when using a worksheet to record adjustments, which columns are added to compute the adjusted trial balance:

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Answer 1

When using a worksheet to record adjustments, the following columns are added to compute the adjusted trial balance:

Adjusting entries column: This column is used to record the adjusting entries for the period. Adjusted trial balance column: This column is added to the worksheet after the adjusting entries are made. Income statement columns: These columns are used to prepare the income statement. The columns show the revenue and expense accounts and the net income or loss for the period.

Trial balance is a financial statement that lists all the general ledger accounts of a company and their respective balances. The purpose of a trial balance is to ensure that the total of all the debit balances equals the total of all the credit balances, indicating that the company's accounting records are accurate and balanced.

The trial balance is usually prepared at the end of an accounting period, such as a month or a year. It is an important step in the accounting cycle as it serves as a preliminary check before the financial statements are prepared. If there are any discrepancies in the trial balance, it is an indication that there may be errors in the accounting records that need to be corrected.

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those who have a claim in some aspect of a firm's products, operations, markets, industry, and outcomes are known as group of answer choices shareholders. stockholders. stakeholders. claimholders. special-interest groups.

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The correct term for those who have a claim in some aspect of a firm's products, operations, markets, industry, and outcomes is stakeholders. Shareholders and stockholders are specific types of stakeholders who own shares in the company.

Claimholders is a less common term, but it can refer to anyone who has a legal claim against the company, such as a creditor. Special-interest groups are not necessarily stakeholders unless they have a direct interest in the company's operations or outcomes.


Those who have a claim in some aspect of a firm's products, operations, markets, industry, and outcomes are known as stakeholders.

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you want to have $2.35 million when you retire in 40 years. you feel that you can save $415 per month until you retire. what apr do you have to earn in order to achieve your goal?

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In summary, to reach your retirement goal of $2.35 million in 40 years by saving $415 per month, you'll need to earn an APR of approximately 5.87% on your investments.

First, we need to find out how much your monthly contributions will be worth in 40 years. Using a financial calculator, we can find that the future value of a monthly contribution of $415 with an APR of x percent, compounded monthly, for 40 years is:
PMT = $415
n = 40 x 12 = 480
FV = $2,350,000
Solving for the APR, we get:
APR = 0.687% per month or 8.247% per year

Therefore, you need to earn an APR of 8.247% per year in order to achieve your retirement goal of $2.35 million in 40 years by saving $415 per month.

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which of the following pre-requisite must be installed before you can successfully install active directory rights management service?

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Before you can successfully install Active Directory Rights Management Service (AD RMS), there are a few pre-requisites that must be installed. The first is the Windows Identity Foundation (WIF), which is required for AD RMS management and configuration.

Additionally, the Web Server (IIS) role must be installed and configured properly on the server that will host the AD RMS service. The server must also be a member of an Active Directory domain and have a valid SSL certificate installed. Finally, the AD RMS management tools must be installed on the management workstation that will be used to manage the AD RMS service. Ensuring that all of these pre-requisites are properly installed and configured is essential to the successful management of AD RMS.
Hi! To successfully install Active Directory Rights Management Service (AD RMS), you must first ensure that the following prerequisites are installed and configured:

1. Active Directory Domain Services (AD DS) - AD RMS requires a functioning AD DS to manage user accounts and groups.

2. Internet Information Services (IIS) - This web server is necessary for hosting the AD RMS web services.

3. Microsoft .NET Framework - AD RMS relies on this framework for its operation, so ensure you have the compatible version installed.

4. Windows Server operating system - AD RMS is a server role, so it must be installed on a supported Windows Server version.

5. Microsoft Message Queuing (MSMQ) - This is used for communication between AD RMS components.

Ensure that these prerequisites are properly installed and configured before attempting to install Active Directory Rights Management Service.

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When a monopolist switches from charging a single price to perfect price discrimination, it reduces:.

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Consumer surplus is decreased when a monopolist changes from charging a single price to perfect price discrimination.

