The outsourcing of U.S. computer jobs can potentially generate new U.S. jobs in construction or retail trade if the money saved by outsourcing is invested in these industries.
For example, if a company outsources its IT department to a foreign country and saves money on labor costs, it may choose to use that money to expand its retail operations or invest in new construction projects. This, in turn, could create new jobs in those industries.
However, the impact of outsourcing on the U.S. economy is a complex issue with arguments on both sides. Some argue that outsourcing helps companies reduce costs and remain competitive in the global market, while others argue that it leads to job loss and a decline in the quality of goods and services. Ultimately, whether one agrees or disagrees with outsourcing may depend on their perspective and values regarding the role of businesses in society and the importance of domestic job creation.
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if $2,000 is withdrawn from the bank by a customer, the bank's:______.
Liabilities are obligations that a company or individual owes to external parties. the correct answer is that liabilities decrease and assets rise. Thus, option D is correct.
What cause the liabilities decrease and assets rise?
When a customer withdraws $2,000 from the bank, it results in a decrease in the bank's liabilities and an increase in its assets. This is because the bank owes the customer $2,000, which is considered a liability for the bank.
When the customer withdraws the money, the liability to the customer decreases as the bank no longer owes them that amount.
At the same time, the bank's assets increase because it now has $2,000 less in liabilities, which means it has more money available to use for other purposes or to lend to other customers.
Therefore, the correct answer is that liabilities decrease and assets rise.
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The given question is incomplete the complete question is given below:
If $2,000 Is Withdrawn From The Bank By A Customer, The Bank’s Group Of Answer Choices Assets Rise Liabilities Decrease And Assets Rise Assets And Liabilities Decrease Assets Decrease And Liabilities Rise
If $2,000 is withdrawn from the bank by a customer, the bank’s
Group of answer choices
Assets rise
Liabilities decrease and assets rise
Assets and liabilities decrease
Assets decrease and liabilities rise
hich of the following situations may make the contract price less apparent? (select all that apply.) multiple select question. fixed price listed in contract the time value of money payment by the seller to the customer variable consideration provisions
The situations that may make the contract price less apparent are:
Payment by the seller to the customer
Variable consideration provisions
The contract price refers to the agreed-upon price between the buyer and seller for the goods or services to be exchanged under a contract. It is the amount that the buyer is obligated to pay and the seller is obligated to accept as payment for the delivery of the goods or services specified in the contract.
The contract price can be fixed, meaning it is specified in the contract and does not change, or it can be variable, meaning it is subject to change based on certain conditions or events specified in the contract.
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Which of the following situations may make the contract price less apparent? (select all that apply.) multiple select question.
fixed price listed in contract
the time value of money
paid by the seller to the customer
variable consideration provisions
The Federal Reserve Bank of New York is unique from other Reserve banks because it: Is where the Federal Reserve System's portfolio is managed. Each of the Reserve Banks has a president who is: Appointed by the bank's board of directors but approved by the board of governors.
The Federal Reserve Bank of New York is the only regional bank located in a financial center. The correct answer is B.
The Federal Reserve System is composed of 12 regional Reserve Banks that carry out the System's monetary policy, supervise and regulate member banks and bank holding companies, and provide financial services to depository institutions and the federal government.
The New York Fed, which is located in the financial district of Manhattan, plays a unique role in the System due to its location in the largest financial center of the United States. It is responsible for implementing monetary policy decisions, conducting open market operations, and managing the System's portfolio of securities.
Additionally, the New York Fed provides banking and financial services to foreign central banks, the U.S. Treasury, and other government agencies.
The complete question is:
The Federal Reserve Bank of New York is unique from other Reserve banks because it:
A. is the only regional Bank that serves just one state.
B. is the only regional Bank located in a financial center.
C. is where the Federal Reserve System's portfolio is managed.
D. is the oldest and therefore the largest.
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Softstep Stables has developed a lighter horseshoe for thoroughbreds, called the Air Citation. The company is presently experiencing labor difficulties and plans to raise wages to avert a strike. This will increase the Variable Cost per shoe from $15 to $22. The shoes presently sell for $46 each, but due to the competitive environment, Softstep Stables plans to drop their price to $38 each. Their current volume is 1,000 units. Fixed costs are $1,700.
