The payment of $33,231 includes both principal and interest. Interest expense is calculated based on the outstanding principal balance ($492,951), and the remaining amount goes towards reducing the principal balance.
To journalize the entries for the installment note payable, we need to consider the issuance of the note and subsequent payments.
1) Issued the $500,000 20-year 12% Note to the First National Bank on January 1, Year 1:
Account Name Debit Credit
Notes Payable $500,000
Explanation: This entry records the issuance of the $500,000 mortgage note payable to the First National Bank. The Notes Payable account is debited to reflect the increase in the liability.
2) Entry made on June 30, Year 1, for the 1st payment of $33,231:
Account Name Debit Credit
Interest Expense $30,000
Notes Payable $3,231
Cash $33,231
Explanation: The payment of $33,231 includes both principal and interest. Interest expense is calculated by multiplying the outstanding principal balance ($500,000) by the interest rate (12%) and dividing it by the number of payment periods in a year (2). The remaining amount is applied to reduce the principal balance. Cash is debited to reflect the outflow of funds.
3) Entry made on December 31, Year 1, for the 2nd payment of $33,231:
Account Name Debit Credit
Interest Expense $29,569
Notes Payable $3,662
Cash $33,231
Explanation: Similar to the previous entry, interest expense is calculated based on the outstanding principal balance at that time ($496,769), and the remaining amount is allocated to reduce the principal balance. Cash is debited for the payment made.
4) Entry made on June 30, Year 2, for the 3rd payment of $33,231:
Account Name Debit Credit
Interest Expense $28,413
Notes Payable $3,818
Cash $33,231
Explanation: Again, interest expense is calculated based on the outstanding principal balance ($492,951), and the remaining amount goes towards reducing the principal balance. Cash is debited for the payment made.
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Margaret is a 14% owner of an insurance agency, an S corp. She participates in the S corp's health insurance plan. How is information about the amount of the premiums paid on Margaret's behalf, reported to her at the end of the year? A. As wages in box 1 of her W2, subject to medicare and social security taxes, therefore included in the wages in boxes 3 and 5 as well. B. As wages in box 1 of her W2 but not in boxes 3 and 5 C. Only reported in box 12 with code DD on her W2 D. In box 12, Other Deductions on her Schedule K-1 (Form 1120S).
Margaret, as a 14% owner of an S corporation insurance agency, participates in the S corp's health insurance plan. At the end of the year, the information about the premiums paid on Margaret's behalf is reported to her on the W-2 form.
The correct option is C. The premiums paid on Margaret's behalf are only reported in box 12 with code DD on her W-2. This code indicates the cost of employer-sponsored health coverage. It is important to note that this amount is not considered wages and is not subject to Medicare and Social Security taxes.
The other options are not accurate. Option A states that the premiums are reported as wages in box 1 of the W-2, which is incorrect. Option B states that the premiums are reported as wages in box 1 but not in boxes 3 and 5, which is also incorrect. Option D states that the premiums are reported in box 12, Other Deductions on her Schedule K-1 (Form 1120S), which is not the correct reporting method for health insurance premiums.
In summary, the premiums paid on Margaret's behalf are reported in box 12 with code DD on her W-2. This code indicates the cost of employer-sponsored health coverage and is not subject to Medicare and Social Security taxes.
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4 important things about investing retirement
Here are 4 important things to consider about investing for retirement:
Start early: The earlier you start saving and investing for retirement, the more time your money has to grow through compound interest. Even if you can only contribute a small amount, starting early can make a significant difference in the long run.
Diversify your investments: Diversification helps to spread your risk across a range of investments, reducing the impact of any single investment performing poorly. It's important to have a mix of stocks, bonds, and other investments that align with your risk tolerance and retirement goals.
Rebalance your portfolio: Over time, the performance of different investments in your portfolio may cause your asset allocation to shift. Rebalancing involves adjusting your portfolio to ensure that it stays aligned with your investment goals and risk tolerance.
Keep fees low: Investment fees can eat away at your returns over time. Be sure to compare fees across different investment options and choose those with lower fees where possible. Consider using low-cost index funds, which can provide broad market exposure with lower fees than actively managed funds.
mark me as brainliest if that helps
Can someone please help me with this!!!!
