What if the biscuit bakery was a corporation? suppose mrs. Meadows is the ceo, but does not own any stock in the company. The biscuit bakery sells shares of common stock to 40 shareholders, all of them individuals living in north carolina.

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Answer 1

When Biscuit Bakery is a corporation, it is a distinct legal entity with shares owned by individual shareholders who have specific rights and potential financial benefits. Mrs. Meadows, as the CEO, is responsible for running the business but does not have an ownership stake in the company.

If Biscuit Bakery were a corporation with Mrs. Meadows as the CEO, it would be a legal entity separate from its owners, the shareholders. In this case, the company has issued shares of common stock to 40 individual shareholders living in North Carolina. These shares represent ownership interests in the corporation, giving shareholders certain rights and potential financial benefits.

As the CEO, Mrs. Meadows is responsible for managing the day-to-day operations of the Biscuit Bakery and making strategic decisions to grow and maintain the business. However, she does not own any stock in the company, meaning she does not have an ownership stake. This also means that her role and financial incentives may be separate from the shareholders.

Shareholders, on the other hand, can benefit from the corporation's financial success through dividends or an increase in share value. They also have the right to vote on key corporate matters, such as electing board members who represent their interests in overseeing the company's management.

In summary, when Biscuit Bakery is a corporation, it is a distinct legal entity with shares owned by individual shareholders who have specific rights and potential financial benefits. Mrs. Meadows, as the CEO, is responsible for running the business but does not have an ownership stake in the company.

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Related Questions

which of the following are arguments in favor of active stabilization policy by the government? check all that apply. businesses make investment plans many months in advance. shifts in aggregate demand are often the result of waves of pessimism or optimism among consumers and businesses. the fed can effectively respond to excessive pessimism by expanding the money supply and lowering interest rates. the current tax system acts as an automatic stabilize

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The following are arguments in favor of active stabilization policy by the government i.e., shifts in aggregate demand are often the result of waves of pessimism or optimism among consumers and businesses and the fed can effectively respond to excessive pessimism by expanding the money supply and lowering interest rates.

The phrase "stabilization policy" refers to governmental response to a crisis or shock in the economy, such as a sovereign debt default or a stock market collapse. There may be emergency measures and reform legislation as answers. Interest rates may be raised or lowered as part of a stabilization strategy to maintain a stable economy. Interest rates are increased to deter borrowing for spending and decreased to encourage borrowing for spending.

Aggregate demand may also be influenced by stabilization policy by changing the level of taxes and expenditure on the government. This entails raising interest rates, raising taxes, and limiting government deficit spending during economic upswings and lowering interest rates, slashing taxes, and boosting deficit spending during downturns.

Therefore, option B and C are the correct answer.

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a registered representative assists a non customer with a purchase of a security that does not involve her firm. for her work she will receive a nominal commission. this is an example ofa)not selling away, because it is not ongoing activity.b)selling away, but is not a violation because there is only a small payment for services.c)not selling away, because it involves a non customers)selling away, and is a rules violation.

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Selling away is the term used when a registered representative engages in securities transactions outside the scope of their employment with a brokerage firm, without obtaining the firm's approval. This is considered a serious violation of securities laws because it exposes investors to risks that are not properly disclosed or monitored by the firm.

The correct answer is c) selling away, and is a rules violation.


In the scenario described, the registered representative is assisting a non-customer with a purchase of a security that does not involve her firm. Even though the commission she receives is nominal, the fact remains that she is engaging in securities transactions outside the scope of her employment without obtaining her firm's approval. This is considered selling away and is a violation of FINRA rules.
The purpose of FINRA rules is to protect investors and ensure the integrity of the securities market. Selling away is prohibited because it exposes investors to risks that are not properly disclosed or monitored by the firm. Registered representatives have a duty to their clients and their firm to act in the best interests of investors and to comply with all applicable laws and regulations. Failing to do so can result in disciplinary action by FINRA, including fines, suspension, or even revocation of their registration.

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post select cereal offers a free star wars action figure in each box it sells. these extra items are an incentive to buy the product, and are referred to as

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The free Star Wars action figures are referred to as an incentive. An incentive is something offered to encourage or motivate someone to do something, in this case, to purchase Post Select cereal.

