Gwen and Rico have a bilateral contract. In this case, Gwen made an offer by advertising her need for a painter, and Rico accepted the offer by expressing his intention to paint the house and potentially completing the task. They have mutually agreed upon the terms, which include Gwen promising to pay Rico $1,000 for painting the house.
Once Rico has started painting, Gwen cannot unilaterally change her mind and revoke the contract. This is because Rico has already begun performing his part of the agreement based on Gwen's promise. Both parties are bound by the terms of the contract, and Gwen is obligated to fulfill her promise of paying Rico $1,000 upon completion of the painting. Reneging on the contract after Rico has commenced the work could result in a breach of contract and potential legal consequences.
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Costs for office equipment in the first year of a business can run from approximately
A 500 to $1,500.
B3,000 to $12,000.
C6,000 to $18,000.
D10,000 to $25,000.
Answer:
c
Explanation:
if it's a green technology than the answer could be c
Which of the following should show a profit in order for a financial institution to give a the company a loan
a) income statement
b) rent expense
c) accelerated depreciation
d) accounts receivable
Answer:
A I think not really sure hope this helps you
to eliminate an ad shortfall of $120 billion when the economy has an mpc of 0.75, the government should decrease taxes by
The government should reduce taxes by $40 billion in order to close a $120 billion AD gap in an economy with an MPC of 0.75.
When faced with an AS curve that slopes upward and a recessionary GDP gap of $500, the correct fiscal stimulus is to: Move the AD curve to the right by more than $500.
A change in taxes will impact GDP according to a factor called the tax multiplier. When customers can spend some of their money in the economy, the multiplier effect happens. Consumer spending and taxes are negatively correlated, therefore raising taxes will reduce it.
Real MPC = 0.75
Change in AD = tax multiplier × change in tax
120 = (-mpc/1 - Mpc) × change in tax
120 = (-0.75/1 - 0.75) × change in tax
So change in tax = -40
The adverse symbol suggests that government should be scaled back.
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One natural consequence of mastering your job can be increased _______. a. excitement b. boredom c. interest d. fear
One natural consequence of mastering the job of any individual can be increased boredom. Option b is correct.
What is boredom?Boredom is characterized by a sense of emptiness as well as frustration with that emptiness.
When a person is bored, he/she is more likely to have a short attention span and be uninterested in what's going on around the person.
Boredom of a lengthy vehicle drive, the state of being tired and restless due to a lack of interest
A person have may have feelings of apathy, nervousness, weariness or jitteriness, and the natural consequence of mastering the job can be increased boredom.
Therefore, option b is correct.
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Answer:
B: Boredom
Explanation:
One natural consequence of mastering your job can be increased _______.
a. Excitement
b. Boredom
c. Interest
d. Fear
a diversified company's business units exhibit good resource fit when:____
A diversified company's business units exhibit good resource fit when their respective resources and capabilities are aligned with the specific requirements and demand of each unit's industry or market.
Resource fit refers to the alignment between a company's resources and the needs of its business units or divisions. In the context of a diversified company, where multiple business units operate in different industries or markets, achieving good resource fit is crucial for the success and competitiveness of each unit.
When a diversified company's business units exhibit good resource fit, it means that the resources and capabilities of each unit are well-suited to meet the unique challenges and demands of their respective industries. This includes having the right mix of human capital, technology, financial resources, distribution networks, and other strategic assets that align with the specific requirements and competitive dynamics of each unit's market.
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Which sentences identity the investing activities of a cash slow statement?
Tyler Enterprises has achieved remarkable growth in the past five years. Qualified accountants have prepared and analyzed the cash flow statement to
offer financial advice to help safeguard the future of the business. It includes details of the amount of cash flowing into and out of the business. The
statement begins with the amount of revenue that the sales team has brought in. It also involves the corresponding marketing campaign costs incurred
in the promotional exhibition. The profit was declared to the shareholders in the form of dividends. The production team undertook projects that involved
installation of automatic botting machines. New dishwashers were installed in the cafeteria as part of an efficiency improvement project. The stakes of
an old division of packing material were sold off in order to concentrate solely on present business. Old investors were issued stocks when their
convertible bonds attained maturity. Some of the old machineries in the production line were sold off as scrap while rest was revamped
The sentences that identify the investing activities of a cash slow statement are - The production team undertook projects that involved installation of automatic botting machines. New dishwashers were installed in the cafeteria as part of an efficiency improvement project. The stakes of an old division of packing material were sold off in order to concentrate solely on present business. Some of the old machineries in the production line were sold off as scrap.
