The answer is d. income fund, is the investment portfolios is most liquid among others.
What are examples in a portfolio?You can save samples of the work you are most proud of in a portfolio. It usually takes the shape of a website, but you can also use a platform like to get more exposure.
What does a portfolio serve?A portfolio is a dynamic collection of documents that documents your experiences, abilities, successes, and personal qualities. It highlights and presents examples of some of your best work, as well as your accomplishments, values, and life experiences.
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titleist golf produces many major brands that all have their own brand name (ex., titleist, footjoy, staysoft, long drive, etc.). this is a house of brands approach to brand naming, select one: true false
The answer is true, titleist golf produces many major brands that all have their own brand name (ex., titleist, footjoy, staysoft, long drive, etc.). this is a house of brands approach to brand naming is true.
What is the definition of a brand simple?A brand is a good, service, or idea that is publicly set apart from similar ones. This makes it simple to convey and generally promote. The process of developing and promoting a brand's name, attributes, and personality is known as branding.
What exactly does brand in business mean?Branding is the process of giving your company a unique identity in the eyes of your target market and customers. The logo, graphic design, mission, and tone of voice of a corporation make up its branding at its most fundamental level.
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assuming that risk-free rates are as in problem 4.5, what is the value of an fra where the holder will pay libor and receive 4.5% (quarterly compounded) for a three-month period starting in one year on a principal of $1,000,000? the forward libor rate for the three-month period is 5% quarterly compounded.
$ 1,122.60 is the value of an FRA where the holder will pay LIBOR and receive 4.5% (quarterly compounded) for a three-month period starting in one year on a principal of $1,000,000.
What is LIBOR?
The benchmark interest rate at which the biggest banks in the world lend to one another for short-term loans is called the London Interbank Offered Rate (LIBOR).
The London Interbank Offered Rate, or LIBOR, is a widely used benchmark interest rate that represents the cost of borrowing for banks.
The value of the FRA,[tex]= Principal * Period * (Fixed rate - LIBOR) * e^{-forward rate * time}[/tex]
[tex]= 1,000,000 * \frac {3}{12} * (4.5-5) * e^ {-0.086 * 1.25}[/tex]
[tex]= $ 1,122.60[/tex]
(The negative sign is meaningless and can be disregarded in the final response.)
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is there a correlation between parents' lack of secure employment and enrollment of children in early education?
Yes, there is probably a correlation between parents' lack of secure employment and children's enrollment in early education. When parents are unemployed or have limited job security, they may struggle to pay for early education, which can be costly.
Additionally, parents who do not have secure employment may not have the flexibility to take time off to bring their children to and from early education programs. In addition, without secure employment, parents may not have access to health care and other benefits that can help cover the costs of early education and ensure the overall well-being of their children. Overall, parents' lack of secure employment can be a barrier to enrolling children in early education.
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what role does the mission statement play in the planning process?
a. Setd company direction
b. Guldes day to day activities
c. Sets purpose of bussiness
d. Link strategy and operation
Option (c), Establishes the mission statement and the goal of the company during the planning process.
What exactly do mission, vision, and goals setting entail?The vision of the organization describes what it aspires to be in the future. A mission statement outlines an organization's goals and functions in society, taking into account both the organization's recent history and present. Organizations establish goals, which are more specific objectives, in order to fulfill their visions and missions.
What steps does the goal-setting and objective-setting planning process involve?The unit's mission acts as a direct source of goals and objectives. By establishing goals and objectives, we can divide the mission into achievable, tangible, and time-bound actions that we can keep an eye on to determine how well we're doing. Consequently, it is crucial for the IE process to have defined goals and objectives.
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the price paid for money is question 7 options: the actual payment made by the borrower to the lender. the amount borrowed from the lender. the interest rate charged by the lender. the principal and interest rate charged by the lender. there is no price paid for money as it is not for sale.
The price paid for money is C: the interest rate charged by the lender.
The price paid for money is the interest rate charged by a lender when a borrower takes out a loan. This cost compensates the lender for the use of their funds and is in addition to the repayment of the borrowed amount (the principal). The interest rate serves as the fee for the use of the lender's money and is therefore considered the "price paid for money."