The free Star Wars action figure is an additional item included in the cereal box to provide an extra reason for consumers to buy the product.

Promotional items or sales promotions are additional incentives offered by companies to encourage customers to purchase their products. These incentives can be free gifts, discounts, or special offers that create a sense of urgency or excitement around the product. In this case, the Star Wars action figures are a promotional item used to attract more customers to buy the Post Select cereal.

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A bank with insufficient reserves can increase its reserves by.

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A bank with insufficient reserves can increase its reserves by calling in loans.

Bank should call in loans if its reserves are insufficient. It does not help to enhance the reserves to lend money or purchase equities and bonds. The Federal Reserve writes a check written on itself to purchase US Treasury securities in order to enhance reserves.

The check is deposited in a bank by the seller of the treasury security, boosting the seller's deposit. A bank will borrow money from other banks via the Fed's discount window if it does not have enough cash on hand to meet the reserve requirement. The federal funds rate, which is the benchmark for many other interest rates in the economy, is the borrowing rate that banks charge one another.

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The question is incomplete complete question is given below

A bank with insufficient reserves can increase its reserves by.

A) lending federal funds.

B) calling in loans.

C) buying short-term Treasury securities.

D) buying municipal bonds.

Final answer:

A bank with insufficient reserves can increase its reserves by borrowing from another bank or the central bank, attracting new deposits or selling assets such as loans.

Explanation:

A bank with insufficient reserves can increase its reserves in several ways. The first is through obtaining a loan from another bank or the central bank which leads to an increase in the bank's cash holdings hence boosting its reserves. Another way is through attracting new deposits by offering attractive interest rates, creating more funds for reserves. The third way is by selling assets, for instance, loans. This converts assets into cash, thus raising the bank's total reserves.

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which of the following is/are true regarding risk and return? i. you cannot expect to be compensated with higher return for risk you could otherwise diversify away. ii. diversification is necessary to reduce unsystematic risk iii. total risk can be found by adding an asset's beta to its standard deviation

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Options i and ii are true regarding risk and return ,This is known as the principle of diversification and suggests that investors should not expect to be compensated for taking on risk that can be diversified away.

ii. Diversification can help reduce unsystematic risk, or risk that is specific to a particular company or industry. However, systematic risk, which is related to market-wide factors, cannot be diversified away. Option iii is not true as beta and standard deviation measure different types of risk and cannot be added together to find total risk.
Here is the main answer to your question about risk and return, including the terms you requested:

The statements that are true regarding risk and return are: i. You cannot expect to be compensated with higher return for risk you could otherwise diversify away, and ii. Diversification is necessary to reduce unsystematic risk. However, statement iii is not true.


i. This statement is true because investors are not rewarded for taking on diversifiable (unsystematic) risk. Instead, they are rewarded for taking on non-diversifiable (systematic) risk, which cannot be eliminated through diversification.

ii. Diversification is essential for reducing unsystematic risk because it involves investing in a variety of assets, which helps spread the risk among different investments. By doing so, the impact of any single investment's poor performance is minimized.

iii. This statement is not true because total risk is not calculated by adding an asset's beta to its standard deviation. Total risk is represented by an asset's standard deviation, while beta measures the systematic risk relative to the market. Beta and standard deviation are not additive, and they serve different purposes in risk analysis.

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Select the regulatory bodies and/or policies that are designed to protect and educate consumers. (Select all that apply.)
The Nutrition Labeling and Education Act
The National Labor and Relations Board
The Food and Drug Administration
The Internal Revenue Service

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Option a and c: The Food and Drug Administration and the Nutrition Labelling and Education Act are the regulatory agencies and/or regulations that are intended to safeguard and inform customers.

In the United States, the Nutrition Labelling and Education Act (NLEA) is a piece of legislation that was put into effect in 1990. This law mandates that food producers disclose nutritional data about the products they sell. The NLEA was created to safeguard consumers and inform them about the nutritional value of the food they eat.

In the United States, the Food and Drug Administration (FDA) was founded as a regulatory organisation in 1906. By guaranteeing the efficacy, security, and safety of human and veterinary pharmaceuticals, biological products, and medical devices, the FDA is in charge of safeguarding the public's health.

