the person who is designated to receive notices and service of process for a corporation is its group of answer choices general agent special agent registered agent factor

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Answer 1

The person permitted to take notices and perform process serving on behalf of a corporation is known as the Registered Agent.Choice C is correct as a result.

A registered agent is a person or business that serves as the LLC or corporation's official point of contact in the state for service of process, other legal documents, and official communications from the state and forwards these documents and communications to the LLC or corporation for which it is serving in this capacity.

Every LLC and corporation formed under the laws of a state or the District of Columbia should appoint and keep in active service a registered agent in the state of such formation and in each state where such LLC or corporation is organised.

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the person who is designated to receive notices and service of process for a corporation is its ?

A. General Agent

B. Special Agent

C. Registered Agent

D. Factor


Related Questions

according to the big five factors of personality, which of the following personality supertraits describes an individual as either secure or insecure?

Answers

According to the Big Five model of personality, the super trait that describes an individual as either secure or insecure is Neuroticism. Here option E is the correct answer.

Neuroticism refers to the tendency for an individual to experience negative emotions such as anxiety, depression, and vulnerability. Individuals who score high on the Neuroticism dimension tend to be more sensitive to stress and are prone to experience a range of negative emotions more frequently than individuals who score low on this dimension.

In contrast, individuals who score low on the Neuroticism dimension tend to be more emotionally stable, confident, and resilient. They are less likely to experience negative emotions and are better equipped to cope with stress and challenging situations.

Thus, the level of Neuroticism can play a crucial role in determining an individual's level of emotional security and stability.

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Complete question:

Which of the following Big Five personality super traits describes an individual as either secure or insecure?

A) Openness

B) Conscientiousness

C) Extraversion

D) Agreeableness

E) Neuroticism

what do you call money, time, and/or effort spent for the goal of gaining a profit or advantage in the future?

Answers

The term commonly used to describe money, time, and/or effort spent for the goal of gaining a profit or advantage in the future is "investment".

Investment refers to the allocation of resources (such as money, time, or effort) with the aim of generating future returns. This can take various forms, such as investing in stocks, bonds, real estate, or a business venture. The goal of investment is to increase wealth or achieve other financial objectives.

Investment is a crucial part of the modern economy, as it allows individuals, businesses, and governments to grow their wealth and expand their operations. The concept of investment is based on the principle of risk and reward, which means that the greater the risk taken, the higher the potential return on investment. When individuals or organizations invest, they typically do so with a long-term perspective. This is because most investments require time to generate returns, whether it is through capital appreciation (an increase in the value of the investment) or through income (such as dividends or interest payments). Investment decisions are often guided by various factors, such as the investor's risk tolerance, financial goals, market conditions, and the performance of the investment itself. Some investors may choose to diversify their investments across multiple asset classes or regions to reduce risk and maximize returns. In conclusion, investment is a crucial component of financial planning and wealth creation, as it allows individuals, businesses, and governments to allocate resources with the aim of generating future returns. Whether it is through stocks, bonds, real estate, or other forms of investment, the goal is to increase wealth or achieve other financial objectives.

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The price of a widget decreases from $60 to $50, and in response to the price change the quantity demanded increases from 80 to 120 units. Therefore, demand for widgets in this price range: (Use the midpoint formula and write your answer in absolute terms, meaning as a positive number)

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Demand Elasticity is the responsive change in demand because of a change in price. To determine the demand elasticity of widgets in this price range, we can use the midpoint formula.

The formula is (Q2 - Q1) / [(Q1 + Q2) / 2] ÷ (P2 - P1) / [(P1 + P2) / 2].

Plugging in the values, we get (120 - 80) / [(80 + 120) / 2] ÷ ($50 - $60) / [($60 + $50) / 2].

Simplifying this, we get 0.4 ÷ -0.1667, which is equal to -2.4.

The absolute value of -2.4 is 2.4. This means that the demand for widgets in this price range is relatively elastic. A change in price results in a greater change in the quantity demanded. In this case, a 16.67% decrease in price resulted in a 50% increase in quantity demanded.

In summary, the demand elasticity of widgets in this price range is 2.4. This indicates that consumers are very sensitive to changes in price and will respond with a significant change in the quantity demanded. This information is helpful for businesses to make informed decisions about pricing and production levels.