Answer:
Eh easy aall you have to do is pay 4,305 dolllars
Explanation:
Which of the following model is best suited to measure supply chain performance? Why?
a) the Balanced Scorecard or
b) the SCOR
The SCOR (Supply Chain Operations Reference) model is best suited to measure supply chain performance due to its specific focus on supply chain processes and metrics.
The SCOR model is specifically designed to measure and improve supply chain performance. It provides a framework for understanding and evaluating the key processes within a supply chain, including plan, source, make, deliver, and return. The SCOR model offers a comprehensive set of metrics and key performance indicators (KPIs) that enable organizations to assess and monitor the effectiveness and efficiency of their supply chain operations.
On the other hand, the Balanced Scorecard (BSC) is a broader performance measurement framework that encompasses various aspects of an organization's performance, including financial, customer, internal process, and learning and growth perspectives. While the BSC can be applied to measure overall organizational performance, it may not provide the specific supply chain-focused metrics and insights offered by the SCOR model.
The SCOR model's alignment with supply chain processes and its emphasis on supply chain-specific metrics make it well-suited for evaluating and improving supply chain performance. It enables organizations to identify areas of improvement, track progress, and make data-driven decisions to optimize their supply chain operations.
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How is the available electronic parking brake activated on 2022 kicks?.
The electronic parking brake is activated on 2022 kicks by using a switch on the center console, when the accelerator pedal is pressed, when the transmission is in gear and when the driver's seat belt is fastened.
What is the electronic parking brake?The electronic parking brake works by putting on brake through the electric motors to achieve the effect.
Hence, the electronic parking brake is activated on 2022 kicks by using a switch on the center console, when the accelerator pedal is pressed, when the transmission is in gear and when the driver's seat belt is fastened.
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If the cost of production decreases for Tesla’s cars, what effect will this have on consumers who want to buy one???
Answer:
The consumers will pay more.
Explanation:
Should the production cost increase, the price of Tesla cars is also likely to increase. Typically, producers are likely to pass the increased costs to the cars' final price. The market price for the cars will go up, meaning customers will pay more for the cars.
what are two major accounts used in busines??
Answer:Cash Accounts.
Bank Accounts.
Credit Cards.
Undeposited Funds.
Income Accounts.
Expense Accounts.
Assets.
Liabilities.
Explanation: Sorry didn’t kniw if you were talking about a small business or big
Jill bought 100 shares of stock at $12.44 per share and sold them for $13.11 per share. Her ROI was ____%. (Round percentages to one decimal place.)
Answer:
5.4%
Explanation:
Return on investment is a ratio expressing the income as a percentage of invested capital.
The formula for ROI= Net Income / Cost of Investment
in this case
net income = Shares selling price - Buying price
net income= ($13.11 x 100) - ($12.44 x 100)
net income = $1311 - $1244
net income =$67
ROI =$67/1244 x 100
ROI=0.053 x 100
ROI= 5.4%
An inventory system that orders the same amount (fixed) every time is optimal for ________ product.
An inventory system that orders the same amount (fixed) every time is optimal for high value items product.
What is fixed inventory control?
The Fixed Order Quantity is an inventory control system that allows for maximum and minimum inventory levels to be fixed. When the inventory level reaches the auto-set reorder point or the minimum stock level, the maximum and fixed amount of inventory can be replenished.What are the 4 types of inventory management?
The types of inventory management are Raw Materials, Works-In-Process, Maintenance, Repair and Operations or MRO and Finished Goods.
What is fixed order quantity system?
The Reorder Point, or simply OP, is reached when the quantity of inventory reaches the maximum and minimum levels defined in advance for the Fixed Size Ordering System. At this point, an order for an EOQ (Economic Order Quantity) is placed.Learn more about inventory level
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If the international value of the United States dollar depreciates in comparison with the Japanese yen, which of the following is most likely to occur?
(A) United States exports to Japan will increase.
(B) The United States government will increase the tariff on Japanese imports.
(C) The United States balance-of-trade deficit with Japan will become even larger.
(D) United States tourists can be expected to visit Japan in greater numbers.
(E) Trade between the United States and Japan will not be affected.
If the international value of the United States dollar depreciates in comparison with the Japanese yen, United States exports to Japan are most likely to increase.