The difference between the utmost price a consumer is prepared to pay and the final price they pay is known as the consumer surplus. When a monopolist charges a single price, some consumers may be willing to pay more than the price they are charged, leading to a larger consumer surplus. However, with perfect price discrimination, the monopolist charges each consumer their maximum willingness to pay, eliminating any consumer surplus. This can lead to higher profits for the monopolist, but a loss in overall welfare for consumers.

In a single-price monopoly, the monopolist charges the same price to all consumers, which creates a consumer surplus (the difference between what consumers are willing to pay and what they actually pay). However, with perfect price discrimination, the monopolist charges each consumer exactly what they are willing to pay for the product, thus capturing all consumer surplus and converting it into producer surplus (monopoly profit).

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per johnson, on a closed platform, good ideas can come from anywhere. group of answer choices true false

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True, According to Johnson, on a closed platform, good ideas can come from anywhere, regardless of the source or the location.

Therefore, it is true that good ideas can come from anyone, anywhere, even in a closed platform. This means that valuable insights and innovations can be sourced from a variety of people, regardless of their status or position within the platform.

Good ideas also don't arise from ideas or visions. Instead, they originate from objects. Every brilliant idea is a mixture or mutation of a previously realized notion. The building blocks of innovation are not ideas; rather, they are ideas brought to life in already-available products.

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due to the , a firm strives to maximize its profits and will therefore never pay more for a worker than the value of his/her marginal product to the firm. group of answer choices diminishing marginal product rule supply and demand rule of product markets. first rule of labor markets third rule of labor markets.

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The answer to your question is the "first rule of labor markets." Due to this rule, a firm strives to maximize its profits and will therefore never pay more for a worker than the value of his/her marginal product to the firm. This means that if a worker's productivity starts to diminish, the firm will not continue to pay them the same amount as before. The firm will adjust the wages according to the worker's marginal product to maintain profitability.

This is in line with the economic principle of the diminishing marginal product rule, which states that as more units of a variable input, such as labor, are added to a fixed input, such as capital, the marginal product of the variable input will eventually diminish. The supply and demand rule of product markets is related to the price of goods and services, not labor.


I'm happy to help with your question. Due to the diminishing marginal product rule, a firm strives to maximize its profits and will therefore never pay more for a worker than the value of his/her marginal product to the firm. This principle is also known as the first rule of labor markets, which is influenced by the supply and demand dynamics in product markets.

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a manufacturing company that has only one product has established the following standards for its variable manufacturing overhead. the company bases its variable manufacturing overhead standards on direct labor-hours. standard hours per unit of output 4.60 direct labor-hours standard variable overhead rate $11.55 per direct labor-hour the following data pertain to operations for the last month: actual direct labor-hours 8,500 direct labor-hours actual total variable manufacturing overhead cost $ 95,930 actual output 1,700 units what is the variable overhead rate variance for the month? multiple choice $2,526 u $2,245 u $2,526 f $2,245 f

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Variable overhead rate variance = $95,930 - $98,175 = -$2,245. The variable overhead rate variance for the month is -$2,245 (option D).

To find the variable overhead rate variance for the month, we'll follow these steps:
1. Calculate the standard variable overhead cost for the actual direct labor-hours.
2. Compare the actual variable manufacturing overhead cost with the standard cost to find the variance.
Step 1: Calculate the standard variable overhead cost for the actual direct labor-hours.
Standard variable overhead rate = $11.55 per direct labor-hour
Actual direct labor-hours = 8,500 direct labor-hours
Standard variable overhead cost = Standard variable overhead rate x Actual direct labor-hours
Standard variable overhead cost = $11.55 x 8,500 = $98,175
Step 2: Compare the actual variable manufacturing overhead cost with the standard cost to find the variance.
Actual total variable manufacturing overhead cost = $95,930
Standard variable overhead cost = $98,175
Variable overhead rate variance = Actual total variable manufacturing overhead cost - Standard variable overhead cost =>Variable overhead rate variance = $95,930 - $98,175 = -$2,245
The variable overhead rate variance for the month is -$2,245 (option D).

