to create a corporation: group of answer choices articles of incorporation and an application must first be filed with the federal government. the federal government issues a certificate of incorporation which must be filed with an application to do business in the relevant states. the incorporaters must hold a public organization meeting, then file articles of incorporation. the corporation's articles of incorporation are filed with the appropriate officer of the state. none of the other choices are correct

Answers

Answer 1

Choosing a commercial enterprise name is the first vital step in forming a corporation.

Your enterprise identify have to be distinct from the names of current corporations in your state. You can search name availability online at the internet site of the secretary of country or different nation enterprise accountable for commercial enterprise filings.

What is the cause of a corporation?

Today, the trendy answer is that a corporation's purpose is to benefit its shareholders – academics speak of the “shareholder primacy norm,” and many talk of corporate managers' venture as “shareholder wealth maximization.” Even apparently selfless corporate acts, such as charitable donations

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Related Questions

________ measures how changes in price affect the quantity of the product demanded.

Answers

The quantity of a product that is demanded is affected by price changes, as measured by the price elasticity of demand.

The ratio of the percentage change in a product's quantity demanded to the percentage change in price is known as price elasticity of demand. It aids economists in understanding how supply and demand change in response to price changes in a given good.

Consumer durables are a prime example of a product with elastic demand. Like a washing machine or a car, these are infrequently acquired things that can be put off if the price increases. For instance, car discounts have successfully boosted car sales by lowering prices.

An economic indicator of the rise in the number of goods demanded or consumed in reaction to a change in price is the price elasticity of demand.

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when horizontally scaling, the allocation of resources is referred to as and the releasing of resources is referred to as .

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When horizontally scaling, the allocation of resources is referred to as and the releasing of resources is referred to as horizontal scaling.

Aid refers to all of the materials to be had in our environment that are technologically available, economically feasible and culturally sustainable and help us to fulfill our wants and needs.

Resources are anything that has software and provides fee on your existence. Air, water, food, flowers, animals, minerals, metals, and the whole lot else that exists in nature and has utility to mankind is a 'aid'

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What system acquisition method has the advantages of freeing up it resources by bypassing the is department and avoids delays, and allows users to control the design of the application and make changes as needed?.

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Rapid Application Development Bypassing the IS department  allows users to control the design of the application and make changes as needed.

What is a system purchase plan?

An acquisition strategy is a high-level plan that emphasizes risk identification and management in order to succeed. Business requirements for supporting work activities necessitate integration across several systems, spanning diverse business or organizational units.

What is system acquisition and development?

The system acquisition, development, and maintenance security policy applies information security to software systems inside an organization and incorporates it into policies.

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on january 9, $500 was paid towards a purchase of office supplies on account for $1,000. what is the journal entry for this transaction?

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In your company's books, a journal entry serves as a record of a business transaction. Every transaction requires at least two journal entries in double-entry bookkeeping.

What Is a Journal Entry in Accounting?A journal entry is a record of a business's financial transactions kept in its accounting books. An accurate date, the sums to be debited and credited, a description of the transaction, and a special reference number are all components of a properly documented journal entry.The accounting cycle begins with a journal entry. A journal records all of a company's financial activities and identifies the accounts that are impacted. Every financial transaction affects at least two accounts since most organizations employ a double-entry accounting system; while one account is debited, another account is credited. This indicates that a journal entry contains an equal amount of debit and credit.

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Jane is applying for a job at an in-store job kiosk. What is a benefit of applying for a job this way?

Jane can print the application to complete at home.
Jane can search for current job openings at the store.
Jane can start the application and then come back the next day to complete it.
Jane will need home computer access to finish the application.

Answers

The benefit of applying for a job this way is (A)Jane can print the application to complete at home .

What are the benefits of applying for a job online ?

If the applicant has carpal tunnel syndrome or arthritis, filling out standard paper forms might be excruciating, sometimes literally. It is also true that many job candidates, especially those under 30, feel more at ease communicating with a computer than with a pen or pencil. Employers gain as well No longer will hiring supervisors or HR staff have to strain their eyes to read sloppy handwriting.

