The other options listed in the question do not directly relate to benefit cost controls:

A. Increasing benefits cost per hour by having employees work more hours with fixed benefits costs would actually increase the organization's benefit costs, rather than controlling them.

C. Growth in the number of full-time workers may or may not be directly related to benefit cost controls. It depends on the specific circumstances and strategies adopted by the organization.

D. Rehiring previously laid off employees does not directly relate to benefit cost controls. It is more related to workforce management and organizational needs.

E. Giving temporary workers pay for time not spent working is not directly related to benefit cost controls. It is more about compensating temporary workers for their availability and flexibility rather than controlling benefit costs.

Therefore, the most relevant option in the context of benefit cost controls is B. Organizations having their employees classified as contractors rather than employees.

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dan receives a proportionate current (nonliquidating) distribution when the basis of his partnership interest is $30,000. the distribution consists of $10,000 in cash and property with an adjusted basis to the partnership of $24,000 and a fair market value of $26,500. dan's basis in the noncash property is:

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Thus, Dan's basis in the noncash property received as a proportionate current distribution from the partnership is $21,780.

Dan's basis in the noncash property received as a proportionate current distribution from the partnership can be calculated using the following formula:

Basis in distributed property = Basis in partnership interest x (Fair market value of distributed property / Total fair market value of distributed property and cash)

In this case, the basis in partnership interest is $30,000, and the total fair market value of the distributed property and cash is $36,500 ($10,000 cash + $26,500 property). Therefore, the proportion of the distribution represented by the noncash property is:

Proportion of noncash property = Fair market value of distributed property / Total fair market value of distributed property and cash
Proportion of noncash property = $26,500 / $36,500
Proportion of noncash property = 0.726

Using the formula above, Dan's basis in the noncash property can be calculated as:

Basis in noncash property = $30,000 x 0.726
Basis in noncash property = $21,780

Therefore, Dan's basis in the noncash property received as a proportionate current distribution from the partnership is $21,780. It is important to note that this basis will be used to calculate gain or loss if Dan sells the property in the future.

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what is a tax preparer's correct response to a taxpayer who omitted items on an income tax return which was submitted in a previous year? advise the taxpayer promptly of the fact of such omission and: refuse to prepare the current-year return until the previous-year return is amended. make an adjustment for the previous year's omission on the current-year return. advise them of the consequences for such omissions as provided under the internal revenue code and preparer regulations.

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The response of a tax preparer to a taxpayer who omitted items on an income tax return submitted in a previous year would be to advise the taxpayer promptly of the fact of such omission as provided under the internal revenue code and preparer regulations.


It is important for the tax preparer to act in the best interest of the taxpayer and ensure compliance with the law.

By advising the taxpayer of the consequences of omitting items from their previous tax return, the taxpayer can avoid any potential legal consequences or penalties. The tax preparer should also explain to the taxpayer how to properly amend the previous-year return to correct any omissions.It is not advisable for the tax preparer to make an adjustment for the previous year's omission on the current-year return as this could be considered fraudulent behavior. It is important for the taxpayer to take responsibility for any errors or omissions made on their tax return and correct them accordingly.In summary, the tax preparer's correct response would be to advise the taxpayer of the omission, explain the consequences, and refuse to prepare the current-year return until the previous-year return is amended.

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the type of transaction most suitable for batch processing is a. airline reservations b. payroll processing c. credit authorization d. adjustments to perpetual inventory

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The type of transaction that is most suitable for batch processing is payroll processing.

Batch processing involves collecting and processing a large volume of transactions as a group, rather than processing them individually in real-time. Payroll processing typically involves a large number of similar transactions that can be collected and processed in batches, such as processing paychecks for a company's employees. Batch processing is well-suited for this type of transaction because the processing can be done overnight or at a time when the system is not being used heavily, which minimizes disruption to other system users.

While airline reservations and credit authorizations require real-time processing due to the need for immediate confirmation and response, adjustments to perpetual inventory may require more immediate processing as well. These types of transactions are often best suited for online transaction processing (OLTP) systems, which are designed to handle real-time processing of individual transactions.

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