the benefit of using stories to frame informative and positive business messages as it enables audience to put facts into context projects an image of generosity negates potential for customer complaints eliminates audience boredom.
Positive business Communication
Positive dispatches include dispatches where the followership is anticipated to reply in a neutral to positive manner. Positive dispatches tend to correspond of routine or good news. These dispatches might be particulars similar as congratulations, documentations, directions, simple credit requests, or credit blessings.
Generally speaking, exemplifications of positive dispatches include anything that transmits good news similar as acceptances, documentations, assignations, adverts , and gratefulness among other types.
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For an effective transmittal, it is not necessary to include:___________
For an effective transmittal, it is not necessary to include a review of the formal RFP or a résumé listing previous projects.
A topic announcement and a confirmation that the proposal is authorized; In addition to stating the topic of the proposal and confirming that it has been authorized, letters of transmittal should also briefly outline the project, highlight key results, conclusions, and recommendations, and express gratitude for the assignment or provide instructions for further action. A critique of the official RFP or a resume outlining prior projects is not required to be included in your letter of transmittal.
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if a country had personal consumption expenditures of $50 billion, purchases of stocks and bonds and $30 billion, net exports are -$10 billion, government purchases are $20 billion, sales of secondhand items are $8 billion, and gross investment is $25 billion. what is the gdp for this year?
The GDP for this year is calculated by adding the personal consumption expenditures, purchases of stocks and bonds, net exports, government purchases, sales of secondhand items, and gross investment which totals $113 billion.
GDP = $113 billionGDP = Personal Consumption Expenditures + Purchases of Stocks and Bonds + Net Exports + Government Purchases + Sales of Secondhand Items + Gross InvestmentGDP = $50 billion + $30 billion + (-$10 billion) + $20 billion + $8 billion + $25 billionGDP = $113 billionThe GDP for this year is $113 billion, calculated by adding the personal consumption expenditures of $50 billion, purchases of stocks and bonds of $30 billion, net exports of -$10 billion, government purchases of $20 billion, sales of secondhand items of $8 billion, and gross investment of $25 billion. This calculation shows that the country is experiencing economic growth, as the GDP is higher than the total of all components.
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it is may 1. the quoted price of a bond with an actual/actual (in period) day count and 12% per annum coupon (paid semiannually) in the united states is 105. it has a face value of 100 and pays coupons on april 1 and october 1. what is the cash price?
It costs 105.98 in cash.
Between April 1 and May 1 there are 30 real days, while between April 1 and October 1 there are 183 real days.
The bond's listed price is 105.
12% is the annual coupon.
The face amount is $100.
The advertised price in this instance is 105, and the interest that has accrued is 0.0610030/183=0.98.
Thus, 105.98 is the correct response.
Cash price is the price at which a creditor offers to sell the good or service that is the subject of the transaction for cash in the regular course of business.
The cost of accessories, sale-related services, service agreements, taxes, and fees for licensing, title, and registration may all be included in the term at the creditor's discretion.
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If a person spends $10 a week on coffee (assume $500 a year), what would be the future value of that amount over 10 years if the funds were deposited in an account earning 3 percent? Use
The cost of interest is only calculated once a year with annual compounding. This is a unique situation because the claimed yearly percentage rate and the actual annual rate are the same.
What is future value?A financial concept known as future value (FV) assigns a value to an asset based on anticipated factors like future interest rates or cashflows.
We can use the following formula to compute the future value of an annuity with periodic payment M for T periods, given periodic return r :
= M((1+r)^{T} −1) / r
Applying the formula, the future value after 10 years is:
= 500(1+3 % )^{10} - 1 / 3%
= 5,731.94
Therefore, The future value is 5,731.94.
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the bank of england is concerned that the british pound is weakening against the u.s. dollar. a method for the bank of england to strengthen its currency would be to: a raise british interest rate levels b lower british interest rate levels c raise u.s. interest rate levels d lower u.s. interest rate levels
The Bank of England can use interest rate policy to strengthen the value of the British Pound against the US Dollar.
If the Bank of England were to raise its interest rate levels, it would make investing in British Pound denominated assets more attractive. This increased demand would lead to an appreciation of the British Pound relative to the US Dollar. Conversely, if the Bank of England were to lower its interest rate levels, it would make investing in British Pound denominated assets less attractive. This decreased demand would lead to a depreciation of the British Pound relative to the US Dollar. Similarly, the Bank of England could influence the value of the British Pound relative to the US Dollar by adjusting the US interest rate levels, however this would require the cooperation of the Federal Reserve.