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On January 1, 2017, Boston Enterprises issues bonds that have a $1,800,000 par value, mature in 20 years, and pay 8% interest semiannually on June 30 and December 31. The bonds are sold at par. 1. How much interest will Boston pay (in cash) to the bondholders every six months? 2. Prepare journal entries to record (a) the issuance of bonds on January 1, 2017; (b) the first interest payment on June 30, 2017; and (c) the second interest payment on December 31, 2017. 3. Prepare the journal entry for issuance assuming the bonds are issued at (a) 96 and (b) 104

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a. The Discount on Bonds Payable account is debited for the difference between the cash received ($1,728,000) and the face value of the bonds ($1,800,000).

b. The Premium on Bonds Payable account is credited for the difference between the cash received ($1,872,000) and the face value of the bonds ($1,800,000).

The bonds have a par value of $1,800,000 and pay interest at a rate of 8% per year, semiannually. Therefore, the annual interest payment is:

Annual Interest Payment = Par Value x Annual Interest Rate

Annual Interest Payment = $1,800,000 x 0.08

Annual Interest Payment = $144,000

Since the interest is paid semiannually, the interest payment every six months will be half of the annual interest payment:

Interest Payment (every six months) = Annual Interest Payment / 2

Interest Payment (every six months) = $144,000 / 2

Interest Payment (every six months) = $72,000

Therefore, Boston Enterprises will pay $72,000 in cash to bondholders every six months as interest.

a. To record the issuance of bonds on January 1, 2017:

Debit Cash for $1,800,000

Credit Bonds Payable for $1,800,000

b. To record the first interest payment on June 30, 2017:

Debit Interest Expense for $72,000

Credit Cash for $72,000

c. To record the second interest payment on December 31, 2017:

Debit Interest Expense for $72,000

Credit Cash for $72,000

a. To record the issuance of bonds at 96:

Debit Cash for $1,728,000

Debit Discount on Bonds Payable for $72,000

Credit Bonds Payable for $1,800,000

b. To record the issuance of bonds at 104:

Debit Cash for $1,872,000

Credit Premium on Bonds Payable for $72,000

Credit Bonds Payable for $1,800,000

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The Indigo Company issued 500, $1,000, 6%, 10-year bonds on January 1, 2018, at 98. Interest is payable annually on January 1. Indigo uses straight-line amortization for bond premium or discount. Instructions: Prepare the journal entries to record the following events: (a) The issuance of the bonds. (b) The accrual of the interest and the discount or premium amortization on 12/31/18. (c) The payment of the interest on 1/1/19. (d) The redemption of the bonds at maturity, assuming interest for the last period has been paid and recorded.

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The premium on bonds payable is equal to the difference between the face value of the bonds ($500,000) and the amount the company received when it issued the bonds ($490,000).

Using straight-line amortization, the premium is deducted over the bonds' lifespan; as a result, after 10 years, the premium on securities payable has been fully deducted and the balance is zero.

(a) The issuance of the bonds:

Cash (500 bonds x $1,000 x 0.98) 490,000

Discount on bonds payable 10,000

Bonds payable 500,000

(b) The interest accrual and amortization of the premium or discount as of December 31, 2018:

Interest expense ($500,000 x 6%) 30,000

Bonds due with a discount ($10,000 / 10) 1,000

Cash 29,000

(c) The interest will be paid on January 1, 2019:

Interest expense ($500,000 x 6%) 30,000

Bonds due with a discount ($10,000 / 10) 1,000

Cash 31,000

(d) If the interest for the most recent period has been paid and recorded, the bonds will be redeemed at maturity:

Bonds payable 500,000

Premium on bonds payable 10,000

Cash 510,000

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a monopoly markets are more efficient than competitive markets. (True or false)?