On a typical form, a stressed job candidate could unintentionally make typos and leave questions unfilled. In some circumstances, a mistake like this may be sufficient to disqualify the candidate. Online applications may be programmed so that submission is only possible after completion.

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as quantity increases and approaches maximum capacity: group of answer choices atc rises rapidly but avc decreases. both atc and avc rise rapidly. atc rises rapidly but afc decreases. none of the above is correct. options a. and c. are correct; option b. is not.

Answers

Option A: As output rises, AVC gets closer to ATC due to falling average fixed costs.

The cost per unit of output is known as the average total cost (ATC). The overall fixed price per unit of production is known as the average fixed cost (AFC). The overall contribution margin per unit of production is known as the average variable cost (AVC). AVG is TVC / Q, ATC is TC, and AFC is TFC.

The link between the curves is significant. The vertical gap between ATC & AVC must equal AFC since ATC = AVC + AFC.

Average fixed cost (AFC), which can never be constant, is the ratio between average total cost (ATC) & average variable cost (AVC). The gap between ATC & AVC must decrease as production rises since AFC tends to shrink with an increase in production.

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the practice of including ethnic themes and cross-cultural perspectives within the mainstream marketing of the organization is called:

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More specifically, a marketing plan that takes into account the varied cultures and ethnicities of a target market is referred to as multicultural marketing.

Explain about the multicultural marketing?

More specifically, a marketing plan that takes into account the varied cultures and ethnicities of a target market is referred to as multicultural marketing. Successful inclusive marketing efforts emphasize individuals or groups that may be under or incorrectly portrayed in order to challenge conventional advertising practises.

Brands may reach diverse segments with their message by using multicultural marketing. The purpose is to highlight people from various backgrounds who have dealt with the company. Building familiarity with target market members through the use of visual representations of their various geographic and racial backgrounds is beneficial.

In order to appeal to a culture's demands, multicultural marketing techniques must take into account that culture's traditions, beliefs, values, conventions, language, and religion.

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2. competitors like hp and kodak are more geographically diversified in their sourcing. what advantages does this create for them?

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Regarding the second part of the question, we believe that HP's and Kodak's geographically diversified manufacturing operations have a risk mitigating advantage as they are not dependent on a single national currency.

The benefits of an owner equity investment usually include some degree of control over the company by owning a majority of the company's shares. Each time we sell shares to investors, we dilute or reduce our stake in the small business. A company can usually build strong brand awareness and customer loyalty by being there first, before competitors come in. Other benefits include extra time for perfecting products and services and setting market prices for new items.

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The armature of a 4-pole series dc motor has 50 slots, with 10 conductors per slot. There are 4 parallel paths in the armature winding. Every pole of the stator produces a flux of 0. 04 wb. Internal resistance of the motor is 20 ω. The motor is connected to an emf source that provides electrical power at a potential difference of 600 v. The motor runs at a speed of 1500 rpm. The motor has an efficiency of 90%. Calculate the output torque of the motor.

Answers

The output torque of the motor is 17.188Nm.

Given;

poles =4 , slots =50, conductors per slot=   10

total conductor = 50x10 = 500

parallel path A =4

flux pole 0.04wb

speed = 150 rpm

efficiency 90%

internal resistance 20

back emf generated by the motor is

      [tex]E_{b}[/tex] = ∅[tex]\frac{ZN}{60} \times \frac{P}{A}[/tex]

     [tex]E_{b} = \frac{0.04\times 500\times 1500}{60} \frac{4}{4}[/tex]  

       [tex]E_{b} =500 volt[/tex]

[tex]I_{a} = \frac{V- E_{b} }{R_{a} }[/tex]

    = [tex]\frac{600-500 }{20}[/tex]

   [tex]I_{a} =[/tex] = 5A

power input to motor

[tex]P_{in} =V I_{a\\[/tex]

