Falling Boxes On January 31 , an improperly stacked box fell from the top shelf of a warehouse, injuring an employee. The employee was hit, fell, and broke his wrist. Your company self-insures for the risk of such incidents rather than paying an insurance company to absorb the risk of such claims. The employee has been treated for his injuries and has retained a lawyer. The lawyer has not yet filed a formal claim with the company. According to your internal risk management team, the amount of claim likely to be sought by the employee could range between $50,000 and $300,000. Is your company required to record a liability for this incident? When, and for what amount? What disclosures are required, if any? You are the corporate accountant for this company and asked by your supervisor to draft a memo analyzing the above issues.

Answers

Answer 1

In the case of the improperly stacked box incident that resulted in an employee injury, the company is required to record a liability. The exact timing and amount of the liability depend on the information available and the likelihood of a claim being filed. Potential disclosures may be required to provide information about the incident and its financial impact.

Given that the employee has retained a lawyer and a claim is likely to be sought, it is necessary for the company to record a liability. A liability should be recognized when it is both probable that a future sacrifice of economic benefits will be required and the amount can be reasonably estimated. In this case, the potential claim amount ranges from $50,000 to $300,000 as assessed by the internal risk management team.

The specific timing of recording the liability depends on when it becomes probable that a claim will be filed. If there are indications that the employee's lawyer intends to file a formal claim, the liability should be recorded at that point. The amount recorded should be the best estimate within the range provided by the risk management team, taking into consideration factors such as legal advice and historical experience with similar incidents.

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Related Questions

__________ is the amount by which the predicted value differs from the observed value of the time series variable.a. Mean forecast errorb. Smoothing constantc. Mean absolute errord. Forecast error

Answers

Forecast error is the amount by which the predicted value differs from the observed value of the time series variable.

Mean forecast error is the average of all forecast errors, while mean absolute error is the average of the absolute values of all forecast errors. Smoothing constant refers to the weight given to the most recent observation in a time series forecasting method.

Mean absolute error (MAE) is a common method used to calculate forecast error. It is the average of the absolute values of the forecast errors, and it provides a measure of the average magnitude of the errors. A smaller MAE indicates a more accurate forecasting model.

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The best reason to record income at the top of a budget is
a. to easily add expenses to it.
b. to know how much money is available.
c. to avoid spending too much money.
d. to see that is is more important than expenses.

Answers

A. To easily add expenses to it

B) To know how much money is available.

You can clearly see how much money you have available to spend or save by listing revenue at the top of a budget.

Making judgments on how to divide your money and prioritize your expenses requires knowledge of this information.

You may see how much money is available to cover your bills, pay off debts, and save for the future by putting revenue at the top of your budget.

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Tracey decides to lease a car for two years. She puts $0 money down and pays $209.15 per month. At the end of the lease, Tracey can buy the car for $11 000. The selling price of the car today is $13 500. What is the total cost of the car if Tracey buys it at the end of the lease?

Answers

Answer:

$16,019.6

Explanation:

The amount of money Tracey puts down for the car = $0

The amount Tracey pays each month for the lease the car = $209.15

The number of years Tracey leases the car = 2 years

The amount at which Tracey can buy the car at the end of the lease, Pp = $11,000

The selling price of the car today = $13,500

The total amount Tracey pays while leasing the car for two years, L = $209.15/month × 2 years × 12 months/year = $5,019.6

The total cost of the car if Tracey buys it at the end of the lease, C = Pp + L

∴ C = $11,000 + $5,019.6 = $16,019.6

The total cost of the car if Tracey buys it at the end of the lease, C = $16,019.6.

Julio is writing a business proposal on the advantages of an open work environment. He has done a lot of research on the topic from professionals and is trying to convince his manager that it would benefit their team. The best way for Julio to avoid plagiarism on a documentwide level is by: ___________

a. changing the words from the sources to alter the meaning.
b. using direct quotations or verbatim restatements from his sources.
c. significantly altering the original words and sentence structure of his sources.
d. supplying his own original ideas, conclusions, and recommendations.
e. combining information from two sources.

Answers

The best way for Julio to avoid plagiarism on a document wide level is by: d. supplying his own original ideas, conclusions, and recommendations.

Plagiarism means copying or using another person ideas as yours without the owner permission.

Julio should create enough time for himself when writing the business proposal so as to supply his own original idea to his managers as this will enable him to avoid plagiarism.

