A number of separate but interdependent budgets that formally lay out the company's sales, production, and financial goals and that culminates in a cash budget, budgeted income statement, and budgeted balance sheet is master budget.
The lower-level budgets, cash flow projections, budgeted financial statements, and financial plans of an organisation are all included in the master budget, which is a thorough financial planning document. It is often created by a company's budget committee under the direction of the budget director.
To know more about Master Budget here
https://brainly.com/question/28217954
#SPJ4
FILL IN THE BLANK. in search engine marketing, the___ of the ad describes how useful an ad message is to the customer doing the search.
In search engine marketing, the relevance of the ad describes how useful an ad message is to the customer doing the search. Therefore option D is correct.
What is a Search Engine?A software program used to do web searches is known as a search engine. They conduct systematic searches of the World Wide Online for specific data that is defined in a text-based web search query. Typically, the search results are displayed as a list of outcomes, also known as search engine results pages.
Search engines also retain real-time information by running an algorithm on a web crawler, in contrast to online directories and social bookmarking sites, which are maintained by human editors.
Therefore option D is correct.
To learn more about Search Engine follow the link.
https://brainly.com/question/11132516
#SPJ1
Your Question was incomplete but most probably your question was.
FILL IN THE BLANK. in search engine marketing, the___ of the ad describes how useful an ad message is to the customer doing the search.
1) impression
2) ROMI
3) click-through rate
4) relevance
PLEASE HELP TIME SENSITIVE!!! WORTH EXTRA POINTS!!!
What step should a technical writer take after applying review feedback?
A.
Arrange a one-on-one review meeting.
B.
Host a tabletop review meeting.
C.
Send the draft back for a second review.
D.
Choose an appropriate reviewer.
E.
Email reviewers for individual comments.
The step that a technical writer should take after applying review feedback is this:
A. Arrange a one-on-one review meeting.
What is the next step after applying review feedback?After applying review feedback, the next step will be to arrange a physical review meeting where all stakeholders can be present to review the corrections made to be sure that they align with the specifications required.
Also note that a review typically has three stages which are the first, second, and third reviews. When the last of these are completed, a one-on-one meeting can help to tighten all of the loose ends.
Learn more about review feedback here:
https://brainly.com/question/25658249
#SPJ1
How can failure as an entrepreneur be handled?.
Retaining the knowledge you gained from experiencing that failure. To create a more complex marketing strategy and business model, conduct market research.
How do business owners deal with issues?As a result, when faced with a difficult choice or a challenging circumstance, an entrepreneur defers to the expertise of others and enlists their assistance in order to resolve the issue as quickly as feasible.
They Respect Their Weaknesses. Failure serves as a learning opportunity for those with strong mental faculties. They attempt to be honest rather than deny or cover up their flaws. Their self-awareness and humility help them create plans for improvement.
Strategies for overcoming failures in life
Failure shouldn't make you feel threatened, and it's okay to feel bad.Create Healthy Habits to Maintain Your Health.Take Reasonable Responsibility for Your Failure. Avoid Developing Bad Habits.Learn about yourself.Keep looking forward and be inspired by failures that resulted in success.To learn more about marketing strategy and business model refer to
https://brainly.com/question/25492268
#SPJ4
in the percentage-of-sales method of budgeting for advertising, industry data or the retailer's past experience should be used to determine suitable levels of expenditures.
Simplicity in the percentage-of-sales method of budgeting for advertising, industry data or the retailer's past experience should be used to determine suitable levels of expenditures.
Percentage of sales method:
In economics, percentage of sales method means the forecasting model that makes financial predictions based on sales.
Given,
Here we need to find the the percentage-of-sales method of budgeting for advertising, industry data or the retailer's past experience should be used to determine suitable levels of expenditures.
As per the definition of percentage of sales method, the level of expenditures is determined by the simplicity of the user's past experience with the product is good.
To know more about Percentage of sales method here.
https://brainly.com/question/14619211
#SPJ4
you get a phone call from someone telling you they are from the irs and they are sending the police to your house now to arrest you unless you provide a method of payment imme- diately. what tactic is the caller using?
The caller is employing this strategy Pretexting
The use of a bodily characteristic as a form of authentication is known as biometrics. Smishing is the practice of collecting information from people through short messaging service (SMS/texting).
Briefing:-There isn't much to rogue access. Pretexting is the process of creating a plausible narrative to use as cover for a social engineering attack.