The FDA also controls how food and pharmaceuticals are made, distributed, and labelled. The FDA's mission is to safeguard consumers and inform them about the efficacy and safety of the products they use.

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When deciding whether to buy a second car, the economic way of thinking indicates that the purchaser should compare:.

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The economic way of thinking indicates that when deciding whether to buy a second car, the purchaser should compare the costs and benefits associated with owning a second car.

This means considering not only the initial cost of purchasing the car, but also ongoing expenses such as insurance, maintenance, fuel, and potential repairs. The purchaser should also consider the potential benefits of owning a second car, such as increased convenience and mobility.

When deciding whether to buy a second car, the economic way of thinking indicates that the purchaser should compare the marginal costs and marginal benefits associated with the purchase. This involves considering factors such as the upfront cost of the vehicle, ongoing expenses, and potential benefits like increased convenience or transportation options. By weighing these factors, the purchaser can make an informed decision based on their specific needs and financial situation.

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volkswagen has decided to cut costs by eliminating 5,000 jobs annually until its business has been restored to profitability--a goal that could take as many as ten years to accomplish. union representatives have responded to this decision with emotional outbursts of anger. vw has created: question 3 options: a-type conflict c-type conflict emotive empowerment organizational disharmony norm disruption

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The decision by Volkswagen to cut costs by eliminating 5,000 jobs annually has caused a stir among union representatives who have responded with emotional outbursts of anger. This move by Volkswagen is aimed at restoring profitability to the business, but it could take as long as ten years to achieve the goal.

The decision has caused some degree of organizational disharmony, as the union representatives are not in agreement with the move. It is possible that this could lead to further conflict between Volkswagen and its unions, as the decision to cut jobs may be seen as a norm disruption by the employees. This could create an atmosphere of C-type conflict, which is characterized by low levels of trust and high levels of tension. To prevent this, Volkswagen may need to engage in emotive empowerment of its employees, by involving them in the decision-making process and addressing their concerns.
Volkswagen's decision to cut 5,000 jobs annually to restore profitability has led to "organizational disharmony." This term refers to a situation in which various groups or individuals within an organization have conflicting interests or disagreements that negatively affect the overall functioning of the company. In this case, union representatives have expressed anger at the job cuts, creating tension between the management and the employees. This organizational disharmony can hinder the company's progress toward its goal and may require addressing the concerns of all parties involved to achieve a resolution.

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which of the following serves as a motive for an organization or venture to qualify as a partnership?

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There are several motives for an organization or venture to qualify as a partnership. One of the main motives is to pool resources, skills, and expertise between two or more individuals to start a business.

A partnership is a type of business entity formed by two or more people who share ownership and management responsibilities. In a partnership, each partner contributes to the business in terms of capital, skills, or labor, and shares in the profits and losses of the enterprise.

One motive for an organization or venture to qualify as a partnership is to benefit from the shared resources, expertise, and capital of the partners. By pooling their resources, partners can achieve economies of scale and undertake larger projects than they could individually. Partnerships also allow for shared decision-making and risk-sharing, which can be particularly beneficial for small businesses and startups. Another motive for forming a partnership is to take advantage of the tax benefits of pass-through taxation.

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A troubling economic problem in the 1920s was the depressed state of agriculture caused by.

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A troubling economic problem in the 1920s was the depressed state of agriculture, which was primarily caused by overproduction, falling crop prices, and limited global demand for agricultural products. This situation led to financial difficulties for farmers and contributed to the economic challenges of the era.

Additionally, technological advancements in agriculture had increased productivity, which led to more efficient farming practices. While this was a positive development in terms of increasing productivity, it also meant that fewer farmers were needed to produce the same amount of goods. This led to a decrease in demand for labor in rural areas and contributed to the overall economic depression.

Overall, the depressed state of agriculture in the 1920s was caused by a combination of overproduction, lack of government intervention, and technological advancements. These factors led to a decrease in demand and oversupply, which ultimately resulted in a decrease in prices and economic depression in rural areas.

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elvira meets with her manager to ask for a raise. she seeks a 5% increase. as her manager counters, elvira is reluctant to move off her starting point. this is an example of which decision making heuristic?