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Answer: False

Explanation: Monopoly markets are less efficient in total gains and trades than competitive markets because there are less (or one) businesses in a monopoly market, which means that there would be less trades in total

according to our text, total economic profits of any business in the long run will never be exorbitant (extremely high), as long as there is:

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According to the text, the total economic profits of any business in the long run will never be exorbitant (extremely high), as long as there are no significant barriers to entry. Option  a. Significant barriers to entry

In a perfectly competitive market, businesses can earn only normal profits in the long run because new firms can enter the market and compete away any excess profits. This is because there are no barriers to entry, such as high start-up costs or exclusive access to resources, that would prevent new firms from entering the market and competing with existing firms. In the long run, profits will be driven down to a normal level, which is just enough to cover the opportunity cost of the resources used in the business, including the owner's time and capital.

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Complete Question

According to our text, the total economic profits of any business in the long run will never be exorbitant (extremely high), as long as there are:

a. Significant barriers to entry

b. Large economies of scale

c. Monopolistic competition

d. No significant barriers to entry

a(n) phase in a two phase lock is when a transaction releases all locks and cannot obtain a new lock. question 27 options: a) shrinking b) unlocking c) growing d) locking

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The option B, unlocking, In a two-phase locking protocol, a transaction goes through two phases: the growing phase and the shrinking phase.

During the growing phase, the transaction acquires locks on the data items it needs to access. Once the transaction starts releasing locks, it enters the shrinking phase. In the shrinking phase, the transaction can release locks but cannot acquire new locks. This is called the unlocking phase.

In a two-phase lock, the shrinking phase is when a transaction releases all locks and cannot obtain a new lock. This phase follows the growing phase, where a transaction can only obtain new locks but not release them.

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What must a country do to establish a gold standard?.

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To establish a gold standard, a country must fix the value of its currency to a specific amount of gold. This means that the country central bank must be willing to buy and sell gold at a fixed price in order to maintain the value of the currency.

Additionally, the country must have enough gold reserves to back up the value of the currency. Historically, many countries have used the gold standard as a way to stabilize their currencies and prevent inflation. However, the gold standard has fallen out of favour in recent decades as most countries have moved towards fiat currencies, which are not backed by any physical commodity. The gold standard is a monetary system where a country's currency is directly linked to a fixed amount of gold.

This means that the country central bank must hold enough gold reserves to back the total value of its currency in circulation. The fixed exchange rate ensures that the currency remains stable and can be easily converted to gold if needed. The legal framework and monetary policy support the gold standard by ensuring that the government and central bank are committed to maintaining the fixed exchange rate and managing the gold reserves.

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The current interest on money in a savings account is 3% per year. The current annual rate of inflation is 6%. After one year, which is generally true about the amount of money in the account?.

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It will purchase fewer goods and services  is generally true about the amount of money in the account.

The nominal interest rate is subtracted from the inflation rate to arrive at the real interest rate. In terms of mathematics, we would say this: The nominal interest rate less the inflation rate is the real interest rate. What each variable stands for is as follows:

A: the sum of money that will remain in your bank account following the payment of interest. P: Your principal deposit, often known as your account's opening balance. R: Your account's annual percentage yield (APY), expressed in decimal form. The ratio of savings to income is known as the savings rate (SR).

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a shareholder derivative suit is a lawsuit brought enforce a corporate cause of action against a third person/shareholder. group of answer choices true false

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True. A shareholder derivative suit is a lawsuit brought by a shareholder on behalf of a corporation to enforce a corporate cause of action against a third person or shareholder. This type of suit typically arises when the corporation's management fails to address an issue, and the shareholder takes legal action to protect the company's interests.