What are investing activities?Investing activities include the acquisition of physical assets, the purchase of securities, and the sale of securities or assets. Cash flow from investing activities includes long-term cash uses.
Negative cash flow from investing activities may not be a bad sign if management is investing in the company's long-term health.
Therefore, the sentences mentioned above identity the investing activities of a cash slow statement.
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Answer:
"The production team undertook projects that involved installation of automatic bottling machines. New dishwashers were installed in the cafeteria as part of an efficiency improvement project" and "Some of the old machines in the production were4 sold off as scrap while rest was revamped."
Explanation:
I got it right on plato
Suppose that you start off in long run equilibrium, where LRAS, SR, and AD meet altogether in one point. Explain what happens to price, real GDP, inflation, and unemployment in each of the following cases:
(a) The interest rate falls;
(b) Wage rate temporarily falls;
(c) The dollar appreciates relative to foreign currencies;
(d) Businesses temporarily expect higher resource prices in the future;
(e) Business taxes rise
(a) When the interest rate falls, it stimulates borrowing and investment, leading to an increase in aggregate demand (AD). As a result, both price levels and real GDP will rise. The increase in aggregate demand will lead to upward pressure on prices, causing inflation to increase. With increased investment and economic activity, unemployment is likely to decrease as businesses expand and create more job opportunities.
(b) If the wage rate temporarily falls, businesses' production costs decrease, leading to a decrease in their marginal cost (MC) and an increase in short-run aggregate supply (SRAS). As a result, both price levels and real GDP will increase. With lower production costs, businesses can lower their prices, which can lead to a decrease in inflation. However, the impact on unemployment depends on the elasticity of labor supply. If the wage decrease leads to a significant increase in labor supply, it could lead to an increase in employment and a decrease in unemployment.
(c) When the dollar appreciates relative to foreign currencies, it makes imports relatively cheaper and exports relatively more expensive. This leads to a decrease in net exports, reducing aggregate demand (AD). As a result, both price levels and real GDP will decrease. With decreased aggregate demand, inflation is likely to decrease. The decrease in economic activity can also lead to an increase in unemployment as businesses may reduce production and cut jobs.
(d) If businesses temporarily expect higher resource prices in the future, it can lead to an increase in their costs of production. This will result in a decrease in short-run aggregate supply (SRAS), leading to higher price levels and lower real GDP. With higher production costs, businesses may pass on the cost increases to consumers, leading to higher inflation. The impact on unemployment depends on the extent to which businesses adjust their production and hiring plans in response to the expected higher resource prices.
(e) When business taxes rise, it increases the cost of production for businesses. This leads to a decrease in short-run aggregate supply (SRAS), causing price levels to increase and real GDP to decrease. Higher production costs can lead to higher inflation as businesses pass on the tax burden to consumers. The increase in production costs may also result in businesses reducing their output and cutting jobs, leading to an increase in unemployment.
It's important to note that these are simplified explanations and the actual impact of these factors can be influenced by various other economic conditions and factors. Additionally, the magnitude and duration of the effects can vary depending on the specific circumstances and the overall state of the economy.
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Peyton earns $1,700 every other week, but only brings home $1,100 due to deductions, what is Peyton’s gross pay?
Alejandro Yago leased a Jeep for $209.00 per month for 60 months.He paid a deposit of $850.00, a title fee of $45.00, and a license fee of $60.00. The lease carried a stipulation charging $0.12 per mile for all miles over 60,000. Alejandro drove the Jeep 73,524 miles. What is the total cost of leasing the vehicle?
