False. The payback method does not consider the time value of money, so it may not be appropriate when this factor is significant.
The time value of money, which is the idea that a dollar received now is worth more than a dollar received in the future owing to the possibility of earning interest or returns, is not taken into consideration by the payback approach. Instead, based on the anticipated cash inflows, the payback technique only determines how long it will take to repay the initial investment.
As a result, the payback technique might not be appropriate when taking into account the time value of money since it does not give a whole picture of a project's profitability or return on investment.
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bubbly waters currently sells 450 class a spas, 600 class c spas, and 350 deluxe model spas each year. the firm is considering adding a mid-class spa and expects that if it does, it can sell 525 units per year. however, if the new spa is added, class a sales are expected to decline to 300 units while the class c sales are expected to increase to 625. the sales of the deluxe model will not be affected. class a spas sell for an average of $14,900 each. class c spas are priced at $7,500 and the deluxe models sell for $18,500 each. the new mid-range spa will sell for $9,500. what annual sales figure should you use in your analysis?
Based on the provided informations, the annual sales figure to use in the analysis is calculated that it should be $20,620,000.
To determine the annual sales figure for Bubbly Waters, we need to calculate the total sales revenue from each type of spa before and after the addition of the mid-class spa.
Before the addition of the mid-class spa:
Total sales revenue = (450 x $14,900) + (600 x $7,500) + (350 x $18,500)
Total sales revenue = $6,705,000 + $4,500,000 + $6,475,000
Total sales revenue = $17,680,000
After the addition of the mid-class spa:
Total sales revenue = (300 x $14,900) + (625 x $7,500) + (350 x $18,500) + (525 x $9,500)
Total sales revenue = $4,470,000 + $4,687,500 + $6,475,000 + $4,987,500
Total sales revenue = $20,620,000
Therefore, the annual sales figure to use in the analysis should be $20,620,000.
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up-selling is selling additional products or services to an existing customer. group of answer choices true false
The given statement, "Up-selling is indeed the process of selling additional products or services to an existing customer" is true because it involves suggesting higher-end or complementary products to the customer.
Up-selling is a sales technique where a salesperson or a business suggests additional products or services to a customer who is already buying something from them. The idea is to persuade the customer to spend more money by purchasing something that complements or enhances their existing purchase.
Up-selling is different from cross-selling, which involves suggesting related or complementary products or services to a customer who is buying something else. Up-selling focuses on selling a higher-end version of the same product or an additional product or service that offers more features or benefits.
Up-selling can be a very effective way to increase revenue and profitability for businesses. By offering additional products or services to an existing customer, businesses can generate more sales and increase customer loyalty. However, it is important to use this technique ethically and to ensure that the additional products or services being offered are relevant and valuable to the customer.
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slider processes rebate requests for a large building supply firm. slider processed 560,000 rebates in march. all rebates are processed the same day they are received. march costs were labor of $35,000 and overhead of $21,000. what is the cost to process 2,400 rebates?
The cost to process 2,400 rebates is $240.
We can use the concept of proportionality to determine the cost to process 2,400 rebates.
The cost to process 560,000 rebates is $35,000 (labor) + $21,000 (overhead) = $56,000.
Let x be the cost to process 2,400 rebates.
Then, using the concept of proportionality:
560,000 rebates / $56,000 cost = 2,400 rebates / x cost
Solving for x, we get:
x = (2,400 rebates * $56,000 cost) / 560,000 rebates
x = $240
Therefore, the cost to process 2,400 rebates is $240.
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which is the total profit function of a hedge with two futures contracts? 2624 – (2/7 × st) 2624 – (3/7 × st) 2911 – (3/8 × st) 2911 – (2/8 × st)
The total profit function of a hedge with two futures contracts is 2624 – (2/7 × st).
The total profit function of a hedge is an equation that shows the relationship between the profit earned by a trader or investor and the prices of the financial instruments used in the hedging strategy. It takes into account the costs associated with hedging and the expected returns from the underlying assets. The profit function helps traders and investors to evaluate the potential risks and rewards of different hedging strategies and to make informed decisions about their investments.