Which of these would be a pretexting example?You might be using a few different social engineering techniques if you send an email pretending to be a former coworker. You are utilizing pretexting because you have a justification and a method for deceitfully gathering information.
What does a Deauthentication assault aim to achieve?DE authentication - When an attack spoofs your MAC address, it instructs your wireless network to disconnect you from the network. This is known as a reauthentication assault. Attackers may stage evil twin or man-in-the-middle assaults via a reauthentication technique.
To Know more about Pretexting
https://brainly.com/question/10311345
#SPJ4
What are the effects of trade protectionism?.
Trade protectionism leads to a better balance of trade and the protection of industries, but it also leads to a lack of choice
Trade protectionism is the economic practice of limiting imports from other nations using tools like import tariffs, import quotas, and a number of other governmental regulations. Protecting domestic industry from unfair foreign competition is the goal of trade protectionism. The possibility of an improved trade balance and the protection of homegrown growing sectors are benefits of trade protectionism.
However, protectionism also has its drawbacks. Inefficiencies in the economy and a lack of consumer choice are drawbacks. Other nations' retribution is another concern for countries. From an economic sense, trade protectionism is ineffective. According to the theory of comparative advantage, it is more effective for a nation to concentrate its production on the items for which it has a production advantage and import the ones for which it does not.
Read more about trade protectionism on:
https://brainly.com/question/27815479
#SPJ4
1. all of the following are types of responsibility centers except . fulfillment centers cost centers profit centers investment centers 2. investment centers have the responsibility for . costs revenues investments in assets all of these choices are correct.
What is the difference between profit center and investment center?
A profit center is a division in charge of expenses and income. An investment center is a division in charge of expenses, earnings, and asset investments. Depending on the kind of responsibility center being managed, different performance metrics are utilized to assess managers.A business unit known as an investment center is one that a company uses to make money using its own resources. A typical illustration of an investment center is the finance division of a retailer or vehicle manufacturer.These are two significant and well-liked metrics for evaluating the success of investment centers. They are residual income and return on investment (ROI) (RI). The written-down value of the fixed assets or their gross value may be used to calculate net operating investment.To learn more about Investment center refer,
https://brainly.com/question/15968469
#SPJ4
Problem 12 Intro You want to borrow $800,000 from your bank to buy a business. The loan has an annual interest rate of 8% and calls for equal annual payments over 10 years (starting one year from now), after which the loan is paid back in full. Part 1 What is the annual payment you have to make? B Attempt 1/10 for 10 pts No decimals Submit HM Problem 14 Intro You just turned 23 years old and want to retire when you turn 65. You plan to put $3,400 every year into a ROTH IRA, a retirement account from which you can withdraw money after retirement without having to pay any taxes. You expect to earn a return of 5% on your investments every year. I 8 Attempt 1 /10 for 12 pts. - Part 1 How much money can you expect to have at age 65 if you make your first deposit now and your last one on the day you turn 64? No decimals Submit Part 2 How much money can you expect to have at age 65 if you make your first deposit 10 years from now (at age 33) and your last one on the day you turn 64? BAttempt 1/10 for 10 pts No decimals
Your annual payment of $119,223.59 you have to make.
The interest rate per annum is 8%.
How Do Interest Rates Work?
The amount a lender charges a borrower is called an interest rate, and it is expressed as a percentage of the principal or the lent amount. Typically, a loan's interest rate is expressed as an annual percentage rate, or APR (APR).
A savings account or certificate of deposit earnings with a bank or credit union may also be subject to an interest rate (CD). The interest received on these deposit accounts is measured in annual percentage yields (APY).
Know more about annual percentage yields https://brainly.com/question/27997520
#SPJ4
What are the 5 characteristics of a mixed economy?.
The five most important characteristics of a mixed economy are:-
It safeguards private property, permits prices to be determined by the free market and the principles of supply and demand, is motivated by the self-interest of people, enables the government to protect both the people and the market and the government plays a significant part.
A mixed economy is an economic system wherein free markets and government involvement are able to coexist when it comes to resource distribution, commerce, and trade. A mixed economy encourages private initiative. There is freedom of choice. It ensures that income is distributed equitably. It ensures economic development. A mixed economy includes efficient production and allocation of resources, as well as improvement of social welfare.
