The annual report is a critical document that provides stakeholders with information on the company's financial performance, operations, and future plans.
An annual report is a comprehensive document that is issued by a corporation annually to its stakeholders, including shareholders, investors, and the general public.
The key components of a corporation's annual report include:
Financial statements: This includes balance sheets, income statements, and cash flow statements that provide a detailed picture of the company's financial performance over the past year. The financial statements give stakeholders a clear picture of the company's assets, liabilities, and net worth.
Management's Discussion and Analysis (MD&A): This section provides an analysis of the company's financial performance over the past year, including information on net revenues, diluted earnings per share, and return of stockholders' equity.
Net Present Value of expected future cash flows: This is a financial calculation that provides an estimate of the future cash flows that a company is likely to receive from its next major capital investment project.
Legal Counsel's assessment of the likelihood of future patent infringement lawsuits: This section provides information on any potential legal risks that the company may face in the future, including the likelihood of facing patent infringement lawsuits.
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The ratio of current assets and current liabilities at BHP is equal to 3. Suppose current assets and current liabilities increase by the same dollar amount.
Consider the following statements:
(I) net working capital increases
(II) net working capital is unchanged
(III) current ratio increases
(IV) current ratio decreases
Which of the following statements is correct?
(I) and (III) are both true
(II) and (III) are both true
(II) and (IV) are both true
(I) and (IV) are both true
Net working capital is unchanged and current ratio decreases is correct. Hence, option C is correct.
What is net working capital?The difference between a company's short-term assets and its short-term debts and liabilities is known as net working capital (NWC). Positive net working capital is excellent since it shows that a company's financial obligations have been met and allows it to invest in other operational needs.
Working capital, which includes inventory, cash, accounts payable, accounts receivable, and short-term debt, reflects a company's ability to manage daily expenses. It serves as a gauge of both an organization's overall effectiveness and short-term financial position.
Thus, option C is correct.
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Fremont Enterprises has an expected return of 14% and Laurelhurst News has an expected return of 19%. If you put 44% of your portfolio in Laurelhurst and 56% in Fremont, what is the expected return of your portfolio? The expected return on the portfolio is \%. (Rounded to two decimal places.)
Fremont Enterprises has an expected return of 14% and Laurelhurst News has an expected return of 19%. If you put 44% of your portfolio in Laurelhurst and 56% in Fremont. The expected return on the portfolio is 18.7%.
What is the expected return?The expected return is a financial concept which investors use when determining where to invest their funds. The expected return of a specific investment or portfolio help a business to anticipate the profit or loss on that investment based on its historical performance.
The expected return can help you make better investment decisions. For example : Fremont Enterprises has an expected return of 14% and Laurelhurst News has an expected return of 19%. If you put 44% of your portfolio in Laurelhurst and 56% in Fremont. The expected return on the portfolio is 18.7%.
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according to gaap, which of the following is true with respect to the pooling of interest method of accounting for business combinations?
GAAP allowed its use prior to 2002 is true with respect to the pooling of interest method of accounting for business combinations.
According to GAAP (Generally Accepted Accounting Principles), the pooling of interest method of accounting for business combinations was allowed prior to 2002 but has since been discontinued.
This method combined the financial statements of the acquiring and the acquired company as if they were merged into one entity from the beginning of the earliest fiscal period presented.
Option c) is, therefore, true, as GAAP allowed the use of the pooling of interest method prior to 2002.
Options a) and b) are incorrect as the pooling of interest method was not the only method used prior to 2002, nor is it required to be used for all new acquisitions today.
Option e) is also incorrect as GAAP does not specify the use of the pooling of interest method for business combinations with a consideration of $50 billion or more.
Option d) is the closest to being correct, as the acquirer has the discretion to choose between the pooling of interest method or the acquisition method to account for the business combination. However, since the pooling of interest method is no longer allowed under GAAP, the acquirer would need to choose the acquisition method.
Hence, the correct answer is c.