       = 600x 5 = 3000 W

[tex]P_{in} =[/tex] 3KW

efficiency %  η = [tex]\frac{P_{out} }{P_{in} } \times 100[/tex]

                        = 0.9= [tex]\frac{P_{out} }{3000} \\ P_{out} = 2.7KW[/tex]

torque produced (T)

              T.W = [tex]P_{out}[/tex]

                  T = [tex]\frac{P_{out}}{W}[/tex]

                 W  = [tex]\frac{2\pi N}{60}[/tex]

                  T = [tex]\frac{P_{out\times 60} }{2\pi N}[/tex]

                   T = [tex]\frac{2700\times 60 }{2\pi \times 1500}[/tex]

         Torque = 17.188Nm

What is motor?

An electric motor is an electrical machine that transforms electrical energy into mechanical energy. Most electric motors work by the interaction between the motor's magnetic field and the electric current in the wire coil, generating power in the form of torque applied to the motor's shaft.

Advantages of electric vehicles

No fuel is needed, so you save  gas. Paying $0.10 per kW is  equivalent to running on gas that costs less than $1 per gallon. Environmentally friendly because it does not cause pollution. Less maintenance thanks to an efficient electric motor. Better performance.

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if a paper mill shuts down its operations for three months so that it produces nothing, its will be reduced to zero?

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If a paper mill shuts down its operations for three months so that it produces nothing, its will variable costs will be reduced to zero.

What is variable costs?Costs that vary according on how much of a good or service a company produces are known as variable costs. The total of marginal costs across all units produced represents variable costs. They may also be regarded as typical expenses. The two elements of total cost are fixed costs and variable costs.Costs that change as the volume increases are known as variable costs. Raw materials, piece-rate labor, production supplies, commissions, shipping expenses, packing costs, and credit card fees are a few examples of variable costs. The variable costs of manufacturing are sometimes referred to as the "Cost of Goods Sold" in accounting accounts.

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a quantity of inventory that helps protect against lost sales caused by unfulfilled demands from customers or delays in shipments from suppliers is called:

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A quantity of inventory that helps protect against lost sales caused by unfulfilled demands from customers or delays in shipments from suppliers is called Safety Stock.

Safety stock is an additional amount of a product that's saved within the warehouse to prevent an out-of-inventory state of affairs. It serves as coverage in opposition to fluctuations in demand.

Safety stock is a time period utilized by logisticians to explain a degree of more inventory that is maintained to mitigate threat of stockouts caused by uncertainties in supply and call for. good enough safety stock levels permit business operations to continue consistent with their plans.

Safety inventory is used as a buffer to defend groups from stockouts due to inaccurate making plans or negative schedule adherence by providers. As such, its value (in both fabric and control) is regularly seen as a drain on financial resources that outcomes in discount projects.

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There is a bond that has a quoted price of 108.711 and a par value of $2,000. the coupon rate is 6.99 percent and the bond matures in 21 years. if the bond makes semiannual coupon payments, what is the ytm of the bond?

Answers

If the bond makes semiannual coupon payments, 6.34% is the YTM of the bond.

Given the par value = $2,000

Annual Coupon Rate = 6.99%

Semiannual Coupon Rate =  6.99%  / 2 = 3.495%

Semiannual Coupon = 3.495% * $2,000  =  $69.90

Current Price = 108.711% * $2,000  = $2,174.22

Time to Maturity = 21 years

Semiannual Period = 42

Let semiannual yield to maturity be s%

$2,174.22 = $69.90 x PVIFA(s%, 42) + $2,000 x PVIF(s%, 42)

With the help of Ms. Excel we can have the following data;

N = 42

PV = -2,174.22

PMT = 69.90

FV = 2000

s = 6.34%

Semiannual yield to maturity = 6.34%

Thus the effective annual rate can be found with the following formula

EAR = (1 + Semiannual YTM - 1)

       = (1 + 0.0634 - 1)

        = 1.0634 - 1

        = 0.0634 or 6.34%

Therefore 6.34% should be the effective annual rate.

