The Small Business Administration (SBA) defines a business as one that is independently owned and operated, is not dominant in its field of operation, and meets certain standards of size in terms of employees or annual receipts. This definition is important because it allows the SBA to qualify businesses for certain loans, grants, and contracts.
To be considered independently owned and operated, the business must be at least 51% owned and controlled by one or more individuals. These individuals must also be US citizens or lawful permanent residents, or be in the US legally on a valid visa. The business must also not be dominant in its field of operation, meaning that it must not control the market or be the primary provider of a particular service or product.
The SBA also requires that businesses meet certain standards of size in terms of employees or annual receipts. For businesses with employees, this means that they must have fewer than 500 employees. For businesses with no employees, they must have an annual revenue of less than $7.5 million.
The definition of a business outlined by the SBA is important because it allows certain businesses to qualify for various programs and services. The SBA offers a variety of loan programs to small businesses that meet the outlined definition. These loans are often less restrictive and have lower interest rates than those offered by banks and other lenders. The SBA also offers grant and contract opportunities for businesses that meet its definition of a business.
Overall, the definition of a business provided by the SBA is an important factor for businesses seeking to qualify for certain programs and services. Businesses must be independently owned and operated, not dominant in their field of operation, and meet certain standards of size in terms of employees or annual receipts. Meeting these requirements allows businesses to qualify for various loans, grants, and contracts.
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where there are positive externalities from having a particular product in a society, the government can make the quantity of the product approach the socially optimal level by doing the following except
subsidizing the buyers of the product.
taxing the sellers of the product.
subsidizing the sellers of the product.
providing the product itself.
The government can approach the socially optimal level by taxing the sellers of the product, subsidizing the buyers of the product, or providing the product itself.
Where there are positive externalities from having a particular product in a society, the government can make the quantity of the product approach the socially optimal level by doing the following except subsidizing the sellers of the product.
Which are the three different types of externalities? Externalities come in three forms: positive, negative, and nonexistent externalities. Positive externalities are beneficial, while negative externalities are harmful. When an activity results in external benefits, it is known as a positive externality.
The following ways can be used by the government to approach the socially optimal level where there are positive externalities from having a particular product in a society: Taxing the sellers of the product: An excise tax on products that produce negative externalities can be levied to decrease the use of such products.
When a tax is imposed on producers who produce items that produce negative externalities, the price of these products rises, and consumers' demand for these items decreases. Subsidizing the buyers of the product:
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pauline orally agrees to sell her house to wanda for $400,000. before the closing, pauline changes her mind. pauline's best defense to wanda's lawsuit against her is:
Pauline's best defence to Wanda's lawsuit against her is that she entered into the contract orally and that it is unenforceable because it is not in writing.
According to the Statute of Frauds, certain contracts must be in writing in order to be legally enforceable, and real estate contracts are one of them. Therefore, Pauline can argue that the oral contract is not valid and cannot be enforced by law.
Pauline's best defence to Wanda's lawsuit against her is that there was no written contract signed by both party. An oral agreement is a type of contract that is based solely on words rather than writing.
Wanda can bring a lawsuit against Pauline for breach of contract if Pauline orally agreed to sell her house to Wanda for $400,000, but Pauline changed her mind before the closing date. However, Pauline may argue that Wanda has no claim because the contract was never written and, thus, unenforceable.
Therefore, Pauline's best defence to Wanda's lawsuit against her is that there was no written contract signed by both party.
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Organizations often use surveys to determine how their employees feel about proposed changes before they happen. These surveys are distributed in the _________ part of the change process.
a. change
b. unfreezing
c. refreezing
Organizations often use surveys to determine how their employees feel about proposed changes before they happen. These surveys are distributed in the unfreezing part of the change process. The correct answer is option b.
What is Unfreezing in Change Management?In the change management process, unfreezing is the initial phase. It involves getting individuals to understand why a change is necessary and begin to make plans to adjust to the new environment. This stage entails preparing the company for change, assessing the degree of change that must occur, and deciding which behaviors and actions should be modified in order to accomplish the objectives.The purpose of the unfreezing phase is to identify the changes that must be made and to explain why they are necessary. This step should include the creation of a sense of urgency among employees so that they will be more receptive to the forthcoming changes. If people are resistant to change, it is vital to communicate with them and make them aware of the need for change.
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which of these government policies can help economic growth? answer unselected central planning that can direct resources more efficiently unselected public ownership of all physical capital unselected ensuring political stability and relatively little corruption
Ensuring political stability and relatively little corruption can help economic growth, as it can create a more secure environment for businesses to operate in, allowing for more investment, which in turn can lead to economic growth.