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--The given question is incomplete; the complete question is
"According to GAAP, which of the following is true with respect to the pooling of interest method of accounting for business combinations?
a. It was the only method used prior to 2002.
b. It must be used for all new acquisitions.
c. GAAP allowed its use prior to 2002.
d. It, or the acquisition method, may be used at the acquirer's discretion.
e. GAAP requires it to be used instead of the acquisition method for business combinations for which $50 billion or more in consideration is transferred."--
Following the Brexit vote in June 2016, the British Pound dropped in value to its lowest point since 1985. This was due to Investors selling off pound-denominated assets and investing the funds in safe assets like gold and U.S. government bonds.
Following the Brexit vote in June 2016, the British Pound dropped to its lowest level since 1985 due to investors selling off pound-denominated assets and investing the funds in safe assets like gold and U.S. government bonds.
This was driven by economic and political uncertainty, as investors sought safety and a store of value in the form of hard assets. As a result, at month-end, the pound dropped to $1.32, its lowest level since July 1985.
The decrease in the value of the British Pound had a dramatic effect on the UK economy, as it caused an increase in the cost of imports, which in turn caused an increase in prices for consumers. This, in turn, led to a decrease in consumer spending, which further weakened the UK economy.
Additionally, businesses suffered as the cost of doing business increased due to the devaluation of the Pound, making it more difficult for them to export and compete in the global market. This further contributed to the economic downturn in the UK.
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c. wright mills used the term to refer to a small clique composed of top corporate, political, and military officials who hold the most power in society. group of answer choices autocrats bureaucracy oligarchy power elite
The term “Power Elite” was coined by the sociologist C. Wright Mills in his 1956 book, The Power Elite.
This group is composed of a small number of individuals who possess the majority of power in a society. They include top corporate, political, and military leaders who control the most resources. These members of the Power Elite are able to make decisions that can affect the lives of millions of people without being held accountable.
Additionally, they are able to use their access to resources and their control of the mass media to shape public opinion and manipulate the political and economic systems to their own advantage. In effect, the Power Elite are a small group of people who have the most power and influence in a society and can act without fear of retribution.
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Upon graduating from college 40 years ago, Dr. Nick Riviera was already planning for his retirement. Since then, he has made deposits into a retirement fund on a weekly basis in the amount of $25.
Nick has just completed his final payment and is at last ready to retire. His retirement fund has earned 9 percent compounded weekly.
Use five decimal places for the periodic interest rate in your calculations.
a. How much has Nick accumulated in his retirement account?
b. In addition to this, 10 years ago Nick received an inheritance check for $20,000 from his beloved uncle. He decided to deposit the entire amount into his retirement fund. What is his current balance in the fund?
1. The amount that Nick has accumulated in his retirement account is $52,947.78.
2. The amount of the current balance in the fund is $20,180.81.
a. How much has Nick accumulated in his retirement account?Annual rate= 9%/52=0.00173076923
Payment= -25
Periods= 40x52=2080
PV=0
By using our calculation in "ANNUALLY" mode, our Future Value will equals to $52,947.78.
b. What is his current balance in the fund?Periods= 10x52=520
Annual rate= 9%/52 = 0.00173076923
Payments=0
PV= 20,000
By using our calculation in "ANNUALLY" mode, our Future Value will equals to $20,180.81.
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As of July 1, 2009, the single source of nongovernmental U.S. GAAP is found in the
FASB statements.
Accounting Standards Codification.
AICPA professional standards.
SEC literature
Option b: As of July 1, 2009, the single source of nongovernmental U.S. GAAP is found in the accounting Standards Codification.
In US accounting practice, the accounting standards codification is the current single source of US Generally Accepted Accounting Principles (GAAP).
It is administered by the Financial Accounting Standards Board (FASB).
Generally accepted accounting principles (GAAP or U.S. GAAP, pronounced "gap") are those adopted in the United States.
The U.S. Securities and Exchange Commission (SEC) has adopted accounting standards and accounting standards used by U.S.-based companies.