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why does the united states government provide tax breaks related to the amount of money companies spend on research and development?

Answers

To allow antitrust authorities to challenge joint research efforts  states government provide tax breaks related to the amount of money companies spend on research and development.

Antitrust authorities : Antitrust refers to the control of economic power concentration, particularly in relation to monopolies and other anticompetitive behaviour. Both federal and state laws governing antitrust are in existence.

These offences frequently take the form of: "Price fixing" refers to any agreement between rival suppliers that specifies an agreed price or otherwise determines how the price will be established between those vendors. At the wholesale or retail levels, a price fixation agreement may be reached. Antitrust Authorities refers to the Federal Trade Commission, the Department of Justice, the attorneys general of the various states in the United States of America, as well as any other governmental entity with jurisdiction over the transactions contemplated by this agreement under applicable antitrust laws.

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people tend to like higher incomes and lower inflation. what kind of change in our model results in higher incomes and lower inflation?

Answers

An increase in AS is the kind of change in our model results in higher incomes and lower inflation.

What does mean higher incomes and lower inflation?Income growth for those with greater earnings can counteract inflationary pressure. But sadly, increasing inflation and economic disparity can push lower-income households deeper into poverty. Additionally, research has demonstrated that inflation inequality, or the tendency for prices to grow more quickly for people with lower incomes, may exist.Income disparity is more pronounced when inflation rates are low. Inequality falls as inflation rises, troughs at a level about 13% inflation, and then begins to rise once more.Increased wages would mean higher expenses for enterprises, who would then pass those expenses along to customers. Additionally, greater earnings boost consumers' discretionary income, increasing demand for goods and perhaps driving prices even higher.

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the auditors' understanding about the terms of the engagement established with a client should be confirmed through a(an):

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Through a spoken dialogue with the client, the auditors should validate their grasp of the conditions of the engagement made with the client.

An auditor is someone or an organization hired by a business to carry out an audit. A person must be certified by the accounting and auditing regulatory body or meet specific requirements in order to practice as an auditor. A regulatory authority certificate of practice is typically required for someone to serve as the company's external auditor.

A company's efficiency is monitored by auditors, who evaluate its financial activities. They are responsible for monitoring cash flow from start to finish and making sure that an organization's funds are correctly accounted for.

An auditor's primary responsibility in the case of public firms is to assess the conformity of financial statements with widely accepted accounting principles (GAAP). Auditors examine accounting data to satisfy this criterion.

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luccia's is a restaurant based in illinois that exclusively sells italian food. luccia's sells the rights to its recipes to a british firm, clover trading, which then opens an outlet in london under the luccia's brand name. which kind of channel arrangement does luccia's most likely have with clover trading? group of answer choices

Answers

The correct answer is a contractual vertical marketing system. Here Luccia will have a contractual vertical marketing system channel agreement.

When different manufacturing and distribution organizations employ coordinated strategies established through a contract to jointly achieve strategic and financial gains, this is known as a contractual vertical marketing system.

Most business models that employ the contractual vertical marketing system are retail, wholesale, and franchising. The greatest benefits added to this system are economies of scale and increased marketing reach.

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The largest of cities can provide lower risk to real estate investors resulting from.

Answers

Better transportation access, better access to market information because of this, the largest cities can provide lower risk to real estate investors.

What are the ways to Minimize Risk in Real Estate ?Real estate is the most valuable asset class in many countries, accounting for a larger proportion of people's wealth than other assets.Most of us invest in real estate differently than we do in other areas. If you were buying a stock, you would not consider only companies located in your city or a specific part of your city.Because cities are complex economies, a wide range of factors influence this return. As a result, when determining a city's attractiveness, investors consider a wide range of city characteristics and behaviours.

Because of this, large cities can provide lower risk to real estate investors.