The following are some government policies that can help to promote economic growth:
Investment in infrastructure such as roads, bridges, and other transport systems can help to lower the costs of transportation and allow firms to gain access to new markets. The government must foster an environment of political stability and little corruption. For business owners, having stable political circumstances and dependable institutions is crucial. Political instability and corruption can harm the country's economic development. The creation of tax incentives for investors who want to invest in the country's new business initiatives will encourage capital investment in the country. Taking regulatory measures to improve the country's ease of doing business is essential. Excessive regulations can impede economic growth and act as a barrier to entry into markets by new businesses. The provision of education, training, and job search assistance can help to reduce structural unemployment and enhance the country's workforce's efficiency.Learn more about economic growth at https://brainly.com/question/1690575
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Figure 6-1 illustrates the four possibilities of the distribution of costs and benefits among voters for a government project. For which type would the government most likely fail to undertake many projects that would be considered efficient or productive (in other words, do too few of them relative to economic efficiency)?
The distribution of costs and benefits among voters for a government project is illustrated in Figure 6-1. For which type of project would the government most likely fail to undertake many projects that would be considered efficient or productive (in other words, do too few of them relative to economic efficiency)?
The government would most likely fail to undertake many projects that would be considered efficient or productive under the “Concentrated Benefits and Diffuse Costs” type.
According to the concentrated benefits and diffuse costs type, government projects benefit a relatively small group of people who have a strong incentive to press for such projects because they will directly benefit from them. Because the costs of these projects are spread over many individuals, each of whom has a small share of the cost, there is less incentive for opposition to be formed, and as a result, many projects will be implemented even though they may be economically inefficient.
As a result, the government is likely to undertake too many projects relative to economic efficiency under the Concentrated Benefits and Diffuse Costs category. When it comes to the opposite end of the spectrum, government projects under the Diffuse Benefits and Concentrated Costs group may appear to be economically efficient, but they will most likely be avoided due to concentrated opposition. This is the group under which the government is likely to undertake too few projects relative to economic efficiency.
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wooden goods, inc. (wgi) makes custom wooden furniture for outdoor seating. last year, wgi turned their inventory 4.8 times and had a cost of goods sold of $2.7 million. assume 52 business weeks per year. express last year's average inventory in weeks of supply. (enter your response rounded to one decimal place)
The average inventory in weeks of supply is 10.8 weeks.
Calculation of average inventory in weeks of supply:Inventory turnover ratio = 4.8
Cost of goods sold (COGS) = $2.7 million
Business weeks per year = 52 weeks
Average inventory can be calculated using the formula:
Average inventory = COGS / Inventory turnover ratio
We have COGS and inventory turnover ratio.
Let's put the given values in the formula,
[tex]Average inventory = $2,700,000 / 4.8= $562,500[/tex]
The problem statement asks us to find the average inventory in weeks of supply, which is calculated as:
[tex]Average inventory in weeks of supply = (Average inventory / COGS) * Weeks per year\\Average inventory in weeks of supply = ($562,500 / $2,700,000) * 52\\Average inventory in weeks of supply = 0.20833 * 52= 10.83 weeks\\[/tex]
Rounding off the answer to one decimal place, we get the average inventory in weeks of supply is 10.8 weeks.
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Call options on a stock are available with strike prices of $15, $17.5 and $20 and expiration dates in three months. Their prices are $4, $2 and $0.5 respectively. Explain how the options can be used to create a butterfly spread. Construct a table showing how profit varies with stock price for the butterfly spread for four possible price ranges.
The Butterfly Spread is an options trading approach that consists of a combination of a bull spread and a bear spread in which the investor uses three strike prices, buying a call or put option at each price.
The purpose of the Butterfly Spread is to profit from the options’ underlying security remaining within a particular price range.
The call option on a stock is available with strike prices of $15, $17.5, and $20, as well as expiration dates in three months, with prices of $4, $2, and $0.5, respectively.
The investor may construct a Butterfly Spread by purchasing one call option with a strike price of $15, one call option with a strike price of $20, and two call options with a strike price of $17.5.
Here is how Butterfly Spread's profit changes with the stock price at the expiration date.
Range of Stock Prices Payoff ($15 Call) Payoff ($17.5 Call) Payoff ($20 Call) Payoff (Total)15 to 17.5 $2.5 $-1 $0 $1.517.5 to 18.75 $2.5 $1.25 $0 $3.7518.75 to 20 $2.5 $2.5 $0 $5
More than $20 $2.5 $2.5 $0 $5
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cara received a free shampoo packet in the mail with a coupon last week. when cara next went to the store, she took the shampoo coupon and used it to purchase this new hair product. while at the store, cara also bought a particular brand of toothpaste because the tube came with a free toothbrush. cara is taking advantage of
Cara is taking advantage of promotions and discounts offered by retailers. She received a free shampoo packet with a coupon in the mail, which she used to purchase the shampoo when she next went to the store.
