The debt to income ratio of azimi equals 16.67% because his gross income is $1,800 and total debt is $300.
What is a debt to income ratio?Its means the percentage of one' sgross monthly income that goes to paying your monthly debt payments.
Given data
Gross income = $1,800
Total Debt = $300 (250+20+30)
What is the debt to income ratio?= $300 / $1,800
= 0.16667
= 16.67%
Therefore, the debt to income ratio of azimi equals 16.67% because his gross income is $1,800 and total debt is $300.
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If you invest $1,000 at 12% interest, how much money will be in the account after two years, compounded annually? $1,240 $1,120 $1,254.40 $1,300
Answer:
FV= $1,254.4
Explanation:
Giving the following information:
Initial investment= $1,000
Number fo years= 2
i= 12% compunded annually
To calculate the future value, we need to use the following formula:
FV= PV*(1+i)^n
PV= present value
FV= 1,000*(1.12^2)
FV= $1,254.4
marketing cost analysis is most useful when it provides information linked to other forms of marketing research. group of answer choices true false
Marketing cost analysis is most useful when it provides information linked to other forms of marketing research - False.
Marketing cost analysis is most useful when it provides information linked to financial performance rather than other forms of marketing research.
Marketing cost analysis focuses on evaluating and understanding the costs associated with marketing activities and campaigns. It involves analyzing the financial investments made in marketing efforts and assessing the returns generated from those investments. The primary goal of marketing cost analysis is to determine the efficiency and effectiveness of marketing expenditures in generating revenue, acquiring customers, and achieving marketing objectives.
While marketing research encompasses a broader range of activities aimed at gathering insights about customer behavior, market trends, competitor analysis, and other marketing-related factors, marketing cost analysis specifically focuses on understanding the financial implications of marketing activities.
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Ophelia Org. uses the indirect method to determine net cash provided by operating activities. During 2017, Ophelia experienced a decrease in Accounts Receivable of $10,000, a decrease in Accounts Payable of $15,000, and Amortization Expense of $6,000. What should be reported as the net cash provided by operating activities if net income was reported at $100,000 and dividend payments were $25,000
The net cash provided by Ophelia Org.'s operating activities is $131,000.
Data and Calculations:
Decrease in Accounts Receivable = $10,000
Decrease in Accounts Payable = $15,000
Amortization Expense $6,000
Net income = $100,000
Dividend payments = $25,000
Net Cash from Operating Activities:
Net income = $100,000
Add: Amortization Expense $6,000
Decrease in Accounts Receivable $10,000
Decrease in Accounts Payable $15,000
Cash provided by operations = $131,000
Thus, the net cash provided by Ophelia Org.'s operating activities is $131,000.
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Which of these is a primary and secondary source of market research, respectively?
Answer:
The answer is focus group interviews and trade associations.
Explanation:
Primary rotates around interviews and trade associations revolve encompassing receiving something back. the primary reference of research is data assembled through original or first-hand examination while the secondary reference is the data information collect by someone in history.
Ashley Cano purchased a bottle of salad dressing that broke apart when she tried to open it. She cut her hand and had to get stitches. Her buyers' rights are protected under __ laws.a. food and beverageb. defective packagingc. manufacturingd. consumer protectione. factory liability
The rights of Ashley Cano's purchasers are safeguarded by consumer protection laws legislation.To prevent customers from being taken advantage of or injured by businesses. The correct answer is c. manufacturing.
Consumers are given legal protection under these rules in situations involving poor quality or defective items, deceptive marketing, and dishonest company practises. Ashley Cano was hurt by a bottle of salad dressing that had a manufacturing flaw, which caused it to break apart.
As a customer, Ashley has the right to anticipate that the goods she buys are risk-free and secure for use.The maker or seller of the goods may be responsible for any damages or injuries that result from a defective product that harms a customer. State and national consumer protection laws differ, but they often give consumers who have been affected by defective items the right to a refund, replacement, or financial compensation. Additionally, these rules push companies to act responsibly and guarantee the security of their goods before releasing them onto the market.
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Which of the following is not a reason for firms to look for logistics and supply chain outsourcing when they want to expand global?
1. Logistics and supply chain outsourcing can provide expertise in global regions where the firm has no expertise
2. Logistics and supply chain outsourcing can provide compliance expertise in global regions where the firm has no expertise
3. Logistics and supply chain outsourcing can provide technology expertise in global regions where the firm has no experience
4. Logistics and supply chain outsourcing can provide marketing expertise in global regions where the firm has no experience
Logistics and supply chain outsourcing cannot provide marketing expertise in global regions where the firm has no experience is not a reason for firms to look for logistics value and supply chain outsourcing when they want to expand global.