Therefore, option C is the correct answer for this question.
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3. what did barton learn from his trip to the bookstore and late nights of studying? what depth of it understanding must a cio leader have to be effective?
A comprehensive knowledge of current and emerging technologies is crucial for a CIO.
What is a CIO?A Chief Information Officer (CIO) is a senior-level executive who is responsible for overseeing the information technology (IT) strategy and operations of an organization. They are responsible for managing the design, implementation, and maintenance of the IT infrastructure, including hardware, software, and network systems. The CIO works closely with other departments, such as finance and human resources, to ensure that the IT systems support the business objectives of the organization. Additionally, they are responsible for developing and implementing policies and procedures to ensure the security, privacy, and confidentiality of sensitive data. In a rapidly changing digital landscape, the CIO plays a critical role in ensuring that the organization stays ahead of technological advancements and remains competitive.
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reflects not only what the client says overtly but also what they imply or state incompletely?
Counseling is a process of understanding the client by reflecting and actively listening to what the client is saying and what the client is trying to communicate.
Here, correct answer will be
It is important to reflect not only the things that the client says overtly, but also what they imply or state incompletely. This means that the counselor should pay attention to the client's body language, tone of voice, and other non-verbal cues to understand the client's feelings and needs.
The counselor should be able to interpret and reflect the client's underlying and intents even when the client is not expressing them explicitly. Reflection also involves the counselor summarizing the conversation and helping the client to gain clarity and insight into their own thoughts. This helps the client to gain a better understanding of their feelings and to develop an action plan to move forward. Through reflection, the counselor can help the client to gain more control over their thoughts, feelings, and behaviors.
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typically, a company will repeat the concept testing phase until it has one product in mind. it will then make a single prototype. select one: true false
Until it has a single product in mind, the corporation will indeed repeat the concept testing phase. Then, only one prototype will be produced.
What steps are included in idea testing?Defining the study's objective, selecting the sample population, deciding on a survey style, presenting the concept, gauging consumer response, and interpreting the findings are just a few of the steps involved in the concept testing process.
Which fundamental testing ideas exist?Finding faults in the finished product is the process of software testing. Additionally, it helps in the detection of flaws, gaps, and missing requirements by determining whether the actual results can be compared to the anticipated outcomes. Prior to a product's introduction to the market, testing is the last phase.
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if the required rate of return on the stock is 16.8 percent, what should the fair value be four years from today?
The fair value of the stock four years from today should be $137.71. The fair value four years from today can be calculated using the following formula:
Fair Value = Present Value * (1 + Required Rate of Return)^Number of Years
Fair Value = $100 * (1 + 0.168)^4
Fair Value = $137.71
Therefore, the fair value of the stock four years from today should be $137.71. This calculation assumes that the current value of the stock is $100, the required rate of return is 16.8 percent, and the number of years is four. This calculation is based on the assumption that the required rate of return is expected to be achieved over a four-year period.
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during 2020, odyssey co. sold inventory to its wholly-owned subsidiary, civic co. the inventory cost $40,000 and was sold to lord for $58,000. for consolidation reporting purposes, when is the $18,000 intra-entity gross profit recognized?
For consolidation reporting purposes, the $18000 intra-entity gross profit will be recognized when goods are transferred to a third party by Civic. option (B) is correct.
When an investment is sold for more than it cost to buy it, an acknowledged increase happens. Capital increases charge is oftentimes forced on acknowledged gains. Either a present moment or long haul gain will be viewed as having happened, contingent upon the holding term.
Hence take the distinction in the complete thought of the got and afterward deduct the expense premise to show up at the acknowledged addition or misfortune. Positive contrasts address acknowledged gains. Regardless of when you sell your speculation property, all acknowledged increases will be viewed as pay and dependent upon tax collection.
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This question is not complete, Here I am attaching the complete question:
During 2020, odyssey co. sold inventory to its wholly-owned subsidiary, civic co. the inventory cost $40,000 and was sold to lord for $58,000. for consolidation reporting purposes, when is the $18,000 intra-entity gross profit recognized?
