The predetermined overhead allocation rate for Jones Company is calculated by dividing the total expected indirect costs of $75,000 by the total expected billable hours of 7,500.
The resulting rate is $10 per hour. This rate can then be added to the cost of direct labor to determine the total cost of the services provided. For example, if Jones Company were to provide services for one hour, the customer would be billed $65 (direct labor cost of $55 plus overhead allocation rate of $10). This rate will be used to allocate the total expected overhead costs to each individual customer, which will in turn help the company to maintain its desired profit margins. By calculating the overhead allocation rate in advance, Jones Company will have a greater ability to control costs, budget for the upcoming year, and plan for future growth.
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9) Which is a risk of being a stockholder?
A) may not get an increase in the amount of one's investment
B) can increase investment if the price of one's stock goes up
C) might receive dividends when the company makes a profit
D) able to vote for members of the board of directors
Answer: A.
Explanation:
The answer to this problem is A. The answer is A because B, C, and D are all positive parts of being a stockholder whereas A is negative.
A) may not get an increase in the amount of one's investment is a risk of being a stockholder.
Stockholders or shareholders are investors who own a portion of a company's equity, represented by shares of stock. While being a stockholder comes with potential benefits such as capital gains, dividends, and voting rights, it also carries risks.
One of the most significant risks of being a stockholder is that the value of the stock can decrease, and the stockholder may lose some or all of their investment. This can happen due to a variety of factors, such as changes in the market, the company's financial performance, or global events that impact the economy.
Therefore, A) may not get an increase in the amount of one's investment is the risk of being a stockholder.
in the context of the review of statutorily mandated arbitration, when a court tries the issues that were resolved through arbitration anew, as if no arbitration occurred, it is known as
When a court tries the issues that were resolved through arbitration anew, as if no arbitration occurred, it is known as "de novo review."De novo review refers to a situation in which a court reviews an arbitration award as if there had been no prior arbitration.
This means that the court will consider the evidence and arguments presented in the arbitration and make its own independent determination of the facts and law, without giving deference to the arbitration award. In the context of the review of statutorily mandated arbitration, de novo review may occur when a party to the arbitration challenges the validity of the arbitration award or argues that the award was based on errors of law or fact. In such cases, the court may conduct a de novo review to determine whether the arbitration award should be confirmed, modified, or set aside. It's important to note that de novo review is not the standard form of review for arbitration awards and is generally only available in limited circumstances, as provided by statute or agreement of the parties. In most cases, courts will give deference to arbitration awards and will only set aside an award if there is clear evidence of bias, fraud, or other misconduct by the arbitrator, or if the award is contrary to public policy.
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you are considering staying in college another semester so that you can complete a major in economics. in deciding whether or not to stay you should
When selecting whether or not to return to college for another semester, consider the following factors Tuition and related fees: You should carefully assess the financial cost.
of continuing your education for another semester, which includes tuition, books, and other expenses. Consider the opportunity cost of continuing your education for another semester, such as finding a job or pursuing other personal or professional interests. Consider if the additional knowledge and experience gained by majoring in economics would boost your professional prospects, including earning potential and job stability. Personal and academic objectives: Think about your personal and academic goals and if continuing your education for another semester would help you attain them. Consider the following time frame.
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If marginal utility becomes negative, then total utility ______ as an extra unit of a good is consumed.
If marginal utility becomes negative, then total utility diminishing as an extra unit of a good is consumed.
In economics, the application is the pride or advantage derived through eating a product. The marginal application of a great or provider describes how a great deal of pride or delight is won or lost via purchasers as a result of the increase or decrease in consumption by one unit.
The extra pride or benefit (application) that a patron derives from buying an additional unit of a commodity or service. Marginal considerations are issues that are subject to a moderate boom or diminution of the inventory of whatever we possess or are considering. any other way to think of the time period marginal is the fee or advantage of the subsequent unit used or consumed, for instance, the benefit which you might get from ingesting a bit of chocolate.
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Lorna just finished compiling her company’s income statement for the month ended march 31. her next step in preparing the company’s financial statements should be to:__________
Lorna's next step in preparing the company's financial statements should be to compile the balance sheet.
What is balance sheet?The balance sheet provides a snapshot of the company's financial position at a specific point in time, and is typically prepared in conjunction with the income statement. The balance sheet reports the company's assets, liabilities, and equity, and helps to show the overall financial health of the company by demonstrating its ability to pay its debts and meet its obligations
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Residual income means that you have to work for your money.
A. True
B. False
Answer:
Answer:A. true
Explanation:
Residual income is not free money. It requires an upfront investment of money,hard work,or sweat equity but once that work is completed,a stream of income has been established that takes little or no effort to maintain.
Actual meaning of Residual income:it's your monthly income minus your monthly debts, like mortgage payment and credit bills.
Extra tip:Advantage of Residual income:it builds your savings.
Which resource management task establishes and maintains the readiness of resources?
A resource management task called "Reimburse and Restock" establishes and maintains the readiness of resources and makes sure that providers are paid on schedule.
Reimbursement procedures play a crucial role in establishing and maintaining resource readiness as well as the ability to pay suppliers on time. In agreements for mutual aid and assistance, reimbursement policies are frequently spelled out. Restocking means replenishing used-up supplies.
It establishes and keeps up the readiness of the resources that are at hand. It gathers invoices and confirms expenditure costs. It ensures on-time payment of resource providers.
It also Gathers invoices and confirms costs. It helps in Ensuring that resource suppliers are compensated promptly and restocked by changing out or fixing broken equipment.
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what is true regarding gdp? gdp data are reported after each quarter and may be revised later as a coincident indicator, the data are reported month to month gdp data would be considered a leading indicator gdp data may be used to predict recessions
GDP data are reported after each quarter and may be revised later is true regarding GDP.
What is GDP?
The total monetary worth of all completed goods and services produced within a nation's boundaries over a given time period is known as the gross domestic product (GDP). Because it is a broad indicator of total domestic production, it provides an exhaustive evaluation of the state of the economy in a particular country.
GDP can be computed on a quarterly basis, despite the fact that it is frequently done on an annual basis. For instance, both for the entire year and for each fiscal quarter, the US government estimates annualised GDP. Each item of information in this report is given in real terms, which implies that it has been netted for inflation after being adjusted for price changes.
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three brokers agreed that they would not let a third broker show any of their listings. this action would be regarded as
The agreement among the three brokers to prevent a third broker would be considered anti-competitive and potentially a violation of antitrust laws.
Such behavior can lead to market inefficiencies, including higher prices, reduced innovation, and lower quality of goods and services for consumers.In many countries, anti-competitive behavior is illegal and can result insevere penalties for the violating parties. This includes fines, legal penalties, and in some cases, criminal charges.it is important for businesses to understand the consequences of engaging in anti-competitive behavior and to avoid taking any actions that may harm consumers or restrict competition. This includes agreements among competitors to limit market access, manipulate prices, or divide market share.Instead, businesses should focus on competing in the marketplace through fair and ethical means. This can include offering high-quality products, providing excellent customer service, and being competitive in terms of prices. By doing so, businesses can not only avoid legal consequences but also build a positive reputation and foster customer loyalty.
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which is the following is true about vertical integration (vi)? group of answer choices vi is a strategy of controlling an industry through ownership marvel comics is an example of vi vi primarily focuses on distribution vi involves generating revenue through both advertising and direct funding
Vertical integration (VI) is a method of governing an industry through ownership, and this assertion is accurate.
The term "vertical integration" describes a business owning several production phases, from raw materials to completed goods, either within the same business or through associated businesses.
Owning several phases of the production process allows a business to have more control over it, which may lead to cost savings, higher quality, and more efficiency. The company's reliance on external suppliers may decline as a result, giving it more control over the supply chain.
Because vertical integration often refers to control over production processes rather than just intellectual property ownership, it is crucial to emphasize that Marvel Comics is not necessarily an example of vertical integration.
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the tactic used for the socialization of terrorists and torturers where trivial requests are gradually worked up to more significant demands is known as the _____ technique.
the tactic used for the socialization of terrorists and torturers where trivial requests are gradually worked up to more significant demands is known as the Graduated Pressure technique.
Here, correct answer will be
The Graduated Pressure technique is a tactic used for the socialization of terrorists and torturers.
It is an attempt to gradually gain compliance by starting with a series of small, trivial requests, and then gradually working up to more significant demands. This technique relies on the idea that people, especially those who may be more resistant to authority, respond better to gradually increasing requests than to sudden, large demands.
This technique is designed to increase the likelihood of compliance by making the requests more palatable and easier to follow. As the requests increase in size and intensity, the pressure on the target increases, making it more likely that they will comply.
This technique is seen as a way to socially "condition" individuals to obey authority, or to accept certain beliefs or behaviour . It is often used in situations where there is a high degree of resistance to authority, and can be used to gain information from those who may be reluctant to disclose it.
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how might a liberal have to respond to the suggestion that some workers might prefer to work at highly routine
While it may be true that employers are not required to delete these positions as long as no one is pressuring workers to perform them, it is also true that embracing the moral legitimacy.
These positions goes against the core ideals of reason and free will. The principles, values, and convictions that direct a person's life and decisions are referred to as their legitimacy. If anything is gravely wrong, it will be against the law. Therefore, it is sufficient to rely on the law to determine employers is good and wrong. Social expectations, cultural norms, and religious influences all influence these morality.
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angela tells ralph that bob has received more high-stakes claims than her recently. this is related to which component of the job characteristics theory?
B. meaningfulness of work. The significance of the goals of work in people's attitudes and worldviews is what is meant by the term "meaningfulness of work."
Three employment characteristics—skill variety, task identity, and task significance—have an impact on experienced meaningfulness. The degree to which completing the tasks of the job involves the utilization of a variety of the jobholder's abilities and talents is referred to as skill variety. Work that challenges one's skills and abilities is generally felt to have more significance than work that is straightforward and ordinary. The degree to which a task necessitates completion of a whole and recognizable piece of work—completing a task from start to finish with an obvious result—is referred to as the task identity.
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Complete question- Angela tells Ralph that Bob has received more high stakes claims than her recently. this is related to which component of the job characteristics theory?
A. autonomy
B meaningfulness of work
C knowledge of results
D feedback
E responsibility for outcomes
a firm has net working capital of $420, net fixed assets of $2,166, sales of $5,300, and current liabilities of $730. how many dollars worth of sales are generated from every $1 in total assets?\
$1.60 worth of sales are generated from every $1 in total assets.
Total assets= Fixed assets + Net working capital + current liabilities.
3316 = 2166 + 420 + 730.
Total assets turnover = Net sales / Total assets.
= 5300 / 3316 = 1.6.
What is total assets turnover?
Asset turnover, total asset turnover are financial ratios that assess how effectively a company utilizes its assets to produce sales revenue or other forms of cash for the business. Asset turnover is regarded as an Activity Ratio, a collection of financial ratios that assesses the effectiveness with which a business utilizes its assets. Asset turnover can be further broken down into two categories: working capital turnover and fixed asset turnover. Working capital turnover measures how a business uses its current assets minus its obligations to produce revenue.
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A new bill from a group of house conservatives would abolish the current tax system and charge americans which single tax?
A new bill from a group of House conservatives could propose the implementation of a single tax, such as a flat tax or a national sales tax, to replace the current tax system.
A flat tax is a system where all taxpayers pay the same tax rate, regardless of their income level. This type of system is often marketed as a simpler, more straightforward alternative to the current tax system, as it eliminates many of the deductions, credits, and exemptions that are a part of the current tax code.
A national sales tax, also known as a value-added tax (VAT), would replace income and payroll taxes with a tax on the sale of goods and services. This type of tax would be applied at each stage of production, from the raw materials to the final sale to the consumer.
While the idea of a single tax system may seem appealing for its simplicity, it's important to consider the potential consequences of such a system. For example, a flat tax could result in a significant reduction in tax revenue, as the government would collect less money from higher-income taxpayers.
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why is it safe to assume that national defense will always be provided by the government instead of the market
Because national security is a public good and can only be fully and equitably provided by the government, it is safe to infer that national defence is the responsibility of the government.