Logistics and supply chain outsourcing cannot provide marketing expertise in global regions where the firm has no experience. While outsourcing logistics and supply chain management can help a firm gain expertise in compliance, technology, and global regions where the firm has no experience, it does not directly provide marketing expertise.
However, outsourcing logistics and supply chain management can indirectly contribute to improved marketing efforts, such as by improving product availability and delivery times. Therefore, firms may still consider logistics and supply chain outsourcing as a means to expand globally, but they should not rely on outsourcing as a sole source of marketing expertise. Instead, they should seek out marketing specialists or consultants with experience in global regions to help them develop effective marketing strategies.
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Every six months, a local hardware store receives a cumulative quantity discount on the tools it buys from Ace Tool Manufacturing. Which of the following is likely true? (Choose every correct answer.) Multiple select question. The more tools the hardware store buys, the more the discount will increase. The store will offer special bargains to its customers two times a year. The store has a sales goal or quota for each six-month sales period. The store cannot offer special prices to its customers except at the end of the discount period.
Answer: the store is likely to offer special bargains for its customers 2 times a year
2. the discount will increase with each tool that the hardware store sells
3. the store probably has a sales goal or qouta for each 6 month sales period
Explanation:
The following are true concerning the local hardware store receiving a cumulative quantity discount on the tools it buys from Ace Tool Manufacturing;
1) The store is likely to offer special bargains for its customers 2 times a year; this would help to boost their sales and attract more business
2. the discount will increase with each tool that the hardware store sells
3. the store probably has a sales goal or qouta for each 6 month sales period
Forrester Company is considering buying new equipment that would increase monthly fixed costs from $120,000 to $150,000 and would decrease the current variable costs of $70 by $10 per unit. The selling price of $100 is not expected to change. Forrester's current break-even sales are $400,000 and current break-even units are 4,000. If Forrester purchases this new equipment, the revised break-even point in dollars would be:Multiple Choice$375,000.$325,000.$500,000.$400,000.$300,000.
Answer:
$375,000
Explanation:
Selling price = $100
New variable cost per unit = ($70 - $10)
= $60
New fixed cost = $150,000
Therefore, Break even point in dollars
= Fixed costs / Contribution margin ratio,
Where Contribution margin ratio=
{(Selling price per unit - Total variable cost per unit / Selling price per unit)}
= {($100 - $60 / $100)}
= 0.4
= 40%
Break even point in dollars would be;
$150,000 / 0.4
= $375,000
What is a disadvantage to online
banking?
security breaches can
happen and compromise
your personal information
it makes you use your
computer
it prevents you from
having to go to the
ATMto deposit
money
it is convenient
One major disadvantage of online banking is the potential for security breaches and the compromise of personal information. Since online banking involves transmitting sensitive information over the internet, such as account numbers, passwords, and social security numbers, there is always a risk of that information being intercepted by hackers or other unauthorized individuals.
Additionally, online banking may require the use of a computer or mobile device, which can be inconvenient for those who do not have easy access to such devices or who prefer to conduct their banking in person. Finally, while online banking may be convenient for many people, it does not allow for the same level of personal interaction with bank representatives as traditional banking methods, which can be a disadvantage for those who prefer to have a more personalized banking experience.
TRUE / FALSE. experts suggest that you spend no more than of your net income on debt payments.
FALSE. Experts suggest that you spend no more than 30% of your net income on debt payments. This guideline is commonly referred to as the debt-to-income ratio and is used to assess an individual's ability to manage their debt responsibly.
By keeping debt payments within this range, individuals can maintain a healthy financial situation and have enough income available for other essential expenses, savings, and investments. Exceeding this recommended limit may increase the risk of financial strain, difficulty in meeting financial obligations, and potential debt problems. It is important for individuals to carefully manage their debt and ensure that their debt payments are in line with their income and overall financial circumstances.
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Mining Companies have a major role to play in facilitating and promoting the culture of equality and therefore eliminating Gender based violence from the workplace and communities that host/ border mining project developments. a) What are some of the reasons that you believe gender based violence has become so prevalent on mining sites and in surrounding communities. (5 marks) b) During the screening phase of an EIA project in Guyana concerns were raised by villagers in the area about "Increased incidences of sexual exploitation of indigenous women and young girls by people who have come into the communities to work for the company."