When the international value of the United States dollar depreciates in relation to the Japanese yen, it means that it takes more dollars to buy one unit of yen. This change in exchange rates can have several implications for the economy and trade between the United States and Japan.
Firstly, a weaker U.S. dollar makes U.S. goods and services relatively cheaper for Japanese consumers. This means that U.S. exports to Japan become more affordable and competitive in the Japanese market. As a result, United States exports to Japan are likely to increase because Japanese buyers will find U.S. products more attractive in terms of price.
Secondly, a weaker U.S. dollar can also discourage imports from Japan into the United States. Since it takes more dollars to purchase a given amount of yen, Japanese products become relatively more expensive for U.S. consumers. This could lead to a decrease in imports from Japan as U.S. buyers may seek alternative, cheaper options domestically or from other countries.
Thirdly, a depreciation of the U.S. dollar may impact the balance of trade between the United States and Japan. If U.S. exports increase and imports from Japan decrease, it is likely that the United States balance-of-trade deficit with Japan will become smaller or even turn into a surplus. This is because the United States is exporting more goods and services to Japan while importing fewer Japanese goods.
Lastly, a weaker U.S. dollar can also have an impact on tourism. If the exchange rate makes the United States relatively more affordable for Japanese tourists, it is possible that more Japanese tourists will visit the United States. However, it is important to note that the impact on tourism can be influenced by various factors such as travel restrictions, economic conditions, and other considerations.
In conclusion, if the international value of the United States dollar depreciates in comparison to the Japanese yen, United States exports to Japan are most likely to increase. This is because a weaker U.S. dollar makes U.S. goods and services relatively cheaper for Japanese consumers, making them more attractive and competitive in the Japanese market.
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Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
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Which one of the following actions does NOT result in higher levels of worker productivity producing footwear? in OExpenditures for TQM/Six Sigma programs The emphasis placed on incentive compensation (as measured by the percentage of the company's regular compensation package-which does not include overtime pay acCounted for by incentive pay per non-defective pair) O Per worker expenditures for best practices training Increases in worker base pay of 2% or more Reductions in the number of models/styles produced at a given production facility
The action that does NOT result in higher levels of worker productivity in producing footwear is the "Reductions in the number of models/styles produced at a given production facility."
This is because reducing the number of models/styles produced at a given production facility will not necessarily result in higher levels of worker productivity. The productivity of workers may improve if they are producing a smaller range of products, which may allow them to become more efficient and produce goods at a faster rate. However, reducing the number of models/styles may not necessarily lead to higher productivity if the workers are not properly trained to produce the remaining models/styles, or if the production process is not optimized for producing a smaller range of products. Therefore, reducing the number of models/styles is not a guaranteed way to increase productivity, unlike the other options listed, which have been shown to lead to higher levels of worker productivity in various industries.
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your company’s marketing manager implements the company’s new marketing strategy and tactics on the market. what types of information does your marketing manager need to monitor to judge the plan’s implementation success and strategic effectiveness?
The type of information the marketing manager needs to monitor to judge the plan's successful implementation and strategic effectiveness are profits, customer relations, sales information, and competitor reactions.
A marketing strategy is one whose objective is to position the company in relation to competitors, through the creation of value that will help attract and retain consumers.
There are several tools that can help shape an organization's marketing strategy, such as:
The 5 P's of marketing.SWOT Analysis.CRM.Therefore, the manager must monitor profits, company-customer relationships, sales, and competitor reaction to judge the success of a marketing plan, which should generate value and market leadership for an organization.
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__________ visually shows that the total revenue curve and the total cost curve intersect at a point of zero profit.
A) break-even chart
B) Gantt chart
C) sales response function
D) cross tabulation
E) demand curve
Answer:
C it would be hope this helped
4. Based on the information you used to create your schedule and curve, which product would you recommend the Shoe Hut focus on, and why? Provide details that support your answer.
Based on the information you used to create your schedule and curve, the product would you recommend that Shoe Hut focuses on is :
The shoe hut should be conscious more of going for walk shoes rather than trekking boots which are produced by means of the Shoe Hut as it is clearly evident from the tabular and the photograph representation thru the charts given under.
The image with tabular representation needs to focus more on going for walks footwear as it produces five additional devices in comparison to creating just 10 pairs of trainers with comparable entry charges.