Learn more about the mixed economy here
https://brainly.com/question/13467040
#SPJ4
ellis-clay is replacing a machine that has worn out. the replacement machine will not impact sales or operating costs and will not have any salvage value at the end of its five-year life. the firm has a tax rate of 22 percent, uses straight-line depreciation over an asset's life, ignores bonus depreciation options, and has a positive net income. given this, which one of the following statements is correct?
Your total cost of production is the sum of your fixed costs multiplied by the quantity you produced. After doing this, you will be paid your total fixed cost.
What Are Fixed Costs?No matter how well your company performs, fixed costs cannot be altered. No matter how much you produce or how much you sell, your company's overall fixed costs will remain constant.Fixed costs are the essential outlays that keep your company afloat. If you're seeking for strategies to increase your company's profitability right away, look elsewhere else since these costs can't be modified in the near future.Whether your business is experiencing great success or financial difficulties, fixed costs will mostly remain the same. Fixed costs don't change as production or sales change. Consider these as what you must pay, regardless of whether you sell any goods or services.To Learn more About Fixed Costs refer to:
https://brainly.com/question/20670674
#SPJ4
Williams Company plans to issue bonds with a face value of $607,000 and a coupon rate of 4 percent. The bonds will mature in 10 years and pay interest semiannually every June 30 and December 31. All of the bonds are sold on January 1 of this year. (FV of $1, PV of $1, FVA of $1, and PVA of $1) (Use the appropriate factor(s) from the tables provided.) Determine the issuance price of the bonds assuming an annual market rate of interest of 4 percent.
Based on the face amount of the bond and prevailing market interest rates, the issue price of the bond is $600,000.
What is interest rate?Interest rate refers to the amount of interest per period associated with an amount lent. The total interest on the amount lent or borrowed depends on the principal amount, the interest rate, the frequency of compounding interest, and the length of the term of the loan, deposit or borrowing. For example, if he borrows $100 at an interest rate of 5%, he will return $105 to the lender who borrowed the money. The lender makes him $5 in profit. There are different types of interests that you may encounter throughout your life. Each loan has its own interest rate, which shows how much you actually took. Appropriate personal loan interest rates depend on your credit rating.740 and above: Less than 8% (look for good credit ratings) 670 to 739:About 14% (look for good credit) 580-669.To learn more about interest rate from the given link :
https://brainly.com/question/13324776
#SPJ4
Fiat money
A. has no intrinsic value.
B. is backed by gold.
C. is a medium of exchange but not a unit of account.
D.is any close substitute for currency such as checkable deposits.
Fiat money is a medium of exchange but not a unit of account. Thus, option (c) is correct.
What is money?The term “money” refers to the exchange of goods and services. The currency is the currency of the country. Different countries have different currencies. Usually, money looks like paper notes and coins.
According to the fiat money is a type of currency is the medium of exchange that is declared legal sensitive by a government, but not a unit of account.
Therefore, option (c) is correct.
Learn more about on money, here:
https://brainly.com/question/22984856
#SPJ1
contrary to its name, the european (fill in the blank)is primarily a consultative, rather than legislative body.
The European Parliament is primarily a consultative, rather than legislative body.
What is the European Parliament?One of the seven institutions that make up the European Union and one of its legislative bodies is the European Parliament (EP). It does so in conjunction with the Council of the European Union (often referred to as the Council and colloquially as the Council of Ministers), when the European Commission makes a recommendation. There are 705 members of parliament (MEPs). With 375 million eligible voters, it is the second-largest democratic electorate in the world (after the Parliament of India).Since 1979, the European Union's people have been using universal suffrage to elect the Parliament in direct elections every five years. After 1979, voter turnout declined in every parliamentary election until 2019, when it rose by eight percentage points and exceeded 50% for the first time since 1994. Except for Malta, Austria, and Greece, all EU members have a voting age of 18; all other members have a voting age of 16 or 17.Learn more about European Parliament refer to :
https://brainly.com/question/14969571
#SPJ4
the following information pertains to ranchero company. 1. cash balance per books, august 31, $7,364. 2. cash balance per bank, august 31, $7,328. . outstanding checks, august 31, $686. august bank service charge not recorded by the depositor $38. 5. deposits in transit, august 31, $2,700. in addition, $2,016 collected for ranchero company in august by the bank through electronic funds transfer. the accounts receivable collection has not been recorded ranchero company. (a) prepare a bank reconciliation at august 31, 2022. (list items that increase balance as per bank
According to the given question The reconciliation at august 31, 2022 is
$7,328.