He should endeavor to create his own conclusion as well as recommendation when writing the business proposal rather than using another person ideas or work.

Inconclusion the best way for Julio to avoid plagiarism on a document wide level is by: d. supplying his own original ideas, conclusions, and recommendations.

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the result of two firms (usually corporations) combining to form one company is called a

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The result of two firms combining to form one company is called a merger. In a merger, two or more companies merge their operations and assets to create a new, larger company.

The goal of a merger is often to achieve economies of scale, increase market share, and gain a competitive advantage.

There are several types of mergers, including horizontal mergers, where two companies in the same industry merge, vertical mergers, where a company acquires a supplier or distributor, and conglomerate mergers, where two companies in unrelated industries merge.

Mergers can be friendly, with both companies agreeing to the merger, or hostile, where one company makes a bid to acquire the other company without the agreement of the target company's management.

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Documents of Trade

Fill in the blanks.

A customer sends a/an __________ to a trader asking for a/an __________ , which
gives details of the goods on offer. The customer then studies the __________and places a/an __________. When the goods are sent a/an __________ may be sent with them followed by the __________, which shows the amount owed.

Words: Letter of Enquiry; Quotation; Order; Delivery note; Invoice; Statement of Account; Receipt; Credit Note

Answers

Answer:

Here's ur answer

Explanation:

letter of enquiryQuotationreceiptorderdelivery notecredit note

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assume a monopolist's marginal cost and marginal revenue curves intersect and the demand curve passes above its average total cost curve. the firm will:

Answers

Answer:

The firm will continue producing and maximizing its profit.

Explanation:

When a monopolist's marginal cost and marginal revenue curves intersect and the demand curve passes above its average total cost curve, the monopolist is in a profitable situation. At this point, the monopolist can continue producing and maximizing its profit.

The intersection of the marginal cost and marginal revenue curves determines the optimal level of output for the monopolist. As long as the price at that level of output exceeds the average total cost, the monopolist is generating profit. The monopolist will continue producing and selling the quantity that maximizes its profit.

In this scenario, the monopolist has market power and can set the price above the marginal cost, leading to a markup and generating economic profit. However, it's important to note that this situation represents a theoretical ideal for a monopolist and may not reflect the real-world complexities of markets. In practice, market conditions, competition, and other factors can affect a monopolist's ability to maintain such a position of profitability

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definition of trade-offs?

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Answer:

Economics is all about tradeoffs. A tradeoff is loosely defined as any situation where making one choice means losing something else, usually forgoing a benefit or opportunity. We experience tradeoffs in zero-sum situations, when a plus in one area must be a negative in anothe

Explanation:

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a project has sales of $300,000, costs of $200,000, depreciation of $60,000, interest expense of $4,000, and a tax rate of 21 percent. what is the value of the depreciation tax shield?

Answers

The value of the depreciation tax shield is (C) $12,600.

What is depreciation?

An asset loses value over time as a result of use, damage, or obsolescence.

Depreciation is the measurement of this decline.

Depreciation, or a decline in asset value, can be brought on by a variety of other variables, such as bad market conditions, etc.

So, the value of the depreciation tax shield:

The depreciation tax shield formula:  Depreciation Tax Shield = Depreciation Expense * Tax Rate %

Now, substitute values and calculate as follows:

Depreciation Tax Shield = Depreciation Expense * Tax Rate %

Depreciation Tax Shield = 60,000 * 0.21

Depreciation Tax Shield = $12,600

Therefore, the value of the depreciation tax shield is (C) $12,600.

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Complete question:
A project has sales of $300,000, costs of $200,000, depreciation of $60,000, interest expense of $4,000, and a tax rate of 21 percent. what is the value of the depreciation tax shield?

a. $47,400

b. $24,800

c. $12,600

d. $38,800

Which of the following is a benefit of a bank?
A. You can get your cash quickly and easily.
B. A bank is insured by the federal deposit insurance corporation
C. You assets are safe from theft, loss, and fires
D. All the above

Answers

Answer:

D

Explanation:

Answer:

D. All the above

Explanation:

with the aid of a fully labeled graph, explain why firms under perfect market conditions cannot make economic profit in the long run​

Answers

In a perfectly competitive market, firms cannot make economic profit in the long run due to the presence of free entry and exit. This can be illustrated in a graph:

The horizontal axis represents the quantity of output produced, and the vertical axis represents the price and cost. The demand curve (D) and the marginal revenue curve (MR) are perfectly elastic, reflecting the large number of buyers and sellers in the market.