The strolling footwear entices extra sales as they may be more required by way of the public and hiking boots are more the wishes of folks who pass on treks that could also take place not greater than a few times a yr.
Better sales generate better revenues for the enterprise as strolling shoes can then be bought for low-income margins and are a part of speedy moving finished inventories and are cheaply produced.
Hiking boots are made of high margin as they'll compensate with decreased revenues as they're a gradual stock and top-rate footwear now not required by the general public.
Subsequently, Shoe Hut will produce extra running shoes as they may also entice extra income and will result in better sales regardless of low-income margins.
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Your firm has a credit rating of A. You notice that the credit spread for five year maturity Adebt is 87 basis points (0.87%). Your firm's five-year debt has an annual coupon rate of 6.2%. You see that new five-year Treasury notes are being issued at par with an annual coupon rate of 22% What should be the price of your outstanding five-year bonds? Assume $1,000 face value Assuming a $1.000 face value, the price of the bond is $(Round to the nearest cent.)
The price of the bond is $1,000.00.
To calculate the price of the bond, we need to discount the future cash flows (interest payments and face value) at the yield to maturity.
First, let's calculate the yield to maturity for the bond. The yield to maturity is the rate that makes the present value of the bond's future cash flows equal to the current market price of the bond.
Using the information provided in the question:
- The credit spread for the bond is 0.87%
- The current yield on the 5-year Treasury note is 2.2%
- The annual coupon rate on the bond is 6.2%
- The bond has a face value of $1,000
To calculate the yield to maturity, we need to add the credit spread to the yield on the Treasury note:
Yield to maturity = Treasury yield + Credit spread
Yield to maturity = 2.2% + 0.87%
Yield to maturity = 3.07%
Now, we can calculate the price of the bond using the following formula:
Price = (Coupon payment / (1 + Yield to maturity)^1) + (Coupon payment / (1 + Yield to maturity)^2) + ... + (Coupon payment + Face value / (1 + Yield to maturity)^n)
where n = number of periods (5 years in this case).
For this bond, the coupon payment is $62 per year ($1,000 face value x 6.2% annual coupon rate), and n = 5.
Plugging in the numbers, we get:
Price = ($62 / (1 + 0.0307)^1) + ($62 / (1 + 0.0307)^2) + ($62 / (1 + 0.0307)^3) + ($62 / (1 + 0.0307)^4) + ($62 + $1,000 / (1 + 0.0307)^5)
Price = $62 / 1.0307 + $62 / 1.0622^2 + $62 / 1.0937^3 + $62 / 1.1253^4 + $1,062 / 1.1571^5
Price = $1,000.00 (rounded to the nearest cent)
The price of the bond is $1,000.00.
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how to plan for a turbulent environment surrounding the current pandemic
Explanation:
The long-running debate between the ‘rational design’ and ‘emergent process’ schools of strategy formation has involved caricatures of firms' strategic planning processes, but little empirical evidence of whether and how companies plan. Despite the presumption that environmental turbulence renders conventional strategic planning all but impossible, the evidence from the corporate sector suggests that reports of the demise of strategic planning are greatly exaggerated. The goal of this paper is to fill this empirical gap by describing the characteristics of the strategic planning systems of multinational, multibusiness companies faced with volatile, unpredictable business environments. In-depth case studies of the planning systems of eight of the world's largest oil companies identified fundamental changes in the nature and role of strategic planning since the end of the 1970s. The findings point to a possible reconciliation of ‘design’ and ‘process’ approaches to strategy formulation. The study pointed to a process of planned emergence in which strategic planning systems provided a mechanism for coordinating decentralized strategy formulation within a structure of demanding performance targets and clear corporate guidelines. The study shows that these planning systems fostered adaptation and responsiveness, but showed limited innovation and analytical sophistication
Drag each resources to the correct location on the table let’s say you just bought a new cell phone. Listed here are sone of the many resources that went into producing that phone. Categorize the recourses according to factors of reproduction?
Categorizing resources according to factors of reproduction provides insights into the diverse inputs required for cell phone production, highlighting the interdependence of natural, human, and capital resources in the manufacturing process.
Categorizing the resources that went into producing a new cell phone according to factors of reproduction involves identifying the various inputs involved in its production and classifying them accordingly. The factors of reproduction typically include natural resources, human resources, and capital resources.