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Elvira's interaction with her manager can be analyzed as an example of the anchoring heuristic. The anchoring heuristic refers to our tendency to rely too heavily on the first piece of information presented to us when making decisions.

In the case of Elvira, her anchor is the 5% raise she initially asked for. As her manager counters, she is reluctant to move away from this anchor point, which demonstrates her reliance on this initial piece of information. This can potentially hinder her ability to negotiate effectively and reach a mutually beneficial agreement with her manager.

Finally, Elvira's interaction with her manager can also be understood through the confirmation bias heuristic. This refers to our tendency to seek out information that confirms our pre-existing beliefs or attitudes. In this case, Elvira may be convinced that she deserves a 5% raise, and therefore may only be seeking out information that supports this belief. By not being open to feedback or alternative proposals from her manager, she is exhibiting confirmation bias and potentially limiting her ability to make a well-informed decision.

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firm abc is pursuing a localization strategy that is focused on local responsiveness. therefore, the need for integration and coordination between self-contained country subsidiaries is low. T/F

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According to the question, the given statement is true. When a company pursues a localization strategy that emphasizes local responsiveness, it means that it is tailoring its products, services, and marketing strategies to meet the unique needs and preferences of each local market.

This approach allows subsidiaries in different countries to operate more independently, as they are empowered to make decisions that are best suited for their specific market.

As a result, the need for integration and coordination between subsidiaries is lower, since each subsidiary is focused on its own localized strategy. However, this does not mean that there is no need for coordination or communication between subsidiaries at all, as there may still be shared resources, technology, or knowledge that can be leveraged across different markets.
True, firm ABC is pursuing a localization strategy that is focused on local responsiveness. As a result, the need for integration and coordination between self-contained country subsidiaries is low. This is because a localization strategy emphasizes adapting products and services to meet the specific needs and preferences of each local market, which often leads to greater autonomy for country subsidiaries.

Consequently, there is less necessity for central coordination and integration across different markets.

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A country in a state of fundamental disequilibrium suffers from.

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A country in a state of fundamental disequilibrium suffers from a range of economic problems, including high inflation rates, unemployment, unequal distribution of wealth, and low levels of economic growth. This can be caused by a variety of factors such as political instability, corruption, mismanagement of resources, and external shocks such as natural disasters or fluctuations in commodity prices.

Such a situation can lead to social unrest, political instability, and a loss of confidence in the government and institutions, which further exacerbates the problems. To address this, the country may need to undertake significant economic reforms and address the underlying structural issues that are causing the disequilibrium.
A country in a state of fundamental disequilibrium suffers from an imbalance between its balance of payments, typically caused by issues in its exports and imports, exchange rates, and international capital flows. This situation can lead to economic instability, inflation, and potentially a currency crisis if not addressed properly.

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a company purchased a piece of equipment for $100,000 on jan. 1, 2012. the estimated useful life is 10 years with no salvage value at the end of the 10-year period. the company used the straight-line method to depreciate this equipment in 2012. however, in 2013, the company decided to change the depreciation method to the double-declining method. what effect did this change in depreciation methods have on the income statement for 2013 and the balance sheet as of dec. 31, 2013?

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The change in depreciation methods from straight-line to double-declining has an impact on the income statement and balance sheet.

In terms of the income statement, the change in depreciation method will affect the amount of depreciation expense recognized in 2013. The double-declining method results in higher depreciation expenses in the early years of an asset's life, so the depreciation expense for 2013 will likely be higher than if the company had continued to use the straight-line method. This will result in lower net income for 2013.

As for the balance sheet, the change in depreciation method will affect the carrying value of the equipment on the balance sheet as of Dec. 31, 2013. Under the straight-line method, the carrying value of the equipment would have decreased by the same amount each year. However, under the double-declining method, the carrying value will decrease more rapidly in the early years and less rapidly in later years. As a result, the carrying value of the equipment on the balance sheet as of Dec. 31, 2013, will be lower if the double-declining method is used compared to if the straight-line method was used.

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A surplus store gives a scratch‑off ticket to 2000 customers as they leave with their groceries. Can we expect these customers' average winnings to be close to the average winnings for the entire population of the scratch‑off ticket holders?