The Financial Accounting Standards Board (FASB) publishes and maintains the Accounting Standards Codification (ASC), the sole authoritative non-governmental source of US GAAP.
Beginning in 2008, the FASB published US GAAP in Extensible Business Reporting Language (XBRL).
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Coordinators are required to have a correct Quality Review process for 100% of the returns prepared at VITA/TCE sites. The two acceptable methods of quality review are
A. Self-Review and Peer-to-Peer Review
B. Peer to Peer Review and Designated Review
C. Designated Review and Self-Review
D. Taxpayer Review and Designated Review
Peer to Peer Review and Designated Review are the two acceptable methods of the quality review for coordinators at VITA/TCE sites. Option B
What is the Quality Review process?Generally, the Quality review is a process in which a product or service is evaluated against a set of predetermined quality standards.
The purpose of a quality review is to identify areas where the product or service can be improved and to ensure that it meets or exceeds customer expectations.
Quality reviews can be conducted by internal teams or by external organizations and can include a variety of different evaluation methods, such as inspections, audits, and testing.
The outcome of a quality review can be used to make changes to the product or service, to improve processes and procedures, or to make recommendations for future quality improvements.
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assume that the united states and france are the only two countries in the world and that exchange rates between the two countries are flexible. a. assume that there is an increase in the united states demand for french goods. explain how this increase in demand will affect each of the following: i. the supply of dollars ii. the international value of the dollar
There is an increase in the united states' demand french goods. increase in demand will affect the following :
i. Supply of dollars increases to buy French goods
ii. The value depreciates due to the increase in the supply of dollars
How does value depreciation work?
Depreciation is the value loss that occurs as an item is utilized or ages over time. The total depreciated value of an object is how value is expressed once depreciation is taken into consideration.
You will determine this value by applying a complex equation that takes into consideration the item's original cost, its salvage value, and its predicted age.
Therefore, When you utilize your goods for purposes other than business, how much they depreciate is typically essential.
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If to produce 1 car Claire experiences an opportunity cost of 15 boots, and Mitch experiences an opportunity cost of 10 boots. Which of the following is true? A. Mitch has a comparative advantage in boot production. B. Mitch has an absolute advantage in boot production. C. Mitch has an absolute advantage in car production. D. Mitch has a comparative advantage in car production.
Option (C) is correct, If to produce 1 car Claire experiences an opportunity cost of 15 boots, and Mitch experiences an opportunity cost of 10 boots then Mitch has an absolute advantage in car production is true.
What is production in a business?
Producing something is the act of creating something out of components or raw resources. To put it another way, production employs inputs to produce an output that is fit for consumption—a good or product that has value for a customer or end-user. "The goal of production would be to meet the requirement for such resources by organizing the process of converting raw materials into completed goods and services. The use of the initial inputs productively results in the manufacturing process and outcome (or factors of production). Land, labor, and capital are the three components of production that are regarded as the primary goods or services of the producer. The primary inputs don't substantially change or get incorporated into the final result during the output process.
Because they are byproducts of land, labor, and capital, materials and energy are categorized as secondary elements in classical economics.
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allowing a group of employees to run the daily operations of the organization while the supervisor remains out of the picture unless he is needed to solve problems, listen to concerns, give praise, and provide feedback is best explained with group of answer choices directing style delegating approach supporting approach coaching approach
The Delegating Approach is the best way to allow a group of employees to take charge of the daily operations of an organization while the supervisor remains in the background for guidance and feedback.
This approach involves entrusting the employees with specific tasks and granting them the authority to make decisions related to the task. The supervisor then provides guidance, support, and resources to the employees to ensure that the tasks are completed successfully.
As the supervisor remains in the background, they can monitor the progress of the assigned tasks, provide feedback to the employees, and give them a sense of ownership over their tasks, leading to better engagement and motivation.
This approach also offers the supervisor an opportunity to develop the employees' problem-solving skills and decision-making abilities.