Gender-based violence has become prevalent on mining sites and in surrounding communities due to a combination of factors such as male-dominated work environments, social and economic inequalities, lack of awareness and education, limited access to support services, and a culture of impunity.
Gender-based violence on mining sites and in surrounding communities can be attributed to several reasons. Firstly, the mining industry is historically male-dominated, with a significant gender imbalance in the workforce. This power dynamic can perpetuate harmful attitudes and behaviors towards women, leading to increased incidents of violence.
Secondly, mining projects often bring rapid social and economic changes to communities, resulting in unequal power dynamics and social tensions. These changes can disrupt traditional gender roles and exacerbate existing gender inequalities, making women and girls more vulnerable to violence.
Thirdly, the lack of awareness and education about gender issues and violence prevention contributes to the prevalence of gender-based violence. Limited knowledge about consent, healthy relationships, and gender equality can perpetuate harmful norms and behaviors.
Furthermore, the remote locations of many mining sites can limit access to support services and justice systems. This lack of resources and infrastructure can prevent survivors from seeking help and perpetrators from being held accountable, perpetuating a culture of impunity.
Lastly, the overall culture and norms within the mining industry and surrounding communities play a significant role. If there is a lack of commitment from mining companies to prioritize gender equality, enforce policies against violence, and promote a safe and inclusive work environment, it can contribute to the prevalence of gender-based violence.
In conclusion, gender-based violence on mining sites and in surrounding communities is a complex issue influenced by multiple factors. Addressing this problem requires a comprehensive approach that involves creating gender-inclusive work environments, promoting education and awareness, strengthening support services, and holding perpetrators accountable. By actively working towards equality and addressing the root causes of violence, mining companies can play a crucial role in eliminating gender-based violence from their workplaces and the communities they operate in.
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Suppose consumer preference for organic corn starts to rise while the cost of growing organic corn continues to rise. In the market for organic corn, this would be represented by the equilibrium price ________ and the equilibrium quantity ________.
In a situation where consumer preference for organic corn increases while the cost of growing organic corn continues to rise, the equilibrium price of organic corn would increase while the equilibrium quantity of organic corn would decrease.
The reason for this is because of the laws of supply and demand.When there is an increase in the demand for a product, the price of the product will increase while the quantity supplied will decrease. This happens because suppliers would want to produce less since the production cost is higher. In this situation, the equilibrium price of organic corn would increase because the demand for organic corn has increased while the quantity supplied would decrease because of the high cost of producing organic corn.
Hence, the market for organic corn would experience an increase in the price of organic corn and a decrease in the quantity of organic corn produced.
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Kadeem bought snacks for his team's practice. He bought a bag of oranges for $2.07 and a 24-pack of juice bottles. The total cost before tax was $33.03. Write and solve an equation which can be used to determine xx, how much each bottle of juice cost
Each bottle of juice cost are 1.29 per bottle.
What is tax?
The term tax refers to the government charge the extra money for goods and services. The tax is also called as financial charge. The public pay tax is compulsory. There are two categories of tax such as direct tax and indirect tax.
The equation are the given are:
oranges for $2.07
total cost before tax was $33.03
24-pack of juice bottle
X = (tax-oranges) ÷ juice bottle
X = ($33.03—$2.07) ÷ 24
X = (30.96) ÷ 24
X = 1.29 per bottle.
As the result, the tax was the included the per bottle price is the $1.29.
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Answer:
Here's the equation and everything
Explanation:
a stock has a beta of 1.5 and an expected return of 13.3 percent. if the risk-free rate is 1.7 percent, what is the market risk premium?
Beta is a measure of a stock's volatility compared to the overall market. A beta of 1 means that the stock's price moves in line with the market, while a beta greater than 1 means the stock is more volatile than the market, and a beta less than 1 means the stock is less volatile than the market.
The market risk premium is the difference between the expected return on the market and the risk-free rate. It represents the extra return that investors expect to receive for taking on the risk of investing in the stock market.
Now, let's apply these concepts to your question. The stock has a beta of 1.5, which means it is more volatile than the market. The expected return on the stock is 13.3 percent, which is the return that investors expect to receive for investing in the stock. The risk-free rate is 1.7 percent, which is the return that investors can receive from a risk-free investment such as a Treasury bond.
To find the market risk premium, we need to subtract the risk-free rate from the expected return on the market. We do not have information on the expected return on the market, but we can use historical data to estimate it. Let's assume that the historical average return on the market is 9 percent.