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the success of unions associated with service jobs and the decline of unions associated with manufacturing jobs that have moved overseas suggests that group of answer choices industries most subject to global labor competition are those in which workers are the most vulnerable. corporations are likely to try to eliminate service positions first during times of economic hardship. service sector work is far more desirable than work in the manufacturing sector. antagonism between workers and employers in the manufacturing sector has greatly receded.

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The success of unions associated with service jobs and the decline of unions associated with manufacturing jobs that have moved overseas suggests that the industries most subject to global labor competition are those in which workers are the most vulnerable.

This vulnerability stems from the fact that corporations are likely to try to eliminate service positions first during times of economic hardship. While service sector work may be more desirable than work in the manufacturing sector, the decline in manufacturing jobs has created a shift towards service jobs, which puts more pressure on the service sector to remain competitive.

This can result in a decline in unionization rates in the service sector, which makes workers more vulnerable to exploitation by corporations. As a result, it is important for unions to continue to advocate for workers' rights and protections, regardless of the industry in which they work.

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A monopolistic competitor is currently producing 2,000 units of output; price is $100, marginal revenue is $80, average total cost is $130, marginal cost is $60, and average variable cost is $60. The firm should
raise price because the firm is losing money.
keep the price the same because the firm is producing at minimum average variable cost.
raise price because the last unit of output decreased profit by $30.
lower price because the next unit of output increases profit by $20.

Answers

A monopolistic competitor is currently producing 2,000 units of output with a price of $100, marginal revenue of $80, average total cost of $130, marginal cost of $60, and average variable cost of $60. The firm should lower the price because the next unit of output increases profit by $20.

Here's a step-by-step explanation:

1. Calculate the current profit: Profit = Total Revenue - Total Cost. Total Revenue is Price × Quantity (100 × 2,000 = $200,000), while Total Cost is Average Total Cost × Quantity (130 × 2,000 = $260,000). Profit = $200,000 - $260,000 = -$60,000, indicating a loss.

2. Analyze marginal revenue and marginal cost: Marginal revenue is $80, and marginal cost is $60. As long as marginal revenue exceeds marginal cost, producing additional units increases profit.

3. Determine the profit-maximizing output: Since marginal revenue is higher than marginal cost ($80 > $60), the firm should produce more units to maximize profit. Producing an additional unit generates $80 in revenue while incurring only $60 in cost, increasing profit by $20.

4. Adjust the price: As the firm produces more units and moves closer to the profit-maximizing output, demand may decrease due to the law of diminishing marginal utility. To sell more units and maximize profit, the firm should lower the price.

In conclusion, the monopolistic competitor should lower the price because producing and selling the next unit of output increases profit by $20, moving the firm closer to its profit-maximizing output.

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which of the following commercial real estate investment ownership structures provides investors with a high degree of liquidity, small minimum investment commitment, competitive dividends, corporate governance, and transparency, while dividends are treated as pass-through cash flows to investors (avoiding double-taxation)?

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The following commercial real estate investment ownership structures provide investors with a high degree of liquidity, small minimum investment commitment, competitive dividends, corporate governance, and transparency, while dividends are treated as pass-through cash flows to investors (avoiding double-taxation) called Listed REITs.

The option (A) is correct.

Listed REITs create a consistent revenue source and make them high liquidity dissimilar to unlisted REITs. Pay is liberated from twofold tax assessment pay available close by of REITs is absolved in the hands of financial backers. Pay absolved container hands of REITs is available in the hands of financial backers accordingly killing twofold tax collection impact.

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This question is not complete, Here I am attaching the complete question:

Which of the following commercial real estate investment ownership structures provides investors with a high degree of liquidity, small minimum investment commitment, competitive dividends, corporate governance, and transparency, while dividends are treated as pass-through cash flows to investors (avoiding double-taxation)?

(A) Listed REITs.

(B) C corporation

(C) LLCs

the following data are available relating to the performance of rand stock fund and the market portfolio: rand market portfolio average return 19% 12% standard deviations of returns 35% 15% beta 1.5 1.0 residual standard deviation 3.0% 0.0% the risk-free return during the sample period was 6%. what is the sharpe measure of performance evaluation for rand stock fund?

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Relating to the performance of rand stock fund and the market portfolio. 0.39, is the Sharpe measure of performance evaluation for rand stock fund.