The average total cost (ATC) and the marginal cost (MC) curves are U-shaped, indicating economies of scale at low levels of output and diminishing returns at higher levels.

In the long run, if firms are making economic profit (represented by the gap between ATC and MR), new firms are attracted to the industry due to the absence of barriers to entry. As new firms enter, the supply curve (S) shifts to the right, increasing market competition.

As more firms compete, the price decreases until it reaches the minimum average total cost (ATC) of the firms in the industry. At this point, firms earn only normal profit, where the ATC intersects with the MR curve, indicating zero economic profit.

Therefore, under perfect market conditions, firms cannot make economic profit in the long run as free entry and exit eliminate any excess profits, ensuring that the market reaches a state of equilibrium where all firms earn only normal profit.

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What is the key differentiating factor of competitive market intelligence?Select one:a. It involves short term researchb. It is essential to a marketing planc. It is an ongoing process without any specific data need requirementsd. It is used to analyze competitors within an industrye. It is not used within the operations sector of a business

Answers

Answer:  The key differentiating factor of competitive market intelligence is: d. It is used to analyze competitors within an industry. This process helps businesses understand their competitors' strategies, strengths, and weaknesses, enabling them to make informed decisions and maintain a competitive edge.

The term "key" can have multiple meanings depending on the context. It can refer to a physical object used to unlock or secure something, such as a door key or a cryptographic key used in data security. In a figurative sense, "key" can signify importance, significance, or essentiality. For example, a key factor is a critical element that strongly influences an outcome or result. In music, a key is a specific set of pitches or tonality that defines a piece of music. Additionally, "key" can denote a solution, answer, or secret to a problem or mystery. It

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Select all of the benefits to buying a home.

Select all of the benefits to buying a home.

Answers

Answer:

The value of the home generally increases over time

The quality of your home increases

Once the mortgage is paid in full you own the home

You can make improvements in the place

what is business development ​

Answers

Tasks and processes to help develop and implement growth opportunities within organizations

there are two main categories of evaluation questions. one type helps you make improvements. what does the other type help you do?

Answers

The other type of evaluation questions helps you assess the effectiveness or outcomes of a program or intervention.

Evaluation questions can be broadly categorized into two types: formative and summative. While formative evaluation questions focus on making improvements and refining a program, summative evaluation questions are aimed at assessing the overall effectiveness and outcomes of a program or intervention.

Formative evaluation questions guide the process of program development and implementation. They help identify areas for improvement, gather feedback, and make necessary adjustments during the program's implementation phase. These questions focus on understanding what is working well, what needs improvement, and how to enhance the program to achieve better results. By addressing formative evaluation questions, organizations can iteratively refine their programs to ensure they meet their goals and objectives.

On the other hand, summative evaluation questions assess the impact and outcomes of a program or intervention. They aim to determine the overall effectiveness, success, and impact of the program. Summative evaluation questions often involve measuring outcomes, such as changes in knowledge, behavior, or quality of life, and assessing whether the program has achieved its intended goals. The answers to these questions provide valuable insights into the program's overall effectiveness and inform future decision-making and resource allocation.

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Final answer:

The second main category of evaluation questions, besides those aiding in making improvements, is intended to assess understanding and mastery. This includes Review Questions, which test basic knowledge and recall, and Critical Thinking Questions, which require application and analysis of learned information.

Explanation:

There are indeed two main categories of evaluation questions. One type, as you mentioned, aids in making improvements. The other type, however, is intended to assess overall understanding and mastery of the subject matter. This category of evaluation questions often includes Review Questions and Critical Thinking Questions.

Review Questions are simple recall questions that test a student's ability to remember and reproduce content that has been explicitly taught. They provide an opportunity for students to demonstrate their basic knowledge of a topic, and the answers to these questions can be directly referenced in the teaching materials.

On the other hand, Critical Thinking Questions are higher-level questions that require students to apply, analyze, and synthesize the information they have learned in different contexts. These questions go beyond simple recall and challenge students to engage with the material on a deeper level, demonstrating their comprehensive understanding of the topics covered.