Answer:
$14,267.88
Explanation:
The total cost of hiring the Jeep will consist of
1). Monthly costs of leasing: $209 x 60 = $12,540
2). Title fee =$45.00
3). License fee =$60.00
4). Stipulation charging : ( 73,524 - 60,000) x $0.12
=$13,524 x $0.12
=$1,622.88
Total cost =$12,540 +$45.00 +$60.00 +$1,622.88
Total cost = $14,267.88
Design a spreadsheet that you can use to estimate how much money that you are going to have when you retire from working.
1.Draw an influence chart before you construct the model.
2.Please consider the following factors and make reasonable assumptions (on your numbers and model structure) as needed:
–When to start working
–When to retire
–Your salary, raises and other major income sources such as investment income and inheritance (if it is a possibility)
–Income taxes (simple treatment is OK, no need to be too precise)
–Regular living expenses and major life expenses such as buying a house, kids educations, etc. if it is in your plan
–Saving and investment overtime
–Other factors or life events as you see reasonable
Questions:
3. How much more money will you have if you decrease your annual regular living expenses by 5% based on your model?
4. How much more money will you have if you delay your retirement by 5 years?
A spreadsheet can be designed to estimate retirement savings based on various factors such as starting work and retirement dates, salary, income sources, expenses, and savings. By adjusting the regular living expenses and retirement age in the model, we can determine the impact on the accumulated savings.
To design the retirement savings spreadsheet, we need to consider several factors and make reasonable assumptions. First, we should input the starting work date and retirement date. Next, we can estimate the salary and assume raises over the working period. Additionally, we should account for other income sources such as investment income or potential inheritance.
To calculate the retirement savings, we need to consider income taxes, both on the salary and investment income. We can use a simplified treatment for tax calculations rather than precise figures. Regular living expenses and major life expenses like buying a house or children's education should be included in the model. By saving and investing a portion of the income over time, we can simulate the growth of savings.
We should also account for other factors or life events that may impact savings, such as career changes, health-related expenses, or unexpected windfalls. By adjusting these variables in the spreadsheet, we can assess their influence on the overall retirement savings.
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What decision did a London Court Reach In this case?
Answer:
A.
Explanation:
I did B from the person above and got it wrong and it said that A was the answer :)
Answer:
A. The writing of The Da Vinci Code did not violate copyright law.
Explanation:
Right on ED2021, goodluck!
What is one way to overcome imposter syndrome?
A. Use imagination and visualization to find your natural talents.
B. Remind yourself that you worked hard for the success you
achieved.
OC. Compare yourself to those who are better than you at a specific
skill.
D. Identify with members of a group who you perceive are like you.
Overcoming imposter syndrome can be challenging, but one approach is to, remind yourself that you worked hard for the success you achieved. Option B
What is Imposter syndrome i about?Imposter syndrome is a common phenomenon where an individual feels like a fraud, doubting their abilities and accomplishments despite evidence of their competence.
Acknowledge and give yourself credit for the hard work, effort, and skills you've acquired to achieve success. Recognize that everyone makes mistakes and experiences setbacks, but that doesn't diminish their abilities or accomplishments. Focus on your strengths and the value you bring to the table, rather than comparing yourself to others.
Over time, you can gradually build your confidence and self-esteem by continuously reminding yourself of your achievements and your ability to grow and learn.
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with a matched funding technique, portfolio managers try to match specific liability obligations due at specific times to a portfolio of bonds that minimize the portfolio's interest rate risk.
The following statement "With a matched funding technique, portfolio managers try to match specific liability obligations due at specific times to a portfolio of bonds that minimize the portfolio's interest rate risk" is true.
A portfolio plan serves as a road map for achieving your financial objectives. It is a strategy that aids in maximizing your investment results. In order to optimize their profits, investors employ a variety of portfolio methods. Typically, this entails making investments in a variety of valuable assets, including dividends and excellent wine.
The active strategy and the passive approach are two different sorts of portfolio strategies. A fund manager will purchase and sell securities as part of an active strategy in response to shifting market circumstances. You avoid routinely purchasing and selling stocks when you use a passive technique.