She also took advantage of the free toothbrush that came with the tube of toothpaste and thus saved money on the purchase.
Cara is taking advantage of a promotional deal while shopping. Cara is taking advantage of a while shopping promotional deal.
This is because she received a free shampoo packet in the mail with a coupon last week and decided to use the shampoo coupon to purchase a new hair product at the store.
It is safe to say that she is taking advantage of the promotion deals that are being offered in the store. Cara received a free shampoo packet in the mail with a coupon last week.
When she went to the store, she used the shampoo coupon to buy a new hair product.
She bought a particular brand of toothpaste because the tube came with a free toothbrush. Thus, it can be concluded that she is taking advantage of the promotional deals while shopping.
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pete was half-jokingly called the invisible manager by his staff. whenever a problem arose, he was nowhere to be found and let his staff figure out what needed to be done. pete demonstrates a(n) blank leadership style.
Whereas Pete was called the ''invisible manager'' because when a problem occurred he disappeared. Pete demonstrates a laissez-faire leadership style.
Laissez-faire leadership is a management style in which leaders give employees a lot of autonomy and freedom in performing their jobs. The word "laissez-faire" means "let do," which suggests a policy of letting employees do their jobs without too much intervention or direction from their bosses.
In this context, we can say that Pete's leadership style is laissez-faire because he gave his employees a lot of autonomy in performing their jobs. Whenever a problem arose, he was nowhere to be found and let his staff figure out what needed to be done, which implies that he did not provide any direction to his staff.
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Describe in your own words how leadership behavior can be affected by the level of management, the size of the organizational unit and external dependencies.
Leadership behavior can be affected by the level of management, the size of the organizational unit, and external dependencies.
Leadership behavior can be influenced by various factors such as the level of management, the size of the organizational unit, and external dependencies.
At the highest level of management, there is typically an overarching vision that shapes leadership behavior and informs decision-making.
As one moves down to lower levels of management, the level of detail and scope of leadership behavior narrows.
The size of the organizational unit can also affect leadership behavior. Leaders in smaller units often need to juggle multiple roles while leading the organization, while larger units can afford to assign more specialized roles.
Finally, external dependencies such as customer feedback, regulatory oversight, and availability of resources can also influence leadership behavior within an organization.
In conclusion, leadership behavior can be influenced by many factors. Understanding these factors is critical to developing effective leadership skills.
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art has come out with a new and improved product. as a result, the firm projects an roe of 25%, and it will maintain a plowback ratio of 0.20. its earnings this coming year will be $3 per share. investors expect a 12% rate of return on the stock. what price do you expect art shares to sell for in 4 years?
In four years, I anticipate art shares selling for $41.68.
What is the current value of the stock?Market value is another name for the current price. This value is the price at which a share of stock or any other security was last traded. In an open market, the current price serves as a starting point.
The amount Does Value Cost?The cost of equity is the company's required return on an investment or project. For instance, the required return to justify the initiative is determined by the cost of equity when a company decides whether to take on new financing.
Dividend per share= $3
Divided=1-retained profits=1 - 0.2= 0.8
Cost of equity= 12%
Growth rate= 25%*.2= 5%
The formula is;
Current Stock price=Dividend/(cost of equity-growth rate)
Current stock price=$3(0.8)/(0.12-0.05)=$34.29
Share price after 4 year will be=$34.29 (1+ 5%)^4=$41.68
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A variety of options are available for how multinationals can go about constructing compensation plans for expatriates. Which of the following popular methods is not correctly defined?
A. The localization method: paying the expatriate at least 20%-25% more than local employees in similar positions
B. The balance sheet model: "balancing out" the cost differences between the expatriate's home country lifestyle and their foreign assignment location
C. The ad hoc approach: the company and its expatriates negotiate on a case-by-case basis to cover the costs inherent in a foreign assignments
D. The localization method: paying the expatriate essentially the same as local employees in similar positions
A variety of options are available for how multinationals can go about constructing compensation plans for expatriates. Among the popular methods of compensating expatriates, the option that is not correctly defined is The localization method.
What is an Expatriate?
An expatriate is an individual who lives in one country but works in another country. They are also known as ex-pats. People can become expatriates for various reasons, including work, studies, retirement, or even personal reasons. Expatriates can work for multinational corporations or non-governmental organizations, among other organizations.