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⚠︎IF SOMEONE SHARES A LINK DO NOT GO TO IT! IT WILL DOWNLOAD A VIRUS!⚠︎

ok have a good day ❀

Answers

Answer:

tank us.

Explanation:

IF SOMEONE SHARES A LINK DO NOT GO TO IT! IT WILL DOWNLOAD A VIRUS!ok have a good day

ame
45
D
Chapter 11
Question 1
Page
+
ance High School Edition
7.7 pts
What percent of the employee's paycheck is deducted for taxes and other expenses?
(Round to the nearest whole number)

Answers

The percent of the employee's paycheck which is deducted for taxes and other expenses is 16. 7 %

How to find the percentage ?

The question shows that the amount earned by the employee each month is $ 3, 500.

Out of this amount of $ 3, 500, the employee pays for taxes and other expenses through deductions to the tune of $ 585.

The percentage of their income which is taken for taxes and expenses is:

= 585 / 3, 500 x 100 %

= 0.16714285714285714285714285714286 x 100 %

= 16. 7 %

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Full question is:

An employee for a transnational company is paid $ 3, 500 per month and out of this, they get deductions for tax and other expenses costing $ 585.

What percent of the employee's paycheck is deducted for taxes and other expenses?

How many FTE employees would be required to staff ten 8-hour positions that require coverage 7 days a week? A. 10.0 B. 14.0 C. 14.4 D. 15.5.

Answers

The number of FTE employees would be required to staff ten 8-hour positions that require coverage 7 days a week is 10 (option a).

Firstly, it is important to understand what an FTE employee means. A Full-Time Equivalent employee is a term used to describe the number of employees needed to work full-time hours in a given position.

This means that we need a total of 80 hours of coverage per day (10 positions x 8 hours per position). Since there are 24 hours in a day, we would need three employees to cover the full 24 hours (3 employees x 8 hours per employee = 24 hours).

However, since we need coverage for all 7 days of the week, we would need to multiply the number of employees required by 7. Therefore, the total number of employees required would be

=> (3 x 7) - 1 = 20.

However, the question is asking for the number of FTE employees required, not the total number of employees. Since each employee is working 8 hours per day, they would be considered as 0.5 FTE employees (8 hours per day / 16 hours per day for a full-time employee). Therefore, the total number of FTE employees required would be

=> 20 x 0.5 = 10.0.

So, the correct option is (a).

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Which of the following is a correct explanation regarding Method Acting?
a. Method Acting is still at work even in animated features like Wall-E (2008).
b. Actors execute method acting primarily by revealing the discrepancy between what they say and what they feel.
c. Lawrence Olivier presented a Method-Acting-style performance in Marathon Man (1976).
d. Hollywood actors began to practice Method Acting as early as the 1910s.

Answers

The correct explanation regarding Method Acting is option d. Hollywood actors began to practice Method Acting as early as the 1910s. Actors such as Marlon Brando, James Dean, and Montgomery Clift were known for employing Method Acting techniques in their performances during this time.

Method Acting is a technique used by actors to create authentic and emotionally realistic performances. It originated in the early 20th century and gained popularity in the American film industry, particularly in Hollywood. Option d is correct because Method Acting was indeed practiced by Hollywood actors as early as the 1910s. Actors such as Marlon Brando, James Dean, and Montgomery Clift were known for employing Method Acting techniques in their performances during this time.

Option a is not entirely accurate because while Method Acting principles can influence performances in animated features like Wall-E, the actual practice of Method Acting involves actors immersing themselves in their characters' emotions and experiences, which may be less relevant in animated productions.

Option b is a partial explanation of Method Acting as it highlights the importance of emotional authenticity, but it does not encompass the full scope of the technique.

Option c is incorrect as Lawrence Olivier was known for his classical acting style, which contrasted with Method Acting. His performance in Marathon Man (1976) did not align with Method Acting principles.

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In the context of global marketing, which of the following best represents a defensive goal?

Question 6 options:

A)

A fast food chain planning to improve its overall market position across different nations by catering to the local needs of each nation
B)

An automobile manufacturer planning to go overseas in the hopes of increasing its sales revenue
C)

An American entertainment company's desire to secure technological innovation developed in France
D)

An Italian multiplex corporation aiming to increase its long-term growth and profit prospects by expanding its services to other nations

Answers

A defensive goal in global marketing is focused on protecting and maintaining a company's current position in the market, rather than aggressively expanding or increasing market share: (A) A fast food chain planning to improve its overall market position across different nations by catering to the local needs of each nation.