The total profit function of a hedge with two futures contracts is given by:
Profit = 2624 - (2/7 × F1) - (3/7 × F2) - S
where F1 and F2 are the prices of the first and second futures contracts, respectively, and S is the spot price.
Therefore, the correct answer is the first option: 2624 – (2/7 × st)
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explain how a jit inventory system could maximize profitability by eliminating waste and opportunity cost
The meaurment of the ∠D= 40°, ∠A=140°, ∠B=130.
Given in the image we can see ∠C and ∠ D is an acute angle and the value of ∠C is 50° so ∠D must be 40° according to the image.
The sum of the angle on the same side of trapezoid is equal to 180°. so ∠A+D and ∠C+∠B= 180°. ∠A+40°=180°. after substracting the value ∠A will be 140° and by same method ∠B+50°=180°. we will get ∠B=130°.
Therefore ∠D= 40°, ∠A= 140°, ∠B= 130°.
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Prepare a balance sheet using the following information for the Ginger Company as of March 31, 2019. Accounts payable $1,730 Cash 11,550 Ginger Ale, Capital Mar. 1 17,300 Inventory 8,530 Wages payable 2,150 Sales 13,600 Product expenses 8,200 Ginger Ale, Capital Mar. 31 22,700 Equipment 6,500 Ginger Company Balance Sheet March 31, 2019 Assets: $_____
Total Assets $_____
Liabilities: $ _____
Total Liabilities $_____
Owner's Equity Total Liabilities and Owner's Equity $_____
A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time.
Ginger Company Balance Sheet March 31, 2019
Assets:
Cash - $11,550
Inventory - $8,530
Equipment - $6,500
Total Assets - $26,580
Liabilities:
Accounts payable - $1,730
Wages payable - $2,150
Total Liabilities - $3,880
Owner's Equity:
Ginger Ale, Capital Mar. 1 - $17,300
Sales - $13,600
Product expenses - $8,200
Ginger Ale, Capital Mar. 31 - $22,700
Total Owner's Equity - $61,800
Total Liabilities and Owner's Equity - $65,680
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(Defoe) All the tradesman has in the world must be found in these three articles...
1. Goods in the shop (inventory)
2. Money in cash
3. Debts abroad
The idea that "all the tradesman has in the world must be found in these three articles" is oversimplified and fails to adequately account for the intricacies of contemporary trade. The truth is that these three elements are crucial parts of every organization.
Inventory, or goods in the shop, is a tangible asset that represents the products that the tradesman has available for sale. Maintaining an appropriate level of inventory is crucial for ensuring that the business can meet customer demand while also managing costs and minimizing waste.
Cash, or money on hand, is another essential component of any business. It enables the tradesman to pay for expenses such as rent, utilities, and supplies and also provides a buffer for unexpected expenses or emergencies. Managing cash flow effectively is critical for the long-term success of any business.
Debts abroad, or money owed to the tradesman by customers or clients outside their country, can also be an important component of a business's finances. These debts represent potential future revenue but also carry risks such as non-payment or currency fluctuations. Managing international debts effectively requires careful attention to exchange rates, payment terms, and credit risk.
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what type of diability lasts for a short period after which the employee is fully able to return to work?
The type of disability that lasts for a short period after which the employee is fully able to return to work is known as a temporary disability.
This type of disability typically occurs due to an injury, illness, or medical condition that requires a period of recovery before the employee can resume their job duties.
Examples of temporary disabilities include a broken bone, surgery, or a short-term illness such as the flu. During this time, the employee may need to take time off work or work reduced hours to allow for their recovery.
However, once they have fully recovered, they should be able to resume their regular job duties without any ongoing restrictions or limitations. Temporary disabilities are typically covered by short-term disability insurance, which provides income replacement for the duration of the disability.
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multimember districts tend to promote ______.
The multimember districts tend to promote minority representation.
A multimember district refers to an electoral district or constituency possessing two or more representatives in a legislative body rather than one. They provide easy administrative divisions or communities of interest within the country due to their flexibility concerning the number of representatives per district.
The major disadvantage in the context of the multimember district is that they break the relations between representatives and voters and dilute the accountability of individual representatives. Another downfall is it believes in a proportional voting system to produce proportional outcomes in times of election.
therefore, from the following, we can conclude that multimember districts promote minority representation to increase the chances of proportional voting.
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a company purchased $2,000 of merchandise on august 15 with terms 1/10, n/30. on august 17, it returned $200 worth of merchandise. on august 28, it paid the amount due. the amount of the cash paid on august 28 equals: multiple choice $1,260. $1,800. $1,620. $2,000. $1,782.
The amount of cash paid on August 28 equals to $1,782.
The amount of cash paid on August 28 can be calculated as follows:
The net amount due (after the return) is:
$2,000 - $200 = $1,800
If the company pays within the discount period, it will receive a discount of 1% on the net amount due:
Discount = 1% x $1,800 = $18
A discount period refers to a specified period of time during which a buyer can receive a discount or a reduction in the purchase price of goods or services. This discount is often offered by sellers as an incentive to encourage buyers to make their purchases within a certain timeframe. The amount of cash paid on August 28 is the net amount due minus the discount:
Cash paid = $1,800 - $18 = $1,782
Therefore, the amount of cash paid on August 28 is $1,782.
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Beck CPA firm audits the financial statements of Mary Ann Enterprises. Is implementing an off-the-shelf financial infomation system a violation of PCOAB/SEC standards? Yes оо No
YES, Beck CPA firm audits the financial statements of Mary Ann Enterprises. Is implementing an off-the-shelf financial information system a violation of PCOAB/SEC standards.
But It also depends on the specific circumstances and details of the situation. In general, implementing an off-the-shelf financial information system does not necessarily violate PCOAB/SEC standards. However, the system must meet certain criteria and standards to ensure it complies with regulatory requirements and provides accurate and reliable financial information.
If the off-the-shelf system is properly designed, implemented, and maintained, and it meets the necessary controls and audit requirements, it can be used without violating any standards. However, if the system does not meet these standards or lacks necessary controls, it could potentially lead to inaccurate or unreliable financial information, which would be a violation of PCOAB/SEC standards.
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Temporary policy interventions using increased government spending in response to economic shocks are generally more effective at counteracting (Click to select) shocks than (Click to select)
Temporary policy interventions using increased government spending are generally more effective at counteracting demand-side shocks than supply-side shocks.
When the economy experiences a demand-side shock, increasing government spending can help boost demand and stimulate economic growth. This intervention involves injecting money into the economy, which can lead to increased consumption and investment.
On the other hand, supply-side shocks result from disruptions in the production of goods and services. In this case, increased government spending may not be as effective because it does not directly address the underlying issue of reduced production capacity.
Instead, interventions that focus on improving productivity, such as investment in infrastructure, education, or research and development, may be more suitable to address supply-side shocks.
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For Sheridan, the following information is available:Capitalized leases $552000Trademarks $268000Long-term receivables $217000In Sheridan's balance sheet, intangible assets should be reported at:$769000.$820000.$268000.$485000.
In Sheridan's balance sheet, intangible assets should be reported at $820000. This includes the capitalized leases of $552000, trademarks of $268000, and any other intangible assets.
Intangible assets are assets that lack physical substance, such as patents, trademarks, copyrights, and goodwill. The balance sheet of Sheridan should report intangible assets at their net book value, which is the original cost less any accumulated amortization.
From the information given, the total amount of intangible assets for Sheridan is:
Capitalized leases = $552,000
Trademarks = $268,000
Long-term receivables = $217,000
Total intangible assets = $552,000 + $268,000 + $217,000 = $1,037,000
However, the long-term receivables are not considered intangible assets but rather a type of financial asset. Therefore, the correct amount to report intangible assets on the balance sheet of Sheridan is:
Total intangible assets = $552,000 + $268,000 = $820,000
Therefore, the answer is option B) $820,000. The long-term receivables of $217000 are considered a separate category of assets and are not included in the calculation of intangible assets.
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For the last 10 years, the CPI doubled. Using the rule of 70, what would be average annual rate of inflation during this time period? 10% 9% 07% 5%
Answer: 7%
According to Rule of 70, To find the average annual rate of inflation, we need to apply the formula:
Annual inflation rate= 70 / Number of years to double CPI
As mentioned in the question,
Number of years taken to double CPI= 10
So, average rate of inflation during this period= 70 / 10
= 7%
The average annual rate of inflation during this 10-year period is 7%. So the correct answer among the options provided is 7%.