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Imagine you are a market researcher who works for SaveSmart, a
discount insurance company. The company’s management has become
aware of some dissatisfaction among customers who have switched to
Save
As a market researcher at SaveSmart, a discount insurance company, the management has assigned me to investigate and address the dissatisfaction among customers who have switched to other insurance providers.
The goal is to understand the reasons behind their dissatisfaction and identify areas where SaveSmart can make improvements to retain customers and enhance overall customer satisfaction. To conduct this research, I would employ various methods such as surveys, interviews, and data analysis. Surveys can be distributed to the dissatisfied customers to gather their feedback and understand the specific issues they faced. Interviews can provide more in-depth insights and allow customers to express their concerns and suggestions. Additionally, analyzing customer data and comparing it with competitor offerings can help identify gaps in SaveSmart's services. Once the research is complete, the findings can be presented to the management along with actionable recommendations. These recommendations may include improving customer service, enhancing the claims process, offering additional coverage options, or providing competitive pricing. By addressing the concerns raised by dissatisfied customers and implementing appropriate changes, SaveSmart can work towards retaining existing customers and attracting new ones, ultimately improving customer satisfaction and loyalty.
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Which statement would be MOST important to include in a summary of the section "Karl Marx"? Marx theorized that capitalists would try to get more work from people for less pay. Marxism is more durable as a critique of capitalism than as a system for governing. Marx's idea about communism influenced the Russian Revolution in 1917. Marx thought that machines would make life dull and repetitive.
The most important claim about Karl Marx would be the theorizing that capitalists would try to get more work from people for less pay.
Who was Karl Marx?He was a German philosopher who developed the foundations of communism, a system that criticized capitalism and its doctrines. His most prominent theories are about the transition to communism, the class struggle, the Marxist theory of ideology and surplus value.
Therefore, the correct option for the question refers to surplus value, which was defined for Karl Marx as the difference between the value of the work produced by employees and their salary paid. For him, the surplus value is the work produced and not paid, being a condition of exploration of the capitalist system.
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According to the text, Ashley Pineda of the Pulte Group needs to do which of the following before meeting with customers?
A) Rehearse her sales presentation until she has it memorized.
B) Conduct research to determine each customer's specific needs.
C) Contact the home office to confirm the customer's address.
D) Meet with her sales manager about her flagging sales.
E) Implement a systems selling strategy director.
Based on the given information, Ashley Pineda of the Pulte Group needs to conduct research to determine each customer's specific needs before meeting with them. Therefore, the correct answer is B.
Conducting research to understand the specific needs and preferences of customers is crucial for effective sales interactions. By gathering information about the customers' preferences, budget, desired features, and any specific requirements, Ashley Pineda can tailor her sales presentation and recommendations to meet their individual needs. This personalized approach enhances the chances of a successful sales pitch and increases customer satisfaction.
While rehearsing the sales presentation may be beneficial to ensure a smooth delivery, it is not specifically mentioned in the text. Contacting the home office to confirm the customer's address and meeting with the sales manager about sales performance are unrelated to preparing for customer meetings. Implementing a systems selling strategy director is not mentioned and may not be relevant to Ashley's immediate tasks.
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According to this image :
1- What is the age range of the generation with the highest amount of household debt?
2-Which is the only generation to decrease its average debt from 2019 to 2020?
3-Compare the rate at which Gen Z’s debt increased from 2019 to 2020 compared to other generations.
With an increase of 67.2%, Gen Z’s debt increased at a much higher rate than other generations.
4-Calculate how long it would take for Gen Z’s average debt ($16,000) to reach Gen X’s level of average debt ($140,000) if it continued to increase at its current rate (67.2% per year).
5-Develop a logical argument why Gen Z’s debt is rising at such a high rate when the Silent Generation’s debt is decreasing.
I have to turn this worksheet today, So please ANYONE help me out please ASAP..
Answer:
1. Gen X 41-56years
2. Silent Gen reduced debt by 4.6%
3.Baby boomers increased by 0.3% from 2019 to 2020, they had the least increase in debt
Gen X followed with 3.5% increase from 2019 to 2020 while Millenials had 11.5% increase in debt between 2019 and 2022. Even though Gen Z debt increased by 67.2%, they still have the lowest debt overall into two years.