If the market assumes responsibility, then the public would be obligated to foot the bill for security. Government generally delivers a public good for a number of reasons. The first is that it is defence to prevent people from consuming an item that demonstrates the qualities of a public good. Consider a scenario where a private company offers police protection to a certain neighbourhood in a city.
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: western states life insurance offers a perpetuity that pays annual amounts of $10,000. this contract sells for $275,000 today. what is the implied interest rate?
Western states life insurance offers a perpetuity that pays annual amounts of $10,000. this contract sells for $275,000 today. The implied interest rate is 3.64 percent.
The policyholder and the insurance company or underwriter enter into a life insurance contract whereby the insurance company undertakes to pay a predetermined beneficiary a certain amount in the event that the policyholder co died.
Other events, such as critical or terminal illness, may also trigger a payout, depending on the terms of the contract. Premiums are usually paid by the policyholder, either monthly or all at once. Other costs, such as burial costs, may be covered by grants. Since life insurance plans are contracts, their terms specify exclusions that apply to covered events.
Hence the correct option is A
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The above question is incomplete, the complete question is-
Western States Life Insurance offers a perpetuity that pays annual payments of $10,000. This contract
sells for $275,000 today. What is the interest rate?
A. 3.64 percent
B. 3.87 percent
C. 4.10 percent
D. 4.21 percent
E. 4.39 percent
now suppose the interest rate is 12 percent. among these three students, the quantity of loanable funds supplied would be $ , and quantity demanded would be
Student Money a Year Later (Dollars)
Shen 1040
Antonio 1070
Caroline 1150
How did we arrive at these values?Shen 1.04*1000= $1040
Antonio 1.07*1000= $1070
Caroline 1.15*1000 =$1150
A student would choose to be a lender in this market if his or her expected rate of return is (greater) than r.
Suppose the interest rate is 6 percent. Among these three students, the quantity of loanable funds supplied would be, ($1000) and quantity demanded would be. ($2000)
Now suppose the interest rate is 12 percent. Among these three students, the quantity of loanable funds supplied would be, ($2000) and quantity demanded would be ($1000).
At an interest rate of (7%), the loanable funds market among these three students would be in equilibrium. At this interest rate (Caroline), would want to borrow, and (Shen) would want to lend.
Student Money a Year Later (Dollars)
Shen 1070
Antonio 1070
Caroline 1230
Shen 1.07*1000= $1070
Antonio 1.07*1000= $1070
Caroline 1.15*2000 – 1.07*1000 =$1230
False.
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The complete question goes thus:
Three students have each saved $1,000. Each has an investment opportunity in which he or she can invest up to $2,000. Here are the rates of return on the students’ investment projects:
Student Return(Percent)
Shen 4
Antonio 7
Caroline 15
Assume borrowing and lending is prohibited, so each student uses only personal saving to finance his or her own investment project.
Complete the following table with how much each student will have a year later when the project pays its return.
Student Money a Year Later(Dollars)
Shen (....)
Antonio (....)
Caroline (....)
Now suppose their school opens up a market for loanable funds in which students can borrow and lend among themselves at an interest rate r
A student would choose to be a lender in this market if his or her expected rate of return is (...) than r
Suppose the interest rate is 6 percent.
Among these three students, the quantity of loanable funds supplied would be, (....) and quantity demanded would be. (....)
Now suppose the interest rate is 12 percent.
Among these three students, the quantity of loanable funds supplied would be, (....) and quantity demanded would be (....).
At an interest rate of (..%), the loanable funds market among these three students would be in equilibrium. At this interest rate (....), would want to borrow, and (....) would want to lend.
Suppose the interest rate is at the equilibrium rate.
Complete the following table with how much each student will have a year later after the investment projects pay their return and loans have been repaid.
Student Money a Year Later(Dollars)
Shen (....)
Antonio (....)
Caroline (....)
True or False: Only borrowers are made better off, and lenders are made worse off.
consumer finance companies specialize corporate stock . consumer loans . financial disintermediation . residential mortgages . g
Consumer Finance Companies (CFCs) Personal installment loans and second mortgages are the focus of consumer finance companies.
Consumers with no credit history can frequently borrow without collateral from CFCs.
A consumer loan is a loan made to consumers to help them finance specific types of expenses.
A consumer loan, in other words, is any type of loan made to a consumer by a creditor. The loan can be secured (backed by the borrower's assets) or unsecured (not backed by the assets of the borrower).
Mortgage, auto loan, education loan, personal loan, refinance loan, and credit card are the most common types of consumer loans.
Consumer Financing Company Types
Time commitment.
Amazon Credit (recently purchased by JP Morgan Chase)
Finance Aqua.
Navy Federal Savings and Loan Association.
Credit for Care.
Ford Financial Services.
Toyota Financial Services Inc. (and other auto manufacturers, service providers for consumers purchasing vehicles, and automobile finance companies)
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wise eyes corporation has developed a new oral supplement to prevent macular degeneration. which type of legal protection grants wise eyes corporation exclusive rights for a defined period to the manufacture, use, or sale of this new supplement?
A patent is type of legal protection grants wise eyes corporation exclusive rights for a defined period to the manufacture, use, or sale of this new supplement.
It gives the patent holder the exclusive right to prevent others from making, using, selling, importing or offering for sale the claimed invention without their permission. In exchange for this exclusive right, the patent holder must publicly disclose the details of the invention so that others can learn from it.
The purpose of a patent system is to encourage innovation and technological progress by providing inventors with an incentive to invest time, effort, and resources into the development of new ideas and products.
By obtaining a patent, inventors can protect their invention and enjoy the benefits of their investment, such as being able to commercially exploit their invention by selling it or licensing it to others.
The patent examination process is designed to ensure that only truly novel and non-obvious inventions are granted patents. The examination process typically involves a review of the patent application by a patent office to determine whether the invention meets the legal requirements for a patent, such as novelty, non-obviousness, and usefulness.
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if gabby's mother places the highest value on convenience when looking for a cup of coffee, which of the marketing mix components is she most concerned with?
If Gabby's mother places the highest value on convenience when looking for a cup of coffee, the marketing mix components is she most concerned with Place.
Which component of the marketing mix refers to a good product or concept that meets the needs of consumers?The four Ps of the marketing mix are these four components: Product: a good, service, or concept that satisfies the needs of the consumer. Price: the amount paid in exchange for the good. A channel of contact between the seller and the buyer is promotion.
Which marketing mix component is most pertinent to the action that creates value?Promotion (communicating value), Product (generating value), Price (collecting value), and Place make up the marketing mix (delivering value).
Which of the following best describes the function of the marketing mix's promotion component?Promotions play a crucial role in the marketing mix. Promotions typically concentrate on how to grab customers' attention and persuade them to act or make a purchase through eCommerce or other channels.
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many retail stores offer to match or beat the price offered by a rival store. explain why firms that belong to a cartel might make this offer?
Many retail stores offer to match or beat the price offered by a rival store. Firms that belong to a cartel might make this offer because it D. helps detect cheating on cartel agreements.
A cartel is a group of independent market actors who work together to increase their earnings and dominate the market. Cartels are typically associations in the same industry, and hence an alliance of competitors.
Most authorities consider it anti-competitive behavior and have prohibited it. Price fixing, bid rigging, and output reductions are all examples of cartel conduct.
Cartel theory is an economic ideology that studies cartels. Cartels differ from other types of cooperation or anti-competitive organization, such as corporate mergers.
Cartels have numerous structures and purposes that, in theory, allow firms to navigate and regulate market uncertainty while gaining collusive profits within their industry. A typical cartel frequently necessitates what is known as a CAU by competition regulators.
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Correct question:
Many retail stores offer to match or beat the price offered by a rival store. Explain why firms that belong to a cartel might make this offer?
Agreeing to matching lower prices reported by customers
A. is a way of punishing customers.
B. limits price retaliation among cartel members.
C. is a form of tacit collusion.
D. helps detect cheating on cartel agreements.
.E. is irrational behavior.
Fill The Blank? business executives view foreign direct investment as a way to ___
Business executives view foreign direct investment as a way to circumvent future trade barriers. Companies can hire skilled workers from the target market or gain access to information that locals have. Companies can benefit from lower costs in some nations, such as cheaper labour.
The competitiveness of businesses can increase. FDI promotes Companies growth. It is a nation's main source of foreign investment and growing revenues. It frequently leads to the opening of factories in the investing nation, where local resources, including materials and labour, are used.
Technical trade barriers (TBTs) may increase the cost of border certification, inspection, and compliance, which encourages MNEs to make foreign direct investments (FDIs) in the host market rather than exporting to that market.
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You are provided with the following information regarding events that occurred at Moore Corporation during 2020 or changes in account balances as of December 31, 2020. Moore prepares its statement of cash flows using the indirect approach. Complete the first column of the table, indicating whether each item affects the operating activities section (O) (that is, the item would be listed among the adjustments to net income to determine net cash provided by operating activities under the indirect approach), investing activities section (I), financing activities section (F), or is a noncash (NC) transaction reported in a separate schedule. For those items classified as operating activities (O), indicate whether the item is added (A) or subtracted (S) from net income to determine net cash provided by operating activities
Operating Activities
Depreciation expenses $8,000(A)
Interest payable account 5,000(A)
Account receivable decrease 10,000(A)
Inventory increased 2,000(S)
Investing Activities
Acquired equipment for $16,000 cash
Received from the sales of plant assets $26,000
Financing Activities
Paid cash dividend to common stockholders $17,000
Received $100,000 from issuing band payable
Non-Cash Transactions
Acquired land by issuing common stock to the seller
In accountancy, depreciation is a time period that refers to two elements of the same concept: first, the real decrease of the truthful value of an asset, consisting of the decrease in fee of the factory device every year as it is used and wear, and 2d, the allocation in accounting statements of the unique price of the assets to intervals wherein the belongings are used (depreciation with the matching precept).
Depreciation is for this reason the decrease in the value of assets and the method used to reallocate, or "write down" the price of a tangible asset (such as equipment) over its beneficial existence span. agencies depreciate lengthy-term property for both accounting and tax purposes. The decrease in the cost of the asset affects the balance sheet of an enterprise or entity, and the method of depreciating the asset, accounting-wise, impacts the net income, and hence the profits announcement that they record. usually, the value is allotted as depreciation cost for some of the periods in which the asset is predicted to be used.
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Complete Question:
You are provided with the following information regarding events that occurred at Moore Corporation during 2020 or changes in account balances as of December 31, 2020.
Moore prepares its statement of cash flows using the indirect approach. Complete the first column of the table, indicating whether each item affects the operating activities section (O) (that is, the item would be listed among the adjustments to net income to determine net cash provided by operating activities under the indirect approach), investing activities section (I), financing activities section (F), or is a noncash (NC) transaction reported in a separate schedule. For those items classified as operating activities (O), indicate whether the item is added (A) or subtracted (S) from net income to determine net cash provided by operating activities.
Transaction Statement of Cash If Operating did it
Flow Section Affected increase/decrease
Reported cash from
Operating activities?
(a) Depreciation expense was s80,000
(b) Interest Payable account increased-
$5,000
(c) Received $26,000 from sale of plant-
assets.
(d) Acquired land by issuing common-
stock to seller.
(e) Paid $17,000 cash dividend to -
preferred stockholders
(f) Paid $4,000 cash dividend to common-
stockholders.
(g) Accounts Receivable account -
decreased $10,000
(h) Inventory increased $2,000
(i) Received $100,000 from issuing-
bonds payable.
(j) Acquired equipment for $16,000 cash.
the leadership team is meeting to determine the vision for the future of the organization. which is the very first step in any strategic planning process
Any approach for strategic planning must begin with the realisation of the need for change.
An effective planning procedure is what?An organization's leaders develop their future vision and decide on their goals and objectives through the process of strategic planning. To enable the organisation to attain its stated vision, the process also identifies the order in which those objectives should be accomplished.
In what way does strategic planning serve its primary purpose?Setting general corporate objectives and creating a plan to attain them are the two aims of strategic planning. It entails stepping back from daily operations and considering the direction and priorities for your company.
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if you borrow $6,000 for 4 years and agree to pay back $8000, what simple interest rate will you end up paying?
8.33% simple interest rate will you end up paying. Simple interest is calculated using the loan principle or the initial deposit into a savings account.
A creditor can only charge simple interest on the principal amount because it doesn't compound, and a borrower is never obligated to pay further interest on the interest that has already accumulated. The simplest way to compute interest is as a percentage of the principal. For instance, if you borrow $100 from a friend and agree to pay back the money with 5% interest, the interest you would have to pay would simply be 5% of $100, or $5.
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graduating from college, getting married, and having a child all transform an individual's buying habits and are referred to as the .
The lifestyle cycle is a concept that describes how an individual's buying habits change as they progress through major life events.
These events include graduating from college, getting married, and having a child. Each of these life events can have a significant impact on how an individual spends their money.
For example, when graduating from college, an individual may start to focus more on spending money on furniture and home goods for their new living situation. After getting married, the individual may focus more on purchasing items that will support their new family such as clothes and toys.
Lastly, after having a child, the individual may begin to focus their spending on items that are specifically related to their child such as diapers, formula, and clothing.
The lifestyle cycle is an important concept to understand in order to better target specific consumers with marketing campaigns and product offerings.
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a key feature of an oligopoly is that the competing firms in the industry blank , meaning the actions of any one firm will influence the behaviors of the other firms. multiple choice question.
The key feature of an oligopoly is that firms competing in an industry have interdependent strategies. This means the actions of one company will affect the behavior of other companies.
Oligopoly is a market structure characterized by a small number of large firms dominating the market. These firms have significant control over the market and often engage in strategic behavior to maintain their dominance. Oligopolies often arise in industries with high barriers to entry, such as high costs of capital or government regulations. In an oligopoly, firms are interdependent and may have significant influence over each other's price and output decisions. Price collusion, in which firms agree to fix prices, is one of the potential outcomes in an oligopoly.
However, oligopoly can also lead to intense price competition. Oligopoly can lead to reduced innovation and efficiency, because firms may have less incentive to invest in research and development. Oligopoly market power can also result in higher prices for consumers and reduced welfare. The study of oligopoly is an important area of economics, because oligopoly is prevalent in many industries and can have a significant impact on the economy and society.
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Which of the following agencies regulates insider trading?
answer: SEC A
Which president founded the SEC?
answer: Franklin D. Roosevelt B
Why were the federal regulatory agencies founded?
answer: to restore trust in the economy as a result of the Great Depression C
Which of these can cause a fluctuation in your income? Select the two correct answers
answers: a raise in taxes, a raise in your salary A and D
What is the definition of economic change?
answer: a shift in the structure of an economic system B
The answer response are:
A. SEC (Securities and Exchange Commission) regulates insider trading.
B. Franklin D. Roosevelt founded the SEC.
C. Federal regulatory agencies were founded to restore trust in the economy as a result of the Great Depression.
A. A raise in taxes and a raise in your salary can cause a fluctuation in your income.
B. The definition of economic change is a shift in the structure of an economic system.
What is the SEC about?The SEC is an independent federal agency in the United States that is responsible for regulating the securities markets and protecting investors. The SEC has broad authority to enforce federal securities laws, regulate the securities industry, and oversee various types of investment products, such as stocks and bonds.
Therefore, Franklin D. Roosevelt was the 32nd President of the United States, serving from 1933 until his death in 1945. He is best known for his leadership during the Great Depression and World War II.
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rooney services company has 70 employees, 31 of whom are assigned to division a and 39 to division b. rooney incurred $420,700 of fringe benefits cost during year 2. required determine the amount of the fringe benefits cost to be allocated to division a and to division b.
A cost of $6010 per employee B a cost of $163310 $234390. Fringe benefits are any non-wage payments or benefits offered by employers to members of staff, such as public pensions, income schemes, overtime pay off.
including existence, medical, and income support training programmes.
Given that, the cost of perks and benefits over two years was $420,700, and 31 workers worked in division A.
39 personnel are employed in division B.
(a) Allocation rate: = Total cost to be assigned Cost driver = $420,700 70 = $6010 per employee.
(b) The cost allocated to A is calculated as follows: Division Allocation Rate Weight of Base (Number of Employees) = $ 6010 31 = $186310.
Cost allocated to B is calculated as follows: Division Allocation Rate Weight of Base (Number of Employees) = $6010 39 = $234390.
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