Financial budgets are crucial planning and liabilities management tools for an organization's financial resources. They assist in estimating a company's revenues and costs. The correct answer is b. impact the budgeted balance sheet.
The creating financial goals, and keeping track of the company's financial success. The capital expenditures budget and the cash budget are two crucial financial budgets.
The capital expenditures budget for the business is a projection of the costs associated with long-term assets including structures, machinery, and equipment. By raising the value of the firm's assets, this budget has an impact on the budgeted balance sheet, which in turn affects the equity and liabilities of the company. The company's liabilities will rise if it needs to borrow more money to cover its increased capital expenditure goals. On the other hand, the cash budget is a uniform commercial code sector.
Complete question;
Multiple select question.
a. include the cash budget
b. impact the budgeted balance sheet
c. include the capital expenditures budget
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Explain to the Sampsons why there is a tradeoff when investing in bank CDs versus stock to support their children's future college education.
Bank CDs (Certificates of Deposit) and stocks are two different types of investments that offer different tradeoffs when it comes to investing for college education.
Bank CDs typically offer a fixed interest rate for a specified period, ranging from a few months to several years. The interest rate on bank CDs is usually lower than the returns on stocks, but they are considered to be less risky and offer guaranteed returns.
On the other hand, investing in stocks can potentially offer higher returns but is associated with higher risk. The value of stocks can fluctuate significantly due to market volatility, economic conditions, and company-specific factors. While investing in stocks can offer the potential for higher returns, it is not guaranteed, and investors may experience losses.
The decision between investing in bank CDs versus stocks ultimately depends on the Sampsons' investment goals, risk tolerance, and time horizon. If the Sampsons prioritize safety and security of their investment and have a short-term time horizon, bank CDs may be a better option. However, if they are willing to take on more risk and have a longer-term time horizon, stocks may be a better option to potentially earn higher returns.
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When board members are reluctant to fire the CEO or other poorly performing managers, a corporation is said to be experiencing
When board members are reluctant to fire the CEO or other poorly performing managers, a corporation is said to be experiencing "managerial entrenchment."
This issue arises when the board of directors or other governance bodies fail to hold senior executives accountable for poor performance, often due to various reasons such as personal relationships, a lack of effective oversight mechanisms, or a fear of disruption.
Managerial entrenchment can lead to adverse consequences for the company, such as reduced shareholder value, operational inefficiencies, and weakened corporate governance. Additionally, it can result in a lack of innovation and adaptability, as entrenched managers may be resistant to change or may prioritize their own interests over the organization's goals.
To address this issue, corporations should establish clear performance metrics and evaluation criteria for executives, as well as ensure that the board of directors is comprised of independent members who can objectively assess managerial performance. Furthermore, implementing term limits for board members and senior executives can help mitigate the risk of entrenchment, fostering a culture of accountability and continuous improvement.
In summary, managerial entrenchment occurs when board members are hesitant to take action against underperforming executives, potentially leading to negative consequences for the corporation. To combat this, companies should focus on strengthening their corporate governance practices and promoting a culture of transparency and accountability.
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If Bruce Company fails to make an adjusting entry to accrue interest on a note receivable, then this error:
If a company fails to make an adjusting entry to accrue interest on a note receivable, then this error B. Understates income
This is because interest income earned on the note receivable has not been recognized, resulting in an understatement of revenue and net income. An adjusting entry is an accounting entry made at the end of the accounting period to update the accounts and ensure that financial statements reflect accurate information. In the case of interest on a note receivable, an adjusting entry is required to reflect the interest that has been earned but not yet received. The entry debits the interest receivable account and credits the interest income account, recognizing the interest revenue earned during the period.
If this adjusting entry is not made, then the interest earned on the note receivable will not be included in the company's income statement, leading to an understatement of revenue and net income. This can have significant consequences for the company, as it may misrepresent the company's financial health and performance. Inaccurate financial statements can lead to incorrect business decisions, impacting the company's ability to secure financing or attract investors.
In conclusion, it is crucial for companies to make adjusting entries to accrue interest on a note receivable. Failure to do so can result in an understatement of income and inaccurate financial statements, which can have negative consequences for the company's operations and reputation. Therefore, Option B is correct.