4.Gen Z average debt $16,000
Gen X average debt $ 140,000
In 5years, it will meet up with Gen Xs level of debt
5. The silent Gen are the elderly, mostly retired and no longer taking new loans while Gen Z is the younger generating, newly exploring the world, teenagers and students, young school leavers and new work force taking loans at the slightest offer. The silent age are no longer active, they are most been taken care of and won't be taking loan facilities for any purpose. Student loan, technology etc is available and most suitable for the age range of Gen Z, hence the difference in the loan dimension.
Which one of the following statements about why a company's corporate culture matters to the strategy execution process is false or incorrect?
a. A weak culture is a liability in executing strategy because there are no ingrained, execution-supportive traditions, values, peer pressures, or behavioral norms that management can rely upon to help align the actions and behaviors of employees with the requirements for good strategy execution.
b. Execution-supportive cultural influences not only help rally company personnel to implement whatever internal changes are needed but also to exert their best efforts to attain execution-critical performance targets.
c. The more deeply management can embed execution-supportive ways of doing things, the more management can rely on the culture to automatically steer company personnel toward behaviors and work practices that aid good strategy execution and veer from doing things that impede it.
d. Executing strategy is typically far easier in a weak culture company than in a strong culture company.
e. Execution-supportive cultural norms and behaviors make it easier for management to win the commitment and cooperation of company personnel in undertaking whatever new execution-related actions, modified operating approaches, and different work practices are needed
The false or incorrect statement about why a company's corporate culture matters to the strategy execution process is Option D. Executing strategy is typically far easier in a weak culture company than in a strong culture company.
A strong corporate culture is essential for effective strategy execution as it establishes a solid foundation for employees to align their actions and behaviors with the company's strategic goals. In a weak culture, there is a lack of ingrained traditions, values, and behavioral norms that support strategy execution, making it difficult for management to rely on the employees' commitment and cooperation (a).
Execution-supportive cultural influences play a crucial role in rallying personnel to implement necessary internal changes and exert their best efforts to achieve performance targets (b). A strong culture helps to embed execution-supportive ways of doing things, allowing the culture to automatically guide employees toward behaviors and practices that aid in good strategy execution (c). Contrary to a statement (d), executing strategy in a weak culture company is more challenging than in a strong culture company, as employees in weak cultures may not be as committed or cooperative in adapting to new execution-related actions or work practices.
Strong, execution-supportive cultural norms and behaviors make it easier for management to gain the commitment and cooperation of personnel in implementing new actions, operating approaches, and work practices that contribute to successful strategy execution (e). Therefore, the correct option is D.
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(The answer!! :)) Select the examples that best demonstrate likely tasks for Energy Transmission workers. Check all that apply.
a. Rosalee responds quickly to fix electrical wires in emergencies.
b. Grover loads coal into carts and containers in a mine.
c. Shawn inspects oil pipeline equipment.
d. Constance designs methods for drilling to reach an underground deposit of natural gas.
e. Jack visits customers’ homes to explain the heating and electrical systems his company will install.
f. Mae follows safety instructions carefully.
-----------
Answers:
a. Rosalee responds quickly to fix electrical wires in emergencies.
c. Shawn inspects oil pipeline equipment.
f. Mae follows safety instructions carefully.
Answer:
Rosalee responds quickly to fix electrical wires in emergencies.
Shawn inspects oil pipeline equipment.
Mae follows safety instructions carefully.
The examples that best demonstrate the likely tasks for Energy Transmission workers include "Rosalee responds quickly to fix electrical wires in emergencies."
Other examples that best demonstrate the likely tasks for Energy Transmission workers include the following:
Shawn inspects oil pipeline equipment.Mae follows safety instructions carefully.This is because Energy Transmission is a form of energy transfer from the point of the energy generation process to the point of the energy distribution process.
It usually involves the flow of energy generated from coal, the hydro, nuclear, wind, and solar through power grids.
Hence, in this case, it is concluded that the correct answer is options A, C, and F.