1. What is unit (per shoe) contribution BEFORE the price and cost changes?
2. What is the total contribution to profit BEFORE the price and cost change?
3. What will be the new unit contribution after the price and cost change?
4. What will be the new unit volume required to generate the same total contribution as before?
5. By what percentage must the unit volume increase in order to generate the same total contribution as is currently earned?
6. If Softstep wants to earn $500 in profit from sales at the new price and new variable costs level, how many units must they sell?
The business is now having labor issues and intends to raise pay to prevent a strike. Due to this, the Variable Cost per shoe will rise from $15 to $22.
1. The unit contribution before the price and cost changes is:
Sales price per unit - Variable cost per unit
= $46 - $15 = $31
2. The total contribution to profit before the price and cost change is:
Unit contribution x Current volume
= $31 x 1,000 = $31,000
3. The new unit contribution after the price and cost change is:
Sales price per unit - New variable cost per unit
= $38 - $22 = $16
4. The new unit volume required to generate the same total contribution as before is:
Total contribution / New unit contribution
= $31,000 / $16 = 1,937.5
5. The percentage increase in the unit volume required to generate the same total contribution as currently earned is:
(New unit volume - Current volume) / Current volume x 100%
= (1,937.5 - 1,000) / 1,000 x 100% = 93.75%
6. To earn $500 in profit from sales at the new price and new variable costs level, Softstep must sell:
(Profit + Fixed costs) / Unit contribution
= ($500 + $1,700) / $16
= 206.25 units (rounded up to 207 units)
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true or false free-machining steels are not usually welded unless absolutely necessary.
The given statement "free-machining steels are not usually welded unless absolutely necessary." is true because free-machining steels are designed to have improved machinability, which means that they have higher levels of sulfur, phosphorus, and lead.
While this composition makes them easier to cut, drill, and machine, it also makes them more difficult to weld. When free-machining steels are welded, the high levels of sulfur and phosphorus can create cracks in the welds, leading to structural weakness and failure. In addition, the presence of lead can cause weld defects and reduce the weld's overall strength.
Therefore, free-machining steels are not usually welded unless absolutely necessary. If welding is required, additional precautions need to be taken to minimize the risk of defects and ensure that the welds are strong enough to meet the intended application. In conclusion, free-machining steels are not recommended for welding unless the application requires it, and even then, additional care must be taken to avoid any potential welding issues.
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the founder and previous chairman of the board, chip wilson, resigned due to his poor relationship with which group of stakeholders?
a.Suppliers
b.Shareholders
c.Community
d.Customers
The correct answer is d. Customers
Wilson resigned due to his poor relationship with customers, as his controversial comments negatively affected the company's image and customer relationships.
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The magnetic field in a region is given by B = (0.750i + 0.210j) T. At some instant, a particle with charge q = 28.0 mC has velocity v = (35.6i + 107.3j + 48.5k) m/s. What is the magnetic force exerted on the particle at that instant? (Express your answer in vector form.) FB =
The magnetic force exerted on the particle at that instant is [tex]F_B[/tex] = (-0.28798i + 1.0185j - 0.308448k) N.
The magnetic force exerted on a particle is given by the formula [tex]F_B[/tex] = q(v x B), where q is the charge, v is the velocity vector, and B is the magnetic field vector. In this case, q = 28.0 mC, v = (35.6i + 107.3j + 48.5k) m/s, and B = (0.750i + 0.210j) T.