The question was Incomplete, Find the full content below :
If a company fails to make an adjusting entry to accrue interest on a note receivable, then this error:
A. Overstates expenses
B. Understates income
C. Understates assets
D. Understates owners' equity
E. All of these except A
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In the context of the DMAIC process, _____ provide a broad overview of the key elements in the process and help to explain who is the process owner, how inputs are acquired, who the process serves, and how it adds value.
In the context of the DMAIC process, a process map provides a broad overview of the key elements in the process. A process map is a visual representation of the steps and activities involved in a process, from the beginning to the end.
The key elements of the DMAIC process include Defining, Measuring, Analyzing, Improving, and Controlling. The Define phase involves defining the problem or opportunity that needs to be addressed. The Measure phase involves collecting data to understand the current performance of the process. The Analyze phase involves analyzing the data to identify the root cause of the problem. The Improve phase involves implementing solutions to address the root cause of the problem. The Control phase involves monitoring and controlling the process to ensure that the improvements are sustained. The process owner is responsible for the overall management of the process.
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An aspect of _____ is the tendency to aggressively court FDI believed to be in the national interest by, for example, offering subsidies to foreign MNEs in the form of tax breaks or grants.
An aspect of International Economics is the tendency to aggressively court FDI believed to be in the national interest by, for example, offering subsidies to foreign MNEs in the form of tax breaks or grants.
The aspect being referred to here is "investment promotion," which involves a government's efforts to attract foreign direct investment (FDI) to its country.
Investment promotion is often seen as a key component of economic development strategies, as it can bring in new technologies, create jobs, and boost exports.
Governments may use various tactics to promote FDI, such as offering subsidies or tax incentives to foreign multinational enterprises (MNEs) to encourage them to invest in their country.
These incentives may include tax breaks, grants, or other forms of financial assistance.
However, the effectiveness of investment promotion strategies in attracting FDI is a subject of debate.
Some experts argue that subsidies and tax incentives may not be the most effective way to attract investment, and that other factors such as political stability, infrastructure, and a skilled workforce may be more important.
Furthermore, there are concerns about the potential negative impacts of investment promotion, such as the risk of a "race to the bottom" among countries offering increasingly generous incentives to attract investment.
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The implied warranty of fitness for a particular purpose is sometimes referred to as fitness of merchantability.
a) true
b) false
It is important to note that the implied warranty of fitness for a particular purpose and the implied warranty of merchantability are two distinct legal concepts that apply to the sale of goods.
The warranty of merchantability is a guarantee that a product is reasonably fit for its ordinary purpose and is free from defects that would make it unreasonably dangerous to use. The warranty of fitness for a particular purpose, on the other hand, is a guarantee that the product will be fit for a specific purpose or use that the buyer has communicated to the seller. Therefore, the statement that the implied warranty of fitness for a particular purpose is sometimes referred to as fitness of merchantability is false.
While both warranties relate to the quality and fitness of goods sold, they are not interchangeable terms. It is important to understand the distinction between these two warranties, as they provide different protections for buyers in the event that a product does not meet their expectations.
The implied warranty of merchantability guarantees that a product will perform its basic functions, while the implied warranty of fitness for a particular purpose ensures that the product will work for the specific use the buyer has in mind. These two warranties serve different purposes and cannot be used interchangeably.
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What is the current yield for a $1,000 corporate bond that pays 7 percent and has a current market value of $800
The current yield for this corporate bond is 8.75%. This means that the bond is currently offering a return of 8.75% based on its current market value.
The current yield for a corporate bond is calculated by dividing the annual interest payment by the current market value of the bond. In this case, the corporate bond pays 7 percent on a $1,000 face value, which translates to an annual interest payment of $70.
To calculate the current yield, we need to divide the annual interest payment by the current market value of the bond. In this case, the current market value of the bond is $800. So, the current yield for the $1,000 corporate bond is:
Current yield = ($70 / $800) x 100% = 8.75%
It's important to note that the current yield is only one aspect of a bond's return. Other factors, such as the bond's duration, credit rating, and interest rate risk, should also be considered when evaluating a bond's potential return.
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An e-mail from Amazon offers free shipping on your next purchase of more than $35. This is an example of ________. Group of answer choices sales promotion personal selling public relations an advertising objective a push strategy
An e-mail from Amazon offering free shipping on your next purchase of more than $35. This is an example of a sales promotion.
Sales promotion is a marketing technique aimed at boosting sales by offering incentives to customers, such as discounts, free shipping, or gifts with purchase. In this case, Amazon uses the free shipping offer to encourage customers to spend more than $35 on their next purchase.
This type of promotion helps to attract new customers, retain existing ones, and stimulate higher spending per transaction. Unlike personal selling, which involves direct interaction between a salesperson and a customer, sales promotions are typically communicated through advertising channels like e-mails, websites, or social media.
Public relations, on the other hand, focuses on managing a company's image and building positive relationships with stakeholders. An advertising objective is a specific goal that an ad campaign seeks to achieve, while a push strategy refers to promoting products through distribution channels to reach consumers.
In summary, the Amazon e-mail offering free shipping on purchases over $35 is an example of a sales promotion, which is designed to incentivize customers to make a purchase and increase sales.
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The high-low method is used in classifying a mixed cost into its variable and fixed elements. Group of answer choices True False
True.The high-low method is used in classifying a mixed cost into its variable and fixed elements.
The high-low method is a commonly used technique for separating a mixed cost into its variable and fixed components. The method involves selecting the highest and lowest levels of activity within a given time period and using the difference in cost between those two levels to estimate the fixed and variable components of the cost.
Specifically, the high-low method involves calculating the variable cost per unit of activity by dividing the change in cost by the change in activity between the high and low levels. The fixed cost component is then calculated by subtracting the total variable cost from the total cost at either the high or low level of activity.
Overall, the high-low method is a useful tool for managers to gain insight into the behavior of mixed costs and can help in making decisions related to pricing, cost control, and profitability.
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Currency held by the public, balances in transactions accounts, plus balances in most savings accounts and money market mutual funds added together is: Group of answer choices M1 M2 M3 L
M2 refers to the total amount of money in circulation, transaction account balances, most savings account balances, and money market mutual fund balances.
M2 is the total of the balances in transaction accounts, most savings accounts, money market mutual funds, and currency held by the general public.
M2, a measurement of the money supply, includes all components of M1 (publicly held money and transaction account balances) as well as "near money," which is made up of savings accounts, money market securities, and other liquid assets.
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Suppose the marginal product of labor is 8 and the marginal product of capital is 2. If the wage rate is $4 and the price of capital is $2, then in order to minimize costs the firm should a. use more capital and less labor. b. use more labor and less capital. c. use three times more capital than labor. d. none of the above.
The correct answer is a. use more capital and less labour. This is because the marginal product of labour is higher than the marginal product of capital, meaning that each additional unit of labour is producing more output than each additional unit of capital. However, the wage rate for labor is twice as high as the price of capital, meaning that it is more expensive for the firm to use labor than capital. Therefore, in order to minimize costs while still producing the same level of output, the firm should use more capital and less labour.
Your question is: Suppose the marginal product of labour is 8 and the marginal product of capital is 2. If the wage rate is $4 and the price of capital is $2, then in order to minimize costs the firm should a. use more capital and less labor. b. use more labour and less capital. c. use three times more capital than labour. d. none of the above.
To determine the cost-minimizing input combination, we can use the following equation:
(Marginal product of labor / Wage rate) = (Marginal product of capital / Price of capital)
Now, let's plug in the given values:
(8 / $4) = (2 / $2)
2 = 1
Since the ratio on the left is greater than the one on the right, the firm should use more labor and less capital. Therefore, the answer is:
b. use more labour and less capital.
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Find the future value of an annuity of $100 per year for 10 years at 10 percent per year. Multiple choice question. $1,755.25 $1,593.75 $1,682.09 $1,437.60
The future value of the annuity is $1,682.09.