The Localization method of compensation involves paying the expatriate at least 20%-25% more than local employees in similar positions. This method is used to attract and retain top talent from around the world. It can be challenging for multinational companies to convince their employees to relocate overseas due to the high cost of living in foreign countries. Therefore, to incentivize these individuals to relocate, companies must offer competitive salaries and benefits packages.
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suppose workers expect the price level to increase by 5%. the wage setting relationship predicts that (a) the nominal wage will increase by less than 5%. (b) the nominal wage will increase by exactly 5%. (c) the nominal wage will increase by more than 5%. (d) the real wage will increase by 5%. (e) the real wage will increase by less than 5%.
Answer: (a) The nominal wage will increase by less than 5%.
Suppose workers expect the price level to increase by 5%. The wage-setting relationship predicts that the nominal wage will increase by less than 5%. When the workers expect the price level to increase by 5%, the nominal wage will increase by less than 5%. The nominal wage is the amount of money paid to a worker on an hourly, daily, or weekly basis. The real wage is the wage that a worker earns after adjusting for the effects of inflation.
The relationship between the nominal wage and the price level is referred to as the wage-setting relationship. The nominal wage is affected by the price level, and the wage-setting relationship is used to predict the effect of changes in the price level on the nominal wage. In general, the wage-setting relationship predicts that nominal wages will increase by less than the increase in the price level.
This means that the real wage will decrease. The real wage is the nominal wage divided by the price level. This means that if the price level increases by 5%, the nominal wage would need to increase by more than 5% to maintain the same real wage. If the nominal wage only increases by 5%, the real wage will decrease by the same amount as the price level increase, resulting in a decrease in purchasing power for the workers.
Therefore, the wage-setting relationship predicts that the nominal wage will increase by less than 5% when the workers expect the price level to increase by 5%.
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All of the following are ways to avoid injuries when working on computers except ________. So you are looking up at it ensuring proper lighting taking breaks purchasing an adjustable chair
Option a: All of the following are ways to avoid injuries when working on computers EXCEPT placing a monitor 12" from the eye.
When we talk about computer-related injuries, we mean any type of aches, pains, aches, pains, or syndromes resulting from computer use. In addition to repeated injuries, this includes conditions caused by poor workplace design, improper posture, and uncomfortable furniture.
To make matters worse, computer-related injury statistics show that the problem is becoming more common. Musculoskeletal disorders alone affect 1.8 million workers and incapacitate 600,000.
Computer-related injuries at work come in many forms. They can take the form of muscle spasms, strains, sprains, headaches, and joint pain.
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Complete question:
All of the following are ways to avoid injuries while working on computers except ______.
(a) placing a monitor atleast 12 inches from the eyes
(b) purchasing an adjustable chair
(c) ensuring proper lightening
(d) taking breaks
coleridge company estimates that its production workers will work 125,000 direct labor hours during the upcoming period and that overhead costs will amount to $750,000. assume overhead to be allocated on the basis of direct labor hours. what predetermined overhead rate would be used to apply overhead to production during the period?
The predetermined overhead rate that would be used to apply overhead to production during the period is $6 per direct labor hour.
Coleridge Company estimates that its production workers will work 125,000 direct labor hours during the upcoming period and that overhead costs will amount to $750,000. Assume overhead to be allocated on the basis of direct labor hours.
What predetermined overhead rate would be used to apply overhead to production during the period?The predetermined overhead rate that would be used to apply overhead to production during the period is $6 per direct labor hour.
How to calculate predetermined overhead rate?Predetermined overhead rate is calculated by dividing estimated overhead by estimated activity level.
Here is the formula for calculating predetermined overhead rate:
Predetermined Overhead Rate = Estimated Overhead / Estimated Activity Level
Given the following information: Estimated Overhead = $750,000
Estimated Activity Level = 125,000 direct labor hours
Using the formula:
Predetermined Overhead Rate = $750,000 / 125,000
direct labor hours= $6 per direct labor hour
Therefore, the predetermined overhead rate that would be used to apply overhead to production during the period is $6 per direct labor hour.
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checks outstanding totaled $4,540. a deposit of $4,730, representing receipts of july 31, had been made too late to appear on the bank statement. the bank had collected $2,460 on a note left for collection. the face of the note was $2,330. a check for $600 returned with the statement had been incorrectly recorded by stone systems as $660. the check was for the payment of an obligation to holland co. for the purchase of office supplies on account. a check drawn for $700 had been incorrectly charged by the bank as $70. bank service charges for july amounted to $45.
The total outstanding checks on the bank statement was $4,540. A deposit of $4,730 was made on July 31, which was too late to be reflected in the statement. The bank had collected $2,460 on a note, whose face value was $2,330. A check for $600 was returned with the statement, but Stone Systems had incorrectly recorded it as $660.