First, find the cross product v x B:
v x B = i(107.3 * 0 - 0.210 * 48.5) - j(35.6 * 0 - 0.750 * 48.5) + k(35.6 * 0.210 - 0.750 * 107.3)
v x B = -10.285i + 36.375j - 11.016k
Now, calculate the magnetic force [tex]F_B[/tex] by multiplying the charge q with the cross product v x B:
[tex]F_B[/tex] = q(v x B) = 28.0 * 10⁻³ * (-10.285i + 36.375j - 11.016k)
[tex]F_B[/tex] = -0.28798i + 1.0185j - 0.308448k N
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According to the Job Characteristics Model, what should be done to increase experienced responsibility for work outcomes?
A) Reduce feedback
B) Increase task significance
C)increase skill variety
D) Increase autonomy
E) Reduce task identity
D) Increase autonomy.
According to the Job Characteristics Model, increasing autonomy leads to increased experienced responsibility for work outcomes.
Autonomy refers to the degree to which an employee has control over how they perform their tasks and make decisions related to their work. When employees have greater autonomy, they feel a greater sense of ownership over their work and are more likely to feel responsible for its outcomes.
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Blossom Company purchased a delivery truck. The total cash payment was $29.876, including the following items. Negotiated purchase price $24.600 Installation of special shelving 1.000 Painting and lettering 500 Motor vehicle license 100 Two-year insurance policy 2,200 Sales tax 1,476 Total paid $29.876 Calculate the cost of the delivery truck stallation of special Shelving 500 ainting and lettering 100 Motor vehicle license 2.200 wo-year insurance policy Sales tax 1.476 Total paid $29.876 7 Calculate the cost of the delivery truck. $ 25.576.00 The cost of the delivery truck
The cost of the delivery truck can be calculated by adding up the negotiated purchase price of $24,600 with the installation of special shelving cost of $1,000, painting and lettering cost of $500, motor vehicle license cost of $100, two-year insurance policy cost of $2,200, and sales tax cost of $1,476, which sums up to a total of $29,876.00.
Therefore, the cost of the delivery truck for Blossom Company is $25,576.00 after deducting the installation of special shelving, painting and lettering, motor vehicle license, two-year insurance policy, and sales tax from the total cash payment. It's important to accurately calculate the cost of the delivery truck, as it forms the basis for depreciation and other accounting treatments related to the asset.
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Consider 8.5 percent Swiss franc/U.S. dollar dual currency bonds that pay $666.67 at maturity per SF1,000 of par value. It sells at par. What is the implicit SF/$ exchange rate at maturity? Will the investor be better or worse off at maturity if the actual SF/S exchange rate is SF1.35/$1.00? (5 Marks) Subject Code: FIN928 Page 3 of 4 summer 2021
The investor will be worse off at maturity, as they would receive fewer US dollars for their Swiss francs at the actual exchange rate
To find the implicit SF/$ exchange rate at maturity, we need to first calculate the maturity value of the bond. The bond pays $666.67 at maturity per SF1,000 of par value, so for a par value of SF1,000, the maturity value is $666.67.
Since the bond sells at par, the initial cost of the bond is SF1,000. So, at maturity, the investor receives $666.67 for SF1,000 of investment.
To find the implicit SF/$ exchange rate at maturity, we can divide the maturity value of the bond in dollars ($666.67) by the par value of the bond in Swiss francs (SF1,000). This gives us an implicit SF/$ exchange rate of $0.6667/SF.
Now, let's consider the actual SF/$ exchange rate at maturity of SF1.35/$1.00. To calculate the value of the Swiss franc in dollars at maturity, we can multiply the SF1,000 par value of the bond by the actual exchange rate of SF1.35/$1.00. This gives us a value of $1,350 for SF1,000 of investment.
Comparing the actual exchange rate of SF1.35/$1.00 to the implicit exchange rate of $0.6667/SF, we can see that the investor will be worse off at maturity if the actual exchange rate is SF1.35/$1.00.
This is because the actual exchange rate values the Swiss franc more highly than the implicit exchange rate, so the investor will receive fewer dollars per Swiss franc at maturity.
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The investment of an employee's physical, cognitive, and emotional energies into job performance is called ________. Select one: a. vicarious modeling b. self-determination c. job engagement d. management by objectives e. job analysis
The investment of an employee's physical, cognitive, and emotional energies into job performance is called job engagement. The correct option is C.