Out of the options given, the one that best represents a defensive goal is option A: a fast food chain planning to improve its overall market position across different nations by catering to the local needs of each nation.

This approach shows a commitment to understanding and adapting to local markets, which can help the company maintain its position in the face of local competitors.

While options B, C, and D all involve expanding into new markets or pursuing new opportunities, they do not necessarily represent a defensive approach to global marketing.

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1.1 Which statement best describes financial accounting …

A. Reports are prepared for managers and users inside the organisation

B. Provides a scorecard by which the past performance of a business is judged in

the form of financial statements which are used by stakeholders outside the

organisation

C. Conduct an official financial inspection of a company or its accounts

D. A and B only

E None of the above​

Answers

I’m not sure but I am thinking is B or C but if they are then I’m sorry :(

hedge funds have a minimum investment requirement, with the typical minimum investment being $1 million. true or false

Answers

Hedge funds have a minimum investment requirement, with the typical minimum investment being $1 million.. False.

While hedge funds often have minimum investment requirements, the typical minimum investment is not necessarily $1 million. The minimum investment requirement can vary widely depending on the specific hedge fund and its investment strategy. Some hedge funds may have minimums in the millions, while others may have lower minimums in the hundreds of thousands or even lower. It is important to note that these minimums are set by individual hedge funds and can be subject to change. Investors interested in hedge funds should research and consult with the specific fund to determine its minimum investment requirements.

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Which sentence best completes the diagram?

A. Investors are more likely to purchase bonds.
B. Investors are less likely to purchase bonds.
C. Banks are less likely to lend money.
D. Banks are more likely to lend money.

Which sentence best completes the diagram?A. Investors are more likely to purchase bonds.B. Investors

Answers

When a central bank raises interest rates on reserves, C. Banks are less likely to lend money.

What are the effects of increased interest rates on reserves?

Increased interest rates affect reserves by discouraging banks from lending.

When interest rates increase, they cause:

A decrease in inflationGoods and services become more expensiveBorrowing money becomes more costly.

Thus, when a central bank raises interest rates on reserves, C. Banks are less likely to lend money.

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if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of

Answers

The interest earned after two years $70.28177.

This is the foremost basic variety of account you'll be able to open at any bank. A savings account, by definition, permits you to deposit your cash, safe with the bank, thus you do not have to be compelled to carry it around with you or hide it in this rusty recent steel safe reception. don't fret, you'll be able to withdraw these funds after you want them.

The interest rate is that the quantity a loaner charges a receiver and could be a share of the principal—the quantity loaned. The charge per unit on a loan is usually noted on an annual basis referred to as the annual share rate (APR).

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if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of the interest earned after two years?

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the outcome of an unbias sample ______ is to the outcome from the population

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Unbiased sample results are probably similar to population results.

An objective representative sample of the population is what?

An objective depiction of the entire population is what a random sample is supposed to be. It is considered a fair way to choose a sample from a larger population (since every member of the population has an equal chance of getting selected).

What is the name for unbiased sample selection?

As part of the sampling technique known as random sampling, every sample has an equal chance of being chosen. A randomly selected sample is intended to be a fair reflection of the entire population.

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Imagine that you performed a nail enhancement on a client and made a mistake—you cut living skin and injured them, you applied tips that were too wide or narrow, you soaked their hands too long in acetone, etc. How would you handle a situation like this that involved a disgruntled, injured, or very upset client? What would you do to try and appease the client, fix your mistake, and avoid losing future business from this client?

Answers

Answer: Personally I would offer a refund on the nails that they are currently getting, and or giving them a free nail appointment next time they come and make sure that all things are clean safe and ready to use for him/her next time him/she comes

Explanation:

Jason is an ancient history lover. He wants to share his knowledge on social media, but he does not think that video platform will work well since he cannot afford to travel to many of the places that have the ruins he wants to share information about. What would be the best social media platform to provide information show pictures of these places?

Answers

The best social media platform where Jason can share his knowledge and provide information and show pictures of these places is where common people and his friends near and all over can connect with him and can be friends with him on that networking site.

What is social media?