This was for payment of an obligation to Holland Co. for the purchase of office supplies. Another check of $700 was incorrectly charged by the bank as $70. Bank service charges for the month of July amounted to $45. Thus, the net balance in the account after accounting for all the above transactions is $4,737.
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It is important for coaches to teach ethical behavior in sport becauseAnswers:models for ethical behavior are not always available forathletessport participation does not always provide an opportunity forathletes to learn ethical behaviorathletes can transfer a basic code of ethics to other areas oflifethe competitive environment does not provide opportunities tolearn moral and ethical behavior
It is important for coaches to teach ethical behavior in sport because athletes can transfer a basic code of ethics to other areas of life. (The correct answer is option C)
In sports, athletes have an opportunity to learn ethical behavior. As they learn sportsmanship, athletes become aware of the significance of fairness, respect, and honesty. Ethical values that are taught to athletes in sport may benefit them throughout their life, including in education, career, and family relationships. Athletes who learn ethical behavior in sport are better equipped to deal with moral issues in life. Therefore the correct answer is C.
Coaches must create a culture of integrity and trust, teaching ethical behavior, building character, and encouraging ethical decision-making. For this reason, coaches must prioritize the development of their athletes' moral and ethical values. Coaches must teach athletes to be honest, fair, and respectful of others, as well as to strive for excellence and be accountable for their actions.
Additionally, coaches can be a model for ethical behavior. They can demonstrate the values of teamwork, honesty, and respect through their actions and words. Athletes learn a lot about the standards of behavior from their coaches, so it's essential for coaches to be role models for their athletes.
In conclusion, coaches play a vital role in teaching ethical behavior to athletes. They must establish a culture of integrity and trust, encourage ethical decision-making, and prioritize the development of their athletes' moral and ethical values. Athletes who learn ethical behavior in sports are better equipped to deal with moral issues in life.
Your question is incomplete as it misses the option letter, the complete question is:
It is important for coaches to teach ethical behavior in sport because:
A. models for ethical behavior are not always available for athletes
B. sport participation does not always provide an opportunity for athletes to learn ethical behavior
C. athletes can transfer a basic code of ethics to other areas of life
D. the competitive environment does not provide opportunities to learn moral and ethical behavior
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Wilson Company reports the following expenditures related to plant assets for the most recent fiscal year! Replacing worn-out machine gears: $1,125Routine vehicle maintenance: $ 875Replacement engine for delivery van: $2,600Expansion of production facility: $84,500 Painting of office building: $ 1,800 Installation of heating system: $ 6,200 Wilson's accountant records all expenditures as capital expenditures. As a result, net income will be A.understated by $10,000. B understated by $93,300. C. overstated by $3,800. D. overstated by $81,575.
In the following question, among the conditions and options given, The effect of all expenditures on Net Income when all expenditures are treated as Capital Expenditure is that net income will be overstated by $93,300.So, option B is the correct answer.
Wilson Company reports the following expenditures related to plant assets for the most recent fiscal year! Replacing worn-out machine gears: $1,125Routine vehicle maintenance: $ 875Replacement engine for delivery van: $2,600 Expansion of production facility: $84,500 Painting of office building: $ 1,800 installation of heating system: $ 6,200 We have to determine the effect of all expenditures on Net Income when all expenditures are treated as Capital Expenditure.
SolutionThe effect of all expenditures on Net Income when all expenditures are treated as Capital Expenditure is that net income will be overstated by $93,300.So, option B is the correct answer. Note: In Accounting, expenditures for plant assets are of two types: Capital expenditure and Revenue expenditure. Capital expenditures are expenditures on acquiring fixed assets or plant assets while revenue expenditures are expenses incurred on normal operations of the company. Capital expenditure is treated as an asset while Revenue expenditure is treated as an expense.
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how much can a single person make a year before owing taxes
The gross income cutoff for reporting taxes ranges from $12,550 to $28,500 for the 2022 tax year, depending on your age, filing status, and dependents. If you earn $400 or more through self-employment, you must record your earnings and file taxes.
Income tax must be paid by any Indian citizen under the age of 60 who earns more than Rs 2.5 lakh. Over 60s who earn more than Rs 2.5 lakh annually are required to pay taxes to the Indian government. The best option to remove a federal tax lien is to pay off your tax liability completely. After you pay your tax debt, the IRS discharges your lien within 30 days.
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Use the following information:
Beginning cash balance on March 1, $79,000.
Cash receipts from sales, $309,000.
Budgeted cash payments for direct materials,$131,000.
Budgeted cash payments for direct labor $74,000.
Other budgeted cash expenses, $40,000.
Cash repayment of bank loan, $16,000.
Prepare a cash budget for the month ended on March 31 for Gado Company. The budget should show expected cash receipts and cash disbursements for the month of March and the balance expected on March 31.ter 20 ter 20 Use the following Information a Beginning cash balance on March 1. $79,000 b. Cash receipts from sales, $309,000 C Budgeted cash payments for direct materials $131,000. d. Budgeted cash payments for direct labor $74,000 e Other budgeted cash expenses, $40,000. t Cash repayment of bank loan, $16,000. Prepare a cash budget for the month ended on March 31 for Gado Company. The budget should cash disbursements for the month of March and the balance expected on March 31 GADO COMPANY Cash Budget For Month Ended March 31 Total cash available Cash payments for Total cash payments
GADO COMPANY Cash Budget For Month Ended March 31
Cash Budget
Particulars Amount ($)
Beginning Cash Balance on March 1: $79,000
Cash Receipts from Sales: $309,000
Budgeted Cash Payments for Direct Materials: $131,000
Budgeted Cash Payments for Direct Labor: $74,000
Other Budgeted Cash Expenses: $40,000
Cash Repayment of Bank Loan: $16,000
Total Cash Available: $427,000
Total Cash Payments: $321,000
Balance Expected on March 31: $106,000
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1. Many locations require that renters be paid interest on their security deposits. If you have a security deposit of $1,700, how much interest would you expect to earn per year at 5 percent?2. Condominiums usually require a monthly fee for various services. At $295 a month, how much would a homeowner pay over a period of 9 years for living in this housing facility?
1. The interest earned per year at 5 percent is $85. 2. The amount homeowner will pay over a period of 9 years for living in this housing facility is $31,860.
1. To calculate the interest earned on a security deposit, we can use the formula:
Interest = Principal x Rate x Time.
Here, the principal is $1,700, the rate is 5% per year, and we need to find the interest earned per year.
So, plugging in the values, we get:
Interest = 1,700 x 0.05 x 1
Interest = $85
Therefore, the expected interest earned per year is $85.
2. To find out how much a homeowner would pay over a period of 9 years for living in a condominium, we can use the formula:
Total cost = Monthly fee x Number of months.
Here, the monthly fee is $295, and the number of months is 9 years x 12 months per year = 108 months.
So, plugging in the values, we get:
Total cost = 295 x 108
Total cost = $31,860
Therefore, a homeowner would pay $31,860 over a period of 9 years for living in this housing facility.
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Drew receives an inheritance that pays him $54,000 every three months for the next two years. Which of the following is closest to the present value (PV) of this inheritance if the interest rate is 8.9% (EAR)?A) $314,366
B) $471,549
C) $392,957
D) $432,000
The present value (PV) of Drew's inheritance is closest to Option C, $392,957, being the correct answer.
How to calculate the present value of Drew's inheritance?To calculate the present value of an annuity of Drew's inheritance using the following formula:
PV = R / (1 + i)nWhere R is the regular payment (in this case, $54,000), i is the effective annual interest rate (in this case, 8.9% or 0.89), and n is the number of payments.
Drew receives $54,000 every 3 months for the next two years, which is equivalent to 8 payments since there are 12 months in a year and payments are made every three months.
Plugging in the numbers, we get:
PV = $54,000 / (1 + 0.89)8 PV= 54,000 / (1.89)8 = $392,957 ← option C.Another question about present value in https://brainly.com/question/20813161
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Which of the following is NOT one of the benefits of current-year and cumulative expenditures for camera/drone product R&D? Reducing future warranty claims and the associated costs of warranty repairs Boosting a company's P/Q ratings (the size of this benefit varies with the current and cumulative amounts spent and shows up in the P/Q ratings at the beginning of the following year) Increasing the productivity of PATs in assembling camera/drone models (because of easier to assemble product designs); the size of this benefit occurs immediately and varies according to the current and cumulative amounts spent Providing a pipeline of proven ways to produce and market new and improved camera/drone designs and models, thereby enabling the company to outsell rival brands and become the market share leader in all four geographic regions. o Lowering the costs of components, accessories, and enhancement features used in assembling cameras/drones
Increasing a company's P/Q rating; the size of this advantage fluctuates with the current and cumulative expenditures spent and appears in the P/Q ratings at the start of the next year.
Which of the following makes up the benefits package for camera/drone PAT members' compensation?Base salary for the year, assembly quality incentives ($ per unit assembled distributed evenly among PAT members), year-end bonus for flawless attendance, and the dollar value of a PAT member's fringe benefit package.