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paul's programming services paid $1,000 in cash dividends to its shareholders. show how to use t-accounts to record this transaction by selecting the correct answer below.
T-accounts display the transaction as Credit Cash; Debit Dividends.
(b) is true.
A collection of double-entry accounting financial records is referred to as "T-accounts" in common parlance. Due to the way the bookkeeping entries are set up, the account is referred to as a T-account. A corporation's payout of profits to shareholders is known as a dividend.
If a business is profitable or has excess cash, it may distribute a portion of those profits to its shareholders as a dividend. Any money that is still available is seized and reinvested in the company (called retained earnings). Dividend payments from a corporation's capital are typically not permitted. As a result, both the profit from the current year and the retained earnings from prior years.
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The correct question as follows
Paul's Programming Services paid $1000 dividends. Show how to use T-accounts to record this transaction by selecting the correct answer below. Multiple choice question. Credit Cash; debit Common stock. Debit Dividends; credit Cash. Debit Cash; credit Dividends expense. Credit Cash; debit Retained earnings.
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the strategy map can be compared to the balanced scorecard (bsc) in that multiple choice the strategy map and the bsc are unrelated. the strategy map deals with the strategy component of the bsc. the strategy map provides a guide to implementing the bsc by linking the critical success factors. the strategy map is a subset of the bsc.
The correct answer to this question is option c. The strategy map can be compared to the balanced scorecard (BSC) in that The strategy map provides a guide to implementing the BSC by linking the critical success factors.
A strategy map is a diagram that shows the strategic objectives that a company or management group is pursuing.
A strategy map is a straightforward diagram that depicts the relationship between strategic goals in a logical, cause-and-effect manner (shown as ovals on the map). As it is used to swiftly communicate how value is created by the organization, it is one of the most effective components of the balanced scorecard technique.
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use the following information to answer this question: bayside, incorporated 2021 income statement ($ in thousands) net sales $ 6,270 cost of goods sold 4,790 depreciation 415 earnings before interest and taxes $ 1,065 interest paid 52 taxable income $ 1,013 taxes 213 net income $ 800 bayside, incorporated 2020 and 2021 balance sheets ($ in thousands) 2020 2021 2020 2021 cash $ 165 $ 270 accounts payable $ 1,810 $ 1,910 accounts received 1,210 1,050 long-term debt 920 720 inventory 1,885 2,170 common stock 3,460 3,390 total $ 3,260 $ 3,490 retained earnings 990 1,240 net fixed assets 3,920 3,770 total assets $ 7,180 $ 7,260 total liabilities
The information provided contains the 2021 Income Statement and Balance Sheets for Bayside, Inc. for the years 2020 and 2021.
In Income Statement, we can see that:
Net sales for Bayside, Inc. were $6,270,000 in 2021
Cost of goods sold was $4,790,000, leaving an earnings before interest and taxes (EBIT) of $1,065,000
After paying $52,000 in interest, the taxable income was $1,013,000 and the net income was $800,000
In Balance Sheets, we can see that:
Cash for Bayside, Inc. increased from $165,000 in 2020 to $270,000 in 2021
Accounts receivable decreased from $1,210,000 in 2020 to $1,050,000 in 2021
Inventory increased from $1,885,000 in 2020 to $2,170,000 in 2021
Total assets increased slightly from $7,180,000 in 2020 to $7,260,000 in 2021
Long-term debt decreased from $920,000 in 2020 to $720,000 in 2021
Retained earnings increased from $990,000 in 2020 to $1,240,000 in 2021.
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Porter's model of business activities includes ________, which are interactions across value activities.
A) linkages
B) evaluations
C) support
D) operations
Porter's model of business activities includes linkages, which are interactions across value activities.
What is Porter's model of business activities?Porter contends that an organization's processes, such as marketing, give it a competitive advantage.
Operations, outbound logistics, marketing and sales, and services make up the five major (primary) activities that result in higher profits.
Michael Porter created a strategic management tool for value chain analysis because of the significance of the value chain to businesses. In his book Competitive Advantage from 1985, Porter—best known for his five forces theory—described his approach to examining value chains.
Porter tried to define a company's competitive advantage and noted that it comes from the processes used by the company, like marketing and auxiliary tasks. Five main activities are outlined by Porter as part of value chain analysis.
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Identify the aspects of an operations management system that are affected by infrastructural decisions (check all that apply):
A. product demand
B. workforce
C. production planning and control
D. process innovation
The aspects of an operations management system that are affected by infrastructural decisions are A: product demand; C: production planning and control; D: process innovation.
A. Product demand - Infrastructural decisions can affect product demand by determining the capacity and capability of the operations system to meet customer needs. For example, the capacity of a production plant will impact the ability to meet increasing or decreasing demand for a product.
C. Production planning and control - Infrastructural decisions can impact the production planning and control processes by determining the available resources, technology, and equipment needed for production. For instance, the choice of technology and equipment can influence the production process, speed, and efficiency, which in turn affects the production plan.
D. Process innovation - Infrastructural decisions can drive process innovation by enabling new production methods and improving existing ones. For example, investments in new technology can improve the production process, making it more efficient, reducing waste, and increasing the quality of the end-product.
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Select all of the options that describe a reason that businesses would rather settle disputes with customers out of court. Litigation is costly Juries are likely more sympathetic to plaintiffs than to Trials are bad for the public image of the business
Businesses would rather settle disputes with customers out of court because litigation is costly, juries are likely more sympathetic to plaintiffs than to large corporate defendants, and trials are bad for the public image of the business. Hence, all options are correct.
Few things frighten managers more than litigation. Even minor matters have a tendency of destroying relationships, tarnishing reputations, and devouring vast sums of money, time, and talent.
Most business owners are aware that litigation are on the rise. Smart managers understand that problems are becoming increasingly avoidable. There are now numerous alternatives to litigation that can prevent lawsuits, settle long-standing disagreements, and even offer win-win solutions to old and nasty fights that would otherwise leave both sides injured.
Many businesses would want to avoid court proceedings due to the potential legal expenses, uncertainty, and brand damage that can follow from lawsuit publicity.
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which of the following is true of the way that the world bank and the un development programme (undp) classify countries economically:
The true statement is " the UNDP uses an index that considers income as well as longevity and education".
The Human Development Index (HDI) is the primary criterion for gauging development used by UNDP. In addition to per capita income, this criterion considers additional development indices such as literacy level and life expectancy.
The UNDP measures development using per capital income, while the World Bank utilizes total income.
For analysis purpose, the World Bank divides economies into four income groups: low, lower-middle, upper-middle, as well as high income.
A developed country was one that has a high rate of industrialization as well as individual income. A developing country was one that is industrializing slowly and has a low per capita income. Infant mortality, death, as well as birth rates are all low, while life expectancy was high.
Therefore, option (a) is correct.
The given question is incomplete, the complete question is:
__"Which of the following is true of the way that the world bank and the un development programmed (undp) classify countries economically"__:
a) The UNDP uses an index that considers income as well as longevity and education.
b) The UNDP uses an index that considers income as well as war
c) The UNDP not uses an index that considers income as well as longevity and education.
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Shannon Corporation issues common stock for $25,000. Recording this transaction will include a
multiple choice question. O credit to revenues. O debit to retained earnings. O credit to common stock. O credit to accounts receivable.
Shannon Corporation sells common stock for $25,000 each. A credit to common shares will be recorded as part of this transaction.
Common stock is a type of investment that reflects ownership in a company. The board of directors and corporate policies are chosen by common stock holders. Long-term rates of return are often higher for this type of stock ownership. However, in the event of liquidation, common shareholders are only entitled to the assets of the company once bondholders, preferred shareholders, and other debt holders have been fully compensated. Common stock is a type of investment that reflects ownership in a company. Common stockholders in a liquidation receive any assets that are left over after creditors, bondholders, and preferred stockholders have been compensated. The market trades a variety of stocks.
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The variables in a future value of an annuity problem include all of the following, except:
All of the variables listed below, with the exception of "Present value" are present inside a future value about an annuity problem.
Define the term future value of an annuity?You need to know the annuity payment amount, the number of periods, and the expected rate of return in order to estimate the future value of such an annuity.
The future value of annuities due payment will typically be greater than future value about an annuity since they frequently require an additional compounding time.The following equation can be used to calculate an ordinary annuity's future value. (Unlike an annuity due, which pays interest just at beginning of the period, the ordinary annuity pay the interest just at end of the period.)P =PMT((1 + r)ⁿ - 1) / n
P = Future value of annuity.PMT = Each annuity paymentr = Interest rate n = Number of periods in which for payments.Thus, All of the variables listed below, with the exception of "Present value" are present inside a future value about an annuity problem.
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The complete question is-
The variables in a future value of an annuity problem include all of the following, except:
Time period
Interest rate
Future value
Present value
Payments
Management innovation refers to improving:
a. Management thinking
b. Decision-making
c. How operational activities get accomplished
d. How the work of management gets done
e. All of these are correct
Management innovation refers to improving:
a. Management thinking
b. Decision-making
c. How operational activities get accomplished
d. How the work of management gets done
Hence, option (e) is the correct choice.
Management of innovation processes and change management are combined in innovation management. Product, business process, marketing, and organizational innovation are all covered. ISO TC 279 is developing ISO 56000 series standards for innovation management.
Management innovation is characterized as a considerable departure from established management concepts, methods, and practices, or a break from standard organizational structures that significantly modifies how management work is accomplished. Simply said, management innovation alters how managers execute their jobs.
The process of managing an organization's innovation method, from the first step of ideation to the last stage of effective implementation, is referred to as innovation management. It includes the decisions, activities, and practices associated with developing and implementing an innovation strategy.
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When preparing a statement of cash flows using the indirect method, which of the following is correct?
Proceeds from the sale of equipment should be added to net income in the operating activities section.
A loss on the sale of land should be added to net income in the operating activities section.
The declaration of a cash dividend should be a use of cash in the financing activities section.
The issuance of a stock dividend should be a use of cash in the financing activities section.
The purchase of land and a building by issuing a long-term note payable should be a source of cash in the financing activities section
A loss on the sale of land should be added to net income in the operating activities section is correct when preparing a statement of cash flows using the indirect method. Thus, option B is correct.
What is cash flow statement?A financial statement called the cash flow statement (CFS) summarises the inflow and outflow of cash and cash equivalents (CCE) for an organisation. The CFS gauges how effectively a business manages its cash position, or how well it generates cash to cover its debt payments and fund its operating costs.
The CFS is one of the three primary financial statements that works in conjunction with the balance sheet and the income statement. The cash flow statement gives a picture of how a business is operating, where its funds are coming from, and how they are being used.
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laws and regulations creating fair stable market environment are examples of complementary social assets required optimize from IT investments
Laws and regulations help ensure that the market is fair for all participants and that the conditions for investments in IT are stable, which in turn allows for the best returns on investment in IT.
Performing a SWOT analysis, setting market and product goals, and developing a marketing program are all steps in the ______________ phase of the strategic marketing process.
a. evaluation
b. development
c. planning
d. implementation
Performing a SWOT analysis, setting market and product goals, and developing a marketing program are all steps in the c. planning phase of the strategic marketing process.
In economic and business, Strategic management generally can be defined as the ongoing planning, assessment, monitoring, and also analysis of all necessities an organization needs to meet its goals and objectives. A strategic management is needed for a company or organization because it is important through the continuity of company. Organizations are constantly assess their strategies for success by changes in business environments.
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1. What barriers to communication do you see in these examples? How might these barriers have been overcome?