In the Bible, what is reconciliation?Reconciliation is a Greek phrase that essentially means to entirely alter. According to Colossians 1:20–22 of the Bible, despite the fact that sinners' evil deeds have made them enemies of God and in their own minds, God has made restitution by the death of Jesus.
Briefing:As of August 31, each bank had $7,328 in cash.
2. The depositor failed to report the July banks service charge $38.
3. The cash amount as of July 31 was $7,364.
4. Transit deposits ($2,700), as of July 31.
5. The bank received $2,016 from Lancer Company in July via electronic money transfer. The Lance Company has not recorded the collection.
6. $686 in unpaid checks as of July 31.
The following details concern Lance Compan.
The following details concern Lance Compan.
1. Construct a bank reconciliation as of July 31, 2017.
CHANGES TO THE CASH BOOK
as of the cash book's balance
.........7,364
Transferred-funds receipt
Two thousand sixteen bank charges
...................................(38)
Cashbook Adjusted Balance Bank reconciliation statements totaling 9,342
Balance according to the revised cashbook: 9,342
Incorporate: Unpresented Checks
......................686
Uncredited Deposits are less.
As of the most recent bank statement, the balance was 7,328.
To know more about reconciliation visit:
https://brainly.com/question/28711445
#SPJ4
Max, who is single and age 30, provides you with the following information from his financial records for 2021. Regular income tax liability $77,794 AMTI 525,000 Taxable income 295,000 Calculate his AMT exemption for 2021. X - a. $73,600 b. $73,250 c. $350 d. $0
Max's alternative minimum tax (amt) exemption = $73,250 .
A tax is a mandatory rate or financial charge imposed by any government on a person or an employer in order to raise funds for public projects with adequate centers and infrastructure. Following that, exceptional public expenditure packages are financed with the accrued fund.
Any gross income that is used to determine how much tax you owe is referred to as taxable income. In plain English, it is your adjusted gross profits less any deductions. This includes any salaries, wages, tips, and bonuses received from employers. Investments and unearned income are included as well.
Learn more about tax here:
brainly.com/question/1775528
#SPJ4
further suppose that in this case the original firm will hire lobbyists and make donations to several key politicians to extend its patent for one more year. the firm is prepared to spend up to _______ million to extand its patent.
Trying to rent
The demand, marginal revenue, and marginal cost curves for a single-price monopolist that manufactures a medication that lessens arthritic pain are depicted in the accompanying graph.
Put the grey point (star symbol) in the proper spot on the graph to represent the monopoly outcome such that the dashed lines show the single-price monopolist's profit-maximizing price and quantity. Use the green rectangle (triangle symbols) to then display the monopolist's earnings.
For more questions like Lobbyists visit the link below:
https://brainly.com/question/17478786
#SPJ4
ce is allocated 70 percent of all profits and losses with the remaining 30 percent assigned to robbins after interest of 7 percent is given to each partner based on beginning capital balances. on january 2, 2021, jeffrey invests $43,000 cash for a 20 percent interest in the partnership. this transaction is recorded by the goodwill method. after this transaction, 7 percent interest is still to go to each partner. profits and losses will then be split as follows: prince (50 percent), robbins (30 percent), and jeffrey (20 percent). in 2021, the partnership reports a net income of $12,000.
Price and Roobin's Partnership received additional investment from Jeffrey. This transaction is recorded by the goodwill method. The allocation of income and profit/loss at the end of 2021 is:
Prince Robbins Jeffrey Total
Income Allocation $6,000 3,600 2,400 12,000
Profit/loss (678) (1,762) (610) (3,050)
Goodwill Method is an investment method where a partner makes an investment not in the book value of the capital interest. Any differences between the investment and capital interest will be recorded as an intangible asset called goodwill.
We know that Jeffrey's investment is in 20% interest, hence the capitalized value because of Jeffrey investment is:
Capitalized value because of Jeffrey investment = $43,000/20%
Capitalized value because of Jeffrey investment = $215,000
Goodwill = Capitalized value - (initial capital value + Jeffrey Investment)
Goodwill = $215,000 - (150,000 + 43,000)
Goodwill = 215,000 - 193,000
Goodwill = 22,000
New capital status:
Prince Robbins Jeffrey Total
Initial Capital $80,000 70,000 0 150,000
Jeffrey's inv. 43,000 43,000
Goodwill 15,400 6,600 0 22,000
Ending Capital 95,400 76,600 43,000 215,000
% Profit/loss 50% 30% 20%
Interest 7% 6,678 5,362 3,010 15,050
Income allocation 6,000 3,600 2,400 12,000
Profit/loss (678) (1,762) (610) (3,050)
Learn more about Goodwill Method here: https://brainly.com/question/23798330
#SPJ4
The _____ is an approach whereby an organization allocates its marketing mix resources to reach its target markets.