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It is difficult to determine whether the average winnings of the 2000 customers from the surplus store would be close to the average winnings of the entire population of scratch-off ticket holders without additional information.

If the scratch-off tickets were randomly distributed among the population of ticket holders, then the sample of 2000 customers from the surplus store would represent a random sample of the population, and the average winnings of the sample could be expected to be close to the average winnings of the population.

However, if the surplus store gave out the scratch-off tickets differently than other stores, or if the customers who received the tickets from the surplus store had different characteristics than the overall population of ticket holders (such as being more likely to shop at surplus stores or being from a specific demographic), then the average winnings of the sample may not be representative of the overall population of ticket holders.

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which of the following statements is not incuded in teh basis for opinion section of the standard report

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The statement that is not included in the Basis for Opinion section of the standard report is option D: "it is not a guarantee that an audit conducted in accordance with GAAS will always detect a material misstatement".

This statement is included in the Auditor's Responsibilities section of the standard report. The Basis for Opinion section includes statements that explain the auditor's responsibilities, such as planning and performing the audit to obtain reasonable assurance, and the scope of the audit, such as the examination of the financial statements and supporting evidence.

It also includes a statement that expresses the auditor's opinion on the financial statements based on the audit performed. Therefore, it is important to understand the different sections of the standard report and what they entail to properly interpret the audit opinion. It is also important to note that an audit conducted in accordance with GAAS provides a high level of assurance but does not guarantee the detection of all material misstatements. The correct option is D.

The complete question is:

Which of the following statements is not included in the Basis for Opinion section of the standard report?

a. "We believe that our audit provides a reasonable basis for our opinion"

b. "Those standards require that we plan and perform the audit to obtain reasonable assurance..."

c. "These financial statements are the responsibility of [the company's] management."

d. "...it is not a guarantee that an audit conducted in accordance with GAAS will always detect a material misstatement..."

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Store supplies of $160 are on hand. The supplies account shows a $1,900 balance. Entry field with correct answer.

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Assuming that the store uses the periodic inventory system, the supplies expense account needs to be adjusted to reflect the actual cost of supplies used during the period.

To calculate the cost of supplies used, we need to subtract the supplies on hand at the end of the period from the beginning balance of the supplies account. periodic inventory system

Beginning balance of supplies account: $1,900

Supplies on hand: $160

Supplies used: $1,900 - $160 = $1,740

Therefore, the entry to adjust the supplies expense account would be a debit of $1,740 and a credit to the supplies account of $1,740. This adjustment ensures that the supplies expense on the income statement reflects the actual cost of supplies used during the period.

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perfectly competitive markets are ____ because ______ ] is maximized and firms produce at the lowest possible____ cost.

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Perfectly competitive markets are efficient because social welfare is maximized and firms produce at the lowest possible long-run average cost.

In perfectly competitive markets, firms are price takers, which means they cannot influence the market price of the good or service they produce. This leads to a situation where firms produce at the lowest possible cost in order to remain competitive, resulting in efficient allocation of resources.

Moreover, in perfectly competitive markets, social welfare is maximized because the market price reflects the marginal cost of production, which represents the value of resources used to produce an additional unit of the good or service. At the equilibrium price, the social welfare, which is the sum of consumer surplus and producer surplus, is maximized.

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What types of location is most commonly associated with the exhibition component system of the movie industry?

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The exhibition component system of the film business is most frequently linked to the site types for concession sales.

Production, distribution, and exhibition make up the three parts of the movie business. The studio system, which controls the three systems that make up the movie industry, is at the centre of the industry. Hollywood movie studios control all part of their film productions, including production, distribution, and exhibition, under the studio system, a business model.

Every member of the cast, including actors, crew, directors, and writers, was employed by one of the Big Five studios, which dominated the industry. Visitors to the studios' official accounts can do so. - Social networking platforms allow moviegoers to post quotes, excerpts, trailers, and other elements from the films they appreciate.

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Whistle-blowing involves exposing activities that are.

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Whistle-blowing involves exposing activities that are Immoral. The answer is OPTION A

A whistleblower (sometimes spelled whistle-blower or whistle blower) is a person, frequently an employee, who discloses knowledge concerning unlawful, immoral, illicit, unsafe, or fraudulent activities within a private or public institution.