A shareholder derivative suit is a type of lawsuit where shareholders bring an action on behalf of the corporation against a third party, typically a director or officer of the company, for breaching their fiduciary duty or engaging in wrongful conduct that caused harm to the corporation. The purpose of the suit is to enforce a corporate cause of action against the individual who caused harm to the corporation.In a shareholder derivative suit, the shareholder is not suing on their own behalf, but on behalf of the corporation. This means that any damages awarded as a result of the suit will go to the corporation, rather than the individual shareholders. Shareholders may bring a derivative suit when the board of directors fails to take action against an individual who has harmed the corporation or breached their fiduciary duty.Therefore, the statement "a shareholder derivative suit is a lawsuit brought enforce a corporate cause of action against a third person/shareholder" is false. A shareholder derivative suit is brought to enforce a corporate cause of action against a third person, typically a director or officer of the company, and not against another shareholder.

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Carson was hired as a clerk at Starman, Inc. After a few weeks, he started becoming irritable and irrational on the job until he finally brought a gun to work and began shooting other employees, injuring five people. He was arrested by the police. Later, the management at Starman, Inc. found out that Carson had just been released from prison for a similar crime he had committed 15 years ago. He had falsified his employment application, and the human resource department at Starman, Inc. had not bothered to verify it. Which of the following is true regarding the liability of Starman, Inc. for the injuries? a. Starman, Inc. is not liable for the crimes of its employees outside of the scope of employment. b. Starman, Inc. will only be liable if there are deaths involved in the incident. c. Starman, Inc. can be liable for the torts that occurred at the office even though it was outside the scope of employment. d. Starman, Inc. is liable for failure to supervise because they did not notice Carson's behavior earlier.

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c. Starman, Inc. may be held accountable for the crimes committed in the workplace even though they were outside the bounds of their employment. However, because Carson's actions in this instance were obviously outside the scope of his employment, Starman, Inc.is exempt from responsibility under the respondeat superior rule.

Carson's harmful tendencies and neglected to take reasonable precautions to protect others, they may still be held accountable for negligent hiring or retention. Furthermore, the fact that Carson lied on his application for a job is further proof of the company's poor hiring practises.Thus, the right response is c. Starman, Inc. may be held accountable for the torts committed at the workplace even though they were outside the scope of their employment.

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an example of moral hazard is that group of answer choices borrowers who are less likely to repay loans are more likely to apply for them. those with health insurance visit the doctor every time they get a cold. reckless drivers buy cars with air bags. stores in high-crime areas buy theft insurance more often than stores in low-crime areas.

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An example of moral hazard is: those with health insurance visit the doctor every time they get a cold.

This occurs because the insured party engages in riskier behavior, knowing they are protected by their insurance, which may lead to higher costs for the insurer. Moral hazard refers to the situation where one party engages in risky behavior because they know that they will not have to bear the full consequences of their actions.

In the context of borrowing, moral hazard arises when borrowers are more likely to default on their loans if they believe that they will not suffer any significant financial harm as a result. For example, if borrowers believe that they can walk away from their debts without facing any significant penalties or consequences, they may be more likely to take out loans that they cannot afford to repay.

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the gdp gap is: group of answer choices the product of the potential real gdp and the equilibrium level of real gdp.

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The GDP gap is the difference between the potential real GDP and the equilibrium level of real GDP.

Potential GDP refers to the maximum output an economy can achieve when resources are fully employed, while equilibrium GDP is the actual output when the supply and demand for goods and services are balanced.

A positive GDP gap indicates that the economy is underperforming and not utilizing its resources efficiently, whereas a negative GDP gap suggests that the economy is overperforming and may be overheating.

Therefore, by analyzing the GDP gap, policymakers can make informed decisions to stimulate or slow down economic growth as needed.

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Economic complementarities between two places tend to.

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Economic complementarities between two places tend to enhance trade and economic development. When two regions have complementary economies, they can benefit from trading goods and services that they produce more efficiently, resulting in increased economic growth for both regions.

For example, if one region is known for producing wheat, and the other region is known for producing milk, they can trade their goods and benefit from each other's strengths. The economic complementarities between these two regions can help to create jobs, increase productivity, and improve the overall standard of living in both places.
Economic complementarities between two places tend to strengthen trade and economic relationships between them.