A strategic marketing process is an approach whereby an organization allocates its marketing mix resources to reach its target markets.
The steps of the strategic promoting method (mission, scenario analysis, promoting set up, promoting combine, and implementation and control) square measure completely different than the method for a particular promoting effort.
The strategic promoting designing method provides marketers the chance to gauge their business positioning of their competitors, and determine the techniques which will facilitate them reaching their target market, meet client wants, expand whole awareness and reach different promoting and business goals.
Remember, strategic promoting management involves creating strategic choices among your current promoting setup so as to maximize your setup. A decent example of this could be Apple and the way they market itself.
To learn more about the strategic marketing process, visit here
https://brainly.com/question/28257402
#SPJ4
Besides technical skill, what is the most important factor for staying employed and being offered promotions?obtaining a college degreepursuing self-directed learningshowing professional behaviorsetting long-term goals.
The key to maintaining employment and receiving promotions is to pursue self-directed learning. The best choice is B.
Technical skill: what is it?Technical skills are the specialized knowledge and expertise required in specific contexts to carry out specific activities and utilise particular equipment and programs.
Diverse technical abilities are required in practically every sector and industry, from information technology and corporate administration to health care and education.
When you ask for feedback on your abilities and use it to inform your improvement, this is essentially consistent improvement.This is the most crucial factor for maintaining employment and receiving promotions because the market, particularly TI, is constantly changing and we are never finished products. By pursuing self-directed learning, we keep the lead.
To know more about employment visit:-
https://brainly.com/question/1361941
#SPJ4
Enercio contributes $156,200 in exchange for a 40% interest in the calendar year ABC LLC, which is taxed as a partnership. In 2016, a the LLC generates $124,960 of ordinary taxable income, Enercio withdrew $15,620 from the partnership during 2016. If an amount is zero, enter "0". Enercio is taxed on what amount of the LLC's 2016 income? How much of the $15,620 will Enercio be taxed?
The amount of tax that LLC's 2016 is $49,984. And in the $15,620 of Enercio there's no tax, because it is considered simply a casual withdrawal by Enercio from the partnership.
Tax is an imposition of value or a fee levied by any government on a person or organization to collect revenue for public works that provide the best facilities and infrastructure. The funds collected are then used to fund various public expenditure programs.
From the partnership income of $124,960, Enercio will be taxed his full 40% of the income. Thus, the tax that he should pay is
Tax = 0.4 x $124,960 = $49,984.
Thus, the amount of tax that LLC's 2016 is $49,984.
Learn more about tax here, https://brainly.com/question/16423331
#SPJ4
Functions of _____ include buying, selling, transporting, and storing goods for an organization in order to accomplish objectives and generate exchanges.
marketing
Functions of marketing include buying, selling, transporting, and storing goods for an organization in order to accomplish objectives and generate exchanges.
It acts as the public face of your firm, organising and creating all materials that reflect it. Reaching out to potential clients, consumers, investors, and/or the community is the responsibility of the marketing department, which must also develop a unified brand image that favourably portrays your business.
The aspect of marketing that people are most familiar with is promotion. It comprises the traditional and digital marketing strategies that the majority of audiences are already familiar with. Promotion includes actions intended to interact with consumers, educate them about the company and its offerings, and persuade them to buy items or services.
To know more Marketing here
https://brainly.com/question/29057352
#SPJ4
which of the following statements about the statement of cash flows are correct? (check all that apply.)
The following statements about the statement of cash flows are correct.
It is a detailed disclosure of individual cash flows.The purpose is to report cash receipts and cash payments during a period.The correct options are A and C.
Why is separate disclosure of cash flow?
Separate disclosure of cash flows from investing activities is important because it represents the amount of money spent on resources that will generate future income and cash flows.
Cash flow is a measure of how much money a company brought in or spent over time. On the statement of cash flows, a common financial statement, cash flow is typically broken down into cash flow from operating activities, cash flow from investing activities, and cash flow from financing activities.