Natural resources:
Minerals: These include rare earth metals like lithium, cobalt, and tantalum used in the production of batteries and electronic components.
Fossil Fuels: Oil, natural gas, and coal are utilized in energy-intensive processes involved in manufacturing and transportation.
Human resources:
Labor: Skilled and unskilled workers involved in designing, engineering, assembling, and quality control processes.
Knowledge: Intellectual property, patents, and research and development efforts that contribute to technological advancements.
Capital resources:
Machinery and Equipment: Production machinery, robotics, assembly lines, and testing equipment used in manufacturing facilities.
Infrastructure: Factories, transportation networks, communication systems, and power grids necessary for production and distribution.
It is important to note that this is not an exhaustive list, as the resources involved in cell phone production are diverse and may vary based on the specific components and technologies used. Additionally, the categorization may overlap in some cases. For instance, skilled labor can be considered both a human resource and a capital resource when specialized tools or equipment are required.
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Of the following, how do IFRS and U.S. GAAP differ with respect to the translation of foreign currency financials?
A) IFRS requires the financial statements of entities in hyperinflationary countries to be restated for inflation prior to translation, and U.S. GAAP does not.
B) U.S. GAAP uses a functional currency approach to determine the proper translation method and IFRS does not.
C) Presently, there are no differences between IFRSs and U.S. GAAP with respect to the translation of foreign currency financial statements.
D) IFRS allows companies the option to report translation adjustments in net income or to defer them on the balance sheet in stockholders' equity; U.S. GAAP does not permit this option.
Among the given options, the correct answer is D) IFRS allows companies the option to report translation adjustments in net income or to defer them on the balance sheet in stockholders' equity; U.S. GAAP does not permit this option.
IFRS (International Financial Reporting Standards) and U.S. GAAP (Generally Accepted Accounting Principles) differ in their treatment of translation adjustments for foreign currency financial statements.
Under IFRS, companies have the option to report translation adjustments resulting from the translation of foreign currency financial statements directly in net income or to defer them and present them in stockholders' equity as part of the comprehensive income. This allows for flexibility in reporting these adjustments.
In contrast, U.S. GAAP does not permit this option. Translation adjustments in U.S. GAAP are generally recognized in other comprehensive income (OCI) and reported as part of accumulated other comprehensive income in the equity section of the balance sheet. U.S. GAAP does not allow translation adjustments to be directly included in net income.
Therefore, option D correctly highlights the difference between IFRS and U.S. GAAP regarding the reporting of translation adjustments in foreign currency financials.
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Fixed and oversimplified ideas of a person based on age, gender, race, or religion are called
bias
discrimination
prejudice
stereotypes
When there is Fixed and oversimplified idea based on a persons' age, gender etc, then such idea is known as Discrimination.
Let understand that the Discrimination refers to an unfair treatment of people or groups based on characteristics such as race, gender, age, sexual orientation etc.
A good example of Discrimination is when an employee has lower pay than colleague of the opposite sex even the same work responsibility. This scenario describe is based on Gender.In conclusion, the creation of Human Rights Act prohibit citizen to discriminate based on sex, race, color, language, religion, political although there are still evident of discrimination everywhere in the world.
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The solution is discrimination.
Discrimination is when someone is given a negative impression based on their age, gender, race, or religion as a whole.
Prejudice is a person's preconceived notion about something that is not based on reason or personal experience. Although prejudice can arise as a result of discrimination, it is less destructive and unlikely to have a negative impact on people.
So, in this case, prejudice has already been eliminated.
A stereotype is a generalized belief derived from a specific category of someone or something acting or behaving in a particular manner.
Giving someone a misunderstanding and a negative tone is not the same as thinking of stereotypes.
Prejudice is similar to bias but not the same
The concept of bias is when someone has a preconceived notion about something.