When two places have complementary resources or industries, they can benefit from exchanging goods or services, thereby promoting economic growth and cooperation. This results in an interdependent relationship where each location can specialize in its areas of comparative advantage, ultimately leading to more efficient use of resources and increased productivity for both parties involved.

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which of the following types of loans issued in california may be protected from a deficiency judgment? unset starred question first mortgage issued in july 2014 to purchase a single family home loan issued in january 2012 to purchase a commercial property loan issued in january 2013 to purchase an investment property loan issued in january 2015 to purchase land

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In California, the type of loan that may be protected from a deficiency judgment is the first mortgage issued to purchase a single-family home.

This means that if the borrower defaults on the loan and the property is foreclosed, the lender may not pursue the borrower for any remaining balance after the sale of the property. However, it is important to note that this protection only applies to first mortgage and not any subsequent loans taken out on the property. The other loans listed, including the loan for a commercial property, investment property, and land, are not typically protected from deficiency judgments. It is important to consult with a legal professional to fully understand your rights and obligations when it comes to loans and foreclosure in California.

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What is the connection between North Korea's missile program and its hunger problem?

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While North Korea's missile program may be a source of pride and legitimacy for the country's leaders, it has come at a steep cost in terms of human suffering and deprivation.

North Korea's missile program and its hunger problem are connected in several ways.

Firstly, North Korea's missile program is incredibly expensive, and the resources devoted to it could otherwise be used to address the country's chronic food shortages. The country has long struggled with famine and malnutrition, with millions of people suffering from food insecurity and relying on international aid to survive.

Secondly, international sanctions imposed on North Korea over its missile program have further exacerbated the country's food crisis. These sanctions restrict North Korea's ability to trade with other countries, making it difficult to import food and other essential goods. As a result, many North Koreans are forced to rely on meager government rations and subsistence farming, which often fail to provide adequate nutrition.

Finally, North Korea's missile program and its belligerent stance towards the international community have made it difficult for aid organizations to operate in the country. This has limited the amount of food and other aid that can be delivered to the North Korean people, worsening the country's hunger problem.

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the shared concept of right and wrong behavior in the workplace that reflects the time value of the organization and shapes the ethical decision making of its members is known as .

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The shared concept of right and wrong behavior in the workplace that reflects the time value of the organization and shapes the ethical decision making of its members is known as organizational ethics.

Organizational ethics is a system of principles and values that guide the actions of individuals within a company or organization. It establishes a framework for understanding what is considered morally acceptable and unacceptable behavior, ensuring that employees act in the best interests of the organization and its stakeholders. Organizational ethics plays a critical role in shaping the company culture and fostering an environment where employees feel confident in their decision-making abilities. It helps create a sense of trust and cohesion among team members, promoting a positive and productive work atmosphere. Furthermore, a strong ethical foundation can enhance the organization's reputation, attracting clients, investors, and talent while mitigating the risk of potential legal and financial issues arising from unethical behavior.

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Why are ups and downs in the business cycle normal?.

Answers

Ups and downs in the business cycle are normal because they reflect the natural ebb and flow of economic activity over time.

The business cycle refers to the cyclical pattern of economic growth and contraction that occurs over time. This cycle is characterized by four phases: expansion, peak, contraction, and trough. During the expansion phase, the economy is growing, unemployment is low, and businesses are expanding. This is followed by a peak, where the economy reaches its highest point of growth and prosperity. However, this phase is often followed by a contraction, where economic activity slows down and businesses begin to cut back on spending. Finally, the trough phase is reached, where the economy is at its lowest point and unemployment is high.

The ups and downs in the business cycle are normal because they are driven by a variety of factors, including changes in consumer demand, technological innovations, government policies, and external shocks such as natural disasters or global economic events. These factors can lead to fluctuations in economic growth, which in turn can impact businesses and consumers alike.