- better transportation access

- better access to market information

- better chance of retenanting struggling real estate

- a larger array of industries generating real estate demand

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When supply chain members that buy and sell to one another are not in agreement about their goals, roles, or rewards ________ channel conflict can occur.

Answers

The answer is: Vertical

an investment fund has the following assets in its portfolio: $43 million in fixed-income securities and $43 million in stocks at current market values. in the event of a liquidity crisis, it can sell its assets at a 93 percent discount if they are disposed of in four days. it will receive 95 percent if disposed of in six days. two shareholders, a and b, own 7 percent and 9 percent of equity (shares), respectively. a. market uncertainty has caused shareholders to sell their shares back to the investment fund. what will the two shareholders receive if the investment fund must sell all its assets in four days? in six days

Answers

The correct answer is Sells within 4 days: $ 5,598,600, $7,353,000

Sells within 6 days = $5,719,000, $7,353,000

The computation sell of two days and four days is shown below:-

Sells within 4 days:

Value of fixed-income securities = $43,000,000 ×  0.93

= $39,990,000

Value of stock =$43,000,000 × 0.93

= $39,990,000

Total value = $79,980,000

Shareholder A gets from 7% of equity = $79,980,000 × 7%

= $ 5,598,600

Shareholder B gets from 9% of equity = $79,980,000 × 9%

= $7,198,200

Sells within 4 days

Value of fixed-income securities = $43,000,000 × 0.95

= $40,850,000

Value of stock =$43,000,000 × 0.95

= $40,850,000

Total value =$81,700,000

Shareholder A gets from 6% of equity = $81,700,000 × 7%

= $5,719,000

Shareholder B gets from 8% of equity = $81,700,000 × 9%

= $7,353,000

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maria lorenzi owns an ice cream stand that she operates during the summer months in west yellowstone, montana. she is unsure how to price her ice cream cones and has experimented with two prices in successive weeks during the busy august season. the number of people who entered the store was roughly the same each week. during the first week, she priced the cones at $4.80 and 2,185 cones were sold. during the second week, she priced the cones at $5.30 and 1,750 cones were sold. the variable cost of a cone is $1.00 and consists solely of the costs of the ice cream and the cone itself. the fixed expenses of the ice cream stand are $2,030 per week. required: 1. what profit did maria earn during the first week when her price was $4.80? 2. at the start of the second week, maria increased her selling price by what percentage? what percentage did unit sales decrease? (round your percentage answers to 2 decimal place.) 3. what profit did maria earn during the second week when her price was $5.30? 4. what was maria's increase (decrease) in profits from the first week to the second week?

Answers

Part 1. The profit earned in week 1 is $6273

Part 2. The percentage increase in selling price is 10.41% and the percentage decrease in unit sales is 19.90%

Part 3. The profit earned during the second week is $5495

Part 4. The decrease in profit from the first week to the second week is 12.40%

Week 1:

Price of the cone = $4.80

Number of cones sold = 2185 cones

Week 2:

Price of the cone = $5.30

Number of cones sold = 1750

The variable cost of the cone = $1.00

Fixed cost = $2030

Part 1.

Total revenue from selling ice cream cones in the first week = $4.80*2185

= $10,488

Cost = Fixed + variable cost

= 2030 + $1*2185

= $4215

So, profit in week 1 = 10488 - 4215 = $6273

Part 2.

Percentage increase in selling price = $5.30 -$4.80/$4.80*100

= 0.50/4.80*100

= 10.41%

Percentage decrease in unit sales = 2185 - 1750/2185*100

= 19.90%

Part 3.

Total revenue from selling ice cream cones in the second week = $5.30*1750

= $9275

Cost = Fixed + variable cost

= 2030 + $1*1750

= $3780

So, profit in week 2 = 9275 - 3780 = $5495

Part 4.