A whistleblower (sometimes spelled whistle-blower or whistle blower) is a person, frequently an employee, who discloses knowledge concerning unlawful, immoral, illicit, unsafe, or fraudulent activities within a private or public institution.

Organizations must implement safeguards to protect the identity of the reporter as well as individuals who may be the subject of a report. This should include restricted access to report data as well as secure data transmission in accordance with applicable data protection regulations.

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The question is incomplete complete question is given below

A. Immoral

B. Self-serving agenda

C. To make a sound moral decision

D. Personal gain

FILL IN THE BLANK. the need to organize and plan your estate is especially great when you are ___ to years away from retirement.

Answers

The need to organize and plan your estate is especially great when you are closer to years away from retirement.

An estate refers to the total assets, including property, money, and investments, owned by an individual at the time of their death. These assets are distributed according to the individual's will or, in the absence of a will, according to the laws of intestacy. The estate includes both real estate and personal property, such as cars, jewelry, and household items.

The estate's value is determined by assessing the fair market value of all assets and subtracting any debts, expenses, or taxes owed. The remaining assets are then distributed to the heirs or beneficiaries. Estate planning is the process of preparing for the distribution of assets after death. This includes creating a will or trust, designating beneficiaries for retirement accounts and life insurance policies, and appointing a power of attorney for financial and healthcare decisions.

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Which of the following changes will necessarily occur as a result of an increase in the nominal interest rate: AThe money demand curve will shift to the left.BThe money demand curve will shift to the right.CThe money supply curve will shift to the left.DThe quantity of money supplied will decrease.EThe quantity of money demanded will decrease.

Answers

An increase in the nominal interest rate is likely to cause a decrease in the quantity of money demanded. Here option E is the correct answer.

This is because higher interest rates make saving more attractive, thereby reducing the amount of money people are willing to hold in their wallets and bank accounts. In turn, this can lead to a reduction in consumer spending and business investment, which can have negative effects on economic growth.

Option A, which suggests that the money demand curve will shift to the left, is incorrect because this suggests that people would want to hold less money overall, which is not necessarily the case. Rather, people will want to hold less money relative to other assets like stocks, bonds, and real estate, which become relatively more attractive as interest rates rise.

Option B, which suggests that the money demand curve will shift to the right, is also incorrect for the same reasons as option A.

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In 2021, the Canadian Dollar appreciated relative to the U.S. Dollar. Which of the following actors benefit and which are hurt from this movement in the exchange rate? I. A U.S. firm exporting goods to Canada Can Canadians buy more/less U.S. products?) II. A Canadian tourist visiting the US (When exchanging currencies, do Canadians need to give up more/less Canadian dollars for one U.S. dollar?) III. U.S. companies that previously invested in Foreign Direct Investment in Canada (Is the firm worth more in terms of U.S. dollars?) IV. A U.S. tourist visiting Canada (When exchanging currencies, do Americans need to give up more/less U.S. dollars for one U.S. Canadian dollar?) a I. Benefit, II. Beneft, III. Benefit, IV. Hurt b I. Benefit, II. Benefit, III. Hurt, IV. Hurt c I. Benefit, It Hurt, III. Hurt, IV. Benefit d I. Hurt, II. Benefit, III. Benefit. IV. Hurt

Answers

The Canadian Dollar strengthened against the US Dollar in 2021. These (iv) is the following actors both benefits from and is harmed by this change in the exchange rate.

When the Canadian Dollar and the U.S. Dollar exchange rates change in 2021, Canadian exporters will gain (I), American tourists will lose (IV), Canadian tourists will gain (III), and U.S.

businesses that have previously invested in foreign direct investment in Canada will gain (II). When trading currencies (II), Americans would be forced to part with more dollars than Canadians, and when exchanging currencies (IV), they would be forced to part with less dollars than Canadians.  

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Suppose you have $30 to spend on tacos each week. When the price of tacos increases from $2 to $3, the purchasing power falls from 15 tacos to 10 tacos per week. This decrease in the quantity of tacos demanded illustrates the __________ effect.