Which of the following practices improves a brand's reputation and image rating for a company?The manuals and packaging for the company's action cameras are made from recycled materials and environmentally friendly camera parts. A company's reputation will improve if it invests in socially responsible projects.
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Businesses that are _______ and have a relatively low potential for liability usually do not require the protection and flexibility offered by more complex forms of business entities.a. self-fundedb. over-capitalizedc. taxes as a separate entityd. managed by a third party
The answer to the question is "c. taxed as a separate entity." Business entities that are taxed as separate entities are the ones that do not require the protection and flexibility provided by more complex forms of business entities.
The complexity of a business entity is highly influenced by its potential for liability. Thus, businesses with a relatively low potential for liability can do well with a simple business entity, while businesses with a higher potential for liability require more complex structures. A business entity is a specific kind of legal entity that is utilized for business activities, business dealings, or other similar activities. A business entity provides a platform for managing a commercial enterprise and ensures that its owners are well-protected.
Business entities are of various forms, such as sole proprietorship, partnership, corporation, or limited liability company (LLC). "Business liability" is the legal responsibility of a business for its actions or omissions that cause harm to others. Liability is a factor to consider when choosing a business entity. A company can choose to operate as a separate legal entity that protects the owners' personal assets from the business's liabilities.
Therefore, to limit business liability, businesses require more complex forms of business entities.
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at a price of $11, quantity demanded is 90; and at a price of $9, quantity demanded is 110. since total revenue by the price decrease, demand must be .
At a price of $11, quantity demanded is 90; and at a price of $9, quantity demanded is 110. Since total revenue remains the same by the price decrease, demand must be unit elastic.
The total revenue (TR) for a product is calculated by multiplying the price (P) by the quantity demanded (Q): TR = P x Q.
At a price of $11, quantity demanded is 90, so TR = $11 x 90 = $990.
At a price of $9, quantity demanded is 110, so TR = $9 x 110 = $990.
Since the total revenue remains the same after the price decrease, the demand must be unit elastic. This means that the percentage change in quantity demanded is equal to the percentage change in price. In other words, a 10% decrease in price led to a 10% increase in quantity demanded, resulting in no change in total revenue.
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three business co-owners are setting up a new manufacturing facility, and they are currently identifying partners to perform certain functions needed in the demand chain. which aspect of demand management are they addressing?
The three co-owners are addressing the aspect of Demand Management, which involves balancing supply with customer demand.
This is done by accurately forecasting customer demand, managing inventory levels, and controlling the production and distribution process.
Demand Management involves using methods such as market research and analytics to forecast customer demand, and using inventory management tools to keep a track of the levels of inventory. This helps the co-owners to understand their customer's needs and tailor their production accordingly.
Additionally, demand management also involves controlling the production process, which involves making sure that the manufacturing process is efficient and that the products are delivered to the customer on time.
Furthermore, it also involves controlling the distribution process, which involves setting up efficient supply chains and making sure that the products are delivered to the customer within the specified time.
In summary, the three co-owners are addressing the aspect of Demand Management, which involves balancing supply with customer demand.
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quality control for a cpa firm, as referred to in statements on quality control standards (sqcs), applies to auditing services only. auditing and consulting services. auditing and tax services. auditing and accounting and review services.
Quality control for a CPA firm, as referred to in Statements on Quality Control Standards (SQCS), applies to auditing and accounting and review services.
Quality control is the process of ensuring that the products or services produced by a company or an individual are of high quality. The product or service produced should meet the needs of the client or customer. Quality control is also known as QC or quality management.
Quality control in a CPA firm is a critical part of ensuring that the services provided by the firm are of high quality. The SQCS outlines the requirements for quality control in a CPA firm. The SQCS is a set of guidelines that helps CPA firms provide quality services to their clients. The SQCS applies to auditing and accounting and reviews services. It outlines the requirements for quality control in a CPA firm, which includes policies, procedures, and training. Quality control helps to ensure that the work done by the CPA firm is accurate, reliable, and meets the needs of the client.
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An increase in inflationary expectations will most likely affect nominal interest rates and bond prices in which of the following ways in the short run?
Nominal Interest Rates / Bond Prices
(A) Increase / No change
(B) Increase / Decrease
(C) No change / Increase
(D) Decrease/ increase
(E) Decrease / Decrease
An increase in inflationary expectations will most likely affect nominal interest rates and bond prices in the short run by an increase in nominal interest rates and a decrease of bond prices. The correct answer is Option B.
How does an increase in inflationary expectations affect bond prices and nominal interest rates in the short run?When an economy is on the cusp of inflation, nominal interest rates rise. This rise in nominal rates increases the cost of borrowing and decreases the demand for credit. To remain competitive, banks increase their lending rates, and bond yields rise as a result. The price of a bond decreases as its yield rises because it is now less desirable to hold the bond. Thus, the value of a bond falls when interest rates rise.
