The example of social relationships causing human capital mobility is the movement of talent from an organization to form new business units, or start-up ventures.
What is Human Capital?Human capital refers to the knowledge, skills, abilities, and other intangible assets that an individual possesses, which can be used to create economic value. It encompasses a wide range of attributes, such as education, experience, training, creativity, innovation, and problem-solving abilities, as well as social and emotional intelligence.
Human capital is considered a critical factor for economic growth and development, as it drives innovation, productivity, and competitiveness in a knowledge-based economy. Moreover, investments in human capital, such as education and training, can lead to higher earnings, improved job prospects, and better quality of life for individuals and society as a whole.
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Suppose that the following values are 4 realizations of a spreadsheet simulation of my financial portfolio:
1000 1500 1200 -100
What's a reasonable estimate of the portfolio's value?
A reasonable estimate of the portfolio's value is 900. The values are 4 realizations of a spreadsheet simulation of my financial portfolio: 1000 1500 1200 -100.
A financial portfolio is a collection of investments, such as stocks, bonds, mutual funds, and other financial assets, that are owned by an individual, institution, or entity. The primary purpose of having a financial portfolio is to diversify investments, minimize risk, and maximize returns. An investor's financial portfolio typically includes a combination of low-risk, moderate-risk, and high-risk investments. This helps them to balance their investment objectives and tolerance for risk.
Financial portfolios are dynamic, and investors regularly adjust their investments to maintain a balance between risk and return. Financial portfolios can be managed by individuals or professional investment managers, who use various investment strategies to achieve their financial objectives. Monitoring and adjusting the financial portfolio regularly is essential to ensure that the investments align with the investor's goals, financial situation, and changing market conditions.
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Adjustment for unearned revenue On June 1, 20Y2, Monarch Co. received $9,000 for the rent of land for 12 months. Journalize the adjusting entry required for unearned rent on December 31, 20Y2. Assume no previous adjustment has been made to Unearned Revenue during the year. If an amount box does not require an entry, leave it blank. Date Account Debit Credit Dec. 31
The answer is The Journal entry is as follows:
On December 31, 20Y2
Unearned rent revenue A/c Dr. $5,250
To Rent Revenue $ 5,250
Workings:
Rent revenue for 7 Months:
= Rent received for 12 months × (7 months ÷ 12 Months)
= $9000 × (7 months ÷ 12 Months)= 5250$.
What does the term "rent" mean?Rent is the regular payment made by a renter to the property owner in exchange for the use of the property. rent. to seize and hold property in exchange for rent.
Which definition of "rent" is the best?If you rent something, you routinely pay the owner of it a quantity of money in exchange for the right to possess and utilize it. She shares a rental home with three other females. transient verb. When you rent something to someone, you allow them to use it in return for a fixed payment from them on a regular basis.
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Corporations receiving dividends from other corporations account for such dividends for GAAP purposes the following ways at the various ownership percentages.
Corporations receiving dividends from other corporations account for such dividends for the GAAP purposes the following ways at the various ownership percentages are as follows-
Owns much less than 20 percentage - Includes the dividend in earnings (equal as tax; no ee-e book-tax differences)
- Owns at the least 20 percentage however now no longer greater than 50 percentage - Includes a pro-rata part of the dispensing business enterprise's income in its ee-e book earnings below the "fairness technique of accounting"
- Owns greater than 50 percentage - Consolidates their economic reporting books and the intercompany dividend is removed
A legal entity is legally a separate and distinct entity from its owner. Businesses have a few of the equal felony rights and obligations as individuals.
An vital detail of a agency is the confined liability. In other words, shareholders are not personally responsible for the company's debts.
A business can be started by an individual or a group of people with a common goal. It's not necessarily for profit.
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Scenario
You are the manager of a software development team working on new applications for your company, Optimum Way Development, Inc. Your director has called for all development teams to submit product briefs detailing their current projects. The director plans to share the most promising product briefs with clients at an upcoming meeting. You have software design documents for two potential projects.