Decrease in profit = 6273 - 5495/6273*100

= 12.40%

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all of the following statements describing diversification are correct except a) diversification is not enhanced by the addition of foreign securities to a portfolio because they are always highly correlated with domestic equity. b) to minimize business risk, one could allocate among a number of asset categories and purchase mutual funds. c) to reduce liquidity risk, one would keep a sufficient portion of assets in cash or cash equivalent assets. d) to minimize interest rate risk, one could diversify within the fixed-income asset category by staggering bond maturity dates.

Answers

All of the following statements describing diversification are correct except to minimize business risk, one could allocate among a number of asset categories and purchase mutual funds.

Which of the following sentences most accurately sums up the diversification principle?

An investment can completely reduce systematic risk by being spread among a wide variety of assets.

Which of the following benefits of diversification is the primary one?

By investing in instruments that cover a variety of financial instruments, industries, and other categories, diversification lowers risk. While systematic or market risk is typically unavoidable, unsystematic risk can be reduced by diversification.

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charleston, incorporated has accounts receivable of $110,000 and an allowance for doubtful accounts of $17,000. if it writes-off a customer account balance of $1,700, what is the amount of its net accounts receivable?

Answers

Accounts receivable for Charleston, Inc. are $110,000, and there is a $17,000 provision for doubtful accounts. Its net accounts receivable would be $93,000 if a $1,700 customer account balance were written off.

What are doubtful accounts, exactly?

Money owed by customers to a company is referred to as a questionable account. The only problem is that the business doesn't anticipate receiving the money. (It is "unlikely" that you will collect.)

The phrase can also be used to describe an account that is currently a reserve but could eventually turn into a bad debt because it hasn't reached the stage where it can be wiped off. All types of organizations consistently face the difficulty of managing questionable debt.

Calculation:

Data presented:

$110,000 in accounts receivable

Doubtful Accounts Allowance = $17,000

Below is a graph showing how net accounts receivable were calculated:

Net Accounts receivable = Accounts receivable - Allowance for Doubtful Accounts

= $110,000 - $17,000

= $93,000

Since it is already accounted for in the allowance for doubtful accounts, there will be no effect on the write-off amount on the net accounts receivable.

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a straightforward example of a is the interest rate. group of answer choices price ceiling financial investment rate of return price floor

Answers

The interest rate is a simple illustration of a rate of return.

Return is the financial term for an investment's profit. It includes any variation in the investment's value as well as any cash flows the investor receives as a result of the investment, such as interest payments, coupons, cash dividends, stock dividends, or the payoff from a derivative or structured product.

The growing rate of return on investment is another name for the simple rate of return (ROI). The rate of return can also be described as the net amount of discounted cash flow realized from an investment after the inflation adjustment is made, taking into account time, money's worth, and inflation impacts.

The amount a lender charges a borrower is called an interest rate, and it is expressed as a percentage of the principal, or the loaned amount. Typically, a loan's interest rate is expressed as an annual percentage rate, or APR (APR).

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if after 100% specialization and trade, the united states produces 0 coconuts and 50 bottles of milk, and jamaica produces 80 coconuts and 0 bottles of milk, what is the total world production of coconuts?

Answers

The world production of coconuts is 80 coconuts.

What is the world production of coconuts?

Specialisation is when a country exclusively produces a good or service for which it has a comparative advantage in its production. A country has a comparative advantage in the production of a good or service for which it has a lower opportunity cost in its production.

The world production of coconuts is the sum of the quantity of coconut produced by the United States and the quantity of coconuts produced by Jamaica. The world production of coconuts = quantity of coconuts products by United States + quantity of coconuts products by Jamaica.

The world production of coconuts = 80 + 0 = 80

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Why are free riders a problem for interest groups trying to secure collective goods?.

Answers

Free riders can enjoy collective goods even without helping, so they do not provide support for interest groups.

Free riders reap the rewards without putting in any effort. Interest groups dislike free riders since they receive the benefits even though they are not members, leaving the latter group bankrupt.

That issue stems from the fact that, despite the fact that every member of a group may have interests in common with one another, everyone also has conflicting interests. People would rather opt out of a collective action if participating costs money.