Job engagement refers to the level of commitment, involvement, and enthusiasm an employee has toward their work. When an employee is engaged, they are willing to put in extra effort and take ownership of their tasks.
Engaged employees feel a sense of connection and purpose in their work, which leads to higher productivity, job satisfaction, and overall well-being. In contrast, disengaged employees may feel bored, uninterested, and unfulfilled in their work, which can lead to decreased productivity and turnover.
Employers can increase job engagement by providing opportunities for growth and development, recognizing and rewarding good performance, and creating a positive work environment. It is important for employers to understand the value of job engagement and prioritize strategies to promote it in their workplace.
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mike has decided to purchase a real estate property that is expected to generate a net operating income (noi) of $63,000 per year. with a 9% cap rate, the property would have an estimated value of:group of answer choices$630,000.$700,000.$965,000.$187,000.$235,000.
The estimated value of the real estate property with a $63,000 NOI and a 9% cap rate is $700,000.
Expecting a 9% rate of return, the assessed worth of the land property that is supposed to produce a yearly net working pay (NOI) of $63,000 can be determined as follows:
Esteem = NOI/Rate of return
Connecting the numbers, we get:
Esteem = $63,000/0.09 = $700,000
Consequently, the assessed worth of the property is $700,000. This implies that Mike can hope to procure an arrival of 9% on his speculation on the off chance that he buys the property costing this much.
It's significant that the rate of return is a significant measurement in the land business since it assists financial backers and appraisers with deciding the worth of pay delivering properties.
The rate of return addresses the connection between the pay produced by a property and its fairly estimated worth. At the end of the day, it demonstrates how much a financial backer will pay for every dollar of pay produced by the property.
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The complete question is:
What is the estimated value of a real estate property that Mike plans to purchase, given that it is expected to generate a net operating income (NOI) of $63,000 per year, and has a cap rate of 9%, with answer choices of $630,000, $700,000, $965,000, $187,000, and $235,000?
Both Apple and Samsung rapidly innovate to maintain market share in the personal electronics market. New technology by one business may act as a catalyst to spur even faster development. If Apple or Samsung fails to innovate and adapt to new technologies, they risk being left behind. This is a result of the _____ of technology.
a.dynamics
b. reach
c.importance
d.self sustaining nature
e.specificity
If Apple or Samsung fails to innovate and adapt to new technologies, they risk being left behind. This is a result of self-sustaining natureof technology. The answer is d.
self-sustaining nature. The rapid pace of innovation in the personal electronics market is driven by the self-sustaining nature of technology, meaning that new advancements act as catalysts for even faster development. Companies like Apple and Samsung must continually innovate and adapt to new technologies in order to maintain their market share and avoid being left behind.
Self-sustaining nature refers to the ability of a natural system or ecosystem to maintain its structure, function, and resilience without external inputs or interventions. It is a state where the components within the system interact in a balanced and harmonious way, allowing for the continuous cycling of energy, nutrients, and information.
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which concept is the reason the dollar is used in the preparation of financial statements? a. going concern b. legal entity c. consistency d. none of these choices.
The concept that is the reason the dollar is used in the preparation of financial statements is consistency.
Consistency means that accounting methods and practices used in financial statements should be uniform and consistent from one period to another. It is a principle that suggests that an accounting method must be used by a company in order to book-keep its transactions. By using the dollar as a common monetary unit, financial statements can be compared and analyzed over time, as well as across different companies and industries. This helps investors, creditors, and other stakeholders to make informed decisions based on reliable and consistent financial information. Therefore, the correct answer is option c. consistency.
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harry heads the marketing team of dempsey corp. he is highly proficient and is regularly approached by his coworkers for solutions to problems. he is also seen as a hard working individual who gives preference to the improvement of his organization over other things. these characteristics of harry indicate that he is a(n)
Autocratic leadership is a form of leadership defined by individual control over every decision and a small contribution from team members.