To calculate the Sharpe measure of performance assessment for the Rand Stock Fund, use the following equation:

Sharpe ratio is equal to the standard deviation of portfolio return divided by the average portfolio return.

Inputting the values provided yields:

Sharpe ratio is equal to (0.19 - 0.06)/0.35

0.39 is the Sharpe ratio.

Therefore, the Sharpe measure of performance evaluation for Rand Stock Fund is 0.39. The Sharpe ratio and its use in evaluating portfolio performance.

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community-supported agriculture (csa) farms generally ____________ . multiple choice question. provide food at higher prices than buying organic food in a grocery store depend on synthetic fertilizers practice organic or low-input agriculture

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Community-supported agriculture (CSA) farms generally practice organic or low-input agriculture.

Community-supported agriculture (CSA) is a system where consumers pay upfront for a share of a local farm's harvest, receiving regular deliveries of fresh, seasonal produce. In order to maintain the quality and sustainability of their crops, CSA farmers often rely on organic or low-input agriculture practices, which minimize the use of synthetic fertilizers and other harmful chemicals.

Therefore, the correct answer to the multiple choice question is that CSA farms generally practice organic or low-input agriculture. While the price of CSA shares may be higher than buying organic food in a grocery store, consumers are supporting local farmers and receiving fresher, more diverse produce in return.

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on december 1, victoria company signed a 90-day, 8% note payable, with a face value of $9,000. what amount of interest expense is accrued at december 31 on the note?

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According to the matching and accrual accounting ideas, expenses and revenue must be recorded in the accounts at the time they are incurred and are unrelated to the actual outlay or receipt of cash.

The right response is (a) $26.

At the conclusion of the month, the accrued expense adjusting entry is passed to create the accurate financials.The right response is (a) $26.

The note's description includes the following details:

1) It was released on December 1st.

2) The note's duration is 90 days.

3) The note has a $7,800 face value or principal amount.

4) The required interest rate is 4% annually, or for 360 days.

5) From December 1 to December 31, there has been an accrued interest expense of $30.

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The listing of cash received via mail should be sent to each of the following individuals:
a. Cashier b. Customer c. Recordkeeper d. Mall clerk e. Treasure

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The listing of cash received via mail should be sent to the following individuals:

1. Cashier: The cashier is responsible for handling cash transactions, so they should be informed of the received cash to ensure accurate recording and handling.

2. Recordkeeper: The recordkeeper maintains the financial records and documents, so they should receive the listing of cash received to update the books accordingly.

3. Treasurer: The treasurer is responsible for managing the organization's finances, so they should be aware of the cash received to ensure proper allocation and budget management.

The customer and mall clerk are not typically involved in handling or documenting cash transactions, so they do not need to receive the listing of cash received via mail.

What is proof of cash received?

A bank reconciliation that compares the book receipts and expenditures for the periods with the bank statements, as well as the prior-period and current-period balances, is a proof of cash.

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A few years ago, when Coca-Cola introduced Fruitopia beverage, it spent $30 million and set what it thought was achievable sales goals. Since its introduction, Fruitopia has not been able to achieve its sales goals and has lost money for Coke. When top management decided to cease production of Fruitopia for its U.S. market, it was intended to help the company operate more __________________ and reach organizational objectives.

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When top management decided to cease production of Fruitopia for its U.S. market, it was intended to help the company operate more efficiently and reach organizational objectives.

Ceasing production of Fruitopia for the U.S. market is an example of a strategic decision made by Coca-Cola's top management in response to the brand's poor performance. The decision to discontinue Fruitopia was based on the realization that the brand was not achieving its sales goals and was losing money for the company.

By ceasing production of Fruitopia, Coca-Cola could reallocate the resources it had previously dedicated to the brand to other areas of the business that were performing better.

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Regarding the question of whether health insurance provides people with an incentive to become obese, the finding of Bhattacharya and Bundorf seems A. irrelevant since a multitude of other factors besides the presence of health insurance can cause obesity. B. "off the wall," because it's common knowledge that obesity is a disease, like cancer. C. irrelevant since correlation does not establish causation. D. relevant since the link between insurance and obesity was established while holding many other variables constant.

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The finding of Bhattacharya and Bundorf regarding whether health insurance provides an incentive to become obese is relevant since they established a link between insurance and obesity while holding many other variables constant. Option D.