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lenders of chief distributors decided to convert $75,000 of convertible notes payable into 10,000 shares of $1 par common stock.

Answers

D) Excess Par - Common Credit Paid in Capital $65,000

What does it mean when capital is paid in more than par?

The amount paid by an investor above a stock issue's par value is referred to as additional paid-in capital (APIC, or capital in excess of par value).

How can you determine paid in capital that is higher than par common?

It is calculated by adding the amounts received in excess of the shares' par value to the par value of the issued shares.

Does Paid in Capital outweigh Paid in Liabilities?

The term "paid in capital in excess of par" refers to any difference between the issuance price and the par value, indicating that the shares of stock were purchased at a price higher than the par value. Shareholders' Equity includes paid-in capital in excess of par.

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Full Question = Lenders of Chief Distributors decided to convert $75,000 of convertible notes payable into 10,000 shares of $1 par Common Stock.

Which of the following would be included in the journal entry for this conversion?

a. Credit Common Stock for $75,000

b. Credit Convertible Notes Payable for $75,000

c. Debit Common Stock for $10,000

d. Credit Paid in Capital in Excess of Par - Common $65,000

If a working environment becomes toxic the productivity of all workers will decline. What will happen to the average cost of production as a result?.

Answers

Average cost increases to the average cost of production as a result.

Fee, in not unusual utilization, is the monetary value of products and offerings that producers and purchasers purchase. In a simple monetary feel, value is the measure of the opportunity possibilities foregone in the desire of one properly or pastime over others.

Value is the cost of money that an agency needed to spend to supply its goods or services. Its miles are calculated as the quantity that an employer spends so that it will produce a certain unit of a product. In easy words – it's miles the cash that an agency spends on things together with exertions, services, raw substances, and greater.

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OMARK FOR REVIEW

Question 4 of 40

4. Which is considered a nonjudgmental statement when stopping alcohol service to a guest?

O "I cannot serve you more alcohol because you have had enough. "

O "I'm pretty sure you won't be able to drive home, so I'm not serving you any more drinks. "

O "You seem pretty intoxicated, and I feel that you have had enough to drink tonight. "

O "I'm sorry, but to serve you more alcohol is against the law. "

Answers

Answer:

third optioni

Explanation:

it is not attacking the customer because you are not straightly saying they are intoxicated and you can't just not serve them because they are consuming to much

which pricing strategy is often used when a company wishes to compete by capturing a larger sales volume and is willing to deal with lower profit margins per unit?

Answers

Competition-based pricing strategy is often used when a firm wishes to compete by considering a larger sales volume and is inclined to deal with lower profit margins per unit.

A pricing strategy is a method or model used to set the best price for a good or service.  Competition-based pricing strategy is a type of pricing strategy that enables companies to create a larger sales volume with lower profit margins with the purpose to compete in the market.

The competition-based pricing is also known as competitor-based pricing or competitive pricing. The competition-based pricing focuses on the existing market rate for a firm's goods or services; it does not take into consideration the cost of its products or consumer demand.

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kaleidoscope inc. is a leading international apparel company. competitors across the globe have failed to imitate kaleidoscope inc.'s production models, supply chain systems, knowledge systems, and culture. these attributes have remained unique to kaleidoscope inc. for a long time. which of the following assumptions of the resource-based model of competitive advantage does this scenario best illustrate?

Answers

The assumption of the resource-based model of competitive advantage that best illustrate this scenario is resource immobility.

Resource-based model plans that possessions that are valuable, unique, troublesome to echo, and nonsubstitutable best position a firm for general accomplishment. These crucial possessions can specify the institution to develop firm facilities that can bring about superior acts over occasion.

Resources are not free to move from individual manufacturing to another. This is popular as resource immobility. Resource immobility is a difficult situation in some frugality. The effective distribution of money demand that land, labor, managers, and capital be free to make one's home markets place return the capital.

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