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megan finds herself in a breach of contract situation. while the other party met some of his obligations, some were not met. megan thinks it would cost a lot of time and money to sue the other party. thus, she decides to accept the work that has been done and call it good. of what is this an example?
Before going to court, Megan has a few choices if she believes that the other party has broken the contract Some of these choices consist of legally enforceable agreement.
legally enforceable agreement wherein two or more parties agree to trade products, services, money, or other things of value is known as contract. Although contracts can be verbal or written, having a formal agreement is advised to prevent misunderstandings and offer proof in the event of a disagreement. contract's terms and conditions, including each party's responsibilities and rights, the time limit, and the repercussions of non-compliance, should be clearly stated. Either party has the right to file a lawsuit to have the contract enforced or to recover damages in the event of a violation. Contracts are used often across wide range of sectors and are essential in commercial operations
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after the closing entries are posted to the accounts, all temporary accounts: multiple choice have balances equal to the amounts shown in the adjusted trial balance. have zero balances. have balances equal to the amounts shown in the unadjusted trial balance. are open.
Have zero balances. have balances equal to the amounts shown in the unadjusted trial balance are open have zero balances.
On the other hand, an imbalanced trial balance suggests one or more of the following common mistakes: Either a credit amount or a debit amount has been misclassified after being posted. The ledger accounts' balances have been calculated erroneously. Unadjusted trial balance has three columns: account names in the first, debit in the second, and credit in the third. The accounts are normally listed in the order of the balance sheet, with the assets and liabilities of the profit and loss account coming before the revenue and costs. The main ledger and trial balance will very certainly both have debits equaling credits, making the trial balance less significant for bookkeeping purposes.
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You have $100 and a bank is offering 5% interest on deposits. If you deposit the money in the bank, how much you will have in one year?
The amount that you will have in a year is $105.
Amount that one can have in one year = present value*(1+interest rate)
Amount that one can have in one year = 100*(1 + 0.05) = 105
In finance and economics, a hobby is a charge from a borrower or deposit-taking financial organization to a lender or depositor of a quantity above compensation of the principal sum (that is, the amount borrowed), at a particular rate. it's far wonderful from a rate which the borrower may additionally pay the lender or some third celebration.
it is also awesome from a dividend that's paid with the aid of an enterprise to its shareholders (owners) from its earnings or reserve, however no longer at a selected charge decided ahead, as a substitute on a pro-rata foundation as a share within the praise gained by means of chance taking entrepreneurs when the revenue earned exceeds the overall charges. for example, a consumer would generally pay hobby to borrow from a financial institution, in order that they pay the bank an amount that's extra than the amount they borrowed; or a consumer may also earn hobby on their financial savings, and so they may withdraw extra than they in the beginning deposit. In the case of financial savings, the customer is the lender, and the bank plays the position of the borrower.
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mustang corporation has a selling price of $22, variable costs of $12 per unit, and fixed costs of $51,000. how many units must be sold to break even?
Mustang Corporation must sell 5,100 units to break even. This means that if it sells fewer than 5,100 units, it will be operating at a loss, and if it sells more than 5,100 units, it will be operating at a profit.
The break-even point is the number of units that a company must sell in order to cover its total costs. In other words, it is the point at which the company's revenue exactly equals its costs, and it is not making a profit or a loss. To calculate the break-even point, we need to know the company's fixed costs, variable costs, and selling price.
The formula to calculate the break-even point (BEP) is:
BEP = Fixed Costs / (Selling Price - Variable Costs)
Substituting the given values, we get:
BEP = $51,000 / ($22 - $12) = $51,000 / $10 = 5,100 units
So, Mustang Corporation must sell 5,100 units to break even.
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suppose you are going to receive $13,500 per year for five years. the appropriate interest rate is 6.8 percent. a) what is the present value of the payments if they are in the form of an ordinary annuity? what is the present value if the payments are an annuity due?
The present value of the payments if they are in the form of an ordinary annuity is $58,520.08.
This is calculated by using the present value of an annuity formula, which is given by PV = PMT * (1 - (1 + r)^-n)/r, where PMT is the periodic payment, r is the interest rate, and n is the number of payments. In this example, the PMT is $13,500, r is 0.068, and n is 5. So the present value of the payments is $58,520.08.