However, it is important to note that there are a multitude of other factors besides the presence of health insurance that can cause obesity, making their finding not necessarily a definitive answer to the question.

In addition, correlation does not establish causation, so it is important to be cautious in interpreting their findings. While obesity is a disease like cancer, it is also influenced by lifestyle and environmental factors, making it a complex issue to understand.

Ultimately, more research is needed to fully understand the relationship between health insurance and obesity, and it is important to consider all factors that contribute to this complex issue. So the Option D is correct.

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In a financial​ panic, you would expect the money multiplier to _____________ and the money supply to ____________​, which would cause the excess reserves ratio to ______________. Thus depositors are likely to ___________________their holdings of currency.

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In a financial panic, you would expect the money multiplier to decrease and the money supply to contract, which would cause the excess reserves ratio to increase. Thus depositors are likely to increase their holdings of currency.

During a financial panic, there is a rush among depositors to withdraw their funds from banks, which causes a decrease in bank deposits. This, in turn, reduces the amount of reserves available to banks, which limits their ability to lend and create new money. As a result, the money multiplier decreases, and the money supply contracts. In order to meet the demand for cash withdrawals, banks must increase their excess reserves ratio, which means holding a larger proportion of deposits as cash. This can lead to a shortage of reserves, making it harder for banks to lend and create new money. To protect themselves, depositors may increase their holdings of currency, further reducing the amount of reserves available to banks and exacerbating the contraction in the money supply.

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amari has two jobs, one for the winter and one for the summer. in the winter, he works as a lift attendant at a ski resort where he earns $18 per hour. during the summer, he drives a tour bus around the ski resort, earning $13 per hour. During the summer month, what is the Amari's opportunity cost of taking an hour off work to go enjoy some leisure time? a. $13 b. between $13 and $`8 c. $18 d) less than $13

Answers

The correct option is A, Amari's opportunity cost of taking an hour off work to go enjoy some leisure time during the summer is $13.

Opportunity cost refers to the cost of an alternative that must be given up in order to pursue a certain action or decision. It is the value of the next best alternative that is forgone as a result of choosing one option over another.

For example, if a business decides to invest its resources in a particular project, the opportunity cost would be the potential revenue or profit it could have generated by investing in an alternative project. Similarly, if an individual chooses to pursue a career in one field, the opportunity cost would be the potential earnings and benefits they could have received by choosing another career path.

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Suppose there is a surge in stock market values. In the short run, we would expect the price level to and the unemployment rate to increase; increase decrease; decrease O decrease; increase increase; decrease O remain unchanged; decrease

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Suppose there is a surge in stock market values. In the short run, we would expect the price level to and the unemployment rate Remain unchanged; or decrease.

In the short run, a surge in stock market values is unlikely to have a significant impact on the price level, as it is not directly related to the production or consumption of goods and services. However, it may lead to a decrease in the unemployment rate as companies may experience increased profits and decide to expand their operations and hire more workers. Therefore, the most likely outcome is that the price level remains unchanged, while the unemployment rate decreases.

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jt engineering wants to purchase a machine to make widgets. the machine has a six-year expected life, and jt anticipates that over that time the demand for widgets will decrease, creating unequal annual cash flows. how will the calculation for this project differ from that for a project with equal annual cash flows? select answer from the options below jt estimates higher cash flows in the early years of the project and lower cash flows in the later years, rather than consistent flows throughout. jt estimates lower cash flows in the early years of the project and higher cash flows in the later years, rather than consistent flows throughout. jt estimates consistent flows throughout the project, rather than higher cash flows in the early years of the project and lower cash flows in the later years. jt estimates consistent flows throughout the project, rather than lower cash flows in the early years of the project and higher cash flows in the later years.

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correct answer to the question is that JT estimates higher cash flows in the early years of the project and lower cash flows in the later years, rather than consistent flows throughout. This estimation of cash flows will require the use of the NPV method to calculate the project's expected profitability.