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the billings on construction contract account is classified as a(n) multiple choice question. expense. contra asset. liability. asset.
The billings on the construction contract account are classified as a liability. This is because it represents the amount of money that a contractor has billed for a construction project, but has not yet received payment for.
It is essentially an amount owed to the contractor by the client for work that has been completed, but not yet paid for. The billings on the construction contract account are a contra asset account, meaning that it is subtracted from the total value of the construction contract asset account.
This is because the amount owed by the client to the contractor is deducted from the total amount of revenue that the contractor expects to receive from the project. It is important to keep track of billings on construction contracts because they represent a significant portion of a contractor's revenue.
Accurately tracking and managing billings on construction contracts is critical to maintaining the financial health of a construction company. Additionally, it is important to ensure that billings on construction contracts are properly recorded and recognized in the contractor's financial statements, in order to comply with accounting regulations and standards.
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if the cyclically adjusted deficit as a percentage of gdp is zero one year, and there is a cyclically adjusted budget surplus the next year, it can be concluded that, group of answer choices the federal reserve is borrowing money fiscal policy is contractionary fiscal policy is expansionary the federal reserve is lending money
If the cyclically adjusted deficit as a percentage of GDP is zero one year and there is a cyclically adjusted budget surplus the next year, it can be concluded that fiscal policy is contractionary.
This is because a cyclically adjusted budget surplus indicates that the government is collecting more in revenue than it is spending, which results in a surplus. This can be achieved through measures such as reducing government spending or increasing taxes, which are contractionary fiscal policy tools used to reduce aggregate demand in the economy. The other answer choices, such as the Federal Reserve borrowing or lending money, are not directly related to the cyclically adjusted budget surplus and deficit, but rather pertain to monetary policy actions taken by the central bank.
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Complete Question
If the cyclically adjusted deficit as a percentage of GDP is zero one year and there is a cyclically adjusted budget surplus the next year, it can be concluded that:
A) The Federal Reserve is borrowing money.
B) Fiscal policy is contractionary.
C) Fiscal policy is expansionary.
D) The Federal Reserve is lending money.
coe parts applies fixed overhead at the rate of $6.80 per unit. budgeted fixed overhead was $197,200. this month 28,120 units were produced, and actual fixed overhead was $192,100. required: a. what are the fixed overhead price and production volume variances for coe parts? b. what was budgeted production for the month?
A. The fixed overhead price variance for Coe Parts is -$884 (unfavorable) and the production volume variance is -$5,984 (unfavorable).
B. The budgeted production for the month was 29,000 units.
a. To calculate the fixed overhead price and production volume variances, follow these steps:
1. Calculate the applied fixed overhead: Applied Fixed Overhead = Fixed Overhead Rate x Actual Units Produced
Applied Fixed Overhead = $6.80 x 28,120 units = $191,216
2. Calculate the Fixed Overhead Price Variance: Fixed Overhead Price Variance = Applied Fixed Overhead - Actual Fixed Overhead
Fixed Overhead Price Variance = $191,216 - $192,100 = -$884 (Unfavorable)
3. Calculate the Budgeted Units Produced: Budgeted Units Produced = Budgeted Fixed Overhead / Fixed Overhead Rate
Budgeted Units Produced = $197,200 / $6.80 = 29,000 units.
4. Calculate the Fixed Overhead Production Volume Variance: Fixed Overhead Production Volume Variance = (Actual Units Produced - Budgeted Units Produced) x Fixed Overhead Rate
Fixed Overhead Production Volume Variance = (28,120 units - 29,000 units) x $6.80 = -$5,984 (Unfavorable)
So, the fixed overhead price variance for Coe Parts is -$884 (unfavorable) and the production volume variance is -$5,984 (unfavorable).
b. To find the budgeted production for the month, we've already calculated it in step 3. The budgeted production for the month was 29,000 units.
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a company purchased $20,400 of supplies on credit. the journal entry to record this transaction consists of a:
The journal entry to record this transaction would consist of a credit to the accounts payable account for $20,400, and a debit to the supplies account for $20,400.