Answer:
Communication barriers are something that prevents us from correctly getting and accepting the messages others use to communicate their information, thoughts and ideas. Some of the examples of communication barriers are information overload, choosy perceptions, workplace gossips, semantics, gender differences, etc.
evaluate the following statement: if the total variable cost of production is the sum of the marginal cost of each additional unit of output
The assertion is true. The sum of the marginal cost, also known as the cost of creating each additional unit of output, is the total variable cost of production.
The Cost, which refers to the value of resources (such as time, money, and materials) utilised to create a good, deliver a service, or accomplish a goal, is a key concept in economics and finance. Costs can come in a variety of forms, such as opportunity costs, variable expenses, and fixed costs. Rent and salary are examples of fixed costs, which are costs that are constant regardless of the volume of production. Costs that vary depending on the volume of production include the price of raw materials. Opportunity costs are the advantages lost when one alternative is chosen over another, such as the advantages that could have been realised by making the greatest possible use of available resources.
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A __________________ often results in an outflow of financial capital leaving the domestic economy and being invested in the global economy?A. trade surplusB. trade deficitC. fiscal deficitD. twin surplus
A trade surplus often results in an outflow of financial capital leaving the domestic economy and being invested in the global economy.
When government policy shifts from a booming economy to a budget deficit while the trade imbalance remains unchanged, investment falls if savings remain constant.
Private savings from within the US as well as public savings are the two main sources of financial capital within the US economy. These include inflows of foreign finance centre from other countries.
Therefore, the correct answer will e option (A)
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justify the inclusion of marketing in the business administration and management curriculum
Studying marketing gives you a distinct competitive advantage because you can learn how to market your services and yourself. The value of the product and the value of the individual or brand delivering the product are what marketing studies assist you to understand.
What role does marketing play in management?The ability of a company to make income, build a brand, and comprehend its consumer base depends heavily on marketing management.
By attracting new customers, growing an existing client base, enhancing customer interactions, and establishing a company's reputation, marketing management aims to guarantee a business is profitable. The benefit of marketing for your company is that it engages and helps clients by bringing their attention to your goods and services.
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Which of the following theories help to explain leevls and behaviour of interest rates at different maturities?
a. Expectations Theory
b. Segmented Markets Theory
c. Fragmented Markets Theory
d. Liquidity Premium Theory
e. Behavioral Theory
According to the lending rate of interest rates' expectations theory, community forecasts of future yields are the main factor that links the yields on treasury securities with different maturities.
What causes such high interest rates?Therefore, why are borrowing costs increasing? The most straightforward argument is that rising inflation is the source of rising interest rates. The Federal Reserve raises interest rates in an effort to stifle inflation by curbing economic expansion. This trend is anticipated to last through the 2022 year and in to the 2023.
How will interest rates develop in the future?The Federal Reserve's main base borrowing rate is anticipated to increase by another 0.75 percentage points in 2023, reaching a 17-year low of 5-5.25 percentage from its current level of 4.25-4.5 percent.
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you are 19 years old today. you want to have $381,507.06 in an investment account when you are 60 years old. you will start with an initial deposit in one year from now and grow it by 3% per year for a total of 15 investments. how much is the amount of that initial deposit? assume an interest rate (a.k.a. return on your investment of 6%. use the $ sign and a comma and round to the nearest thousand...(e.g. $8,000 would be the form of a correct answer). hint....the correct answer should be very close to a multiple of $1,000.
A purchase made with the intention of creating income or capital growth is known as an investment. An asset's value increasing over time is referred to as appreciation.
When a person makes an investment, they do not intend to use the product immediately; instead, they intend to use it to build wealth in the future. Investment A's future value is calculated as follows:
payment
= $1,980;
n=6x12 = 72;
i=9%/12 = 0.75%.
FVIFA = [(1 + 0.0075)'2 -1]/
0.0075 = 95.007
Future value is $1,980 x 95.007,
which equals $188,114.
The PV of the investment must now be calculated as follows: PV = $188,114 / (1 + 9%)° = $20,500.
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