The calculation for a project with unequal annual cash flows, such as in the case of JT Engineering purchasing a machine to make widgets with an expected decrease in demand over six years, will differ from that of a project with equal annual cash flows. Specifically, the calculation will involve the use of a different method of cash flow analysis called the net present value (NPV) method.The NPV method takes into account the time value of money and calculates the present value of all cash inflows and outflows associated with the project. In the case of JT Engineering, the company estimates higher cash flows in the early years of the project and lower cash flows in the later years due to the expected decrease in demand for widgets. As a result, the cash flows for each year will need to be discounted using a discount rate that reflects the time value of money.In contrast, a project with equal annual cash flows would use a simpler method of cash flow analysis called the payback period method, which calculates the amount of time it takes for the project's cash inflows to equal its initial investment. This method assumes that the cash flows are consistent throughout the project's life, which is not the case for JT Engineering'sproject.

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It is paradoxical that politicians who argue that capitalism defeated Communism in Eastern Europe also talk of defeating the business of drugs.
T/F

Answers

False. The remark that "it is paradoxical that politicians who argue that capitalism defeated Communism in Eastern Europe also talk about defeating the business of drugs" is untrue.

Even though capitalism and democracy have flourished in many nations, including those in Eastern Europe, the problem of drug use and trafficking is complex and multifaceted, necessitating a variety of solutions.

Because they encourage individual liberty and economic freedom, which have been shown to increase prosperity and well-being, capitalism and democracy have been successful in Eastern Europe in part because of these factors. The efficiency of these systems, however, is influenced by a variety of other variables in addition to their economic principles.

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The Two Sisters has a 15 percent return on assets and a 29 percent retention ratio. What is the internal growth rate?
10.65 percent
4.16 percent
4.55 percent
10.19 percent
19.55 percent

Answers

The correct answer is (b). The internal growth rate for The Two Sisters is 4.16 percent.

The internal growth rate (IGR) is the maximum growth rate a company can achieve without any external financing while maintaining a constant debt-equity ratio. It can be calculated using the following formula:IGR = (Return on Assets × Retention Ratio) / (1 − (Return on Assets × Retention Ratio))Given that The Two Sisters has a 15 percent return on assets and a 29 percent retention ratio, we can calculate the IGR as:IGR = (0.15 × 0.29) / (1 − (0.15 × 0.29)) = 0.0416 or 4.16 percent

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How long does it take for the irs to accept your taxes?.

Answers

The time it takes for the IRS to accept your taxes can vary depending on several factors. The most important factor is the method you use to file your taxes. If you file your taxes electronically, the IRS can generally process and accept your return within 24 hours of submission. This is because electronic filing is faster and more efficient than paper filing.

However, if you file your taxes by mail, it can take significantly longer for the IRS to accept your return. In this case, the processing time can be anywhere from 4-6 weeks. This is because paper returns require manual processing, which takes more time than electronic processing. It's important to note that even if you file your taxes electronically, the IRS may still need to review your return before accepting it. This review process can take several days to a few weeks, depending on the complexity of your return and the workload of the IRS.

In summary, if you file your taxes electronically, you can generally expect the IRS to accept your return within 24 hours of submission. If you file by mail, it can take 4-6 weeks for the IRS to accept your return. However, regardless of how you file, the IRS may still need to review your return before accepting it, which can take several days to a few weeks.

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a bond has a coupon rate of 8%, pays interest semiannually, sells for $960, and matures in 3 years. what is its yield to maturity?

Answers

The yield to maturity of the bond is 9.28%. To calculate the yield to maturity (YTM) of the bond, we need to use the following formula:
YTM = (C + (F + P) / n) / ((F + P) / 2)
Where:
C = annual coupon payment = 8% x face value
F = face value = $1,000
P = price of the bond = $960
n = number of semiannual periods until maturity = 3 years x 2 = 6


First, we need to calculate the semiannual coupon payment:
C / 2 = 0.08 x $1,000 / 2 = $40
Next, we need to calculate the semiannual yield:
(YTM / 2) / 100 = (C / 2 + (F - P) / n) / ((F + P) / 2)
(YTM / 2) / 100 = ($40 + ($1,000 - $960) / 6) / (($1,000 + $960) / 2)
(YTM / 2) / 100 = ($40 + $6.67) / ($980)
(YTM / 2) / 100 = 0.0464
YTM / 2 = 4.64
YTM = 9.28%

Therefore, the yield to maturity of the bond is 9.28%.

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if the reserve requirement is 15 percent and a customer makes a new cash deposit of $50,000, how much new excess reserves are created? group of answer choices

Answers

If, for example, a person sells the Federal Reserve a $1,000 U.S. Treasury asset, the Federal Reserve will pay for the sale with a check drawn on a Federal Reserve bank.