An autocratic leader is a type of leader who maintains strict control over their followers and makes decisions without seeking input or feedback from others. Autocratic leaders typically exercise their authority with a high degree of power and may use force or coercion to maintain their position.
Autocratic leadership can be effective in situations where quick decisions need to be made or when there is a need for a strong and decisive leader. However, it can also lead to a lack of creativity, motivation, and job satisfaction among followers, as they are not given the opportunity to contribute to decision-making processes. Autocratic leadership styles can vary in their severity, with some leaders being more authoritarian and others being more benevolent.
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If the Fed purchases $1 million in securities from the nonbank public, the monetary base will rise by $1 millionA) if the public holds the proceeds as currency.
B) if the public deposits the proceeds as checkable deposits.
C) if the public deposits the proceeds with the Treasury in a monetary base account.
D) whether the public holds the proceeds as currency or deposits them as checkable deposits.
If the Fed purchases $1 million in securities from the nonbank public, the monetary base will rise by $1 million (D) whether the public holds the proceeds as currency or deposits them as checkable deposits.
When the Fed buys securities, it injects money into the economy, increasing the monetary base. The monetary base is the total amount of currency and reserves in the banking system. When the nonbank public receives the $1 million from the Fed, they have two primary options: hold the proceeds as currency or deposit them as checkable deposits.
A) If the public holds the proceeds as currency, it directly increases the monetary base, as cash held by the public is a part of the monetary base.
B) If the public deposits the proceeds as checkable deposits, the commercial banks' reserves increase, which also expands the monetary base. The banks can then use these reserves to create new loans, further increasing the money supply in the economy.
C) Depositing the proceeds with the Treasury in a monetary base account does not directly impact the monetary base. The funds would be held in a government account, which is not a part of the monetary base.
In conclusion, the monetary base will rise by $1 million whether the public holds the proceeds as currency or deposits them as checkable deposits, as both options contribute to the expansion of the monetary base in the economy.
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what is it called when the borrower and lender work together to restructure the terms of a home loan?
When the borrower and lender work together to restructure the terms of a home loan, it is called a loan modification.
A loan modification is a change to the original terms of a loan agreement, typically made in response to a borrower's inability to make their scheduled payments.
In the case of a home loan, a loan modification may involve reducing the interest rate, extending the repayment term, or forgiving a portion of the principal balance.
Loan modifications can be beneficial for both borrowers and lenders, as they can help borrowers avoid foreclosure and keep their homes, while also reducing the financial losses that lenders may incur from defaulting loans.
Loan modifications can also help to stabilize the housing market by reducing the number of foreclosures and distressed properties.
In general, the process of obtaining a loan modification involves working with the lender to negotiate new loan terms that are more affordable for the borrower.
Borrowers may need to provide documentation of their income and financial situation, as well as demonstrate their ability to make the new loan payments.
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One way companies can increase the emotional intelligence (EI) of their employees is by:A) EI profilingB) technical demonstrationsC) EI trainingD) EI scoresE) aptitude coaching
EI training can be the one way by which companies can increase the Emotional intelligence (EI) of their employees.
EI (Emotional intelligence) training is used to increase the Employee's EI. By increasing the Employee's EI they can manage their time more efficiently, and maximize their productivity, and effective leadership, motivation and creativity, decision-making, and social competence are the outcomes of high-level E I.
Showing the value of their opinions, and responding to any feedback they have, can make employees feel more connected to an organization and help improve emotional intelligence like generating positive feelings towards the business. Improving employee communication skills.
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what classification is given to an individual who provides services to another individual or organization according to terms defined in a written contract or within a verbal agreement?
Such an individual is referred to as an independent contractor. Independent contractors are self-employed and are not considered employees by the hiring organization.
They are responsible for their own taxes, insurance, and other benefits. The terms of their services are defined in a contract or verbal agreement, and they have greater control over how they perform their work than an employee would. Independent contractors are commonly found in industries such as construction, IT, consulting, and creative services. They provide flexibility and cost savings for businesses while offering autonomy and potential for higher earnings for the independent contractor.