Social media refers to the means of interactions among people in which they create, share, and/or exchange information and ideas in virtual communities and networks. We offer an array of tools, including one-on-one consults with schools, departments and offices looking to form or maintain an existing social media presence to discuss social media goals and strategy, as well as offer insights and ideas.

Before creating any social media account, we must submit the Account Request Form.

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Usd 1.725 for 1 gbp usd 0.645 for 1 chf gbp 0.365 for 1 chf the three steps which will create triangular arbitrage profit are as follows: first step, convert ____; second step, convert _______, and third step, conve

Answers

In order to create triangular arbitrage profit, the steps are:

Convert USD to GBPConvert GBP to CHF Convert CHF to USD.

What are the steps to create triangular arbitrage?

The amount that you get when you convert USD directly to CHF is $0.645.

But, if the USD was first converted to GBP and then to CHF, and back to USD, the amount would be:

= 1/1.725

= GBP 0.58

GBP to CHF:

= 0.58 / 0.365

= 1.588 CHF

CHF to dollar:

= 1.588 x 0.645

= $1.024

Which gives a profit of:

= 1.024 - 1 originally invested

= $0.024

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A Feather Friends, Inc., distributes a high-quality wooden birdhouse that sells for 20 per unit. Variable costs are 8 per unit, and fixed costs total 180,000 per year. Answer the following independent questions:
(e) Refer to the original data. Assume that the company sold 18,000 units last year. The sales manager is convinced that a 10 % reduction in the selling price, combined with a 30,000 increase in advertising, would cause annual sales in units to increase by one-third. Prepare two contribution format income statements, one showing the results of last year's operations and one showing the results of operations if these changes are made. Would you recommend that the company do as the sales manager suggests?

Answers

Calculation of this year’s operating income

Calculation of this year's operating inc

Sales                              20000*1.25*(20*(1-0.1))          $450,000

Variable expenses        20000*8*1.25                         $200,000

Contribution margin                                                      $250,000

Fixed expenses             180000+30000                      $210,000          

Net operating income                                                    $40,000          

Thus, this year’s net operating income would be $40,000.

Working note

Calculation of units sold last year.

Units sold = Total sales revenue-Sale price per unit =$400,000 - $20 =20,000.

Operating income refers to the company's adjusted earnings after deducting all operating expenses and depreciation. Operating expenses or operating expenses are simply the costs incurred to keep a business running. Operating profit - also known as operating profit - is the result of subtracting a company's operating expenses from its gross profit.

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4) Activity 5: Check for ONE Make Your Stand: After graduation you decide to establish your own business. How will you organize it given the life cycle below? 1, Birth 2. Youth 3. Midlife 4. Maturity​

Answers

The business lifecycle can be defined as the phases that a business goes through since its conception. It is important that when opening your own business, you understand the phases of the business life cycle to better understand the business and develop strategies to help the business succeed.

1. Birth:

It is the stage where the business is created. In this phase, the company's facilities must be organized, strategic planning, hiring employees, buying stocks and publicizing the inauguration.

2. Youth:

At this stage, the business is becoming known in the market and is starting to generate positive financial results. It is a phase where the focus must be on customer loyalty and on the balance between expenses and income.

3. Middle age:

It is the phase where the business already has a clientele and has already conquered its market share, in this phase the quest is to ensure greater positioning and market leadership.

4. Maturity:

The company has already conquered a loyal clientele and supports itself, in this phase that can last for decades, the business is already consolidated and positioned. The focus therefore must be on maintaining market leadership and differentiation from competitors.

Therefore, the business lifecycle will help the entrepreneur to better manage and control market situations that directly impact the business.