The present value of the payments if they are in the form of an annuity due is $61,867.87. This is calculated by using the present value of an annuity due formula, which is given by PV = PMT * ((1 + r)^n - 1)/r, where PMT is the periodic payment, r is the interest rate, and n is the number of payments. In this example, the PMT is $13,500, r is 0.068, and n is 5. So the present value of the payments is $61,867.87.
The difference between the two present values is due to the timing of the payments. An annuity due requires the payments to be made at the beginning of each period, while an ordinary annuity requires the payments to be made at the end of each period. As a result, the present value of an annuity due is higher than the present value of an ordinary annuity due to the compounding effect of the interest rate.
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the term used to determine when the ownership of goods changes hands between a seller and buyer is called the:
In an FOB shipping point agreement, ownership is transferred from the seller to the buyer once goods have been delivered to the point of origin.
FOB shipping point is a term used in the transportation assiduity to indicate who's responsible for the costs associated with the payload of goods. For illustration, if the buyer has agreed to FOB shipping point, also the buyer is responsible for the shipping costs from the dealer's storehouse to the buyer's destination.
What's FOB destination and FOB shipping point?
In a FOB shipping point contract, the dealer transfers any title of power to the buyer upon the product leaving the dealer's position. The buyer also has full power. In a FOB destination trade contract, the buyer may not admit the title of power until the product reaches the buyer's position.
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in what ways can a question-and-answer session of a business presentation be a risk for the speaker? (choose every correct answer.)
A question-and-answer session of a business presentation can be a risk for the speaker in several ways like Unanticipated questions, Technical questions and Conflicting views
Unanticipated questions: The speaker may not have the information to answer unexpected questions and may struggle to respond in a confident and manner.
Controversial questions: The speaker may be asked a question that is controversial or sensitive, and their answer could potentially harm the company or damage their reputation.
Technical questions: The speaker may not be an expert in a particular area and may struggle to answer technical questions.
Lack of preparation: If the speaker hasn't properly prepared for the Q&A session, they may come across as unprepared or unprofessional.
Conflicting views: The speaker may be asked a question that goes against their own beliefs or the company's views, and they may struggle to reconcile their answer with the company's position.
Time constraints: The speaker may struggle to provide a well-thought-out answer in a limited amount of time.
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What are the general requirements and major impacts of the GDPR, and how does this law differ from data protection legislation in the United States?
How are companies outside of Europe affected by the GDPR?
How do perspectives on the GDPR differ between consumers and businesses? Do perspectives vary by industry?
Do you think there should be one data privacy law for the entire world? Balance your discussion by weighing the benefits to international companies with your knowledge of the differences in culture, politics, and government around the world and the importance of sovereignty of countries.
The General Data Protection Regulation (GDPR) is a comprehensive law implemented by the European Union (EU) that applies to any company processing and collecting personal data from EU citizens.
It includes stringent requirements such as data collection consent, data security, and appointing a Data Protection Officer. Additionally, companies must be able to prove compliance and notify authorities of any data breach within 72 hours.
In contrast, no overarching data privacy law exists in the United States, instead relying on sector-specific regulations.
Companies outside of Europe are affected by the GDPR if they collect or process EU citizens’ data, although there is a difference of opinion between consumers and businesses, with the former generally being in favor of the increased privacy protections and the latter often finding the law burdensome due to its complexity. This is especially true for industries subject to stricter regulations, such as the healthcare sector.
Ultimately, due to the differences in culture, politics, and government, it is unlikely that one data privacy law can be successfully implemented worldwide.
Such a law would compromise the sovereignty of some countries, and would be difficult to enforce across different legal systems.
Therefore, the benefits of international companies being able to operate under the same data privacy regulations may not outweigh the potential issues that could arise from attempting to create a single worldwide law.
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on january 1, a company issued 6%, 20-year bonds with a face amount of $80 million for $64,165,848 to yield 8%. interest is paid semiannually. what was the interest expense at the effective interest rate on the december 31 annual income statement?
At the income statement effective interest rate ended December 31, interest expense was $2,573,299.
Interest expense = $2,573,299
Interest is the effective interest rate multiplied by the outstanding balance (book value):
Journal entry as of 30 June:
DB. Interest expense 2,566,634 (4% x $64,165,848)
Cr. Debt discount 166,634 (difference)
cr. Interest expense 2,573,299 (4% x [$64,165,848 + $166,634])
Cr. Discount on outstanding bonds 173,299 (difference)
cr. Cash 2,400,000 (3% x $80,000,000)
Income statement or profit and loss statement is one of the company's financial statements, showing the company's income and expenses during a specific period of time. Shows how revenue is converted to net income or net profit.
The details of a bond include the termination date when the principal of the loan is paid to the bondholder and typically include variable or fixed rate payment terms by the borrower.
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botswana produces diamonds, copper, nickel, soda ash, meat, and textiles, which it sells to the members of the european union. to botswana, the diamonds, copper, nickel, soda ash, meat, and textiles it produces are examples of: embargo tariff import export countertrade
Export. Businesses from one country offer their goods and services to clients or consumers in another country through the exporting process
Natural resources and energy are regularly exported between countries, as are raw materials like food or textiles and finished consumer items like electronics.
Producers and retailers who sell their items to customers abroad are said to be exporting. Exporting is one way for businesses to improve their potential market, revenue, and expansion.
It's crucial to remember that the United States still has a trade deficit while being the second-largest exporting country in the world. This shows that the US spends more money on imported goods than it makes on exports.
But the economy's export sector is sizable. According to the US Census Bureau, the US exported products and services valued $2.134 trillion in 2020. Products and services from the United States are still in high demand.
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the adjusted trial balance shows question content area bottom part 1 a. assets and liabilities only. b. revenues and expenses only. c. amounts that may be out of balance. d. account balances after adjustments.
Option d is Correct. Account amounts are displayed in the adjusted trial balance following modifications.
The balances of the accounts in the general ledger are shown in the adjusted trial balance. Adjustments for depreciation, prepaid expenses, and accruing expenses are sometimes included in this category. That much is obvious.
In contrast to general ledgers, which record each transaction's individual credit and debit entries, a trial balance adds up each account's credit and debit balances to determine the overall credit and debit balance at the bottom. A few accounts from your profit and loss statement and the balance sheet are typically involved in adjusting entries.
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an analysis procedure that uses percentages to compare each of the parts of an individual statement to a key dollar amount from the financial statements is:
Vertical analysis is a method of analysis that compares each component of an individual statement to a significant dollar amount from the financial statements using percentages.
How does the vertical analysis approach function?Financial statements are examined using a technique called vertical analysis where each line item is expressed as a percentage of the base amount of the statement. The first line of the statement always shows the basic value at 100%, with each following line item representing a percentage of the overall.
As part of a method for financial statement analysis known as vertical analysis, each line item is shown as a percentage of a base figure in the statement. Financial statement analysis refers to the process of reviewing a company's financial accounts in order to make judgments.
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what is the main advantage of primary data compared to secondary?
The main advantage of primary data over secondary data is that primary data is more accurate, reliable, and specific to the research objective. Primary data is collected by the researcher directly from the source, which eliminates the risk of data being misinterpreted, misused, or outdated.
Data is the foundation of research, and it is essential to obtain accurate and relevant data to achieve research goals. In research, data can be collected using two methods: primary and secondary data. Primary data is the data that is collected for the first time by the researcher for a specific purpose, while secondary data is the data that is already available and collected by someone else.
In contrast, secondary data may not be as accurate as primary data because it was not collected specifically for the research question, or it may be outdated. Secondary data may also be biased or incomplete, as it may have been collected for a different purpose or by a different researcher.
When researchers collect primary data, they have complete control over the data collection process, which allows them to tailor the data collection methods to the research question. Researchers can design the data collection process to ensure that the data collected is relevant, reliable, and accurate.
Additionally, primary data is unique to the research question, and researchers can gather data that is not available in secondary sources. This data can be used to develop new theories, concepts, or models that are not currently in existence.
In contrast, secondary data is often readily available, and researchers can save time and resources by using it. However, researchers must be cautious when using secondary data, as it may not be accurate, reliable, or relevant to their research question. Researchers must also ensure that the secondary data they use is up-to-date and that the source of the data is reputable.
Primary data has many advantages over secondary data, including accuracy, reliability, and specificity. While secondary data can be helpful in some cases, it is important to remember that primary data is the foundation of research and can lead to new insights and discoveries. Therefore, researchers should strive to collect primary data whenever possible to ensure the highest quality of research.
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what is Area Selection
Answer: Area selection refers to the process of choosing a specific region or portion of a larger entity, such as a document, image, or map, for further manipulation or analysis.
In various software applications, including graphics editing programs, word processors, and geographic information systems (GIS), area selection allows users to define and isolate a particular area of interest. This can be done using tools like selection boxes, lassos, or polygonal shapes.
Once an area is selected, it can be subject to various actions or operations, such as copying, cutting, pasting, deleting, modifying, or applying specific effects or filters. This feature provides users with the ability to focus on a specific portion of a larger entity without affecting the rest of the content.
For example, in an image editing software, area selection enables users to isolate and edit specific objects or regions within an image. They can adjust the colors, apply filters, or remove unwanted elements within the selected area without affecting the rest of the image.
intra-entity transfers between the component companies of a business combination are quite common. why do these intra-entity transactions occur so frequently?
Intra-entity transactions occur so often between parent and subsidiary due to the cause of producing extra earnings in consolidated monetary statements.
Monetary refers to anything related to money, currency, or financial transactions. It refers to the system of exchanging goods and services through the use of money, which serves as a medium of exchange. Monetary policies are implemented by governments and central banks to control the supply of money, regulate interest rates, and maintain stability in the financial system.
The monetary system is a crucial component of the economy, as it facilitates transactions and drives economic growth. A stable monetary system helps to ensure that prices are predictable, transactions are easy to complete, and that individuals can save and invest their money without fear of sudden changes in the value of currency. However, changes in monetary policies, such as inflation or deflation, can have a significant impact on the economy, leading to shifts in wealth and financial stability.
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when a firm has an hr surplus, it can move toward a balanced level by (choose all the answers that apply):
By taking one or more of these actions, a firm with an HR surplus can move towards a balanced level, where it has the right number of employees with the right skills to meet its business needs.
When a firm has an HR surplus, it can move toward a balanced level by taking the following actions:
Reducing headcount: The firm can lay off employees or not fill open positions, which will decrease the HR surplus.Transferring employees: The firm can transfer employees to different departments or locations where there is a shortage of staff.Offering early retirement incentives: The firm can offer early retirement incentives to encourage employees to retire, reducing the HR surplus.Implementing a hiring freeze: The firm can temporarily stop hiring new employees, which will allow the current HR surplus to be used up before hiring additional staff.Providing training and development opportunities: The firm can provide training and development opportunities to employees to prepare them for new roles and responsibilities, reducing the HR surplus while also increasing employee skills and knowledge.Learn more about HR :
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Utilization is defined as the ratio of effective capacity to design capacity.a. Trueb. False
The correct answer is True. Utilization is the ratio of effective capacity (the actual output that a system or process can produce) to design capacity.
Therefore, utilization is expressed as a percentage indicating how much of the potential capacity is being used. Utilization is an important metric used in production planning and control to measure the efficiency of a system or process. It determines how much of the available capacity is being utilized and whether the system or process is operating at its maximum potential.
A number of factors, including equipment downtime, machine breakdowns, maintenance activities, and supply chain disruptions, can influence utilization. By monitoring utilization rates over time, production managers can identify areas of the system or process that need improvement and take steps to optimize production and increase efficiency.
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the harrisburg store has net working capital of $2,715, net fixed assets of $22,407, sales of $31,350, and current liabilities of $3,908. compute total asset turnover ratio?
The total asset turnover ratio for the Harrisburg store is 1.247.
The total asset turnover ratio is a financial ratio that measures a company's efficiency in using its assets to generate sales. It is calculated as the ratio of the company's net sales to its average total assets.
To calculate the total asset turnover ratio, we first need to find the total assets of the Harrisburg store. Total assets can be calculated as the sum of net working capital and net fixed assets:
Total assets = Net working capital+ Net fixed assets
Total assets = $2,715 + $22,407
Total assets = $25,122
Next, we can calculate the total asset turnover ratio using the formula:
Total asset turnover = Net sales/Total assets
We are given that the Harrisburg store had sales of $31,350. To calculate the average total assets, we can use the formula:
Average total assets=(Beginning total assets+ Ending total assets) / 2
Since we only have information about the ending total assets, we will assume that the beginning total assets are the same as the ending total assets. Therefore:
Average total assets = ($25,122 + $25,122) / 2
Average total assets = $25,122
Now we can calculate the total asset turnover ratio:
Total asset turnover = $31,350 / $25,122
Total asset turnover = 1.247
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rena incorporates her business in her home state of maryland. she wants to expand to sell her wares in virginia. in virginia, her company will be considered:
Rena registers her company in her native Maryland. She plans to grow and market her products in Virginia. Her business will be regarded as a foreign corporation in Virginia, and she could need to get a certificate of authority.
What is a company known as in states other than the one where it was incorporated?foreign business. A company is referred to as a(n) foreign corporation in all states other than the one in which it is incorporated.