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The decrease in the number of tacos demanded due to an increase in price from $2 to $3, when the consumer has a fixed budget of $30 to spend on tacos per week, illustrates the income effect.

The income effect is a change in a consumer's purchasing power or ability to buy goods and services, resulting from a change in the price of goods and services.

When the price of a good increase, the consumer's purchasing power decreases, which can lead to a decrease in the quantity demanded of that good. In this case, the consumer can now afford to buy fewer tacos with their fixed budget of $30 per week, resulting in a decrease in the number of tacos demanded.

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you are the manager of two employees who have repeatedly displayed hostility toward a new employee. you decide to confront these individuals personally.what can you do to make the conversation effective? check all that apply.gather all the information.be patient with the reaction.use an angry, preachy tone.assume you have all the facts and information.

Answers

As the manager in this situation, it is important to handle the confrontation with care and professionalism in order to address the hostile behavior towards the new employee. Here are some steps that can be taken to make the conversation effective:


1. Gather all the information: Before approaching the employees, it is important to gather all the relevant information about the situation. This includes speaking with the new employee to understand the details of the hostility they have experienced, as well as speaking with any witnesses who may have observed the behavior. This will help ensure that the conversation is focused and productive.
2. Be patient with the reaction: When approaching the employees, it is important to remain calm and patient, even if they become defensive or hostile. This can help to de-escalate the situation and keep the conversation focused on addressing the behavior, rather than becoming an argument.
3. Use a calm, professional tone: It is important to use a professional tone when speaking with the employees. This can help to convey the seriousness of the situation, while also showing that you are approaching the conversation with a desire to find a solution.
4. Don't assume you have all the facts: It is important to approach the conversation with an open mind and be willing to listen to the employees' perspectives. This can help to foster a productive conversation where both parties feel heard and understood.
Overall, it is important to approach the conversation with care and professionalism in order to address the hostile behavior towards the new employee. By gathering information, remaining patient, using a professional tone, and being open to different perspectives, the conversation can be effective in addressing the behavior and finding a solution.

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based on your knowledge and the diagram, which of the following is true regarding the leadership structure of congress?

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Answer:The role of the minority leader in both the House of Representatives and the Senate is to coordinate a strategy for the minority party.

Explanation:

paul swanson has an opportunity to acquire a franchise from the yogurt place, incorporated, to dispense frozen yogurt products under the yogurt place name. mr. swanson has assembled the following information relating to the franchise: a suitable location in a large shopping mall can be rented for $3,000 per month. remodeling and necessary equipment would cost $288,000. the equipment would have a 15-year life and a $19,200 salvage value. straight-line depreciation would be used, and the salvage value would be considered in computing depreciation. based on similar outlets elsewhere, mr. swanson estimates that sales would total $330,000 per year. ingredients would cost 20% of sales. operating costs would include $73,000 per year for salaries, $3,800 per year for insurance, and $30,000 per year for utilities. in addition, mr. swanson would have to pay a commission to the yogurt place, incorporated, of 14.0% of sales. required: 1. prepare a contribution format income statement that shows the expected net operating income each year from the franchise outlet. 2-a. compute the simple rate of return promised by the outlet. 2-b. if mr. swanson requires a simple rate of return of at least 17%, should he acquire the franchise? 3-a. compute the payback period on the outlet. 3-b. if mr. swanson wants a payback of three years or less, will he acquire the franchise?

Answers

We need to prepare a contribution format income statement that shows the expected net operating income each year from the franchise outlet. Based on the given information, the following income statement can be prepared:the net cash inflow per year is:
Net Cash Inflow = Annual Cash Inflow - Annual Cash Outflow
Net Cash Inflow = $60,800 - $219,800
Net Cash Inflow = -$159,000