(A) No gain be recognized since the transfer was between related parties.
(B) When goods are transferred to the third party by civic.
(C) When civic receives the goods.
(D) When odyssey sold the goods to civic.
Due to new regulations, gas stations that would like to pay better wages in order to hire more workers are prohibited from paying more than $15.50 per hour.
This means that employers must look for other ways to attract and retain workers, such as offering additional benefits or flexible working hours.
Additionally, employers may consider providing additional training and professional development opportunities to their employees in order to create a more attractive work environment. Employers may also look at offering higher bonuses, pay increases, and other incentives to reward employees for their hard work.
Employers should look at ways to make the job more fulfilling, such as offering more interesting tasks or opportunities for career growth.
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the surplus an individual derives from a product is subjective and different for each consumer true false
Each consumer experiences a unique and subjective surplus from a product, therefore this is true.
Exists a universal measure of consumer surplus?Depending on each person's specific preferences, a good or service may give different levels of utility.
Which statement on consumer surplus is accurate?The surplus of consumers will rise as a result of a decline in market price brought on by an increase in supply.
What does the consumer surplus derivative look like?Demand function, or the discrete choice model, is the derivative of consumer surplus, and it is negative.
What is accurate regarding overall surplus?The overall well-being of all market participants is gauged by the total surplus in that market. It is the total of the surpluses from the consumer and the producer. Consumer surplus is the discrepancy between customers' willingness to pay and their actual price for a good.
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f nominal gdp grew by 7% in year 2 relative to year 1, the price level increased by 2% during the same period and the real gdp in year 1 was $1,000, what was real gdp in year 2?
Real GDP in year 2 was $1,049.02, which is higher than the real GDP in year 1. The increase in real GDP reflects an increase in economic output.
To calculate the real GDP in year 2, we need to account for the effect of inflation on nominal GDP growth. Real GDP is a measure of economic output that adjusts for changes in the price level, so it provides a more accurate picture of changes in the standard of living.
First, we calculate the nominal GDP in year 2:
Nominal GDP in year 2 = Nominal GDP in year 1 * (1 + nominal GDP growth rate)
= $1,000 * (1 + 0.07)
= $1,070
Next, we calculate the price level in year 2:
Price level in year 2 = Price level in year 1 * (1 + inflation rate)
= 1 * (1 + 0.02)
= 1.02
Finally, we use the price level to calculate real GDP in year 2:
Real GDP in year 2 = Nominal GDP in year 2 / Price level in year 2
= $1,070 / 1.02
= $1,049.02
In conclusion, real GDP in year 2 was $1,049.02, which is higher than the real GDP in year 1. The increase in real GDP reflects an increase in economic output, while the increase in nominal GDP reflects an increase in both economic output and changes in the price level.
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if a 10 percent decrease in the price of a good leads to a 20 percent increase in the quantity demanded, then what is the price elasticity of demand?
The price elasticity of demand can be calculated as the percentage change in quantity demanded divided by the percentage change in price.
In this case, the price elasticity of demand is calculated as follows:
% Change in Quantity Demanded / % Change in Price = 20% / -10% = -2
So the price elasticity of demand is -2, which indicates that the demand for the good is elastic. An elasticity value greater than 1 means that the demand is elastic, which means that changes in price have a significant effect on the quantity demanded. In this case, a 10 percent decrease in the price leads to a 20 percent increase in the quantity demanded, which shows that the demand is quite responsive to changes in price.
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Carol throws away all of her bank statements without shredding them. What type of fraud is she most at risk of encountering? • A. Account freezing • B. Dumpster diving O c. skimming O D. Phishing
Dumpster diving type of fraud is the most at risk of encountering. Thus option B is correct.
What is a bank statement?A bank statement is a formal summary of economic transactions made for each savings account that a person or organization has with a financial institution within a certain time period.
Dumpster diving is the practice of searching through big commercial, home, industry, and building containers for usable objects that have been left behind by their owners but are still present.
Statements will assist them in learning the specifics without needing to be destroyed. Therefore, option B is the correct option.