Thus, the ideal selection is options A and C.
Learn more about the statement of cash flows here:
https://brainly.com/question/15278261
#SPJ1
Your Question seems incomplete most probably Your complete Question was:
Which of the following statements about the statement of cash flows is correct? (Check all that apply.) Check all that apply. It is a detailed disclosure of individual cash flows. In certain circumstances, it can replace the statement of retained earnings. The purpose is to report cash receipts and cash payments during a period.
to assure that all purchases are authorized before payment is made, accounting department personnel should match the vendor's invoice to:
The purchase order to assure that all purchases are authorized before payment is made, accounting department personnel should match the vendor's invoice to
A purchase order, which specifies types, quantities, and agreed-upon prices for goods or services, is a commercial document and the first formal offer made by a buyer to a supplier. An indent is a purchase order that is frequently made through an agent (the indent agent) and is subject to predetermined terms of sale.
It is employed to regulate the acquisition of goods and services from outside providers. An important component of enterprise resource planning system orders can be purchase orders.
To learn more about purchase order refer here:
https://brainly.com/question/14394210
#SPJ4
The style of pottery known as _____ is important for the African diaspora because it was often made by enslaved individuals, and later rejected following emancipation.
The style of pottery known as Colonoware is important for the African diaspora because it was often made by enslaved individuals, and later rejected following emancipation.
Colonoware is a low-fired pottery tradition that is primarily found in the southeastern United States. It has been associated with indigenous peoples, enslaved peoples, and low-income diaspora in the American colonies from the seventeenth to the nineteenth centuries. Thirteen pieces of 18th century colonoware with folded strip roulette decorations were discovered in Charleston, South Carolina. Created colonoware of this pottery style in the United States from colonial America until the 19th century. Around 2000 BCE, roulette-decorated pottery most likely originated in West Africa and the northern region of Central Africa.
To learn more about pottery, click here.
https://brainly.com/question/12001414
#SPJ4
given these schedule for the supply and demand for widgets, derive the demand equation, supply equation, equilibrium price and equilibrium quantity.
The equilibrium fee is the only price the place the plans of customers and the plans of producers agree—
that is, the place the amount buyers choose to purchase of the product, quantity demanded, is equal to the amount producers want to sell, extent supplied. This frequent extent is called the equilibrium quantity.
How do you derive provide and demand equations?Using the equation for a straight line, y = mx + b, we can decide the equations for the provide and demand curve to be the following: Demand: P = 15 – Q. Supply: P = 3 + Q.
To locate the equilibrium rate a mathematical formulation can be used. The equilibrium fee components is based totally on demand and grant quantities; you will set extent demanded (Qd) equal to extent provided (Qs) and remedy for the charge (P). This is an example of the equation: Qd = one hundred - 5P = Qs = -125 + 20P.
Learn more about equilibrium price here:
https://brainly.com/question/26075805#SPJ4which of the following statements best describes the difference between the irr method and the mirr method? the irr method assumes that cash flows are reinvested at a rate of return equal to the irr. the mirr method assumes that cash flows are reinvested at a rate of return equal to the cost of capital. the irr method uses the present value of the initial investment to calculate the irr. the mirr method uses the terminal value of the initial investment to calculate the mirr. the irr method uses only cash inflows to calculate the irr. the mirr method uses both cash inflows and cash outflows to calculate the mirr.
The difference between the IRR method and the MIRR method is best described by the statement that the IRR method assumes that cash flows are reinvested at a rate of return equal to the IRR.
The modified internal rate of return (MIRR) assumes that positive cash flows are reinvested at the firm's cost of capital and that initial capital expenditures are financed at the firm's financing cost.
The discount rate at which the net present value of a series of cash flows equals zero is denoted by RR. MIRR can also be defined as the rate of return at which the NPV of project inflows equals the initial investment.
To know more about MIRR, click here.
https://brainly.com/question/14124848
#SPJ4
when countries with small starting levels of capital reap large benefits from increased capital, allowing these countries to grow faster than countries with abundant capital, which of these has occurred? please choose the correct answer from the following choices, and then select the submit answer button. answer choices productivity diminishing returns to capital catch-up effect increasing returns to capital
Economic Factors is Long-term growth in the physical capital stock boosts the economy's overall productive capacity by enabling the production of more goods and services with the same amount of labor and other resources.
What Is U.S. Economy to Business Investment? Business investment refers to outlays made by for-profit organizations and private companies for tangible assets used to generate goods and services. Equipment (such as machinery or computers), structures (such as offices or warehouses), and intellectual property (such as software development or research & development) are the three main categories of physical capital. Businesses can enhance their stock of physical capital through investment, which expands their ability to generate goods and services. For instance, adding a second grill to a restaurant enhances its ability to prepare food at any given time. Physical capital must eventually be replaced as it degrades over time due to wear and tear, a process known as depreciation, and becomes less productive over time.A business must make fresh investments if it wants to continuously enhance its stock of physical capital and, by extension, its productive capability.Physical capital depreciates more quickly than its existing physical capital. The same is true for the economy as a whole: For the stock of physical capital in the economy to rise, the rate of investment must be higher than the rate of decline in physical capital.To Learn more About Economic Factors refer to:
https://brainly.com/question/13721949
#SPJ4
Bio-Sphere Ltd, a company which is a leader in green energy technology, contacted Clavin, a research consultant, proposing that if Clavin could perfect the technology for power storage, namely: "create a storage medium with 100% recharge/discharge properties within 24 months of the date of this correspondence," Bio-Sphere Ltd would pay Clavin $2 million for the technology. Eighteen months later, Clavin forwarded plans for an advanced battery with "100% recharge/discharge capabilities." Which of the following statements is correct? 1) Bio-Sphere Ltd has not made an offer since Clavin could only accept by performing 2) Bio-Sphere Ltd has not made an offer since it lacked intent. 3) If Bio-Sphere Ltd refuses to pay Clavin it will be in breach of contract. 4) No contract exists between Bio-Sphere Ltd and Clavin.
As a result, Bio - Sphere Ltd has made Clavin an offer to pay $2 million for the technology offered by Clavin within 24 months of the date of the letter.
According to the Contract Act, an offer is a commitment to do or stop from doing something in return for another thing. An offer must be made and delivered in such a way that a reasonable person would anticipate a technology legally enforceable agreement to result from its acceptance. A contract is created if there is either an explicit or an implied understanding. When Bio - Sphere Ltd an offer has been accepted and the offeree has informed the offeror, a contract is said to have been formed.
As a result, Bio - Sphere Ltd has made Clavin an offer to pay $2 million technology for the technology offered by Clavin within 24 months of the date of the letter. Clavin has submitted plans within the allotted time, which is 18 Bio - Sphere Ltd months. Thus, there is a contract between them, and a breach would occur if Bio-Sphere Ltd refused to give Clavin $2 million.
Learn more about Bio - Sphere Ltd here
https://brainly.com/question/24487209
#SPJ4
Abigail runs a small business of 55 employees. She is working hard to find a way to provide health benefits to all her employees by 2016 to be in compliance with __________.
the Family Medical Leave Act
Social Security
the Affordable Care Act
Medicare
The affordable care act is health benefits to all her employees by 2016 to be in compliance.
Health benefit:
According to the concept of economic, health benefit means for individuals, employers, and society at large to manage costs related to health care.
Given,
Abigail runs a small business of 55 employees. She is working hard to find a way to provide health benefits to all her employees by 2016 to be in compliance.
While we looking into the given question, she needs a way for the employee health benefit, for that one we have to use the affordable care act law.
To know more about health benefit here.
https://brainly.com/question/28939559
#SPJ4
On january 1, 2024, splash city issues $460,000 of 8% bonds, due in 15 years, with interest payable semiannually on june 30 and december 31 each year. Assuming the market interest rate on the issue date is 9%, the bonds will issue at $422,536. Required: 1. Complete the first three rows of an amortization schedule
On Gregorian calendar month one, 2021, Splash town problems $460,000 of 8 May 1945 bonds, due in fifteen years, with interest collectible biyearly on June thirty and New Year's Eve|day every year.
Assumptive the market charge per unit on the problem date is Sep 11, the bonds can issue at $422,536
Splash City Journal entries
January 01, 2021
Debit money of $460,000
Credit Bonds collectible $460,000
(To record supply of bonds )
June 30, 2021
Debit Bond expense of $18,400
Credit money $18,400
(8%/2×$460,000 )
(To record Interest on bond paid)
December 31, 2021
Debit Bond expense of $18,400
Credit money $18,400
(To record Interest on bond paid)
To learn more about bonds, visit here
https://brainly.com/question/29344176
#SPJ4