Directions
You must choose one of the potential products and use the information contained in the technical specification document to create your product brief. The brief is intended to explain the new application to potential clients. (Use the personas created for the 2-1 Milestone as the audience for this project.) You should highlight the features that will appeal to clients and persuade them to purchase the new application. Your brief should include the following:
O An explanation of the features and functions of the product
O Clear definitions of technical terms and concepts that are relevant to communicating the product capabilities
O An explanation of the benefits of using the product within an organization
O Graphics that support or clarify technical information concerning the product
O Appropriate language for the intended audience
You have software design documents for two potential projects - Clear definitions of technical terms and concepts that are relevant to communicating the product capabilities.
What duties falls under the purview of the head of software development?
The primary responsibilities of the Head of Software Development are to direct and establish the strategy of the software development team. Additional duties assigned to the head of software development include: coordinating departmental finances and resources. fostering and overseeing relationships with customers, suppliers, and business units.
How should you handle a team-based software development project?-Using project management software, manage a team of software developers
-Clearly outline and establish expectations.
-Developers should be assigned to projects appropriately.
-Be mindful of due dates.
-Publish and exchange files in one location.
-Watch for updates in real-time.
-Don't treat them like computer programmers.
-Recognize their driving forces.
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Classify each scenario based on whether it will lead to upward or downward pressure on the equilibrium price of the good marked in bold. Upward pressure on price Downward pressure on price Answer Bank The Nile River floods this year adding an exceptional amount of silt to the soil, resulting in increased crops of cotton. An outbreak of mad cow disease causes Americans to abstain from eating beef. An impending nuclear holocaust causes people to stock up on twonkies, a popular snack cake provided by many companies. Extreme weather in New York, where the Super Bowl is scheduled to be played, makes people disinterested in purchasing Super Bowl tickets.
The Nile River floods cause an increased cotton production, which drives down the price. Because Americans stop eating beef due to an epidemic of mad cow disease, the price of beef declines.
The Nile River floods this year, adding a remarkable quantity of silt to the land, leading to greater cotton yields, which is pushing the price upward. The equilibrium price of cotton will experience increasing pressure as a result of this rise in supply and demand.
Price pressure to the downside: Americans stop consuming beef due to an outbreak of mad cow disease. The equilibrium price of beef will fall as a result of this decline in demand.
Price pressure that is rising People load up on Twinkies, a popular snack cake produced by several firms, in anticipation of an imminent nuclear catastrophe. The equilibrium price of Twinkies will experience higher pressure as a result of the rise in demand.
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suppose that on christmas, the demand for both christmas trees and christmas cards increases by the same percentage amount. however, the price of christmas trees increases by more than the price of christmas cards. based on this information, you can conclude that the supply of trees is sensitive to price than the supply of christmas cards.
Based on this information, you can conclude that the supply of trees is less sensitive to price than the supply of Christmas cards.
Supply in economics refers to the amount of a resource that firms, producers, laborers, financial asset providers, or other economic agents are willing and able to deliver to the market or to an individual.
Supply can be in the form of manufactured items, labor time, raw resources, or any other rare or valued item. Supply is frequently graphed as a supply curve, with the price per unit on the vertical axis and the quantity delivered as a function of price on the horizontal axis.
This reversal of the dependent and independent variable's typical positions is an undesirable but standard convention.
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Correct question:
Suppose that on Christmas, the demand for both Christmas trees and Christmas cards increases by the same percentage amount. However, the price of Christmas trees increases by more than the price of Christmas cards.
Based on this information, you can conclude that the supply of trees is ___________ sensitive to price than the supply of Christmas cards.
[The following information applies to the questions displayed below.]
Ramirez Company is completing the information processing cycle at its fiscal year-end on December 31. Following are the correct balances at December 31 for the accounts both before and after the adjusting entries.
Trial Balance, December 31 of the Current Year
Before
Adjusting Entries After
Adjusting Entries
Items Debit Credit Debit Credit
a. Cash $ 13,500 $ 13,500 b. Accounts receivable 1,820 c. Prepaid insurance 850 720 d. Equipment 168,280 168,280 e. Accumulated depreciation, equipment $ 42,100 $ 48,100
f. Income taxes payable 1,380
g. Common stock and additional paid-in capital 112,000 112,000
h. Retained earnings, January 1 19,600 19,600
i. Service revenue 64,400 66,220
j. Salary expense 55,470 55,470 k. Depreciation expense 6,000 l. Insurance expense 130 m. Income tax expense 1,380 $ 238,100 $ 238,100 $ 247,300 $ 247,300
Required:
1. Compare the amounts in the columns before and after the adjusting entries to reconstruct the adjusting entries made in the current year. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
As per the trial balance, the adjusting entries made in the current year will increase the depreciation expense by $6,000.
To reconstruct the adjusting entries, we need to compare the balances in each account before and after the adjustments. Let's take an example of the prepaid insurance account.
The balance in this account before adjusting entries is $850, while the balance after adjusting entries is $720.
We can see that the balance has decreased by $130.
This means that an adjusting entry was made to decrease the prepaid insurance account by $130.
Similarly, we can compare the before and after balances of all the other accounts and reconstruct the adjusting entries made during the year.
For instance, we can see that the depreciation expense account has increased by $6,000, which means that an adjusting entry was made to increase the depreciation expense by $6,000.
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Describe the final step in the adjusting process.
Multiple choice question.
a. The final step is to create an adjusting journal entry to get from step 1 to step 2.
b. The final step is to determine the correct balance of an account.
c. The final step is to determine the current balance of an account.
d. The final step is to post to a trial balance so financial statements can be prepared.
Option (a), Writing an adjusting journal entry is the last stage in the adjusting process before moving on to step two.
What is the process for end-of-period adjustments?End-of-period adjustments are referred to as such in accounting when they are made to a company's books prior to the preparation and release of the financial statements for a particular accounting period.
Which type of journal entry is necessary to change the balance at the end of an accounting period?An adjusting journal entry is frequently created at the end of an accounting period to report a revenue or cost in the period in which it is incurred. Accrual accounting is characterized by revising journal entries because of revenue recognition and matching regulations.
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Larry is a high school senior who prefers being with his friends more than studying. His parents tell him that for every A he earns on his report card for his senior year, they will give him $100. They are using which of the following methods?
Positive reinforcement
This would involve the application of a pleasant stimulus ($100 for each A) to increase a desired behavior (studying).
Positive reinforcement. Positive reinforcement would involve the application of a pleasant stimulus ($100 for each A) to increase a desired behavior (studying).
In operant conditioning, positive reinforcement involves adding a reinforcing stimulus after a behavior that increases the likelihood that the behavior will occur again in the future. or behavior is reinforced.
Positive reinforcement can also occur naturally. For example, if you leave the door open for someone, you may get a compliment or a thank you.
This affirmation acts as positive reinforcement, increasing the likelihood of leaving the door open to people again in the future.
In other cases, someone may make a very conscious choice to use positive reinforcement to train and maintain a particular behavior. You can give your dog a treat after waving, pausing and counting to five.
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Complete question:
Larry is a high school senior who prefers being with his friends more than studying. His parents tell him that for every A he earns on his report card for his senior year, they will give him $100. They are using which of the following methods?
dentify the methods by which a manager of a firm can respond to variability. (check all that apply.) multiple select question. a. make use of safety stock in for highly variable activities to reduce the effect of variability b. cross-training labor and investing in flexible technology
c. finding the sources of variance in the process and try to eliminate them
d. investing money to improve the capacity of a nonbottleneck activity to pic
Finding the sources of variance in the process and attempting to remove them. Using safety stock in highly variable operations to lessen the influence of variability.
What is a method that managers can use to boost capacity through labor flexibility?The Movement of labor is one tactic that managers can use to boost capacity by fostering flexibility. -Process changeover is necessary, which takes time that could be employed to produce output. - Activities such as quality assurance and rework use up productive resources.
Which of the following best describes a process that modifies a multiple-choice input question: transportation delay operation inspection?Any action that modifies or changes an input is referred to as an operation.
Which three capacity strategies are the most effective?Lead, lag, and tracking are three widely used capacity methods. In front of rising demand, a lead capacity plan increases capacity.
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Companies High Debt (HD) and Low Debt (LD) have the same sales, assets and net income, but HD has more debt. Which of the following statements is correct?
HD has a higher ROE than LD.
HD has a higher profit margin than LD.
HD has a lower equity multiplier than LD.
HD has a lower total assets turnover than LD.
The correct answer is HD has a higher ROE than LD.Return on equity (ROE), which is determined by assets dividing net income by shareholders' equity, is a measure of financial success.
ROE is also referred to as the return on net assets because a company's shareholders' equity is calculated by deducting its debt from its assets.ROE measures both a company's profitability and the effectiveness with which it generates profits. The higher the ROE, the better the management of a company is in generating revenue and growth from its equity capital.Return on equity is the ratio of a company's net income to its shareholders' equity (ROE).Return on equity is a metric used to assess a company's financial performance and the efficiency of its revenue-generating procedures (ROE).
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Why are circular flow models useful for economists?
OA. They track the flow of money through different parts of an
economy.
B. They explain the causes of economic problems throughout
history.
C. They analyze the rise and fall of investments' value over time.
D. They predict whether an economic proposal will be successful.
The circular flow model are useful because: of options A, C and D
Why are circular flow models useful for economists?Circular flow models are useful for economists for several reasons:
A. They track the flow of money through different parts of an economy: Circular flow models help economists understand how money moves through an economy from one sector to another, such as from households to firms, and from firms to households.
C. They analyze the rise and fall of investments' value over time: Circular flow models can be used to analyze the impact of changes in one sector of the economy on the rest of the economy. For example, if investment in a certain sector increases, it could lead to an increase in demand for goods and services, which in turn could impact the rest of the economy.
D. They predict whether an economic proposal will be successful: Circular flow models can be used to predict the impact of an economic proposal or policy on the different parts of an economy. This allows economists to assess the potential success of a proposal before it is implemented.
In summary, circular flow models are useful tools for economists because they help to track the flow of money, analyze the impact of economic changes, and predict the success of economic proposals.
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Kallton is a multinational communications and information technology corporation. Its principal products are mobile telephones and tablets. It recently announced on its Web site that customers can suggest ideas for its upcoming product model. Contributors of short-listed ideas will be rewarded. In this case, Kallton is using ________ to generate new product ideas.a) marketing strategy developmentb) crowdsourcingc) concept developmentd) business analysise) test marketing
The correct option is B. Contributors of short-listed ideas will be rewarded. In this case, Kallton is using Crowdsourcing to generate new product ideas.
Commercial enterprise records are information that holds means, value, or importance for your business. it'd include any reviews, spreadsheets, metrics, regulatory reporting, internet pages, documents, dashboards, and so on that match the definition of getting that means, value, or significance on your commercial enterprise.
The right statistics are that that is used and which creates price. experience and research suggest that true statistics have numerous features. top records are relevant for their motive, sufficiently accurate for their purpose, entirely sufficient for the hassle, reliable, and focused on the proper person. The facts need to be understandable i.e. clean, properly organized, and dependent, and ought to be timelines i.e. suitable to finish the associated project, and ought to be accurate to generate the predicted end result well.
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choose the answer. what does a checkmark in parentheses below a general column total indicate? question 1 options: that the total does not need to be posted that you are finished posting the total that you do not post the amounts in the column individually that the total is posted to the ledger
A checkmark in parentheses below a general column total indicate that the total does not need to be posted.
What does a check mark in the submit ref column indicate?In the cash payments journal, a take a look at mark is used in the Post Reference column to point out the amount has been posted to the money owed payable account in the normal ledger.
At the end of each day, put up each man or woman buy to the supplier's account in the bills payable subsidiary ledger. As every buy is posted, vicinity a checkmark in the Post.
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Complete question:
What does a checkmark in parentheses below a General column total indicate?
that you do not post the amounts in the column individuallythat the total does not need to be postedthat the total is posted to the ledgerthat you are finished posting the totalSuppose a person has $8.00 to spend only on apples and bananas. Apples cost $0.40 each, and bananas cost $0.10 each.A) If this person buys only apples, how many can be purchased?B) If this person buys only bananas, how many can be purchased?C) If the person were to buy 10 apples, how many bananas could be bought with the funds left over?D) If the person consumes one less apple (9), how many bananas can be purchased? Is this rate of trade-off the same no matter how many apples are relinquished?
A) If the individual exclusively buys apples, they can purchase 20 apples (8.00 0.40 = 20). B) If the individual exclusively buys bananas, they can purchase 80 bananas (8.00 0.10 = 80).
C) If the buyer purchases ten apples, the total cost is 10 x 0.40 = $4.00. They now have $4.00 to spend on bananas. They have enough money to buy 40 bananas (4.00 0.10 = 40). D) If the buyer purchases 9 apples, the total cost is 9 x 0.40 = $3.60. They now have $4.40 to spend on bananas. They have enough money to buy 44 bananas (4.40 0.10 = 44). No matter how many apples are given up, the rate of trade-off does not remain constant. As the amount of apples purchased declines, so do the dollars available to buy bananas, and vice versa.
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Which of the following administrative agencies is not an independent agency? use exhibit 1-2 multiple choice:
a. the equal employment opportunity commission
b. the national transportation safety board
c. the nuclear regulatory commission
d. the small business administration
e. the federal trade commission
The correct option is D. The small business administration agency is not an independent agency.
Greater specifically, it can refer to public management, the commercial enterprise of administering public coverage as determined with the aid of the government. however, outdoors in France and Romania, this usage of the word is uncommon. The time period management, as used inside the context of the presidency, differs in keeping with the jurisdiction beneath which it operates. In popular phrases, administration can be described as a selection-making body.
Administrators help the smooth walking of offices by wearing out clerical duties and initiatives. As an administrator in the construction industry, you can be organizing challenge conferences. you'll be typing up files, responding to enterprise inquiries, drawing up contracts, and offering customer service. management, additionally referred to as enterprise administration, is the management of an office.
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Insurer Y is involved in recycling and reusing materials used in policy production and claims handling and reporting. The insurer has also been keenly interested in salvage programs having learned that these programs are better for the environment and more cost-effective for insureds. By participating in these programs and activities, Insurer Y is meeting which one of the following insurer goals?
Select one:
A. Social responsibility goals
B. Profitability goals
C. Customer needs goals
D. Legal requirements goals
A. Social responsibility goals. The emphasis placed on recycling, material reuse, and involvement in salvage initiatives by Insurer Y illustrates their dedication to environmental sustainability.
Aims for social responsibility. By lessening its influence on the environment and fostering sustainability, Insurer Y's focus on recycling, reusing goods, and taking part in salvage initiatives indicates its commitment to social responsibility. These efforts are consistent with the insurer's moral and ethical duty to improve society and lessen its detrimental impact on the environment. Although they are equally crucial insurer objectives, profitability, customer demands, and regulatory requirements are not specifically met by Insurer Y's activities in this case. All living and non-living objects that occur naturally, or in this example, without the use of artificial means, are included in the natural environment or natural world. The phrase is most frequently used with reference to Earth or certain regions of it.
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With which of the following competitive advantages is cost less of a barrier in attracting top talent for companies?
A. product innovation
B. growth
C. maturity
D. cost leadership
D. Cost leadership is the competitive advantages that is cost less of a barrier in attracting top talent for companies.
Cost leadership in business strategy refers to creating a competitive edge by having the lowest operating costs in the sector. Company effectiveness, size, scale, scope, and cumulative experience (learning curve) are frequently the driving factors behind cost leadership.
Exploiting scale of production, clearly defined scope, and other economies are goals of a cost leadership strategy. Cost leadership is distinct from price leadership. Despite having the lowest production costs, a business may not always offer the cheapest goods or services.
If that were the case, the business would be more profitable than average. Cost leader businesses, on the other hand, do engage in price competition and excel at it thanks to their low-cost structure and management.
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you are planning to make monthly deposits of $440 into a retirement account that pays 9 percent interest compounded monthly. if your first deposit will be made one month from now, how large will your retirement account be in 35 years? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
Total payments = 35*12 = 420,Present value of annuity= =PV(9%/12,420,450) =$56,122.95 Retirement interest fund in 35 years = 56,122.95*(1+9%/12)^420 = $1,294,385.12
One definition of an index of the interest rate is the preference for a dollar of current income over a dollar of future revenue.An interest rate is the amount of interest that is calculated as a percentage of the amount lent, deposited, or borrowed and is due each period (called the principal sum).Interest rates have been set in a variety of ways during the last 200 years, either by central banks or national governments. For instance, the Bank of England base rate fluctuated between 0.5% and 15% from 1989 to 2009,[7] whereas the Federal Reserve federal funds rate in the United States fluctuated between around 0.25% and 19% from 1954 to 2008. [8] and Germany saw rates that ranged from around 90% in the 1920s to only 2% in the 2000s. The Central Bank of Zimbabwe raised borrowing interest rates to 800% in an effort to combat runaway hyperinflation in 2007. The interest rates on prime loans in the late 1970s and early 1980s were much higher than had ever been observed, exceeding British and US peak levels dating back to 1800.
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3. What are some government provided goods or services that you have benefited from but that you or your family have not directly paid for?
Some government provided goods or services that you have benefited includes: Public education, Public libraries, and Parks and recreational facilities
Examples of government provided goodsPublic education: Public schools are funded by taxpayers and provide free education to students. Many individuals benefit from this service without paying directly for it.
Public libraries: Libraries provide free access to books, internet, and other resources. They are often funded by local or state governments, and individuals can use their services for free.
Parks and recreational facilities: Public parks and recreational facilities are often funded by local governments and provide free or low-cost access to outdoor spaces, playgrounds, and sports facilities.
Emergency services: Police, fire, and ambulance services are often funded by taxpayers and provide critical services in times of emergency.
Public transportation: Public transportation systems, such as buses and subways, are often subsidized by government funds and provide affordable transportation options for individuals who cannot afford or do not own private vehicles.
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Which of the following customers is allowed a breakpoint on mutual fund purchases?
I Corporate purchaser
II Investment club
III Individual purchaser
IV Investment adviser omnibus account
A I and III
B II and IV
C I, II, III
D I, II, III, IV
The following customers are allowed a breakpoint on mutual fund purchases Corporate purchasers and Investment clubs. option (A) is correct.
A breakpoint is the dollar sum for the acquisition of a heap of common asset shares that qualifies the financial backer for a decreased deals charge. Breakpoints offer financial backers a rebate for making bigger speculations. The buy may either be made in a single amount or stunning installments inside a predefined period.
Investors can fit the bill for breakpoints through a solitary acquisition of Class A common asset shares, with a letter of aim (LOI), or through freedoms of collection (ROA). For instance, you might need to see the condition of code factors or take a gander at the call stack at a certain breakpoint.
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Outdoor Expo provides guided fishing tours. The company charges $180 per person but offers a 10% discount to parties of four or more. Consider the following transactions during the month of May.
May 2 Charlene books a fishing tour with Outdoor Expo for herself and four friends at the group discount price ($810 = $162 × 5). The tour is scheduled for May 7.
May 7 The fishing tour occurs. Outdoor Expo asks that payment be made within 30 days of the tour and offers a 5% discount for payment within 15 days.
May 9 Charlene is upset that no one caught a single fish and asks management for a discount. Outdoor Expo has a strict policy of no discounts related to number of fish caught.
May 15 Upon deeper investigation, management of Outdoor Expo discovers that Charlene’s tour was led by a new guide who did not take the group to some of the better fishing spots. In concession, management offers a sales allowance of 30% of the amount due.
May 20 Charlene pays for the tour after deducting the sales allowance.
1.
value:
11.11 points
Required information
Required:
1. Record the necessary transaction(s) for Outdoor Expo on each date. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field. Round your answers to 2 decimal places.)
The Outdoor Expo offers escorted fishing excursions. Account Receivable A/C Dr. 900 was debited on May 7.
What does the term "account receivable" mean?Customers' outstanding debts for goods or services they have received but haven't yet paid for are referred to as accounts receivable. For instance, the amount owing when clients buy things on credit is added to the accounts receivable.
Why are receivables considered a current asset?Since receivables are frequently converted into cash in less than a year, they are considered current assets. If an AR is kept for longer than a year and is not converted to bad debt, it will turn into a fixed asset.
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a limited liability company is taxed like a blank , but retains blank for owners. multiple choice question. partnership; limited liability
The concept of limited liability refers to the separation of a company's assets and obligations from those of its shareholders. Therefore, if a business fails, creditors cannot pursue the proprietors.
What is the name of a limited liability company?A Limited Liability Company, or LLC, is one of the most widely used business structures. Compared to a sole proprietorship or general partnership, an LLC provides business owners with additional protections and helps protect owners' personal assets.
What does "limited liability" actually mean?Losses that owners (shareholders) of a commercial entity may incur are restricted to the amount of capital they have invested in the company, but not to their personal assets.
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In which category is the cost of living in Atlanta almost 3 times the cost in Philadelphia eight utilities be food city transportation or D housing
In housing category is the cost of living in Atlanta almost 3 times the cost in Philadelphia.
Option D is correct.
The cost of housing in Atlanta is 8% higher than the national average, while the cost of utilities is 14% lower. Bus fares and gas prices are 3 percent higher than the national average for transportation costs.
Is it expensive to live in Philadelphia?Philadelphia, PA's cost of living is 10% higher than the national average and 10% higher than the state average. Housing in Philadelphia, Pennsylvania is 10% more expensive than the national average, and utilities are about 12% more expensive.
How important is the cost of living?The minimum wage, social security benefits, family allowances, tax breaks, and relief payments all depend on how much a minimum standard of living costs. In wage negotiations, it is important to measure the change in the cost of living.
Question incomplete:In which category is the cost of living in Atlanta almost 3 times the cost in Philadelphia eight utilities be
A. food
B. city
C.. transportation
D housing
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date: february 17, 2023 from: heywood r. floyd subject: jacob corcoran today i conferred with jacob corcoran regarding his letter of february 10th. two years ago, mr. corcoran purchased 10,000 shares of grebe corporation stock for $24,000. last year, he received a nontaxable stock dividend of 2,000 additional shares. he sold the 2,000 shares this year for $18,000 and has asked me to determine the tax consequences of the sale. issue: how is the gain or loss determined on the sale of shares of stock received as nontaxable stock dividends determined, and how is it taxed? conclusion: the shareholder's basis in the original 10,000 shares is reallocated to the 12,000 shares held after receiving the stock dividend. his basis after the stock dividend is $______ 1 per share. his gain on the sale of the 2,000 shares is $_______ . this is treated as a long-term capital gain because the holding period of the original shares tacks on to the shares .
The shareholder's basis after receiving the stock dividend is $2 per share. The gain on the sale of the 2,000 shares is $4,000. The gain is treated as a long-term capital gain because the holding period of the original shares tacks on to the shares.
What is Shareholders Basis?Shareholder's basis refers to the amount that a shareholder has invested in a company's stock for tax purposes. It is used to calculate the shareholder's capital gains or losses when they sell their shares. The basis is determined by the original purchase price of the stock, adjusted for any changes such as stock splits, dividends, and stock buybacks. Shareholders must keep accurate records of their basis in their stocks to ensure accurate tax reporting.
If a shareholder sells their shares for more than their basis, they will have a capital gain, which is taxable. Conversely, if they sell their shares for less than their basis, they will have a capital loss, which can be used to offset other capital gains or deducted from ordinary income up to a certain limit.
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Current interest rates on one-year bonds are
averagely 15%. If the markets expect interest rates on
one-year bonds next year to be 16.5%, what should be
the expected return on a two-year bond?
Answer:
Explanation:
To calculate the expected return on a two-year bond, we need to consider the current one-year interest rate and the expected one-year interest rate next year.
Assuming the interest rate on a two-year bond is compounded annually, the formula for the expected return on a two-year bond is:
(1 + r)^2 = (1 + r1) x (1 + r2)
where:
r is the expected return on the two-year bond
r1 is the current one-year interest rate (15%)
r2 is the expected one-year interest rate next year (16.5%)
Simplifying the equation, we get:
(1 + r)^2 = (1 + 0.15) x (1 + 0.165)
(1 + r)^2 = 1.32225
Taking the square root of both sides, we get:
1 + r = 1.1498
r = 0.1498 or 14.98%
Therefore, the expected return on a two-year bond, given the current and expected one-year interest rates, is 14.98%.
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Answer:
To calculate the expected return on a two-year bond, we need to consider the current one-year interest rate and the expected one-year interest rate next year.
Assuming the interest rate on a two-year bond is compounded annually, the formula for the expected return on a two-year bond is:
(1 + r)^2 = (1 + r1) x (1 + r2)
where:
r is the expected return on the two-year bond
r1 is the current one-year interest rate (15%)
r2 is the expected one-year interest rate next year (16.5%)
Simplifying the equation, we get:
(1 + r)^2 = (1 + 0.15) x (1 + 0.165)
(1 + r)^2 = 1.32225
Taking the square root of both sides, we get:
1 + r = 1.1498
r = 0.1498 or 14.98%
review the statements below and select the items that are correct regarding the operating cycle for a business. (check all that apply.) multiple select question. A. most companies use a one-month period or operating cycle in deciding which assets and liabilities are current. B. most operating cycles are greater than one year. the operating cycle is the time span from when cash is used to acquire goods and services until cash is received from the sale of goods or services. C. most companies use a one-year period or operating cycle in deciding which assets and liabilities are current. D. most operating cycles are less than one year. the length of a company's operating cycle depends on its activities.
An operational cycle is a time it takes for a business to acquire things, sell them, and earn income from the sale of those items. In other words, it is the time it takes for a corporation to convert its inventories into cash.
The length of an operational cycle varies by industry. Understanding a company's operational cycle can help it establish its financial health by predicting whether or not it will be able to pay off any liabilities.
It's also critical to distinguish between an operational cycle and a cash cycle. While both are useful and give vital knowledge, a cash cycle allows businesses to understand how well they manage cash flow, whereas an operational cycle measures the efficiency of the operation.
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The financial perspective of the balanced Scorecard answers which of the following questions? How do customers see us? What must we excel at? How do we look to shareholders? Can we continue to improve and create value?
The balanced scorecard's financial perspective discusses how we ought to approach our shareholders.
A balanced scorecard's financial perspective can be evaluated in what way?Financial Perspective Because all for-profit organizations use financial performance measures like net income and return on investment, the balanced scorecard uses them. Measures of financial performance offer a common language for analyzing and comparing businesses.
What are the balanced scorecard's four perspectives?A traditional balanced scorecard has four perspectives: financial, customer, internal process, and learning and growth.
A company's Balanced Scorecard aids in the clarification of its strategies and the communication of its Objective and top strategic priorities.
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end of year beginning of year cash $76,530 $79,590 accounts receivable (net) 97,040 98,210 inventories 191,330 169,210 prepaid expenses 10,640 11,220 accounts payable (merchandise creditors) 85,480 88,820 salaries payable 12,320 11,060 Operating Expenses Other Than Depreciation Statement of Cash Flows-Operating Activities Use the direct method to prepare the cash flows from operating activities section of a statement of cash flows. Refer to the amount Descriptions list provided for the exact wording of the answer choices for text entries. Use a minus sign to indicate cash payments. Statement of Cash Flows (partial) 1 Cash flows from operating activities: 2 3 4 5 The current period statement of cash flows includes the following: Cash balance at the beginning of the period $403,623 Net cash flow from operating activities 182,893 Net cash flow used for investing activities 50,381 Net cash flow used for financing activities 84,206 The cash balance at the end of the period is a. $269,036 b. $502,310 c. $721,103 d. $451,929
Answer: answer 5555
Explanation: 5344445555
Which one of the following actions is certain to result in higher production costs per branded pair at one of your company's production facilities? o Increasing the use of superior materials from 30% to 40% Increased expenditures for TQM/Six Sigma quality control Increased spending for best practices training o Reducing the number of branded models/styles produced from 400 to 200 Installing production improvement option D
At one of your company's production facilities, increasing the use of superior materials from 30% to 40% will undoubtedly result in higher production costs per branded pair.
How does production work?The process of combining various material (like metal, wood, glass, or plastic) and immaterial (like plans or knowledge) inputs to produce output is known as production. In an ideal world, this output would be a good or service that has value and makes people's lives better. The consumption (or consumer) theory of economics is closely related to the production theory of economics, which focuses on production.
Utilizing the initial inputs (also known as factors of production) in a productive manner directly results in the production process and output. The three fundamental production factors are thought to be land, labor, and capital, also known as primary producer goods or services.
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