Sales Revenue: $330,000
Less: Variable Costs (20% of sales): $66,000
Contribution Margin: $264,000
Less: Fixed Costs:
Salaries: $73,000
Insurance: $3,800
Utilities: $30,000
Rent: $36,000 ($3,000 per month)
Depreciation: $15,200 (($288,000 - $19,200) / 15)
Commission (14% of sales): $46,200
Total Fixed Costs: $203,200
Net Operating Income: $60,800
Now, to compute the simple rate of return promised by the outlet, we need to divide the net operating income by the initial investment. The initial investment is the sum of remodeling and necessary equipment cost, which is $288,000. Therefore, the simple rate of return is:
Simple Rate of Return = Net Operating Income / Initial Investment
Simple Rate of Return = $60,800 / $288,000
Simple Rate of Return = 0.2111 or 21.11%
The simple rate of return promised by the outlet is 21.11%.
If Mr. Swanson requires a simple rate of return of at least 17%, we need to compare it with the simple rate of return promised by the outlet. As the simple rate of return promised by the outlet (21.11%) is greater than the required simple rate of return (17%), Mr. Swanson should acquire the franchise.
To compute the payback period on the outlet, we need to divide the initial investment by the net cash inflow per year. The net cash inflow per year is the difference between the annual cash inflow and the annual cash outflow. Based on the given information, the annual cash inflow is the net operating income, which is $60,800. The annual cash outflow is the sum of ingredients cost, salaries, insurance, utilities, rent, and commission, which is $219,800 ($66,000 + $73,000 + $3,800 + $30,000 + $36,000 + $46,200). Therefore, the net cash inflow per year is:
Net Cash Inflow = Annual Cash Inflow - Annual Cash Outflow
Net Cash Inflow = $60,800 - $219,800
Net Cash Inflow = -$159,000
As the net cash inflow per year is negative, the payback period cannot be computed. Therefore, we cannot answer the question of whether Mr. Swanson will acquire the franchise if he wants a payback of three years or less.

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suppose that the interest rate in the united states is 3%, and the interest rate in france is 6%. other things equal, the interest rate in france most likely will:

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Suppose that the interest rate in the united states is 3%, and the interest rate in france is 6% while other things equal, the interest rate in france most likely will decrease.

The end-of-year spot exchange rate would have altered in accordance with national inflation rates, so investors might have received less money than they had invested in the U.S.

Interest rate is the amount of interest charged on a loan, deposit, or borrowing, expressed as a percentage of the principal amount. The amount borrowed or the total interest on the amount borrowed is determined by the principal amount, the interest rate, the frequency of compounding interest, and the period for which the loan, deposit, or borrowing was made.

The annual interest rate is called the annual interest rate. Other interest rates apply for shorter terms. B. Days or months, but usually annualized.

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A movement along an aggregate demand curve corresponds to a change in income in the is–lm model ______, while a shift in an aggregate demand curve corresponds to a change in income in the is–lm model ______.

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A movement along an aggregate demand curve corresponds to a change in income in the is–lm model corresponds, while a shift in an aggregate demand curve corresponds to a change in income in the is–lm model interest rate.

A demand curve is a graphical representation of the relationship between the quantity of a good or service that consumers are willing and able to buy at different prices, holding other factors constant. The demand curve slopes downward from left to right, indicating that as the price of the good or service increases, the quantity demanded decreases, and vice versa.

The demand curve is a fundamental concept in microeconomics and is used to illustrate the basic principles of consumer behavior and the market forces that drive prices. It is based on the law of demand, which states that as the price of a good or service increases, the quantity demanded decreases, all else being equal.

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investors may realize a lower effective tax rate on their commercial real estate investments as compared to their ordinary income because

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Investors may realize a lower effective tax rate on their commercial real estate investments as compared to their ordinary income because of several tax benefits available in commercial real estate investing. These tax benefits include depreciation deductions, cost segregation, and 1031 exchanges.

Depreciation deductions allow investors to deduct a portion of the property's value from their taxable income each year, reducing their tax liability. Cost segregation allows investors to accelerate depreciation by breaking down the property into its individual components and depreciating each component separately. Finally, 1031 exchanges allow investors to defer capital gains taxes by reinvesting the proceeds from the sale of one property into another similar property. These tax benefits can significantly reduce the effective tax rate on commercial real estate investments, making them an attractive investment option for many investors.


Investors may realize a lower effective tax rate on their commercial real estate investments as compared to their ordinary income because commercial real estate investments often benefit from depreciation deductions, capital gains tax rates, and tax deferral strategies such as 1031 exchanges. These tax advantages can lead to a more favorable tax situation for investors, thus making commercial real estate investments an attractive option for diversifying their investment portfolio.

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