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true or false: technological advances and an increase in service exports have created additional challenges for small companies to expand their operations abroad.
The statement given " technological advances and an increase in service exports have created additional challenges for small companies to expand their operations abroad." is false because technological advances and an increase in service exports have actually made it easier for small companies to expand their operations abroad.
Advancements in communication technology and transportation have made it easier and more affordable for small businesses to communicate and conduct business with customers and partners in foreign markets. Additionally, the growth of service exports has opened up new opportunities for small companies to provide services to clients around the world, without the need for a physical presence in the market.
While there are still challenges associated with expanding internationally, such as navigating different cultural norms and legal systems, technological advancements have made it easier for small companies to overcome these obstacles and expand their operations abroad.
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The original Phillips curve implied or assumed that: a. the actual and expected rates of inflation would always be equal. b. the markup over labor costs was zero.c. the expected rate of inflation would be zero.d. all of the above none of the above
The original Phillips curve implied that the expected rate of inflation would be zero. Therefore, option C. is correct.
To elaborate on this, the Phillips curve is an economic concept that demonstrates the relationship between inflation and unemployment. The original Phillips curve, developed by economist A.W. Phillips, suggests that there is an inverse relationship between unemployment and inflation, meaning that as unemployment decreases, inflation increases and vice versa. In the context of the original Phillips curve, the assumption was that the expected rate of inflation would be zero. This means that people did not anticipate any changes in inflation, and as a result, their expectations would not influence their economic decisions. It's important to note that this assumption was later challenged by the concept of the "expectations-augmented Phillips curve," which incorporated expectations of future inflation into the model.
To recap, the original Phillips curve assumed that the expected rate of inflation would be zero, indicating no anticipation of changes in inflation by individuals, and an inverse relationship between unemployment and inflation. Therefore, option C. is correct.
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In March, Gary Parker started a new career as a real estate agent. He established Gary Parker Company, LLC on March 11 and began seeking clients. He listed his first property on March 21, and closed his first sale on April 9. Gary used his SUV purchased three years ago and previously used for personal purposes, as his business auto. Once he began business as a real estate agent, he used the vehicle 100 percent for business purposes. Gary purchased the SUV three years ago for $54,000. At the date he started his real estate practice, it was worth approximately $28,000
a. What is the maximum amount Gary can claim as a first-year deduction under Code Sec. 179 this year with respect to the vehicle?
b. What is the maximum amount of depreciation expense Gary can claim with respect to the vehicle on the current year tax return?
The maximum amount Gary can claim as a first-year deduction under Code Sec. 179 for the vehicle is $0. The maximum depreciation expense Gary can claim on the current year tax return is $10,000.
Since Gary's SUV was initially used for personal purposes, it cannot qualify for a first-year deduction under Code Sec. 179. For depreciation purposes, Gary's SUV is considered a "listed property," and he can only claim 50% bonus depreciation, which amounts to $10,000 ($28,000 * 50%).
This assumes that Gary is using the Modified Accelerated Cost Recovery System (MACRS) for calculating depreciation on the vehicle.
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The paid/owned/earned media categorization would classify social media sharing of a company's content as Select one: O a. paid media O b. owned media Oc.earned media
The paid/owned/earned media categorization classifies social media sharing of a company's content as earned media.
Earned media refers to publicity and promotion generated through word-of-mouth, customer reviews, or social media sharing, which is not directly controlled or paid for by the company.
In this case, when users share a company's content on social media, it is considered earned media because it is generated by the users themselves and not the company. This type of media is valuable as it indicates genuine interest from the audience and often leads to increased brand exposure, trust, and credibility.
In contrast, paid media involves direct payment for advertisement placements, while owned media consists of channels controlled by the company, such as its website or social media profiles.