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tazer, inc. has sales of $634,000, costs of$328,000, depreciation expense of $73,000, interest expense of $38,000, and a tax rate of 21 percent. what is the net income for this firm?
Sales for Tazer, Inc. were $634 000, costs were $328 000, depreciation cost was $73,000, interest cost was $38,000, and tax rate was 21%. the company's net income is 154050.
The retained earnings are determined by adding net income to (or deducting net losses from) the retained earnings of the prior term, followed by the deduction of any net dividend(s) paid to shareholders. The amount is determined at the conclusion of every accounting period (monthly, quarterly, or annually). Retained earnings are calculated by taking the balance of the retained earnings account, adding the net income (or deducting the net loss) for the current period, and deducting any dividends or distributions to owners or shareholders.
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what are some common securities found in the bond market? multiple select question. treasury bills commercial paper repos corporate bonds treasury notes
Securities are generally described as financial assets that have value and can be exchanged between parties in the context of investing.
The two forms of securities you're most likely to encounter are debt and equity securities. Equity securities: Stocks, which are purchased shares in a firm, are referred to as equity securities in the general sense. When you purchase an equity investment, you gain the company's ownership and a share in its success. Treasury bills, also known as T-bills, are short-term debt securities and money market instruments that the government issues. Unsecured, short-term debt issued by corporations is known as commercial paper. Debt securities: Bonds are the most common type of debt security, also known as a fixed-income security, and they are exactly what they look like: investment in debt. In essence, you are lending to a business or government agency when you purchase a debt security. You receive periodic fixed-interest payments in exchange and if you opt to keep the bond until its "due" date, also known as its maturity date, you can get the entire lent amount back.
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in which development life cycle do stakeholders define and approve the detailed scope before the start on an iteration?
At the beginning of each iteration in an adaptive life cycle, stakeholders define and approve the detailed scope, resulting in a usable product. Customers determine the project's parameters, and their satisfaction is ultimately what determines the project's success.
A problem-solving strategy called systems analysis calls for defining the system's scope, breaking it down into its stakeholders parts, and then identifying and assessing the budgets issues, opportunities, constraints, and needs.
Which of the following claims regarding the use of reserve analysis to establish a project stakeholders is accurate according to the PMBOK guide. Choose one: A. Reserve analysis always budgets for unforeseen project scope and cost increases that are included in your project budget.
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who employed enough workers to build 800 state parks, 46,853 bridges, 28.087 miles of trails, 46,000 campground facilities, 204 lodges and museums, and planted more than 3 billion trees?
The Civilian Conservation Corps (CCC) was a New Deal program that employed enough workers to build 800 state parks, 46,853 bridges, 28,087 miles of trails, 46,000 campground facilities, 204 lodges and museums, and planted more than 3 billion trees.
The CCC was created in 1933 as part of President Franklin D. Roosevelt's New Deal program, with the goal of providing employment opportunities for young, unemployed men during the Great Depression. The CCC worked to conserve natural resources and develop public recreation areas and infrastructure, contributing significantly to the conservation and development of the American landscape. The CCC was designed to help conserve natural resources and improve public recreation areas. The workers involved in the program were tasked with building infrastructure, such as bridges and trails, as well as preserving and protecting the natural environment through projects like tree planting and soil conservation. The CCC was a successful program that made a significant contribution to the conservation and development of the American landscape. Its impact can still be seen today in the many state parks and other recreation areas that were built during the program's tenure. The CCC provided employment opportunities for young men during a difficult time in American history and helped to preserve and improve the country's natural resources and recreation areas for future generations.
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when a perfume manufacturer establishes a minimum price below which a retailer may not sell its perfume, the manufacturer is engaged in
when a perfume manufacturer establishes a minimum price below which a retailer may not sell its perfume, the manufacturer is engaged in price fixing.
Price fixing is an illegal practice in which two or more companies agree to set a minimum or maximum price for a product, rather than allowing market forces to determine the price. When a perfume manufacturer establishes a minimum price below which a retailer may not sell its perfume, the manufacturer is effectively controlling the price at which the product is sold, which is a violation of antitrust laws. Price fixing can lead to reduced competition and higher prices for consumers, which is why it is illegal in many countries, including the United States.