1. Debit to the Supplies account for $20,400
2. Credit to the Accounts Payable account for $20,400
Since the company purchased supplies, you need to increase the Supplies account. You do this by debiting the account for the amount of the purchase, which is $20,400.
The purchase was made on credit, you need to increase the Accounts Payable account, which is a liability account. You do this by crediting the account for the amount of the purchase, which is also $20,400.
In conclusion, the journal entry for this transaction would look like this:
Supplies (Debit) $20,400
Accounts Payable (Credit) $20,400
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the path to recovery using contractionary fiscal policy involves:
The path to recovery using contractionary fiscal policy involves reducing government spending and increasing taxes.
This policy is aimed at decreasing the aggregate demand in the economy, which in turn will help to control inflationary pressures. The idea behind this policy is that when the government reduces its spending and increases taxes, it will reduce the amount of money circulating in the economy, which will decrease the demand for goods and services. This will result in lower prices and a decrease in inflation.
However, the path to recovery using contractionary fiscal policy can also have some negative effects. When the government reduces its spending, it may lead to a decrease in economic growth and a rise in unemployment. Similarly, when taxes are increased, it may lead to a decrease in consumer spending, which can hurt businesses and lead to further economic contraction.
Therefore, policymakers must balance the benefits and drawbacks of this policy when implementing it. They must also consider the specific economic conditions in their country to determine whether contractionary fiscal policy is the right path to recovery.
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compared to the use of proprietary components, web services promise to be less expensive and less difficult to implement because of:
Compared to the use of proprietary components, web services promise to be less expensive and less difficult to implement because of their capacity to facilitate cross-system communication using common standards.
What is communication?
The traditional definition of communication is the exchange of information. The phrase can either be used to describe the actual message or the area of study that examines these transmissions, known as communication studies. There are some differences of opinion regarding the exact definition of communication, such as whether accidental or failed transmissions are included and if communication creates meaning in addition to transmitting it.
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When concluding the interview, it's a good idea to (select all that applyt: Ask if they know anyone else who might be hiring Ask when you can start Ask when they hope to make a decision Thank the interviewer for their time and reiterate your interest in the position
When concluding the interview, it's a good idea to thank the interviewer and asking a tentative decision time period.
1. Thank the interviewer for their time and reiterate your interest in the position: Expressing gratitude and enthusiasm will leave a positive impression on the interviewer.
2. Ask when they hope to make a decision: This shows you are eager to know the outcome and helps you manage your expectations for follow-up.
However, it is not recommended to ask if they know anyone else who might be hiring or to ask when you can start, as these questions may come across as presumptuous or indicate a lack of commitment to the specific position being interviewed for. Thus, when concluding an interview, it is a good idea to follow the third and fourth options: ask when they hope to make a decision and thank the interviewer for their time and reiterate your interest in the position.
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Dracut Company reports the following information for June: E: (Click the icon to view the amounts.) Calculate the gross profit and operating income for June using absorption costing. Begin by selecting the labels and entering the amounts to compute the contribution margin. Then, select the labels and enter the amounts to compute the operating income. Absorption Costing Data Table x Net Sales Revenue $ Gross Profit Variable Cost of Goods Sold Fixed Cost of Goods Sold Variable Selling and Administrative Costs Fixed Selling and Administrative Costs 760,000 200,000 192,000 160,000 63,000 Operating Income Print Done
absorption costing, the gross profit for Dracut Company in June was $568,000 and the operating income was $122,000.
Based on the information provided by Dracut Company, we can calculate the gross profit and operating income for June using absorption costing.
To begin, we need to compute the contribution margin, which is the difference between the net sales revenue and variable costs of goods sold and variable selling and administrative costs.
Contribution Margin = Net Sales Revenue - Variable Costs of Goods Sold - Variable Selling and Administrative Costs
Contribution Margin = $760,000 - $192,000 - $160,000 - $63,000
Contribution Margin = $345,000
Next, we can calculate the gross profit by subtracting the variable costs of goods sold from the net sales revenue.