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3.08 Free trade and Barriers
Pls help I just have until today
While free trade has its advantages, it is important to consider the potential negative effects and to find ways to address them without resorting to trade barriers. Governments must find a balance between promoting free trade and protecting their citizens from harm.
Free trade refers to the international exchange of goods and services without any restrictions or barriers. The aim of free trade is to promote economic growth, create more jobs, and increase competition among businesses. It allows countries to specialize in producing goods and services that they have a comparative advantage in, thereby leading to greater efficiency and productivity. Free trade is also seen as a way to reduce poverty and increase living standards by providing access to cheaper goods.
However, there are also arguments against free trade, particularly from those who believe it can lead to the exploitation of workers, environmental degradation, and a loss of sovereignty. Some people argue that free trade can lead to a "race to the bottom" where countries compete to offer the lowest wages and poorest working conditions in order to attract investment.
To address these concerns, governments may introduce trade barriers such as tariffs, quotas, and subsidies. These barriers restrict the flow of goods and services between countries and protect domestic industries from foreign competition. While trade barriers may provide short-term benefits to certain industries, they can also lead to higher prices for consumers, reduced competition, and a lack of innovation.
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How do you set up QBO payments? (no Monthly fee with a higher rate per transaction compared to Banking Merchant Account).
Setting up QBO (QuickBooks Online) payments is a simple process that can be completed in a few steps:
Sign up for a QBO account: If you already have a QBO account, skip this step. If not, sign up for one at the Intuit website.
Set up a payment gateway: In QBO, click on the Gear icon > Account and Settings > Payments. From there, you can choose a payment gateway, such as or Stripe, and follow the instructions to set up your account.
Connect your payment gateway to QBO: Once your payment gateway is set up, you can connect it to QBO. In Payments, click on the Connect button next to the payment gateway you have chosen and follow the instructions.
Set up payment methods: In Payments, click on Payment methods and set up the types of payments you will accept, such as credit cards or bank transfers.
Send invoices: When you create an invoice in QBO, select the payment method you prefer. If you have set up a payment gateway, your customers will be able to pay the invoice online through the gateway.
Keep in mind that while QBO payments do not have a monthly fee, they do charge a higher rate per transaction compared to a banking merchant account. However, the convenience and ease of use may be worth the extra cost for some businesses.
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Why would it be a good idea to mix stocks and bonds in your investment portfolio?
Answer:
To have more variety and just more in general!
Explanation:
Hope this helps!
(Related to Checkpoint 4.3) (Profitability analysis) Last year the P. M. Postem Corporation had sales of $435,000, with a cost of goods sold of $110,000. The firm's operating expenses were $130,000, and its increase in retained earnings was $87,390. There are currently 24,000 shares of common stock outstanding, the firm pays a $1.64 dividend per share, and the firm has no interest-bearing debt. a. Assuming the firm's earnings are taxed at 35 percent, construct the firm's income statement. b. Compute the firm's operating profit margin. a. Assuming the firm's earnings are taxed at 35%, construct the firm's income statement. Complete the income statement below: (Round to the nearest dollar.)
-----------------------------------------
Net Sales: $435,000
Cost of Goods Sold: -$110,000
-----------------------------------------
Gross Profit: $325,000
Operating Expenses: -$130,000
-----------------------------------------
Operating Profit: $195,000
Taxes (35%): -$68,250
-----------------------------------------
Net Income: $126,750
Dividends (24,000 shares): -$39,360
-----------------------------------------
Retained Earnings Increase: $87,390
b. Operating Profit Margin:
Operating Profit Margin = (Operating Profit / Net Sales) * 100
Operating Profit Margin = ($195,000 / $435,000) * 100
Operating Profit Margin = 44.83%
Therefore, the firm's operating profit margin is 44.83%.
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Company A is unable to make the December 31, 2019 interest payment. Company A is a calendar year company and accrued the 2019 interest On 1/1/2020 Company A agrees to transfer land and a building to Company B in full settlement of the note FMV 1/1/2020 $100,000 Land $250,000 Building Original Cost to Company A $75,000 land $300,000 Building Accum Dep 1/1/2020 $0 land $100,000 Building Book Value 1/1/2020 $75,000 land $200,000 Building What is the incremental impact on earnings for Company A from the settlement?