Market risk premium = Expected return on the market - Risk-free rate
Market risk premium = 9% - 1.7%
Market risk premium = 7.3%
Therefore, the market risk premium is 7.3%. This means that investors expect to receive a return of 7.3% for investing in the stock market above the risk-free rate of 1.7%. The stock's expected return of 13.3% includes this market risk premium, as well as the extra return that investors expect to receive for taking on the additional risk of investing in a stock with a beta of 1.5.
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_____ encompasses loyalty and a deep concern for an organization's welfare.
Affective commitment encompasses loyalty and a deep concern for an organization's welfare.
Affective commitment refers to a psychological attachment and emotional connection an individual develops towards an organization. It goes beyond mere job satisfaction and encompasses loyalty and a deep concern for the organization's welfare. Employees with high affective commitment feel a strong sense of belonging and identification with the organization's values, goals, and mission.
They are genuinely dedicated and willing to invest their time, effort, and energy to contribute to the organization's success. Affective commitment is driven by positive emotions, trust, and a belief in the organization's purpose, fostering long-term engagement, dedication, and a desire to support the organization through thick and thin.
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Which form of ownership is used when someone wants to expand and invites a friend to make a joint business venture and they will share profits according to agreement and decide responsibility and take part in decision making and use their skills and expertise the business
The form of ownership used when someone wants to expand their business by inviting a friend to make a joint business venture is a partnership.
Partnerships can be either general or limited. In a general partnership, all partners share equal responsibility and decision-making power, and they are all liable for the debts and obligations of the business. In a limited partnership, there are two types of partners: general partners and limited partners.
General partners have unlimited liability for the business, while limited partners have limited liability and do not participate in the day-to-day management of the business.
In the scenario you provided, the friends would likely form a general partnership where they share the responsibility for managing the business and making decisions together. They would also share the profits and losses of the business according to their agreed-upon terms. Each partner would bring their unique skills and expertise to the venture, and they would work together to grow the business.
Overall, a partnership is an excellent form of ownership for friends who want to expand their business together because it allows them to combine their skills and resources while sharing the risks and rewards of the business.
However, it is important to have a clear partnership agreement in place that outlines the roles, responsibilities, and expectations of each partner to avoid any misunderstandings or disputes down the line.
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Some banks pay interest only on the minimum or smallest balance on deposit during an interest period. Helen Lamb had a balance of $783 in such an account on July 1. Annual interest is 2.7% compounded quarterly. She withdrew$170 on August 17 and deposited $200 on September 12. What was Helen’s minimum balance during the quarter?
Helen's minimum balance during the quarter was $613.
What is Minimum Balance in Account?According to the terms and conditions of the account agreement, a customer is required to keep the smallest amount of money in their account for a predetermined amount of time. This amount is known as the minimum balance in an account. Depending on the type of account and the bank's policies, the minimum balance can be set at a certain amount or it can change.
Plugging in the values, we get:
A = 783(1 + 0.027/4)^(4*(3/12))
A ≈ $791.13
So the balance at the end of the quarter, before the deposit, was about $791.13.
Next, we need to figure out the impact of the withdrawal and deposit:
August 17: Helen withdrew $170, leaving a balance of $783 - $170 = $613.
September 12: Helen deposited $200, bringing the balance to $613 + $200 = $813.
We can conclude that the minimum balance was $613 because the balance on July 1 was higher than the estimated balance at the end of the quarter, which was $791.13.
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Type of energy classified as solids
which viability factor involves building relationships with a experienced professionals
Relationship factor helps in building relationships with a experienced professionals.
Give a brief account on Business viability.Viability means that the business is (or may be) successful. A viable business is profitable, meaning it generates more revenue than you spend running it. If a company is not profitable, it is difficult to recover. Companies need to increase sales, reduce costs, or both. Profitability is closely related to solvency and liquidity as well as profit.
There are two processes to creating a profitable business. First, it means formulating a marketing strategy by knowing who you are, who you sell to, and who else you sell to. Second, it means your financial home is in order.
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What section of the economy is the largest employer
Answer: public schools in the us
Explanation: 6,646,292...
on may 15, deshawn tyler opens a landscaping company called elegant lawns by investing $72,000 in cash along with equipment having a $32,000 value in exchange for common stock. on may 21, elegant lawns purchases office supplies on credit for $320. on may 25, elegant lawns receives $8,000 cash for performing landscaping services. on may 30, elegant lawns receives $1,200 cash in advance of providing landscaping services to a customer. t accounts
The transactions for Elegant Lawns can be recorded using T-accounts. Here is a step-by-step explanation of the transactions: On May 15, Deshawn Tyler invests $72,000 in cash and equipment valued at $32,000 in exchange for common stock.