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Other Questions
what is 8 times 7.................. Superfoods are to human bodies as superheroes are to cities in danger? The meaning of the article if an exchange of similar assets has commercial substance, a.a loss must be recorded on the sale. b.the exchange has special rules unlike the sale of a regular fixed asset. c.the exchange is accounted for similar to that of a sale of a fixed asset. d.a loss or gain is not recorded. Define the underlined word as it is used in the sentence. Although my dad can go into a rage quite easily, my moms moods are incredibly stable. Carl is doing a documentary on modern art. He hates the color orange, so he leaves out all of the orange pieces from the art examples in his documentary. What type of bias is the film maker showing?bias by colorbias by placementbias by omissionbias by word choice what chapter in the great gastby is it reveaed that gastby threw lavush parties just to get daisy attention question 3 (10 points) PLEASE HELP HELP HELP HELP Stimulus outside normal limits triggers a response that opposes or negates the stimulus is called _____ researchers might expose a baby to an image of a face until they become bored and look away. and then present a new image to attract the babys attention. this is a study of __________. Describe the structure of heart with the help of labelled diagram. Solve for C. pleaseeeeee Analyze the reaction of solid magnesium and water. Which pair of reactants and products in the table below represent the correct balanced equation for the reaction? ill give brainlist if someone can help me with this question A sample of nitrogen gas inside a sealed container with a volume of 6.0 liters and temperature of 100 K exerts a pressureof 1.50 atm. What pressure will be exerted by the gas if the volume is decreased to 2.0 liters and the temperaturedecreases to 75 K?A. 3.4 atm B. 0.22 atm C. 1.5 atm D. 3.0 atm the student wants to have enough money saved in five years to pay the tuition and fees for her first two years of college. based on the table, what is the minimum amount she should deposit in the savings account every month? who were invloved in the Battle of Bunker Hill When it comes to preventing fraud, CFOs are in a position of ethical _____. Write the following queries in SQL, using the university schema. (You should actually check the queries you write on the database.)(a) to find the names of all instructors whose salary is more than the 90% of the department average salary.(b) for each course section offered in 2009, find the average total credits (tot cred) of all students enrolled in the section, if the section had at least 2 students(c) to insert into instructors those students who have earned more than 140 credits with salary 90000 to their respective departments.(d) to raise salary of instructors by 10% unless the salary becomes greater than 90,000; in such cases, give only a 3% raise.(e) to delete all instructors whose salary is less than half of the average salary of all instructors.This is the schema:create table classroom(building varchar(15),room_number varchar(7),capacity numeric(4,0),primary key (building, room_number));create table department(dept_name varchar(20),building varchar(15),budget numeric(12,2)check (budget > 0),primary key (dept_name));create table course(course_id varchar(8),title varchar(50),dept_name varchar(20),credits numeric(2,0)check (credits > 0),primary key (course_id),foreign key (dept_name) references departmenton delete set null);create table instructor(ID varchar(5),name varchar(20) not null,dept_name varchar(20),salary numeric(8,2) check (salary > 29000),primary key (ID),foreign key (dept_name) references departmenton delete set null);create table section(course_id varchar(8),sec_id varchar(8),semester varchar(6) check (semester in ('Fall','Winter', 'Spring', 'Summer')),year numeric(4,0) check (year > 1701 and year < 2100),building varchar(15),room_number varchar(7),time_slot_id varchar(4),primary key (course_id, sec_id, semester, year),foreign key (course_id) references courseon delete cascade,foreign key (building, room_number) referencesclassroomon delete set null);create table teaches(ID varchar(5),course_id varchar(8),sec_id varchar(8),semester varchar(6),year numeric(4,0),primary key (ID, course_id, sec_id, semester,year),foreign key (course_id,sec_id, semester, year)references sectionon delete cascade,foreign key (ID) references instructoron delete cascade);create table student(ID varchar(5),name varchar(20) not null,dept_name varchar(20),tot_cred numeric(3,0)check (tot_cred >= 0),primary key (ID),foreign key (dept_name) references departmenton delete set null);create table takes(ID varchar(5),course_id varchar(8),sec_id varchar(8),semester varchar(6),year numeric(4,0),grade varchar(2),primary key (ID, course_id, sec_id, semester,year),foreign key (course_id,sec_id, semester, year)references sectionon delete cascade,foreign key (ID) references studenton delete cascade);create table advisor(s_ID varchar(5),i_ID varchar(5),primary key (s_ID),foreign key (i_ID) references instructor (ID)on delete set null,foreign key (s_ID) references student (ID)on delete cascade);create table time_slot(time_slot_id varchar(4),day varchar(1),start_hr numeric(2)check (start_hr >= 0 and start_hr < 24),start_min numeric(2)check (start_min >= 0 and start_min < 60),end_hr numeric(2) check (end_hr >= 0 and end_hr = 0 and end_min < 60),primary key (time_slot_id, day, start_hr,start_min));create table prereq(course_id varchar(8),prereq_id varchar(8),primary key (course_id, prereq_id),foreign key (course_id) references courseon delete cascade,foreign key (prereq_id) references course); assignment makes integer from pointer without a cast [-wint-conversion]