While downturns in the business cycle can be challenging for businesses and individuals, they are also a natural part of the economic cycle. In fact, many economists believe that these cycles are necessary for the long-term health of the economy, as they help to weed out inefficient businesses and encourage innovation and growth. Additionally, government policies such as monetary and fiscal stimulus can help to mitigate the effects of economic downturns and support a return to growth.

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Which of the following tradeoffs between characteristics of useful information is least objectionable?
A) Incomplete information received on a timely basis
B) Irrelevant information received in an understandable format
C) Unreliable information easily accessible
D) Verifiable information received in unreadable format

Answers

The least objectionable tradeoff between characteristics of useful information is option B) Irrelevant information received in an understandable format.

Irrelevant information, although not useful for decision-making, does not carry the risk of leading to incorrect decisions or causing harm to the organization. On the other hand, information that is incomplete, unreliable, or unreadable could potentially lead to incorrect decisions and have negative consequences for the organization.

Receiving information on a timely basis is important, but incomplete information can lead to hasty and potentially incorrect decisions. Unreliable information, even if it is easily accessible, tradeoff can also lead to incorrect decisions and negative consequences.

Verifiable information is important, but if it is received in an unreadable format, it may be difficult to use and understand, which could lead to incorrect decisions.

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which of the following is a disadvantage of job specialization? multiple choice it makes job design unnecessary. employees often do not see where their job fits in the overall production output. employees in specialized jobs never produce quality output. workers may tire of performing a wide variety of tasks.

Answers

The correct answer is "employees often do not see where their job fits in the overall production output." One of the main disadvantages of job specialization is that employees become so focused on their narrow tasks that they may lose sight of how their work fits into the larger picture.

This can lead to a lack of engagement and motivation among workers, as well as a reduced sense of ownership and responsibility for the overall success of the organization.
Another potential disadvantage of job specialization is that it can lead to a lack of flexibility and adaptability in the workforce. If workers are only trained to perform specific tasks, they may struggle to take on new responsibilities or adapt to changing business needs. This can limit the organization's ability to respond to new opportunities or challenges.
Finally, job specialization can also lead to a lack of creativity and innovation in the workforce. When employees are only focused on their specific tasks, they may not have the opportunity to think outside the box or suggest new ideas for improving processes or products.
Overall, while job specialization can offer some benefits in terms of efficiency and productivity, it is important to consider the potential downsides and ensure that workers are given opportunities to see the bigger picture, develop new skills, and contribute to the organization's overall success.

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some managers use , which provides four indicators with which organizations can set goals and measure performance. group of answer choices

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A few managers use The balanced scorecard, which offers 4 indicators with which agencies can set goals and degree overall performance.

The Balanced Scorecard is a strategic management tool used by organizations to measure and manage performance. It incorporates financial and non-financial measures to create a comprehensive picture of the organization's performance. The concept was developed by Robert Kaplan and David Norton in the early 1990s.

The Balanced Scorecard translates the organization's strategy into specific, measurable objectives and performance indicators in four perspectives: financial, customer, internal processes, and learning and growth. These perspectives are interconnected and balanced to ensure that the organization's strategy is well-rounded and aligned with its mission and vision.

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Complete Question:

a few managers use _____, which offers 4 indicators with which agencies can set goals and degree overall performance.

a couple of choices

A). a strategic map

B). The balanced scorecard

C). Size control

D). A strategic scorecard

wyn bought real estate from duke and gave duke a purchase money mortgage. duke forgot to record the mortgage. two months later, wyn gave a mortgage on the same property to goode to secure a property improvement loan. goode recorded this mortgage nine days later. goode knew about the duke mortgage. if these events took place in a notice-race statute jurisdiction, which mortgage would have priority?

Answers

The Duke mortgage would have priority over the Goode mortgage in a notice-race statute jurisdiction because Duke's mortgage was created first, even though it was not recorded.