This transaction increases the cash and equipment accounts while also increasing the common stock account. On May 21, Elegant Lawns purchases office supplies on credit for $320. This transaction increases the office supplies account while also increasing the accounts payable account. On May 25, Elegant Lawns receives $8,000 cash for performing landscaping services. This transaction increases the cash account while also increasing a revenue account (such as "Landscaping Service Revenue"). On May 30, Elegant Lawns receives $1,200 cash in advance of providing landscaping services to a customer. This transaction increases the cash account while also increasing a liability account (such as "Unearned Revenue").
The initial investment made by Deshawn Tyler involves both cash and equipment. This transaction is recorded by increasing the cash and equipment accounts on the debit side (left side) of the T-accounts and increasing the common stock account on the credit side (right side) of the T-accounts. The cash and equipment accounts will be increased by $72,000 and $32,000, respectively, while the common stock account will also be increased by the total investment of $104,000. The purchase of office supplies on credit does not involve any cash transactions initially. Therefore, the office supplies account is increased on the debit side of the T-account by $320, indicating an increase in assets. At the same time, the accounts payable account is increased on the credit side of the T-account by $320, indicating a liability.
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Discuss the role of the father in attachment theory
Explanation:
Both parents are considered attachment figures in attachment theory, and the child-father attachment is autonomous from the child-mother attachment. Whereas mothers are commonly involved in caregiving and providing emotional refuge, fathers are particularly involved in play and exploratory undertakings.
Determine which of the statement(s) are correct if a petty cash account is not replenished at the end of the accounting period. (check all that apply.) multiple select question. the balance sheet would show an overstated cash asset. the balance sheet would show an understated cash asset. expenses would not be recorded in the period in which they were incurred. the income statement would reflect a net income amount that was too high.
If Petty Cash is not replenished at the end of the accounting period:
the balance sheet would show an overstated cash asset.expenses would not be recorded in the period in which they were incurred. the income statement would reflect a net income amount that was too high.What happens when petty cash is not replenished?Because the cash that was meant to go to the petty cash was not taken from the cash account, this account will have more than it should (overstated).
The expenses which were incurred and recorded in the petty cash would not be accounted for which means that the income would be overstated as these expenses were not deducted from it.
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Your company has extra cash which it would like to use to invest into something new and profitable. There are two independent projects under consideration.
Project #1 will require an initial investment of $1,110, and the present value of all of its future estimated profits is $1,060.
Project #2 will require an initial investment of $1,060, and the present value of all of its future estimated profits is $1,120.
Based on this information, answer the following questions. (For dollar amounts, do NOT type the "$" signs, and round your answers to whole dollars. For other calculations, round your answers to TWO decimal places, for example, 1.23. Where applicable, don't forget the minus signs!)
(a) For Project #1, the Net Present Value equals $___, and the Profitability Index equals ___.
(b) For Project #2, the Net Present Value equals $___, and the Profitability Index equals ___
(c) Based on the Net Present Value rule, your company should ___ Project #1 and ___ Project #2. (In each field, type accept or reject.)
(d) Based on the Profitability Index rule, your company should ___ Project #1 and ___ Project #2. (In each field, type accept or reject.)
For Project #2, the Net Present Value is $60, and the Profitability Index is approximately 1.057.
(a) For Project #1:
Net Present Value (NPV) = Present Value of Future Profits - Initial Investment
NPV = $1,060 - $1,110 = -$50
Profitability Index = Present Value of Future Profits / Initial Investment
Profitability Index = $1,060 / $1,110 ≈ 0.955
Therefore, for Project #1, the Net Present Value is -$50, and the Profitability Index is approximately 0.955.
(b) For Project #2:
Net Present Value (NPV) = Present Value of Future Profits - Initial Investment
NPV = $1,120 - $1,060 = $60
Profitability Index = Present Value of Future Profits / Initial Investment
Profitability Index = $1,120 / $1,060 ≈ 1.057
Therefore, for Project #2, the Net Present Value is $60, and the Profitability Index is approximately 1.057.
(c) Based on the Net Present Value rule, your company should reject Project #1 (since the NPV is negative) and accept Project #2 (since the NPV is positive).
(d) Based on the Profitability Index rule, your company should reject Project #1 (since the Profitability Index is less than 1) and accept Project #2 (since the Profitability Index is greater than 1).
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who has the authority to set interest rates and lending activities for the nation’s banks?
The authority to set interest rates and lending activities for the nation's banks is primarily held by the central bank of the respective country. In the United States, this role is performed by the Federal Reserve System, also known as the Fed.
The Federal Open Market Committee (FOMC) within the Federal Reserve is responsible for determining the monetary policy and interest rates to achieve macroeconomic goals such as stable prices, low unemployment, and moderate long-term interest rates. The central bank influences interest rates through open market operations, which involve buying and selling government securities in the financial markets. By adjusting the federal funds rate, the rate at which banks lend to each other overnight, the central bank can indirectly influence the interest rates that commercial banks charge their customers for loans and offer on deposits. This, in turn, affects borrowing and lending activities, as well as the overall economic activity of the nation. In addition to the central bank, other regulatory bodies like the Office of the Comptroller of the Currency (OCC) and the Federal Deposit Insurance Corporation (FDIC) oversee the lending practices and operations of commercial banks, ensuring their compliance with the relevant regulations and safeguarding the stability of the banking system.
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Equity, as represented in the accounting equation, would increase as a result of which of the following items
Revenues, gains, expenses, and losses are the primary accounts that have an impact on owner's equity. If you make money, your owner's equity will rise. earnings derived from running a business.
Which accounts cause an increase in equity?If you incur losses and expenses, your owner's equity will decline. Your owner's equity will be negative if your obligations surpass your assets. If all other factors are equal, a company's equity will rise when its assets do, and vice versa. Reducing obligations, for as by paying off debt, will raise equity whereas adding liabilities will lower equity. Modern accounting techniques depend on these fundamental ideas to function. Stockholders' equity rises as a result of more stock investments or more net income. A net loss or dividend payments cause it to go down. If revenue accounts are closed out into retained profits, retained earnings rises; if expense accounts and cash dividends are closed out into retained earnings, retained earnings fall.
The complete question is:
Equity, as represented in the accounting equation, would increase as a result of which of the following items?
Earnings from operating a business.
Earning from loss
Both 1 and 2.
None of the above
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A treaty that can be signed between two or more countries to lower tariffs and improve the import and export of goods is a free trade.
a. True
b. False
A treaty that can be signed between two or more countries to lower tariffs and improve the import and export of goods is a free trade is True (because a treaty that can be signed between two or more countries to lower tariffs and improve the import and export of goods is a free trade).
Free trade is the idea of allowing goods and services to be traded across borders without restrictions such as tariffs, quotas, or other barriers. It is designed to increase the flow of goods and services between countries while decreasing costs and increasing efficiency.
Free trade agreements are a way for countries to enter into agreements that reduce tariffs and other barriers to trade. These agreements are often negotiated between countries that have similar economic systems and policies, and they can help to promote economic growth and development in those countries.
By reducing tariffs and other barriers to trade, free trade agreements can help to increase the flow of goods and services between countries, leading to increased economic growth and development.
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Question 1 of 10
Why can consumers have influence over politicians?
O A. Government agencies are required to address consumer
complaints.
B. Consumers are able to boycott politicians' re-election campaigns.
C. Corporations use profits from consumers to lobby the
government.
D. Politicians rely on the votes of consumers to keep them in office.
SUBMIT
Answer:
it's most likely B or D. but you need to double check
Answer:
D. Politicians rely on the votes of consumers to keep them in office.
Explanation: i took the test.
100 free hope you do the same
Answer:
Explanation:
ma boy
When paul o'neill joined alcoa as ceo, he set a , that there would be zero workplace accidents. A lot of people in the organization thought this was impossible given how dangerous some aluminum-manufacturing jobs are, but alcoa's safety record improved tremendously?
Zero workplace accidents was a stretch goal Paul O'Neill established when he was appointed CEO of Alcoa. Considering extremely hazardous some occupations in the aluminum industry may be.
many individuals there in company believed that this would be impossible, however Alcoa's standard of driving considerably enhanced.
When it comes to meeting the demands of stakeholders, strategy involves long-term thinking for charitable groups.
Cost-conscious businesses are more inclined to employ low-cost leadership strategies.
The negotiation strength of bulk purchase may be diminished through differentiating initiatives.
Managers think about how much of the portfolio of the company of enterprises should be in various sectors while formulating company's structure.
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