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Goodwill is the excess of the purchase price over the fair market value of the acquired organization's tangible assets, identifiable intangible assets, and liabilities.
a.Both True And False
b.True
c.Neither True Nor False
d.False
Goodwill is the excess of the purchase price over the fair market value of the acquired organization's tangible assets, identifiable intangible assets, and liabilities. - d.False
Goodwill is the difference between the acquisition price and the identifiable tangible and intangible assets of the acquired firm, less any liabilities taken, at fair market value. Goodwill is the worth of the purchased company's brand, customer base, and other intangible assets that are not readily measurable or separable.
On the balance sheet of the acquiring firm, goodwill is listed as an asset, but it is not amortised like other intangible assets are. Instead, it is periodically tested for impairment to see if its value has dropped. The claim is thus untrue since it excludes the idea of distinguishable intangible assets and obligations accepted.
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what type of incentive compensation plan involves the distribution of a portion of the company's profits to employees?
The type of incentive compensation plan that involves the distribution of a portion of the company's profits to employees is called a "profit-sharing plan." In a profit-sharing plan, employees receive a percentage of the company's profits, typically based on their individual performance or the performance of their team or division.
In a profit-sharing plan, the company first sets a predetermined amount or percentage of profits that will be distributed to employees. This distribution may occur annually or at other specified intervals. The company then calculates each employee's share based on various factors, such as their role, tenure, and individual or team performance. Employees are usually informed of their potential share at the beginning of the period to provide motivation throughout the year.
The key benefit of a profit-sharing plan is that it incentivizes employees to contribute positively to the company's overall performance, as their compensation is directly tied to the organization's success. This can lead to increased motivation, engagement, and job satisfaction, ultimately resulting in higher employee retention and improved business performance.
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abc land co. is negotiating the sale of an office building to mega co. which laws will govern the contract for the sale of the building?
The contract for the sale of the office building between ABC Land Co. and Mega Co. will be governed by a combination of contract law, real estate law, zoning and land use regulations, environmental laws, and disclosure requirements, with specific laws varying depending on the location of the property.
When it comes to the contract for the sale of the office building between ABC Land Co. and Mega Co., the governing laws will generally include the following:
1. Contract Law: This governs the formation, interpretation, and enforcement of contracts between the parties. In the United States, this is usually based on common law principles, although some aspects may be covered by the Uniform Commercial Code (UCC).
2. Real Estate Law: This area of law specifically addresses issues related to the sale, transfer, and ownership of real property. Real estate laws differ from state to state, so the specific regulations that apply will depend on the location of the office building.
3. Zoning and Land Use Regulations: These laws and regulations control the use and development of land in a specific area. They will need to be considered to ensure that the building and its intended use are compliant with local zoning requirements.
4. Environmental Laws: If there are any environmental concerns or issues related to the property, such as hazardous materials, contamination, or historical preservation, relevant environmental laws and regulations will need to be followed.
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the problem of adverse selection helps to explain responses why banks prefer to make loans secured by collateral. why banks prefer to make loans secured by collateral. which firms are more likely to obtain funds from banks and other financial intermediaries, rather than from securities markets. which firms are more likely to obtain funds from banks and other financial intermediaries, rather than from securities markets. why banks have a comparative advantage in raising funds for american businesses. why banks have a comparative advantage in raising funds for american businesses. why borrowers are willing to offer collateral to secure their promises to repay loans.
Option C) The problem of adverse selection helps to explain why direct finance is more important than indirect finance as a source of business finance.
When vendors and/or purchasers have different knowledge about a certain component of a product's quality, this is referred to as adverse selection.
Thus, those who work in hazardous environments or lead high-risk lives are more likely to buy life or disability insurance, knowing that they will likely be able to use it.
Additionally, a seller may be more knowledgeable than a consumer about the goods and services being supplied, which would disadvantage the buyer in the deal.
Adverse selection may be shown in markets for insurance or used cars.
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Complete question:
The problem of adverse selection helps to explain
A) why firms are more likely to obtain funds from banks and other financial intermediaries, rather than from securities markets.
B) why collateral is an important feature of consumer, but not business, debt contracts.
C) why direct finance is more important than indirect finance as a source of business finance.