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The two components of aggregate expenditures in a private closed economy are ______,
Multiple choice question.
consumption and gross investment
international trade and government spending
gross investment and international trade
consumption and net investment
consumption and international trade
The two components of aggregate expenditures in a private closed economy are consumption spending and planned investment spending .
What is an open private economy?
Model for total expenditures. An open economy that is privately owned but not publicly traded is known as a private open economy. government outlays. The sum of money that businesses want to invest.
invested as planned. Brazil is the most closed economy in the world and imports the least quantity of goods globally when compared to its GDP.
What distinguishes a closed private economy from an open one?
One that has no exchanges with other economies on the planet is said to have a closed economy. None of these exist, including money flows, imports, or exports. An economy that openly communicates with other economies throughout the world is said to be open.
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if cost of service regulaion (faire return price or average cost pricing) is impose on this monopolist, what will the level of
The amount of production will rely on a number of variables if a cost of service regulation, such as fair return pricing or average cost pricing, is imposed on a monopolist.
The monopolist is often permitted to generate a reasonable rate of return on its invested capital under the cost of service regulation, as defined by regulators. The average cost of production and the amount of investment necessary to supply the market is the usual inputs used to determine a fair return.
The monopolist will be motivated to reduce its average cost of production in order to increase its profits if cost-of-service legislation is in place. As a result, the monopolist could lower its output in an effort to reduce expenses and keep its profit margins. But, the precise volume of output will be determined by the specifics of the legislation and the state of the market.
Despite the fact that cost of service regulation might assist guarantee that a monopolist receives a just return on its investment, it should be noted that it may also cause market inefficiencies since the monopolist may be less motivated to innovate and enhance its operations.
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does anyone know how this is done? i need to know asap due in a while
a) The method used to calculate GDP should be the expenditure approach, which adds up total consumption (C), investment (I), government spending (G), and net exports (X-M).
Solution to the rest of the questions in detailb) Using the expenditure approach, the GDP can be calculated as follows:
GDP = C + I + G + (X - M) = 30 + 15 + 20 + (50 - 70) = 25.
c) The value of net exports can be calculated as:
Net exports = Exports - Imports = 50 - 70 = -20
d) The method that cannot be used with the given data is the income approach.
e) The data is incomplete because the information provided only covers some of the components of GDP, such as consumption, exports, rent, investment, government spending, and wages. Information on other components, such as net taxes, subsidies, and depreciation, is not provided, making the data incomplete for calculating GDP using the income approach.
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when will the irs start issuing refunds with earned income credit?
The IRS typically starts issuing refunds with earned income credit (EIC) within 21 days of processing a tax return, as long as there are no errors or discrepancies.
However, taxpayers who claim the EIC or the Additional Child Tax Credit (ACTC) may experience delays due to the Protecting Americans from Tax Hikes (PATH) Act requirements. Under the PATH Act, the IRS must hold refunds for tax returns that claim either the EIC or the ACTC until at least mid-February, even if the return was filed earlier. This delay is intended to give the IRS additional time to verify the accuracy of these claims and prevent fraudulent refunds from being issued.
Additional Child Tax Credit can check the status of their refund using the "Where's My Refund?" tool on the IRS website or by calling the IRS refund hotline. However, due to various factors, such as the COVID-19 pandemic and other issues, the IRS may experience delays in processing tax returns and issuing refunds, which may impact when taxpayers receive their refund with EIC.
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a company issued 130 shares of $100 par value common stock for $14,000 cash. the total amount of paid-in capital is: multiple choice
Paid-in capital is the amount of money that a company has received from investors in exchange for stocks, in excess of the stock's par value. In this case, the par value of the stock is $100 and the company issued 130 shares for $14,000, so the paid-in capital is $14,000 - (130 x $100) = $14,000.