When a company association misrepresents itself to others as a corporation while making no effort to do so?While a company presents itself to people as a corporation when it has made no endeavor to do so, the company will typically be denial of corporate status. For this happens, the entity will only be treated as a corporation by courts when resolving disputes.
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what are variable interests in an entity and how might they provide financial control over an entity?
Contractual agreements that give the owner of the variable interests decision-making authority frequently accompany variable interests.
Variable interests are investments or other interests that will share some of a variable interest entity's (VIE) expected losses or some of the entity's expected residual returns. A VIE is typically established to shield a company from legal action by its creditors. It could also be an accounting structure that prevents equity investors from covering the company's operating expenses or needs for working capital. Short-term payments on a loan with a variable rate may be lower, but there is a long-term risk that the rate will increase, leading to noticeably higher payments.
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how might a parent company's home country eliminate double taxation on foreign source income? multiple choice tax deductions for taxes paid to foreign countries tax credits for taxes paid to foreign countries all of the above taking a territorial approach to taxing income
The native country of a parent companies can avoid double taxation on foreign-sourced revenue in the accompanying directions: (A) tax credits for taxes paid abroad; (B) tax exemptions for income tax paid abroad; and (C) adopting a geographical strategy to income taxation.9d) is the right option
When a corporation decides to invest locally or internationally, taxation has no bearing on that choice. This is referred to as capital export neutrality.
Why do taxes get paid twice?
being governed by several tax laws as a taxpayer.
How do public investment selections become impacted by regional variations in effective corporate income tax rates?
Taxes negatively impact the equity investment cash flows.
The global approach to tax jurisdiction is often referred to as the nationality approach.
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what should you plan to do in the days after you have given a business presentation? (choose every correct answer.)
Once you have given a business presentation, You should make efforts to foster on-going business ties and respond to any audience members to whom you pledged to provide more information.
What is business presentation?A business presentation is an organised summary of the most important facts regarding the strategies, offerings, or methods of your organisation, intended for internal or external audiences. The few typical sorts of presentations are investor briefings, HR policy presentations, and project proposals.
A successful corporate presentation must directly address the wants and needs of your audience. You want to explain to your audience how your good or service will address their issues or assist them in achieving their objectives.
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Under the Commerce Clause, it is possible for California to tax wine imports from Canada without any
concern regarding whether this tax conflicts with federal law.
True
False
Answer:
False
Explanation:
The answer is False. Under the Commerce Clause of the US Constitution, which gives the federal government the power to regulate commerce among the states, it may be possible for California to tax wine imports from Canada, but the tax must not conflict with federal law. In other words, if the tax would put Canadian wine imports at a disadvantage compared to domestic wine, it could be considered unconstitutional. To avoid this, California would need to ensure that its tax applies to both domestic and foreign wines in the same way.
what is the type of a for-profit institution that offers personal loans, mortgages, and other services?
Commercial Banks are the type of a for-profit institution that offers personal loans, mortgages, and other services
A commercial bank is a type of financial organisation that offers its clients services including loans, CDs, savings accounts, overdraft protection, etc. These organisations generate revenue by making loans to people and collecting interest on those debts. Business loans, auto loans, mortgage loans, personal loans, and student loans are some of the several types of loans that are provided by commercial banks. A financial organisation is referred to be a "commercial bank" if it accepts deposits, provides checking account services, makes different loans, and provides consumers and small companies with basic financial products including certificates of deposit (CDs) and savings accounts. Most people conduct their financial business at commercial banks.
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herring corporation has operating income of $235,000 and a 40% tax rate. the firm has short-term debt of $115,000, long-term debt of $321,000, and common equity of $436,000. what is its return on invested capital?
In this case, Herring Corporation has operating income of $235,000 and a total of $872,000 invested in short-term debt, long-term debt, and common stock. The result is a return on invested capital (ROIC) of 21.0%.
Return on invested capital (ROIC) is a profitability ratio that measures the rate of return on a company's capital investment. It is calculated by dividing a company's operating income by the sum of its short-term debt, long-term debt and equity. The higher the ROIC, the better the company is at generating profits from its investments.
It can be calculated by using this formula:
Return on Invested Capital = Operating Income / (Short-term Debt + Long-term Debt + Common Equity)
Return on Invested Capital = $235,000 / ($115,000 + $321,000 + $436,000)
Return on Invested Capital = 0.21 or 21.0%
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