D) why lenders refuse loans to individuals with high net worth.
Dodd Co. acquired 75% of the common stock of Wallace Corp. for $1,800,000. The fair value of Wallace’s net assets was $2,100,000, and the book value was $1,900,000. The noncontrolling interest shares of Wallace Corp. are not actively traded. What is the dollar amount of fair value over book value differences for identifiable net assets attributed to Dodd at the date of acquisition?
Based on the given information, Dodd Co. acquired 75% of the common stock of Wallace Corp. for $1,800,000.
The fair value of Wallace's net assets was $2,100,000, which is $200,000 higher than the book value of $1,900,000. As Dodd Co. acquired 75% of Wallace Corp., it would have attributed 75% of the fair value over book value differences for identifiable net assets to itself at the date of acquisition.
Therefore, the dollar amount of fair value over book value differences for identifiable net assets attributed to Dodd Co. would be $150,000 ($200,000 x 0.75). This represents the premium that Dodd Co. paid over the book value of Wallace Corp.'s net assets to acquire 75% of the company.
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The dollar amount of fair value over book value differences for identifiable net assets attributed to Dodd at the date of acquisition is $150,000.
To calculate the fair value over book value differences, we first need to determine the fair value and book value of the identifiable net assets of Wallace Corp.
Since Dodd Co. acquired 75% of the common stock of Wallace Corp., it has a controlling interest in the company. Therefore, we need to adjust the book value of Wallace Corp.'s net assets to their fair value.
Given that the fair value of Wallace Corp.'s net assets was $2,100,000 and the book value was $1,900,000, we can determine that the fair value over book value differences is $200,000 ($2,100,000 - $1,900,000).
Since Dodd Co. acquired 75% of Wallace Corp.'s common stock, it owns 75% of the fair value over book value differences, which amounts to $150,000 ($200,000 x 75%). The remaining 25% of the fair value over book value differences belongs to the noncontrolling interest, which is not actively traded.
Therefore, the dollar amount of fair value is $150,000.
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which of the following statements about network economics is not true? information technology can be strategically useful from a network economics perspective. uber is an example of a business model that is based on the principle of network economics. in network economics, the marginal cost of adding new members to the network is higher than the marginal gain. the law of diminishing returns does not always apply to every situation. from a network economics perspective, the value of a community of people grows as the number of participants in the community increases.
The statement about "network-economics" which is not true is (c) In network economics, "marginal-cost" of adding new members to network is higher than "marginal-gain", because marginal cost is lower than marginal gain.
In "Network-Economics", the "marginal-cost" of adding new members to the network is generally lower than the "marginal-gain".
As the number of participants in a network increases, the value of the network increases, which leads to a "positive-feedback" loop where more users attract more users. This is known as the network effect, and it is a key feature of network economics.
Therefore, the correct option is (c).
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The given question is incomplete, the complete question is
Which of the following statements about network economics is not true?
(a) Uber is an example of a business model that is based on the principle of network economics.
(b) From a network economics perspective, the value of a community of people grows as the number of participants in the community increases.
(c) In network economics, the marginal cost of adding new members to the network is higher than the marginal gain.
(d) The law of diminishing returns does not always apply to every situation.
(e) Information technology can be strategically useful from a network economics perspective.
janet doe is a supervisor who is paid a salary of $1,000 per week. if she worked 42 hours in a week, her salary would be:
Janet Doe is a salaried supervisor, which means that she is paid a fixed amount each week, regardless of the number of hours she works. In this case, her salary is $1,000 per week.
Therefore, whether she works 40 hours, 42 hours, or even 50 hours, her salary remains the same. This is different from hourly employees who are paid based on the number of hours they work.
For example, if an hourly employee works 42 hours per week and their hourly wage is $15, their weekly pay would be $600 (40 hours x $15/hour + 2 overtime hours x $22.50/hour).
In conclusion, Janet Doe's salary would remain $1,000 per week regardless of whether she worked 40 or 42 hours in a week.
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