Gross Profit = Net Sales Revenue - Variable Costs of Goods Sold
Gross Profit = $760,000 - $192,000
Gross Profit = $568,000
Finally, we can compute the operating income by subtracting the fixed costs of goods sold and fixed selling and administrative costs from the contribution margin.
Operating Income = Contribution Margin - Fixed Costs of Goods Sold - Fixed Selling and Administrative Costs
Operating Income = $345,000 - $160,000 - $63,000
Operating Income = $122,000
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The table gives the demand and supply schedules for college meals What are the equilibrium meal price and equilibrium quantity of meals? If the college put a price celing on meals at $7 a meal, what is the price students pay for a meal? Price Quantity demanded Quantity supplied (dollars per meal (meals per week) How many meals do they buy? The equilibrium price is $a meal and the equlibrium quantity of meals is meals a weok If the college puts a price ceiling on meals at $7 a meal, the price students pay for a meal is $ 3,000 2,750 2,500 2,250 2,000 1,750 1,500 1,500 2,000 2,500 3,000 3,500 4,000 4,500 and they buy!」meals a week. 10 Which of the following is a defining characteristic of oligopoly? A. selling a differentiated good 0 B. selling a homogeneous good O C. barriers to entry O D. collusion
The equilibrium meal price and equilibrium quantity of meals can be determined by finding the point where the quantity demanded equals the quantity supplied.
From the provided information, we can find that the equilibrium price is $3,000 a meal and the equilibrium quantity of meals is 2,500 meals a week.
If the college puts a price ceiling on meals at $7 a meal, the price students pay for a meal would be $7. However, we don't have enough information to determine the exact number of meals they would buy at this price.
Regarding the defining characteristic of oligopoly, the main answer is C. barriers to entry.
In an oligopoly, there are a few dominant firms in the market and significant barriers to entry. These barriers can include high start-up costs, economies of scale, or access to key resources.
These factors make it difficult for new firms to enter the market and compete effectively with the established firms, thus resulting in a market with limited competition.
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Stefan and Patricia would like to buy a home, but they aren't sure how large a house payment they can afford. Their combined gross monthly income is $5,000, and they have a $425 education loan payment. Assuming the maximum amount of allowed percentage of 38 percent ratio, Stefan and Patricia qualify for a maximum total house payment of (Show your computations in the space provided below).
Stefan and Patricia qualify for a maximum total house payment of $1,475 per month based on their monthly income and the maximum allowed percentage ratio of 38 percent.
To determine the maximum total house payment that Stefan and Patricia can afford, we need to consider their monthly income and the maximum allowed percentage ratio.
First, we need to calculate their maximum allowed monthly debt-to-income ratio, which is 38 percent of their gross monthly income. To do this, we multiply their gross monthly income of $5,000 by 0.38, which gives us a maximum monthly debt payment of $1,900.
Next, we need to subtract their existing monthly debt payment of $425 for their education loan. This leaves us with a maximum total house payment of $1,475 per month.
Therefore, Stefan and Patricia qualify for a maximum total house payment of $1,475 per month based on their monthly income and the maximum allowed percentage ratio of 38 percent.
It's important to note that while this calculation provides a general guideline, there are other factors to consider when determining affordability, such as the down payment, property taxes, and homeowner's insurance. It's always best to consult with a financial advisor or mortgage lender to determine what is affordable for your specific situation.
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The largest single type of holder of common stock ($) is? O life insurance firms. O pension funds. O households. O mutual funds.
The largest single type of holder of common stock ($) is households. Thus, option C is correct.
What are common stocks?Common stock represents shares of ownership in a corporation, and different types of entities, such as life insurance firms, pension funds, households, and mutual funds, can hold these shares. In this case, households hold the largest amount of common stock in terms of dollar value compared to the other options. The largest single type of holder of common stock ($) is households, followed by mutual funds, pension funds, and life insurance funds.
Therefore, households are single largest holder of common stock.
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without a planned allocation of resources, there is the risk of spending too much money in one or a few areas, thereby not having enough for other areas. the plan governing spending is often called
The plan governing spending is often called a budget.
A budget is a financial plan that outlines expected revenue and expenses over a specific period of time. It is an important tool for organizations to manage their financial resources effectively and efficiently.