The demand deposits at that person's bank, Central Security, will rise by $1,000 if he deposits this cheque there. Demand deposits are a part of the money supply, therefore a rise in demand deposits leads to an increase in the total amount of money in circulation.

The maximum money supply can be increased with the excess reserves of $5000.

Total money supply = (money multiplier)(excess reserves)

Total money supply = (1 required reserve)

(excess reserve)

Total money supply = (1/10%) ($ 5000)

Total Money supply = $ 50000

There will also be further increases in the money supply. The Federal Reserve will credit Central Security's deposits at the Federal Reserve bank with $1,000 when Jonathan's cheque clears.

The reserves of Central Security will be increased by $1,000. Let's say the necessary reserve ratio is 25%. With a 25% increase in reserves, Central Security is required to enhance its

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Financial advisors suggest having about how much in savings?.

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Financial advisors suggest having anywhere from three to six months' worth of living expenses saved in an emergency fund. This is typically considered to be a good amount of savings to have on hand in case of unexpected expenses or a loss of income.

The exact amount you should aim to save depends on your individual financial situation. Factors such as your monthly expenses, income, job stability, and overall financial goals can all impact how much you need to save.For example, if you have a stable job with a steady income and few expenses, you may be able to get by with a smaller emergency fund. On the other hand, if you have a more volatile job or higher expenses, you may need to save more to ensure you can weather any financial storms that come your way.Ultimately, the goal of having savings is to provide a safety net for yourself and your family in case of emergencies or unexpected expenses. By having a solid emergency fund in place, you can feel more secure in your financial situation and better prepared to handle any challenges that may come your way.

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answer the following question as it relates to the 2013 louisiana residential agreement to buy or sell: real property consisting of one to four residential dwelling units, which are buildings or structures, each of which are occupied or intended for occupancy as single family residences is known as:

Answers

The term used in the 2013 Louisiana Residential Agreement to buy or sell for real property consisting of one to four residential dwelling units is "single family residences".

"Single family residences" refers to a type of housing unit that is designed for one family to live in, with no shared walls or common areas. This term is used to distinguish these types of properties from multi-family residences, such as apartment buildings or townhouses, which are designed for multiple families to live in.

In terms of the Louisiana Residential Agreement, this designation is important because it may affect certain legal and financial aspects of the transaction, such as zoning laws, property taxes, and insurance requirements. Therefore, it is important for both buyers and sellers to be aware of the specific designation of the property they are dealing with, and to understand the implications of this designation.

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A deposit made by a company will appear on the bank statement as a.

Answers

The information on the bank statement. Any discrepancies should be investigated and corrected to ensure that the company's financial records are accurate and up-to-date.

A deposit made by a company will appear on the bank statement as a credit transaction. When a company deposits funds into its bank account, it is increasing the balance of funds held at the bank. This increase is reflected on the bank statement as a credit, which is a positive entry in the account ledger. The credit entry will show the date of the deposit, the amount of the deposit, and any relevant information such as the source of the deposit.

It is important for a company to reconcile its bank statement regularly to ensure that all transactions, including deposits, are accurately reflected. This involves comparing the company's records of deposits made.

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a. imelda company budgets sales of $1,090,000, fixed costs of $66,200, and variable costs of $294,300. what is the contribution margin ratio for imelda company? (enter your answer as a whole number.) fill in the blank 1 % b. if the contribution margin ratio for peppa company is 66%, sales were $805,000, and fixed costs were $361,280, what was the income from operations? $fill in the blank 2

Answers

The income from operations for Peppa Company is $170,020.

a. To find the contribution margin ratio for Imelda Company, follow these steps:

1. Calculate the total revenue: $1,090,000 (given as sales)
2. Calculate the total variable costs: $294,300 (given)
3. Calculate the contribution margin: Total revenue - Total variable costs = $1,090,000 - $294,300 = $795,700
4. Calculate the contribution margin ratio: (Contribution margin / Total revenue) x 100 = ($795,700 / $1,090,000) x 100 = 72.94%

The contribution margin ratio for Imelda Company is approximately 73%.

b. To find the income from operations for Peppa Company, follow these steps:

1. Calculate the contribution margin: Sales x Contribution margin ratio = $805,000 x 0.66 = $531,300
2. Subtract fixed costs from the contribution margin: Contribution margin - Fixed costs = $531,300 - $361,280 = $170,020

The income from operations for Peppa Company is $170,020.

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Which skill would be categorized as an innate skill? Which skill would be categorized as a learned skill?



Answers

The skill that would be categorized as an innate skill are inborn skills, the skill that would be categorized as a learned skill is one that is being taught such as reading, handcraft .

What are innate skill and  learned skill?

Innate skills  can be regarded as the inborn skills whioch can be seen to be based on the  genetic makeup of an individual  and this can be seen to affect their behaviour instance of this is whenyou see someone having a naturally charismatic.

It should be noted that the learnt skill serves as one that  is been  acquired  or which requires one to go for teaching  which could be learning of fashion designing.

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in a market economy, the relationship between the price of a good and amount of a good that buyers tend to buy is

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In a market economy, the relationship between the price of a good and the amount of a good that buyers tend to buy is known as the law of demand.

According to this law, there is an inverse relationship between the price of a good and the quantity of the good that consumers are willing and able to purchase. This means that as the price of a good increases, the quantity demanded of the good decreases and vice versa. This relationship is driven by the concept of diminishing marginal utility, which states that as a consumer purchases more of a good, the satisfaction derived from each additional unit consumed decreases.

As a result, consumers are only willing to pay a higher price for a good if they perceive that the marginal utility gained from the good is worth the additional cost. Overall, the law of demand helps to inform businesses and policymakers about how changes in price will impact the quantity of goods that consumers are willing and able to buy, allowing for more efficient allocation of resources in the economy.

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for u.s. investors, which of the following is a source of risk involved with international investments, but not with domestic investments?

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The correct option is B, Currency risk is a source of risk involved with international investments that are not present with domestic investments for U.S. investors.

Currency risk, also known as exchange rate risk, is the potential financial loss that can occur from changes in the exchange rate between two currencies. It is a common risk faced by individuals, businesses, and investors who operate across borders or engage in international transactions.

Currency risk arises when a party has assets, liabilities, revenues, or expenses in a currency other than their home currency. Fluctuations in exchange rates can impact the value of these assets and liabilities, and can also affect the cost and revenue streams of businesses. For example, if a business purchases goods from a foreign supplier and the value of the supplier's currency depreciates against the business's home currency, the business may end up paying more for the same goods.

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Complete Question:

for u.s. investors, which of the following is a source of risk involved with international investments, but not with domestic investments?

A). Global markets.

B). Currency risk

C). Equity price risk

D). Foreign exchange risk

if information in the listing agreement needs to be changed, who must give written consent to the changes?

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If there is a need to change the information in the listing agreement, then all the parties to agreement, including the seller and the listing broker, must give written consent to the changes to ensure that everyone is aware of changes and agrees to them.

The "listing-agreement" is referred as a contract between "seller" and "real-estate broker" which authorizes the broker to represent seller and market their property for sale. It includes details such as property's address, listing price, duration of agreement, broker's commission, and other terms and conditions of sale.

If any of information in agreement needs to be changed, such as the listing price or commission rate, all parties must agree to the changes in writing. Any changes made to the listing agreement should be documented in writing and signed by all parties to the agreement to avoid any misunderstandings later on.

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consider the payoff matrix between a low-price and a high-price strategy for two firms. the payoff (or benefit) that firm a (blue) and firm b (red) receive for each strategy is represented above. what is the dominant strategy for firm a?

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Considering the payoff matrix between a low-price and a high-price strategy for two firms, Firm A (Blue) and Firm B (Red), the dominant strategy for Firm A can be determined by comparing the payoffs for each strategy. A dominant strategy is one that provides the highest payoff for a firm, regardless of the other firm's actions.

To identify the dominant strategy for Firm A, we must examine the payoffs for both the low-price and high-price strategies. If the payoff for the low-price strategy is consistently higher than the high-price strategy, regardless of Firm B's actions, then the low-price strategy is the dominant strategy for Firm A. Conversely, if the payoff for the high-price strategy is consistently higher, then the high-price strategy is the dominant strategy.
It is important to consider the potential outcomes and payoffs for each firm in the matrix to make an informed decision. By doing so, Firm A can adopt the dominant strategy that will maximize its benefits and potentially outperform its competitor, Firm B.

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