In a notice-race statute jurisdiction, the priority of mortgages is determined by the order in which they are recorded and whether the subsequent mortgagee had notice of the prior mortgage. In this case, Duke's mortgage was created first, even though it was not recorded. Therefore, Duke's mortgage would have priority over the Goode mortgage, even though Goode recorded their mortgage before Duke. This is because Goode had notice of the Duke mortgage, and therefore took the property subject to the prior mortgage.

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The prevailing exchange rates are: €1.2/£, €0.8/$, $2/£. How to
make a profit with €10?
Step 1: Sell Euros, buy pounds
Step 2: Sell pounds, buy dollars
Step 3: Sell dollars, buy euros
1. Calculate the amount of currency you can get after each step?2. What will be the rate of return after these steps?

Answers

The rate of return after these three steps is 33.3%.

In order to make a profit with €10, we will need to follow the three steps outlined in the question:
Step 1: Sell Euros, buy pounds
With the exchange rate of €1.2/£, we can sell €10 and receive £8.33.
Step 2: Sell pounds, buy dollars
With the exchange rate of $2/£, we can sell £8.33 and receive $16.66.
Step 3: Sell dollars, buy euros
With the exchange rate of €0.8/$, we can sell $16.66 and receive €13.33.
So, after all, three steps, we have turned our initial €10 into €13.33.
To calculate the rate of return, we can use the formula: ((Final amount - Initial amount)/Initial amount) x 100%
So, in this case, our initial amount was €10 and our final amount was €13.33. Plugging these numbers into the formula, we get: ((€13.33 - €10)/€10) x 100% = 33.3%

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Stand-alone risk is most relevant to investments that involve a single asset that will be held in isolation. Corporate risk is most relevant to business investments that occur within not-for-profit business. Mark risk is most relevant to investments made by well-diversified stock investors by investor owned business. T/F?

Answers

Mark risk is most relevant to investments made by well-diversified stock investors by investor owned business. Market risk is the most significant risk to a well-diversified investor in common equities. This statement is True.

The risk that impacts the entire market or an entire asset class is referred to as market risk, also known as systemic risk. It is a natural part of the market as a whole and cannot be diversified away.

Changes in interest rates, economic downturns, and geopolitical crises are a few examples of market risk.Unsystematic risk, usually referred to as unique risk, is a risk that is particular to a given business or sector. By investing in a number of businesses or industries, it can be diversified. The sum of market risk and unique risk is total risk. Risk that can be minimised or avoided by diversification is referred diversifiable risk.

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all of abc corp sales are on account. 30% of the sales on account are collected in the month of the sale, 40% in the month preceding the sale, and the remainder is collected in the second month preceding the sale. the following budgeted sales data for the company: jan feb mar apr total sales $40,000 $50,000 $60,000 $70,000 what is the amount of cash that should be collected in march?

Answers

Based on the information provided, we can calculate the amount of cash that should be collected in March as follows: Total Sales on Account in March = $60,000 x 100% = $60,00.

Amount of Sales on Account Collected in March = $60,000 x 30% = $18,000. Amount of Sales on Account Collected in February = $50,000 x 40% = $20,000. Amount of Sales on Account Collected in January = $40,000 x (100% - 30% - 40%) = $8,000. Therefore, the total amount of cash that should be collected in March is.  $18,000 (collected in March) + $20,000 (collected in February) = $38,000.To find the amount of cash that should be collected in March, we need to consider the given percentages for each month and the total sales for January, February, and March.

Here's the explanation: Calculate the cash collected in March from March sales (30% of $60,000): 0.30 x $60,000 = $18,000. Calculate the cash collected in March from February sales (40% of $50,000): 0.40 x $50,000 = $20,000. Calculate the cash collected in March from January sales (remaining 30% of $40,000): 0.30 x $40,000 = $12,000. Add the amounts from steps 1-3 to find the total cash collected in March: $18,000 + $20,000 + $12,000 = $50,000

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