Answer:
The incremental impact on earnings for Company A from the settlement will give a POSITIVE result.
Explanation:
Without mincing words let's dive straight into the solution to the question above. So, we are given the following parameters which is going to be of help in solving this question.
=> The amount issued by company A = $500,000, the interest = 10%.
(1). For land:
FMV 1/1/20 = $100,000, Cost to Company A = $75,000 , Building Accum Dep 1/1/2020 = $0, and Book Value 1/1/2020 = $75,000.
(2). For Building:
FMV 1/1/20 = $250,000 Original Cost to Company A = $300,000, Building Accum Dep 1/1/2020 =$100,000 and Book Value 1/1/2020 =$200,000.
The FMV 1/1/20 for both the building and the land is given below as;
FMV 1/1/20 = $250,000 + $100,000 = $350,000.
At 1/1/20, the total amount that is being paid = 500,000 + 10/100 × 500,000 = $550,000.
Therefore, ($550,000 - $350,000) is the benefit. That is $200,000 is the benefit.
management can best be defined as . a. people working together to achieve a set of goals b. the set of processes used to get members of the organization to work together c. achieving organizational goals in an efficient and effective manner d. making the right decisions and successfully implementing them e. the ability to be reliable and complete all tasks in a timely manner
Our definition of management is a method for achieving organisational objectives. A process is a collection of ongoing, connected operations.
Who provided the most accurate management definition?
"Management is a multifunctional organ that oversees work, business, managers, and employees." Peter F. Drucker provided this definition of management in The Practice of Management. The process of achieving organisational goals while utilising both human and non-human resources to continuously increase the value delivered to society is referred to as management. Management as a practise or talent: the act of directing or controlling something (such as a business) New owners managed the company better, using sensible ways to achieve their goals.
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marcia strongly believes that loyalty in a relationship is very important. at her job, she is a purchasing agent. what two sets of ethical standards are in conflict for marcia
Answer: “Personal and organized” is the answer you’re looking for
Explanation: got it right on A PEX
Write a brief note on Axioms of interpersonal communication with example of real life business communication.
Answer:
axiom shows that everything one does is a message: "Activity or inactivity, words or silence all have message value: they influence others and these others, in turn, cannot not respond to these communications and are thus themselves communicating" (Watzlawick, Beavin, and Jackson, 1967, p. 1). This is true only however if the parties are "in the presence of another" (Watzlawick & Beavin, 1967, p. 4). This can cause problems in the relationship system though. For example, if one doesn’t want to communicate and inadvertently communicates this fact it may anger the other party. The appreciation for people who behave emotionally reserved verses who express their thoughts and feelings freely, may differ considerately between cultures. Insensitivity to these differences or the signals that people send, may hinder or undermine a smooth acculturation process considerately
Explanation:
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The Hay profile method is a job evaluation program that measures problem-solving and accountability for results. With which of the following positions would you use this program?
A) sales associate
B) food service supervisor
C) chief operating officer
D) welder
Answer:
1. D. Classification.
2. C. Chief operating officer
3. C. External; internal
4. C. Procedural equity.
5. C. Monitor and maintain external equity.
6. A. The employee’s recent performance appraisals.
7. A. The employee’s decisions are directly tied to the company’s performance.
8. A. Factor Comparison
9. C. The board of directors
10. B. Wage Curve
If the demand for a life-saving drug was perfectly inelastic and the price doubled, the quantity demanded would:
a. also double
b. decrease by 50%
c. remain constant
d. not enough information provided
If the demand for a life-saving drug was perfectly inelastic and the price doubled, the quantity demanded would remain constant. Option C s the correct answer.
In perfectly inelastic demand, the quantity demanded does not change regardless of changes in price. This is because the good or service is considered a necessity or has no close substitutes, and consumers are willing to pay whatever price is necessary to obtain it. Therefore, even if the price of the life-saving drug doubles, the quantity demanded would remain the same.
You can learn more about inelastic demand at
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state three
function of warehousing
Answer:
-Storage
-Financing
-Price Stabilization
-Time utility
Explanation: