The capital balance for the remaining partners, Mariam and Fatima, after the withdrawal of Alia is $77,000 for Mariam and $79,000 for Fatima.
To calculate the new capital balances, we start with the total capital before the withdrawal, which is the sum of each partner's capital: $48,000 + $50,000 + $52,000 = $150,000.
Since the remaining partners agreed to pay cash of $58,000 to Alia, we subtract this amount from the total capital: $150,000 - $58,000 = $92,000.
Next, we divide the remaining capital equally between Mariam and Fatima since they share income and loss equally: $92,000 / 2 = $46,000.
Finally, we add the individual capital balances of Mariam and Fatima to the amount they received from the withdrawal: Mariam: $46,000 + $31,000 = $77,000, Fatima: $46,000 + $33,000 = $79,000.
Therefore, the capital balance for the remaining partners, Mariam and Fatima, is $77,000 and $79,000 respectively.
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Gaby is motivated to work hard in a capitalistic society, because: ________
Gaby is motivated to work hard in a capitalistic society, because she wants to do well for herself.
What is the name of a capitalist society?Since the end of feudalism, capitalism, also known as the market economy or the free enterprise economy, has dominated in the Western countries. Under capitalism, the majority of the mode of production are privately owned, and production is controlled and income is distributed primarily through the the functioning of markets.
The benefits of capitalismContrary to socialism, marxism, or authoritarianism, capitalism encourages individual initiative and a solid work ethic. By working hard or come up with an original concept, everyone can elevate their position in life. In many nations around the world today, that is still not the case and has hardly shown to be the case through human history.
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According to Mintzberg's managerial roles, the ________ roles are ones that involve people and other duties that are ceremonial and symbolic in nature.
According to Mintzberg's managerial roles, the interpersonal roles are ones that involve people and other duties that are ceremonial and symbolic in nature.
The managerial roles have three different categories which are interpersonal, informational, and decisional. The management process involves various managerial activities and managing roles. Henry Mintzberg, a well-known management theorist, introduced ten roles that are categorized into three categories.
Interpersonal Roles: These roles are concerned with the interpersonal relationships that managers must develop to effectively manage the organization's staff and other stakeholders. The three interpersonal roles are as follows:Figurehead: The figurehead's role is ceremonial and symbolic in nature, as the manager is expected to represent the organization in public and perform various symbolic duties, including attending ceremonial events such as ribbon-cuttings.Liaison: The role of the liaison is to maintain contact with external organizations and networks that could influence the organization's performance. They develop relationships with stakeholders, such as suppliers, regulators, and government agencies, to ensure that the organization's interests are safeguarded.Leader: The role of the leader is to develop and maintain the group's morale and unity. They are in charge of recruiting, motivating, training, and communicating with the group.Explanation:In the given question, "According to Mintzberg's managerial roles, the ________ roles are ones that involve people and other duties that are ceremonial and symbolic in nature." the term that correctly fits the blank is 'Interpersonal Roles.' The interpersonal roles are concerned with the interpersonal relationships that managers must develop to effectively manage the organization's staff and other stakeholders. These roles are one that involves people and other duties that are ceremonial and symbolic in nature. Therefore, the answer is "Interpersonal Roles."
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At Frank's company, the strength of the organizational structure is that the results are based on
the effectiveness of the managers, but its main weakness is costs can be increased due to a
decrease in efficiency. This is an example of which structure?
Osimple
O functional
O divisional
O matrix
Answer:
divisional
Explanation:
-A simple structure s a structure in which there is little specialization and there is a central authority that controls everything and has the power.
-Functional structure is a structure in which a company is divided in groups according to specialized activities. Because of this specialization, companies with this structure can increase productivity but the communication is rigid and the cooperation between departments is difficult.
-Divisional structure is a structure in which there are different divisions and each one concentrates on a specific product or service and has all the functions and resources for that. This structure can create inefficiencies because the specialized functions are separated but the results of one division don't affect the other ones.
-Matrix structure is a structure in which employees report to more than one manager and it is used in companies that have different lines to have more flexibility and increase productivity.
According to this information and the statement, the answer is that this is an example of divisional stucture because in this structure each division has its own resources and specialized functions and because of that the results are based on the effectiveness of the managers but as each division has its own specialized functions, this creates inefficiencies.
Investors minimize risk by investing money in __________. A. one specific company B. a variety of companies C. newly-formed corporations D. companies that are competitors Please select the best answer from the choices provided A B C D
Answer: B. a variety of companies
Explanation:
Investors minimize risk by investing money in a variety of companies. The reason for this is to minimize risk. Investing in one specific company isn't ideal because in the case of the company running at a loss, the investor loses all his or her money as well.
On the other hand, when the investor invest in different companies, the risk is minimized. When one company isn't doing well, others will probably be doing well.
Rick mendez bought stock for $5,000, using $2,500 of his own money and $2,500 borrowed from the broker. One month later, the stock is sold for $5,650. Interest owed to the broker is $30; brokerage commissions to buy and sell the stock totaled $300.
The rate of return earned by Rick Mendez from the stock investment is 12.8%.
What is the rate of return?The rate of return is the gain (or loss) earned from an investment expressed as a ratio of the initial investment cost.
For instance, the rate of return is the difference between the total costs of an investment and its sales proceeds, multiplied by 100.
The investment cost of stock = $5,000
Proceeds from the sale of the stock = $5,650
Broker's finance = $2,500
Interest on borrowed funds = $30
Brokerage commissions = $300
Total brokerage finance costs = $2,830
Net proceeds after brokerage costs = $2,820 ($5,650 - $2,830)
Investment using own funds = $2,500
Gain from investments = $320 ($2,820 - $2,500)
Rate of return = 12.8% ($320/$2,500 x 100)
Thus, we can state that Rick Mendez's investment in the stock yielded a return of 12.8%.
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Question Completion:What is the rate of return earned by Rick Mendez?
An example of consumer spending when calculating the GDP using the expenditures approach is _____.
rent
purchase of weapons for the military
purchase of software
none of the above
purchase of weapons for the military
when ups was first established, founder jim casey described the firm's focus as follows:
When UPS was first established, founder Jim Casey described the firm's focus as follows:
"Best Service and Lowest Rates."
Jim Casey's vision for UPS was centered around providing the best service to customers while maintaining competitive pricing. This focus emphasized the importance of delivering packages efficiently and reliably, meeting customer expectations, and offering competitive rates in the transportation and logistics industry.
By prioritizing service quality and cost-effectiveness, UPS aimed to differentiate itself and build long-term relationships with customers. This customer-centric approach laid the foundation for UPS's growth and success as a global leader in package delivery and supply chain management.
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In addition to paying $100 per month for health insurance. Jaine is responsible for paying her first $500 of medical bill every year before her insurance covers any coast. The $500 Jaine must pay is called the
Answer:
It is called a co-pay.
Explanation:
"A copay is a fixed out-of-pocket amount paid by an insured for covered services." - https://www.investopedia.com
De los componentes de la Matriz DOFA, cuál elemento se define como las acciones externas de otros actores, que afectan negativamente la empresa. Las oportunidades Las Fortalezas Las Debilidades Las amenazas
Answer:
D). Las amenazas
Explanation:
El análisis 'FODA' es el examen de las diversas 'fortalezas, debilidades, oportunidades y amenazas' subyacentes a una empresa. Estos factores se han dividido además en factores internos y externos. Los factores internos incluyen fortalezas junto con debilidades, mientras que los factores externos consisten en amenazas potenciales y oportunidades futuras que se pueden aprovechar.
Según la pregunta, los factores externos que pueden afectar negativamente al negocio serían las 'amenazas' porque si no se abordan adecuadamente a tiempo, pueden generar pérdidas, afectar negativamente las opiniones y demandas de los consumidores, y mucho más. Estos factores se denominan externos ya que afectan al negocio de fuentes externas como un déficit o problema en el buen funcionamiento de la cadena de suministro, cambios repentinos en las necesidades del mercado, escasez de insumos, clima, caída de la economía, etc. Así, la opción D es la respuesta correcta.
nlg gers number yes 34 to yes
Answer:
Umm what are u trying to get 34 to
The exchange rate between non-fixed currencies continuously fluctuates. The following chart shows the exchange rate of the pound sterling to the Japanese yen over a period of six days. Day £:¥ Monday 1:141.014 Tuesday 1:138.650 Wednesday 1:149.890 Thursday 1:144.209 Friday 1:148.176 Saturday 1:143.008 Tina has £72.90 to turn into yen. How much greater is the amount of yen she would receive if she made her trade on the most favorable day than if she made her trade on the least favorable day
Answer: D
Explanation: just took it
The greater the amount she would receive if she traded on the most favorable day as opposed to the least favorable day is ¥819.396.
What is the difference in the value of the trade?Exchange rate is the amount of one currency that is traded for another currency.
The most favorable time that the trade can be executed in when the yen has the highest value while the most unfavorable time the trade can be executed is when the yen would have the lowest value.
Most favorable trade : £72.90 x 149.890 = 10,926.98Least favorable trade: £72.90 x 138.650 = 10,107.59Difference in trade = 10,926.98 - 10,107.59 = 819.396To learn more about exchange rate, please check: https://brainly.com/question/25780725
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which of the following methods do economists use to study income differences across countries? check all that apply. the purchasing power parity method, used to compare incomes across countries the bundle of goods method, used to compare types of affordable goods across countries an environmental performance index the gdp deflator method, used to compare incomes across countries
Following methods economists use to study income differences across countries :
The purchasing power parity method, used to compare incomes across countries
Exchange rate conversion, used to express incomes in the common currency
A common metric used by macroeconomic analysts to compare the currencies of various nations using a "basket of goods" approach is purchasing power parity (PPP). Economists can compare economic productivity and living standards across nations thanks to purchasing power parity (PPP). In order to account for PPP, some nations modify their GDP estimates.
The rate at which one currency can be exchanged for another is known as the exchange rate between two currencies. In other words, the exchange rate is the cost of one currency relative to another.
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what do you pore first the cereal or the milk? True or false.
Things you must need to survive are
A.wants
B.economies
C.needs
D.resources
Answer:
your answer is c, needs, pls mark brainliest
Explanation:
Answer:
Answer is C, needs because one cannot live without them.
please mark me, brainliest
"Consider the classical IS/LM model without misperceptions.
A) On a graph, show how output, the price level, and the real interest rate will respond in the short-run and long-run to an increase in government purchases. B) Explain why classicals are typically opposed to the use of fiscal policy during the business cycle.
Classical IS/LM model without misperceptions is a monetary economic model that consists of two main components. The IS curve, which reflects investment and saving balance in the market, and the LM curve, which depicts the liquidity preference and money supply in the market.
The model shows the correlation between interest rates and economic activity. An increase in government purchases will cause a shift in the IS curve to the right, indicating an increase in real GDP and the interest rate in the short run.
An increase in output will result in an increase in the price level, leading to an upward shift in the LM curve.
However, in the long run, the increase in demand results in higher inflation levels, which lead to higher interest rates and, eventually, the level of output falls back to its previous level.
The classicals are typically opposed to the use of fiscal policy during the business cycle due to various reasons.
Firstly, fiscal policy is thought to be less effective in combating recessions as it can cause price level increases. Classical economists believe that any attempts to reduce unemployment through fiscal policy will only lead to inflation.
Secondly, they assume that the labor market clears, meaning that unemployment is an equilibrium phenomenon and cannot be solved by policy actions.
Thirdly, the classical model assumes that the economy will eventually return to full employment without any government interventions.
Therefore, according to classical economists, any government intervention in the market can only result in negative consequences.
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What Does Professionalism Mean to You?
Employment-at-will allows the employer to fire for any reason, but the employee cannot leave without notice.
True
False
Answer:
Very extremely true
Corporate executives often object to the use of open-source software because it lacks formal technical support, even though information and solutions regarding the software are usually readily available online.
A. True
B. False
Answer:
A. True
Explanation:
When the open source software used by the corporate executives so it would be lead to the lacking of technical support i.e. formal also the information and its solutions would be available online
So the given statement is true as the open source software deals with the source code that should be released in a license where the copyright holder would granted the users to have the right to use the same
Will give rate
How to get "597104.8" please provide formula.
Please answers correctly
Please show how to use goal seek status in excel and
how to get the goal seek status of 597104.8
Present Amount value Year 5 2000000 2676451.16 8 3000000 4781544.22 1600000 3219514.35 12 tal present value= 10677509.7 Year Present value Amount 1 597104.8 632931.056 2 597104.8 670906.92 3 597104.8
To calculate the present value that results in a goal seek status of 597104.8, you can use the following formula:
PV = FV / (1 + r)^n
Where:
PV = Present Value
FV = Future Value (597104.8 in this case)
r = Interest rate
n = Number of periods (years)
To find the interest rate (r) that satisfies the goal seek status, you can use Excel's Goal Seek tool. Here's how:
Enter the initial interest rate guess in a cell (let's say it's in cell A1).
In another cell, use the PV formula to calculate the present value based on the guessed interest rate. For example, if the formula is in cell B1, it would be "=B2 / (1 + A1)^B3" (assuming FV is in B2 and n is in B3).
Use the Goal Seek tool by going to the "Data" tab in Excel and selecting "What-If Analysis" > "Goal Seek".
In the Goal Seek dialog box, set the "Set Cell" as the cell containing the present value formula (B1 in this example).
Set the "To value" as the goal seek status value (597104.8).
Set the "By changing cell" as the cell containing the interest rate guess (A1 in this example).
Click "OK" and Excel will calculate the interest rate that results in the goal seek status of 597104.8.
Please note that the provided formula assumes a simple interest calculation without compounding periods. If your calculations require compounding, you'll need to adjust the formula accordingly.
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What mechanisms operate the chain of building relationship equity?
The mechanisms that operate the chain of building relationship equity include trust, commitment, communication, and customer satisfaction.
1. Trust: Establishing trust is essential in building relationship equity, as it creates a solid foundation for long-term relationships. Trust can be developed through transparency, honesty, and consistently delivering on promises.
2. Commitment: Demonstrating commitment to the relationship is crucial, as it shows that both parties are invested in maintaining and growing the partnership. This can be achieved by being reliable, meeting expectations, and working towards common goals.
3. Communication: Effective communication is key to building relationship equity, as it helps in addressing concerns, sharing information, and resolving conflicts. Regular and open communication ensures that all parties are on the same page and working collaboratively.
4. Customer satisfaction: Ensuring customer satisfaction is important for building relationship equity, as satisfied customers are more likely to remain loyal and recommend the business to others. By offering quality products or services and addressing customer needs, businesses can build strong relationships and enhance their equity.
By focusing on these mechanisms, businesses can successfully build relationship equity, leading to long-lasting and mutually beneficial partnerships.
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Are you surprised a couple with a joint income of $200,000 is priced out of the housing market well above average in the US approximately 6% of the population? Explain!
At least three sentences to be put as the brainliest. Due tomorrow!
A couple with a $200,000 joint income is priced out of the housing market It's not unexpected, especially in locations where the cost of living is high and demand for property is high.
The given question is an opinion based on the answer written in a generalized manner keeping in mind the income and housing market of the United States.
The high cost of housing can have serious consequences for people, families, and communities. since people with higher earnings may be able to buy houses, It may result in growing economic inequality.
The high cost of housing in the United States is a complex issue driven by a variety of factors, including economic trends, government regulations, and social attitudes.
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What kind of documents does Publisher handle best?
Term Paper
Newsletter
Customer List
Balance Sheet
A loss is when
A. Revenue is greater then expenses
B. Revenue is less than expenses
C. Revenue is equal to expenses
D. None of them
The answer is B revenue is less than expenses
A property sold for $198,000 with a listing commission of 8%. The selling office is to receive 40% of the total commission. How much will the listing salesperson receive if she is paid 60% of the amount retained by the listing broker?
Answer:
$5,702.4
Explanation:
A property is sold for $198,000 with a listing commission of 8%
The selling office is to receive 40%
The first step is to calculate the total commission
= $198,00×8/100
= $198,000×0.08
= $15,840
Listing brokers commission
=$15,840×60/100
= $15,840×0.6
= 9,504
Therefore, the amount of listing that will be received by the sales person can be calculated as follows
= 9,504×60/100
= 9,504×0.6
= $5,702.4
Hence the salesperson will receive a listing of $5,702.4
Suppose that two major U.S. insurance corporations negotiate a merger agreement so that a financial crisis is less likely to cause either firm to face bankruptcy.
Because a decrease in capital leads to a lower perceived value of insurers among potential insureds and investors, capital depletion influenced the drop in bankruptcy' share prices.
In conjunction with the overall economic slowdown, the drop in insurance demand. The all-powerful CEO (the duality factor and related Board independence issues), a weak system of management control, a focus on short-term performance goals , a weak code of capital, and opaque disclosures were the key, recurring structural factors. When Bank of America declared bankruptcy in 2008, it shook people's faith in banks so much that a new class of asset emerged that was not backed by any formal bank.
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Under fixed exchange rate regime, a monetary tightening will lead to:
Under a fixed exchange rate regime, a monetary tightening refers to the implementation of policies aimed at reducing the money supply and increasing interest rates to control inflation and stabilize the economy. In such a scenario, several outcomes can be expected:
1. Higher interest rates: Monetary tightening involves raising interest rates to reduce borrowing and spending. Higher interest rates make borrowing more expensive, discouraging individuals and businesses from taking out loans and reducing consumption and investment.
2. Reduced money supply: Central banks employ various tools to tighten monetary policy, such as selling government bonds, increasing reserve requirements for banks, or raising the benchmark interest rate. These actions reduce the money supply by removing money from circulation or increasing the cost of borrowing.
3. Decreased aggregate demand: The higher interest rates resulting from monetary tightening can reduce consumer spending and business investment. Higher borrowing costs make it less attractive for businesses to expand or invest in new projects, leading to a decrease in aggregate demand.
4. Lower inflation: The objective of monetary tightening is often to combat inflationary pressures. By reducing the money supply and curbing spending, it can help bring down inflation rates over time.
5. Appreciation of the domestic currency: Under a fixed exchange rate regime, the exchange rate is fixed relative to another currency or a basket of currencies. When a country implements monetary tightening, it can attract foreign capital due to higher interest rates. This increased demand for the domestic currency can lead to an appreciation of the currency's value.
Overall, a monetary tightening under a fixed exchange rate regime is aimed at reducing inflationary pressures and maintaining the stability of the exchange rate. However, it may also result in reduced aggregate demand and potentially impact economic growth in the short term.
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GDP is calculated by adding the income of all entities in the US. Then GNI is calculated by adjusting GDP first by deducting made to other countries from received from other countries. Then, are subtracted from the received from other countries. Finally, property and business-related transfer payments made to other countries for foreign income are deducted.
Explanation is in a file
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Which of the following is not one of the risk categories
A:Practical
B:controllable
C:Pure
D:Speculative
Answer:
pretty sure controllable bc controllable isn't a risk. ( I've I had brainliest could u pls give me it ???)
the law of demand (which is the basis of the demand curve) says?
The law of demand, which is the basis of the demand curve, says that if the price of a good or service increases, the quantity demanded will decrease, all other things remaining constant. Similarly, if the price of a good or service decreases, the quantity demanded will increase, all other things remaining constant.
This relationship between price and quantity demanded is shown on the demand curve, which is a graphical representation of the law of demand.The law of demand is based on the principle of diminishing marginal utility. As consumers purchase more units of a good or service, the satisfaction they derive from each additional unit decreases. Therefore, as the price of a good or service increases, consumers will be willing to purchase less of it because the satisfaction they derive from each unit is less than the price they have to pay for it. Conversely, as the price of a good or service decreases, consumers will be willing to purchase more of it because the satisfaction they derive from each unit is greater than the price they have to pay for it. In other words, consumers are willing to pay more for a good or service when they derive more satisfaction from it and less when they derive less satisfaction from it.The law of demand is a fundamental concept in economics and has important implications for businesses and policymakers. Businesses must be aware of the relationship between price and quantity demanded when setting prices for their products or services. Policymakers must be aware of the relationship between price and quantity demanded when designing policies that affect prices or quantities of goods and services.
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Assume the total cost of a college education will be $245,000 when your child enters college in 15 years. You presently have $108,000 to invest for this purpose. What annually compounded rate of interest must you earn to cover the cost of your child's college education?.
The rate of interest you must earn annually compounded is 6.06%.
To calculate the compounded rate of interest you will need to use the formula A = P(1+r)^t, where A is the total amount, P is the initial principal, r is the rate of interest, and t is the number of years.
In this problem A = $245,000, P = $108,000, t = 15, and r is the rate of interest we are trying to calculate.
A = P(1+r)^t
$245,000 = $108,000(1+r)^15
$2.26 = (1+r)^15
To solve for r, we can take the natural log of both sides:
ln($2.26) = ln((1+r)^15)
ln($2.26) = 15ln(1+r)
ln($2.26) = 15r
r = ln($2.26)/15
r = 0.0606
The rate of interest you must earn annually compounded is 6.06%.
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