The formula for calculating the future value of an annuity is:
FV = Pmt x [(1 + r)^(n-1) / r]
Where:
Pmt = the amount of the periodic payment ($100)
r = the interest rate per period (10% per year)
n = the number of periods (10 years)
Plugging in the values, we get:
FV = $100 x [(1 + 0.10)^(10-1) / 0.10] = $1,682.09
Therefore, the future value of the annuity is $1,682.09.
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An individual purchased a variable life insurance policy 10 years ago with a guaranteed death benefit of $100,000. The annual premium for this policy was $2,000 per year. The individual dies and, due to outstanding performance of the separate account, leaves a death benefit to the beneficiary of $121,000. What are the income tax consequences to that beneficiary
The beneficiary of a life insurance policy generally does not have to pay income tax on the death benefit proceeds. Therefore, the beneficiary would not owe any income tax on the $121,000 received from the policy.
However, if the beneficiary chooses to receive the death benefit in installments rather than a lump sum, any interest earned on the installment payments would be subject to income tax. Additionally, if the policy was transferred to the beneficiary for value (such as in a sale or gift), there may be tax implications for the policy owner and/or beneficiary.
It is important to note that tax laws can be complex and vary depending on individual circumstances, so it may be beneficial to consult with a tax professional for specific advice related to this scenario.
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Business firms that lobby their governments to engage in protectionism may miss the opportunity to build _____ by constructing a globally dispersed production system.
Answer:
Business firms that lobby their governments to engage in protectionism may miss the opportunity to build efficiency by constructing a globally dispersed production system.
If a cutoff scores is set based on the qualifications deemed necessary to perform a job, it is most likely the ________ method of determining cut scores.
If a cutoff score is set based on the qualifications deemed necessary to perform a job, it is most likely the content-validation method of determining cut scores. This method involves analyzing the tasks and responsibilities of the job to determine the necessary knowledge, skills, and abilities needed to perform the job successfully.
The cutoff score is then set based on the level of proficiency needed to meet these qualifications. This process typically involves a job analysis, which includes collecting data on the job duties, skills, and knowledge required to perform the job, and developing test items or other assessment tools that measure these qualifications. The cutoff score is typically set based on a predetermined standard, such as a passing score or a minimum level of proficiency, and may be adjusted over time based on changes in the job requirements or performance expectations.
This approach is often used in high-stakes testing situations, such as licensing exams or certification assessments, where it is important to ensure that candidates have the necessary qualifications to perform the job or task at hand. In summary, the content-validation method of determining cutoff scores involves setting a score based on the qualifications necessary to perform the job, which is determined through a job analysis process. This method typically involves setting a passing score or minimum level of proficiency based on predetermined standards.
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the end of a reporting period, ABC determines that its ending inventory has a cost of $300,000 and a net realizable value of $230,000. What would be the effect(s) of the adjustment to write down inventory to net realizable value
The effect of adjusting the inventory to net realizable value would be a decrease in the value of inventory on the balance sheet and a corresponding decrease in the company's net income on the income statement.
This adjustment is necessary because inventory should be reported at the lower of cost or net realizable value, which means that if the net realizable value is less than the cost, the inventory should be written down to the lower value.
In this case, the adjustment would result in a decrease in inventory of $70,000 ($300,000 - $230,000) and a decrease in net income by the same amount.
This adjustment may also affect the company's financial ratios, such as the current ratio and the gross profit margin, which could impact how investors and creditors view the company's financial health.
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to find the option premium, the black-scholes uses the standard deviation of the return of the underlying asset called the
To find the option premium, the Black-Scholes model uses the standard deviation of the return of the underlying asset is called the volatility.
Volatility is a measure of the amount of uncertainty or risk associated with the price of an asset over a specific period of time.
The Black-Scholes model is a mathematical model used to estimate the value of an option based on several variables, including the underlying asset's price, the option's strike price, the time until expiration, the risk-free interest rate, and the underlying asset's volatility.
Volatility is a critical component of the Black-Scholes model because it measures the degree of uncertainty in the underlying asset's price.
A higher volatility means that the underlying asset's price is more likely to fluctuate significantly during the option's life, leading to a higher probability of the option finishing in the money. This, in turn, results in a higher option premium.
The Black-Scholes model has become a standard tool in the financial industry for pricing options and other derivatives. It is widely used by traders, investors, and risk managers to assess the fair value of an option and to hedge against risk.
In summary, the Black-Scholes model uses the standard deviation of the underlying asset's return, which is called volatility, to estimate the value of an option.
A higher volatility leads to a higher option premium, reflecting the increased uncertainty and risk associated with the underlying asset's price movements.
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1. How can the principles of classical conditioning and instrumental conditioning be applied to the development of marketing strategies
Classical conditioning and instrumental conditioning are two principles of learning that can be effectively applied in the development of marketing strategies.
Classical conditioning involves associating a specific stimulus with a particular response, while instrumental conditioning involves using rewards and punishments to shape behavior. In marketing, classical conditioning can be used to associate a brand with positive emotions or experiences.
For example, a company may use a catchy jingle or a specific color scheme in their advertisements to create a positive association with their brand. By consistently pairing the brand with these stimuli, consumers will begin to automatically associate the brand with positive feelings, making them more likely to purchase the product.
Instrumental conditioning can be used to encourage consumer behavior through the use of rewards and punishments. For example, a loyalty program that rewards customers for repeat purchases can encourage continued business. Additionally, offering discounts or promotions for early adopters of a new product can encourage consumers to try it out and potentially become long-term customers.
In order to effectively apply these principles, marketers must have a detailed understanding of their target audience and their behavior. By analyzing consumer behavior and tailoring marketing strategies to their specific needs and preferences, marketers can use classical and instrumental conditioning to drive sales and build brand loyalty.
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On October 1, 20X1, Paige Turner Publishing received $51,600 in cash for monthly subscriptions covering one year, recording the entry as a debit to Cash and a credit to Unearned Subscriptions. The correct adjusting entry at December 31, 20X1, is
At the end of December 31, 20X1, Paige Turner Publishing needs to adjust its accounts to reflect the portion of the subscription revenue that has been earned during the year. Since the company received the full payment for the annual subscription in cash, it recorded the transaction as a debit to Cash and a credit to Unearned Subscriptions.
However, at the end of the year, the company has only earned a portion of the revenue.
The adjusting entry at December 31, 20X1, should be a debit to Unearned Subscriptions and a credit to Subscription Revenue. The amount to be adjusted is calculated as follows:
Total subscription revenue for the year = $51,600
Portion of revenue earned by December 31, 20X1 = 3/12 (since 3 months out of 12 have passed)
Revenue earned by December 31, 20X1 = $51,600 x 3/12 = $12,900
Therefore, the adjusting entry would be:
Debit Unearned Subscriptions $12,900
Credit Subscription Revenue $12,900
This entry will reduce the balance in Unearned Subscriptions by the amount of revenue that has been earned by the end of the year and recognize it as Subscription Revenue. This adjustment ensures that the company's financial statements accurately reflect the portion of revenue that has been earned during the year.
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If each of two monopolistic competitors undertakes equally successful advertising efforts to attract consumers away from the other, the total result is that
If each of two monopolistic competitors undertakes equally successful advertising efforts to attract consumers away from the other, the total result is likely to be a zero-sum game.
In other words, while each company may be successful in attracting some consumers, the overall market share and profits will remain relatively unchanged. This is because the advertising efforts cancel each other out, and the products themselves may not have significantly differentiating features or benefits to sway consumers towards one company over the other.
Additionally, the costs of advertising may outweigh the potential gains in market share, resulting in lower profits for both companies. Overall, in a monopolistic competition scenario where advertising is the primary strategy for differentiation, both companies may end up in a stalemate, with no clear winner or loser.
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Premium Pet Supplies has sales of $98,400. The costs of goods sold are $55,000 and the other cash operating costs are $21,000. Depreciation expense is $12,000 and the tax rate is 35 percent. What is the net income of the company
Here's the answer: The net income of Premium Pet Supplies is $6,260.
1. First, calculate the gross profit by subtracting the cost of goods sold from the sales.
Gross Profit = Sales - Cost of Goods Sold
Gross Profit = $98,400 - $55,000
Gross Profit = $43,400
2. Next, calculate the operating income by subtracting the other cash operating costs and depreciation expense from the gross profit.
Operating Income = Gross Profit - Other Cash Operating Costs - Depreciation Expense
Operating Income = $43,400 - $21,000 - $12,000
Operating Income = $10,400
3. Finally, calculate the net income by subtracting taxes from the operating income. To do this, first find the amount of taxes by multiplying the operating income by the tax rate.
Taxes = Operating Income * Tax Rate
Taxes = $10,400 * 0.35
Taxes = $3,640
Now, subtract the taxes from the operating income to find the net income.
Net Income = Operating Income - Taxes
Net Income = $10,400 - $3,640
Net Income = $6,260
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The principle of ________ provides information to the entrepreneur about how time is currently being allocated, which will also highlight inefficient or inappropriate investments of time.
The principle being referred to is the "opportunity cost" principle.
Here are some points explaining:
1. Definition: Opportunity cost is the value of the next best alternative forgone in order to pursue a certain action or investment.
2. Importance: The concept of opportunity cost is crucial for entrepreneurs because time is a limited resource, and making the best use of it is essential for business success.
By understanding the opportunity cost of different actions and investments, entrepreneurs can make more informed decisions about how to allocate their time and resources.
3. Identifying inefficient or inappropriate investments of time: The concept of opportunity cost helps entrepreneurs identify inefficient or inappropriate investments of time.
4. Evaluating trade-offs: Entrepreneurs often face trade-offs when deciding how to allocate their time and resources.
The opportunity cost principle helps them evaluate these trade-offs by comparing the benefits of different options with the costs of pursuing them.
5. Making better decisions: By using the opportunity cost principle, entrepreneurs can make better decisions about how to allocate their time and resources.
They can identify opportunities to invest their time more effectively, avoid wasting time on activities that don't add value to the business, and make more informed decisions about how to prioritize different tasks.
In conclusion, the opportunity cost principle is a valuable tool for entrepreneurs to understand how time is being allocated and to identify inefficient or inappropriate investments of time.
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The life cycle for electronic records includes a. creation, classification, distribution and use, retention and maintenance, and disposition. b. creation, usage, maintenance, and destruction. c. creation and storage, maintenance, disposition, and back-up. d. creation and storage, disposition and use, maintenance, and transfer.
The correct answer to the question about the life cycle for electronic records is option A, which includes creation, classification, distribution and use, retention and maintenance, and disposition. This life cycle outlines the key stages that electronic records go through from their creation to their eventual disposal.
Maintenance is a critical component of the life cycle for electronic records. Once electronic records are created, they must be maintained in order to ensure that they remain accurate, complete, and accessible over time. This involves regular checks to ensure that the records are still readable, that they are stored securely, and that they are backed up to prevent loss or corruption.
Effective maintenance also involves implementing policies and procedures that address the preservation of electronic records. This includes establishing guidelines for storing and managing electronic records, ensuring that they are protected against unauthorized access, and establishing processes for disposing of records that are no longer needed.
Overall, the life cycle for electronic records is a complex process that requires careful attention to ensure that records are maintained and preserved over time. By following best practices for maintenance and implementing effective policies and procedures, organizations can ensure that their electronic records remain accessible and usable for many years to come.
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As a salesperson, Harold is paid based on a percentage of the value of the products and services he sells. In other words, he is paid on a ______ basis. a. bonus b. commission c. base pay d. value pay
As a salesperson, Harold is paid based on a percentage of the value of the products and services he sells. In other words, he is paid on a commision basis
A commission is a form of compensation that is based on a percentage of the sales made by an individual. In this case, Harold is a salesperson who is paid based on the value of the products and services he sells.
This means that his compensation is directly tied to his performance and his ability to generate sales. The more he sells, the more he earns in commissions. This type of compensation structure can be a strong motivator for salespeople, as it incentivizes them to work hard and perform well in order to earn more money.
Commission-based pay is common in sales roles across various industries, including retail, real estate, and finance. It is often used to reward high-performing employees and to align their interests with the company's goals. However, it is important for companies to ensure that their commission structures are fair and transparent to avoid any potential issues or conflicts
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A FIRM PRODUCES 5000 WATERPROOF CELLPHONE CASES, WHICH THEY SELL FOR $30 EACH. THEY HAVE $35,000 IN FIXED COSTS AND $85,000 IN TOTAL COSTS EVERY YEAR. WHAT IS THE AVERAGE VARIABLE COST
The average variable cost for producing one waterproof cellphone case is $10.
To find the average variable cost (AVC), we need to first determine the variable costs associated with producing 5000 waterproof cellphone cases.
Total Cost = Fixed Cost + Variable Cost
Since we know the total cost is $85,000 and the fixed cost is $35,000, we can solve for the variable cost;
Variable Cost = Total Cost - Fixed Cost
Variable Cost = $85,000 - $35,000
Variable Cost = $50,000
So the variable cost to produce 5000 waterproof cellphone cases is $50,000.
Next, we can calculate the average variable cost;
AVC = Variable Cost / Quantity
AVC = $50,000 / 5000
AVC = $10
Therefore, the average variable cost is $10.
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A firm has a dividend yield of 9%. What is the expected return, if a firm has a 45% payout ratio, a return on equity of 10%, and assuming dividends grow at a constant rate
if a firm has a 45% payout ratio, a return on equity of 10%, the expected return of the firm is 14.5%
To calculate the expected return of a firm, we need to use the dividend discount model, which is:
Expected Return = Dividend Yield + Dividend Growth Rate
The dividend yield is given as 9%, and we can calculate the dividend growth rate using the information provided:
Dividend Payout Ratio = Dividends / Earnings
0.45 = Dividends / Earnings
Dividends = 0.45 * Earnings
Dividend Growth Rate = Retained Earnings * Return on Equity
Dividend Growth Rate = (1 - Payout Ratio) * Return on Equity
Dividend Growth Rate = (1 - 0.45) * 0.1
Dividend Growth Rate = 0.055
Now we can plug in the values to calculate the expected return:
Expected Return = Dividend Yield + Dividend Growth Rate
Expected Return = 0.09 + 0.055
Expected Return = 0.145 or 14.5%
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A credit market instrument that requires the borrower to make the same payment every period until the maturity date is known as a
The "fixed-payment loan." This type of credit market instrument requires the borrower to make a consistent payment every period until the maturity date of the loan.
The fixed-payment loan is structured to provide a predictable repayment plan for the borrower, allowing them to plan and budget accordingly. The fixed payment includes both the principal and interest payments, which are calculated based on the loan amount, interest rate, and term of the loan. This type of loan is commonly used for mortgages, car loans, and personal loans.
In a fixed-rate loan, the interest rate is set at the beginning of the loan and does not change throughout the entire duration. This results in equal payments being made by the borrower every period, which helps them budget and plan their finances more effectively. The payments include both principal and interest components, ensuring that the loan is fully paid off by the maturity date.
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If the government levies a $1,000 tax per boat on sellers of boats, then the price paid by buyers of boats would Group of answer choices increase by more than $1,000. increase by exactly $1,000. increase by less than $1,000. decrease by an indeterminate amount.
Answer:
increase by less than $1,000
Today the problem of the imbalance between revenues and expenditures in the federal budget is being compounded by:
Today, the problem of the imbalance between revenues and expenditures in the federal budget is being compounded by several factors. One major factor is the aging population, which has led to increased demand for entitlement programs such as Social Security and Medicare.
These programs are currently funded through payroll taxes, which may not be sufficient to cover the growing costs as the population ages. Another factor is the increasing cost of healthcare, which has driven up spending on programs such as Medicaid.
Additionally, the recent tax cuts and increased government spending have contributed to a widening deficit. The COVID-19 pandemic has also had a significant impact, as emergency spending measures to support businesses and individuals have added to the deficit.
These factors have made it increasingly difficult to balance the federal budget, and there is a growing concern over the long-term implications of continued deficit spending.
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Why do companies typically use operating income and assets as opposed to net income and total assets in calculating return on investment
Companies typically use operating income and assets instead of net income and total assets when calculating return on investment (ROI) because these metrics better represent the performance and efficiency of their primary operations.
Firstly, operating income focuses on the core operations of a business, reflecting the profits generated from day-to-day activities.
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