By creating a budget, an organization can allocate resources to various areas and activities, prioritize spending, and ensure that they have enough money for all their needs. A budget typically includes a detailed breakdown of expected revenues and expenses, including salaries, equipment, rent, utilities, and other operational costs.
It may also include a contingency fund to cover unexpected expenses or revenue shortfalls. Monitoring and adjusting the budget regularly is important to ensure that the organization stays on track and achieves its financial goals.
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If a company in Italy wants to produce children's clothes with Mickey Mouse on them, it must get permission from Disney and pay a fee. This is called Multiple Choice foreign licensing importing and exporting. a joint venture. piracy. global outsourcing.
The correct answer is foreign licensing. Foreign licensing refers to the legal process of allowing a foreign company to use a company's intellectual property,
such as a trademark or brand name, in exchange for a fee. In this case, the Italian company would need to obtain permission from Disney to use the image of Mickey Mouse on their children's clothing. This is necessary to protect Disney's intellectual property rights and ensure that their brand is not being misrepresented or used inappropriately.
By obtaining a foreign licensing agreement, the Italian company can legally produce and sell clothing featuring Mickey Mouse, while also ensuring that Disney receives compensation for the use of their intellectual property. This process benefits both parties, as it allows the Italian company to expand its product line and reach new customers, while also providing Disney with additional revenue and brand exposure.
Overall, foreign licensing is a common practice in the global marketplace and is essential for companies looking to expand their operations and reach new customers. It allows for the legal use of intellectual property and helps to protect companies' rights and interests in foreign markets.
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At its core, what is the essence of the accounting debit and credit system? Select an answer: It provides the only way to keep track of business transactions, It eliminates confusion as to what is a debit and what is a credit. It eliminates having to identify the specific accounts to which the transactions belong. it provides a self-checking system to ensure that transactions are properly recorded
The essence of the accounting debit and credit system is that it provides a self-checking system to ensure that transactions are properly recorded.
By using debits and credits to record transactions, it forces the user to identify the specific accounts to which the transactions belong, thus eliminating confusion.
This system also provides the only way to keep track of business transactions accurately, as it ensures that all transactions are recorded and balanced.
Ultimately, the debit and credit system is essential to maintaining the accuracy and integrity of a company's financial records.
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Stretch goals are targets that have which characteristics?
Stretch goals are targets that have several characteristics that distinguish them from regular goals. First and foremost, stretch goals are ambitious and challenging.
They are designed to push individuals or teams beyond their limits, requiring them to go above and beyond what they would normally do. This means that stretch goals often require creativity, innovation, and a willingness to take risks. Secondly, stretch goals are typically not easily achievable. They are intended to be difficult to reach, often requiring significant effort, time, and resources to attain. This means that stretch goals require individuals or teams to be persistent, focused, and committed to achieving them.
Thirdly, stretch goals are often aligned with an organization's strategic objectives. They are intended to support the company's mission and vision, and are often tied to specific business outcomes or performance metrics. This means that stretch goals are not simply arbitrary targets, but are instead meaningful and relevant to the organization's overall goals and objectives.
Lastly, stretch goals are often seen as an opportunity for personal growth and development. They provide individuals or teams with a chance to learn new skills, gain experience, and build confidence. This means that stretch goals can be motivating and empowering, helping individuals or teams to achieve their full potential.
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True or FalseA prior period adjustment to retained earnings is made when a discovery of a material error was made to prior years' income.
The statement is True, A prior period adjustment to retained earnings is made when a discovery of a material error was made to prior years' income.
This means that when a company discovers an error in its financial statements from a previous period, it must make an adjustment to its retained earnings account in order to correct the error. The purpose of this adjustment is to ensure that the company's financial statements accurately reflect its financial position and performance for the affected period.
Prior period adjustments are made in order to correct errors that were made in previous financial statements. These errors could be the result of accounting mistakes, misstatements, or other types of errors that were made in the past. When a company discovers an error in its financial statements, it must make an adjustment to its retained earnings account in order to correct the error. This adjustment is made retroactively, meaning that it affects the company's financial statements from the affected period.
In conclusion, a prior period adjustment to retained earnings is a true statement. It is an important concept in accounting that helps to ensure the accuracy of a company's financial statements.
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