OneChicago has just introduced a single-stock futures contract on Brandex stock, a company that currently pays no dividends. Each contract calls for delivery of 1,800 shares of stock in 1 year. The T-bill rate is 4% per year.
a. If Brandex stock now sells at $130 per share, what should the futures price be?
b. If the Brandex price drops by 1%, what will be the new futures price and the change in the investor’s margin account?
c. If the margin on the contract is $11,400, what is the percentage return on the investor’s position?
a. The theoretical futures price should be $135.20.
b. The investors has incurred a loss of 18% on their position.
c. The investor's margin account has decreased by $2,052.
a. To calculate the theoretical futures price, we need to add the cost of carry to the current spot price. Since the Brandex stock pays no dividends, the cost of carry is simply the risk-free rate of 4% per year. Thus, the futures price should be:
F = \(S*(1+r)^T\)
where F is the futures price, S is the spot price of the stock, r is the risk-free rate, and T is the time to delivery in years.
Plugging in the numbers, we get:
F = $130*\((1+0.04)^1\)
F = $135.20
Therefore, the theoretical futures price should be $135.20
b. If the Brandex price drops by 1%, the new spot price will be:
S' = $130*(1-0.01)
S' = $128.70
To calculate the new futures price, we repeat the formula above with the new spot price:
F' = $128.70*\((1+0.04)^1\)
F' = $134.04
The change in the investor's margin account is equal to the change in the futures price times the contract size, or:
Change in margin account = (F' - F)*1,800
Change in margin account = ($134.04 - $135.20)*1,800
Change in margin account = -$2,052
Since the futures price has decreased, the investor's margin account has decreased by $2,052.
c. To calculate the percentage return on the investor's position, we need to take into account both the change in the futures price and the initial margin requirement. The initial margin requirement is $11,400, which represents 10% of the contract value:
Contract value = 1,800*$130 = $234,000
Initial margin requirement = 10%*$234,000 = $11,400
The investor's position is long the futures contract, so the percentage return is:
Percentage return = (change in futures price*contract size)/initial margin requirement
Plugging in the numbers from part (b), we get:
Percentage return = (-$1.16*1,800)/$11,400
Percentage return = -0.18 or -18%.
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What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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Which of the following businesses describes a branch?
A. CarCity is a car dealership that is old by a large company but operated by a group.
B. Easy as Fries, a fast-food restaurant, is operated by one person but still owned by a large company.
C. Photo Finish, a sports photography business, has many locations that are owned an operated by the company.
D. Hit the books, a Tutoring business, has one location in San Diego, California
Photo Finish, a sports photography business, has many locations that are owned an operated by the company is the businesses describes a branch. Hence, option C is correct.
What is meant by photography business?A variety of services are offered by professional photography studios, including portraiture, commercial photography, event photography including weddings, family gatherings, bar mitzvahs, and more, convention photography, and more.
Their creativity, which is the art or process of making images by the influence of radiant energy, particularly light, on a sensitive surface, is expressed through shades, tones, smiles, joy, and even sadness.
To start, you can increase brand awareness by including brand-specific colors in your images. Additionally, your image might inspire bto take action. Good pictures elicit an emotion. Within that attitude, an emotion develops, which inspires potential customers to become clients.
Thus, option C is correct.
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The seller of the house typically pays the
a. real estate agent's commission.
b. loan application fee
c. appraisal fee.
d. title search and insurance.
The seller of the house typically pays the real estate agent's commission. Therefore, the correct answer is option a.
When a property is sold, there are various costs and fees associated with the transaction. While the specific allocation of costs can vary depending on negotiations and local customs, there are some common practices regarding who typically pays certain fees.
One of the significant expenses in a real estate transaction is the real estate agent's commission. In most cases, it is the seller who pays the real estate agent's commission. The commission is typically a percentage of the final sale price of the property and is negotiated between the seller and the listing agent.
The real estate agent's commission is meant to compensate the agent or agency for their services in marketing, advertising, and facilitating the sale of the property. The commission is typically shared between the listing agent (the agent representing the seller) and the buyer's agent (the agent representing the buyer).
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If a company purchased 10,000 shares of treasury stock for $50 and subsequently sold 3,000 of those shares for $56, what is the remaining treasury stock balance after these transactions
how long do you have to wait to take the gre again
The policies regarding how long you have to wait to retake the GRE (Graduate Record Examination) can vary.
As of my knowledge cutoff in September 2021, the GRE can be taken once every 21 days, up to five times within any continuous rolling 12-month period. However, it's important to note that policies and guidelines related to standardized tests like the GRE can change over time, so it's best to verify the most up-to-date information on the official website of the Educational Testing Service (ETS),
the organization that administers the GRE. It's recommended to check the ETS website or contact ETS directly for the most accurate and current information regarding the waiting period and retake policies for the GRE. They can provide you with the specific guidelines and any recent updates related to retaking the exam.
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Scenario: You are the CEO of ABC Medical Center. Your facility has just purchased a very expensive and comprehensive EHR system. You must now convince the staff of the merits and functionality of the new system. You want to convince the staff that the new system is a help to them and obtain their buy-in on using the system.
The presentation should address the staff and discuss all of the functions and advantages of the new system, including enabling increased engagement and interaction with patients and allowing the use of various social media tools in communication.
The content should focus primarily on the use of peripheral technology; for example: o The use of social media to broadcast health information (e.g., smoking cessation, compliance with medications).
The advantages of the Personal Health Records Tool (e.g., MyChart).
M-Health technology (e.g., mobile phone apps).
The new EHR system at ABC Medical Center provides numerous functions and advantages, including increased engagement and interaction with patients, as well as the ability to utilize social media tools in communication. It also offers the benefits of a Personal Health Records (PHR) tool like MyChart.
Additionally, the system incorporates a powerful Personal Health Records (PHR) tool called MyChart. This tool empowers patients by giving them secure and convenient access to their health information, including lab results, medication lists, and appointment schedules. With MyChart, patients can actively participate in their own care, request prescription refills, schedule appointments, and engage in virtual visits, enhancing convenience and efficiency in their healthcare journey.
By embracing these functionalities, we can streamline our operations, improve patient outcomes, and enhance overall satisfaction. The new EHR system enables us to harness the power of social media and leverage technology to provide exceptional care to our patients. Let us embrace this new technology together and capitalize on its full potential to deliver outstanding healthcare services.
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you purchase two microsoft november $140 put contracts for a premium of $3.70. what is your maximum possible profit? assume each contract is for 100 shares.
Your maximum possible profit, given the put contracts and the premium, would be $13, 630
How to find the maximum possible profit?When you purchase a put contract, the maximum possible profit can be found by subtracting the premium of one put contract from the strike price of the put contract.
The maximum possible profit for this contract on Microsoft is:
= ( Strike price on put - Premium)
= 140 - 3.70
= $136.30
The maximum profit possible is:
= Maximum profit per contract x Number of shares per contract
= 36.30 x 100
= $13, 630
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A PLACE WHERE WEALTH IS DETERMINED BY YOUR DECISIONS AND NOT WHO YOUR
PARENTS ARE IS CALLED WHAT?
Answer:
maybe a cast system?
Explanation:
im probably wrong
PLEASE HELP AHH- KS Perez pays 12% average tax rate on gross pay in federal taxes. KS also pays $100 into a 401(k) retirement fund each pay period and pays a $200 per-pay-period contribution to an employer-subsidized health insurance policy. complete KS’s earnings statement below. Round your answer to the nearest dollar.
Completing KS Perez's earnings statement are as follows:
Gross pay this period = $2,000
Gross pay YTD = $52,000
Federal Income Tax = $9,724
Virgin Income Tax = $2,284
FICA Social Security = $2,740
FICA Medicare = $641
Adjusted Gross Income = $44,200
Other Deductions:
Health Insurance = $5,200
401 Contributions = $2,600
Total other deductions = $7,800
Data and Calculations:
Hourly rate = $25
Hours worked per pay period = 80 hours
Bi-weekly earnings =$2,000 ($25 x 80)
Year to date total gross income = $52,000 ($2,000 x 52/2)
Federal Income Tax Rate = 22% = $9,724 ($44,200 x 22%)
Virginia Income Tax Rate = $720 + 5.75% over $17,000
= $720 + ($27,200 x 5.75%)
= $2,284 ($720 + $1,564)
FICA Social Security = 6.2% = $2,740 ($44,200 x 6.2%)
FICA Medicare = 1.45% = $641 ($44,200 x 1.45%)
Other Deductions:
Health Insurance = $5,200 ($200 x 26)
401 Contributions = $2,600 ($100 x 26)
Total other deductions = $7,800 ($5,200 + $2,600)
Adjusted Gross Income = $44,200 ($52,000 - $7,800)Thus, the adjusted gross income of KS Perez for the year is $44,200.
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