Par value is the nominal or face value assigned to a stock when it is issued. It is an arbitrary amount that is used primarily for legal and accounting purposes and is not necessarily indicative of the stock's market value. When a company issues stock, it can receive either the par value or a higher amount, depending on market conditions and other factors. In summary, the total amount of paid-in capital in this case is $14,000, which is the amount received from investors in exchange for the stock, minus the total par value of the stock.
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which method(s) of payment to physicians will most likely result in higher total charges due to volume of services provided? a. salary. b. methods based on patient outcomes. c. rbrvs. d. fee-for-service
d. fee-for-service, Due to the number of services offered, the type of payment for doctors that is most likely to result in higher overall costs is fee-for-service. the fee-for-service business model.
Instead of receiving a fixed salary or getting paid depending on patient outcomes for payment, doctors are compensated for each unique service they offer. In order to maximise their income, physicians are encouraged to offer additional treatments, even if they are not required. This raises patients' overall expenditures and raises the possibility of overusing medical services, which might increase costs for both patients and the healthcare system as a whole. Instead, approaches that place more of an emphasis on delivering high-quality, efficient treatment than on increasing the number of services rendered, such as those based on salary (a) or those based on patient outcomes (b), offer more stability for both doctors and patients. The Resource-Based Relative Value Scale, or RBRVS (c), is used.
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Identify each cost listed as either explicit or implicit costs.
Rent
Wages
The cost of time
Using resources already owned
What may be lost
The explicit costs are rent, and wages and implicit costs are the cost of time, using resources already owned and what may be lost.
What are the explicit costs?Explicit costs are direct payments made to others in the course of running a business, such as wages, rent and materials, as opposed to implicit costs, where no actual payment is made. It is possible still to underestimate these costs, however: for example, pension contributions and other "perks" must be taken into account when considering the cost of labour. Explicit costs are taken into account along with implicit ones when considering economic profit.
Accounting profit only takes explicit costs into account.
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a company's net sales were $691,200, its cost of goods sold was $239,150 and its net income was $41,950. its gross margin ratio equals:
65% of each dollar of net sales is available to cover other expenses and contribute to net income.
The gross margin ratio is calculated by dividing the gross margin by net sales. The gross margin is calculated as the difference between net sales and cost of goods sold (COGS), and is a measure of a company's profitability before taking into account other expenses.
In this case, the net sales were $691,200, the cost of goods sold was $239,150, and the net income was $41,950. So, the gross margin can be calculated as:
Gross margin = Net sales - COGS
= $691,200 - $239,150
= $452,050
Finally, the gross margin ratio can be calculated as:
Gross margin ratio = Gross margin / Net sales
= $452,050 / $691,200
= 0.65 or 65%
This means that 65% of each dollar of net sales is available to cover other expenses and contribute to net income. Gross margin ratio is a useful tool for companies to evaluate their profitability and measure their ability to generate profits from their sales.
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the internal revenue service is an external user of accounting information and a question 2 options: taxing authority. labor union. customer. regulatory agency.
The internal revenue service is an external user of accounting information and a taxing authority.
What is accounting?The process of gathering, compiling and reporting information on business and financial transactions. also this system's guidelines and practices. as a first-year student, I studied accounting: work done in accounting or by accountants.
The term tax authority refers to, any quasi-governmental or private organization with jurisdiction over the assessment, decision, collection, or imposition of any Tax, or any commission or entity thereto (including the IRS).
Therefore, The right option (A) is correct.
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commercial rents corporation agrees to lease a pressure washer to delivery trucks inc., which agrees to pick it up at e street warehouse. before delivery trucks retrieves the washer, it is stolen. the loss is suffered by
a. The washer is taken before Delivery Trucks can recover it. Commercial rent is the source of the loss.
What does commercial rent mean?Business rent is any fee paid by MSMEs, regardless of the method and conditions of payment, for the use or habitation of a commercial premises. "Commercial space" refers to any property used primarily for commercial purposes, which includes any activity where profit is the primary goal or where revenue is generated, including land, offices, buildings, centres, stores, facilities, and any other property. Commercial rent is the rent that might have been agreed upon when the real lease was made for the land and refers to the rent that might have been anticipated to be paid under the terms of the lease.
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