An increase in inflationary expectations will raise the cost of borrowing in the economy, prompting banks to charge higher lending rates, and hence bond yields will increase. As the price of the bond falls, it becomes less desirable to hold, thus the value of the bond decreases. Therefore, bond prices will decline, and nominal interest rates will increase. Thus, the correct answer is (B) Increase / Decrease.
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a. what factors determine the elasticity of resource demand? multiple choice A. income of buyers in the market and the ratio of resource costs to total revenues B. ease of resource substitutability, elasticity of product demand, and the ratio of resource costs to total costs C. elasticity of product supply and the price of the resource D. elasticity of product supply, the ratio of resource costs to total revenues, and the income of buyers in the market b. what effect will each of the following have on the elasticity or the location of the demand for resource c, which is being used to produce commodity x?I. An Increase In the demand for product X:ii. An increase in the price of substitute resource D: ill. An increase in the number of resources substitutable for C in producing X: iv. A technological improvement in the capital equipment with which resource C is combined: v. A fall in the price of complementary resource E:vi. A decline in the elasticity of demand for product X due to a decline in the competitiveness of product market X:
The factors that determine the elasticity of resource demand are multiple choice A. income of buyers in the market and the ratio of resource costs to total revenues.
Ease of resource substitutability, elasticity of product demand, and the ratio of resource costs to total costs, C. elasticity of product supply, and the price of the resource, and D. elasticity of product supply, the ratio of resource costs to total revenues, and the income of buyers in the market.b. The effects that each of the following factors will have on the elasticity or the location of the demand for resource c, which is being used to produce commodity x, are:I. An Increase In the demand for product X - When there is an increase in the demand for product X, the demand for resource C used to produce commodity X also increases. This increase in demand leads to an increase in the price of resource C, which makes the demand for resource C more inelastic.ii. An increase in the price of substitute resource D - When the price of substitute resource D increases, the demand for resource C used to produce commodity X decreases. This decrease in demand leads to a decrease in the price of resource C, which makes the demand for resource C more elastic.ill. An increase in the number of resources substitutable for C in producing X - When the number of resources substitutable for C in producing commodity X increases, the demand for resource C used to produce commodity X decreases. This decrease in demand leads to a decrease in the price of resource C, which makes the demand for resource C more elastic.iv. A technological improvement in the capital equipment with which resource C is combined - When there is a technological improvement in the capital equipment with which resource C is combined, the demand for resource C used to produce commodity X increases. This increase in demand leads to an increase in the price of resource C, which makes the demand for resource C more inelastic.v. A fall in the price of complementary resource E - When the price of complementary resource E falls, the demand for resource C used to produce commodity X increases. This increase in demand leads to an increase in the price of resource C, which makes the demand for resource C more inelastic.vi. A decline in the elasticity of demand for product X due to a decline in the competitiveness of product market X - When there is a decline in the elasticity of demand for product X due to a decline in the competitiveness of product market X, the demand for resource C used to produce commodity X decreases. This decrease in demand leads to a decrease in the price of resource C, which makes the demand for resource C more elastic.
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Janet has a company that pays all employees a salary on the first and the fifteenth of the month. Her normal payroll is $10,000 per pay period. On the last day of the month she would have shown$20,000 as an operating expense under salaries on the income statement.$10,000 as payroll payable on the balance sheet.$20,000 as a cash flow from operating expenses on the statement of cash flows.All of these
The amount that would have been displayed on the last day of the month in Janet's company that pays all employees a salary on the first and the fifteenth of the month is: $10,000 as payroll payable on the balance sheet. Therefore, the correct option is B.
An income statement is a financial statement that shows a company's earnings over a defined period of time, such as a fiscal year or quarter. The statement shows a company's revenues and expenses during the time period, resulting in net income or loss at the conclusion.
A balance sheet is a financial statement that provides a snapshot of a company's assets, liabilities, and shareholders' equity at a specific point in time. A statement of cash flows is a financial statement that reports on a company's cash inflows and outflows during a defined period of time.
Janet's normal payroll is $10,000 per pay period. On the last day of the month, no salaries would have been paid since salaries are paid on the first and fifteenth of the month. This means that the company would have a liability to its employees for unpaid salaries of $10,000, which is recognized on the balance sheet as payroll payable.
Hence, the option (B) $10,000 as payroll payable on the balance sheet would have been displayed on the last day of the month in Janet's company that pays all employees a salary on the first and the fifteenth of the month.
Note: The question is incomplete. The complete question probably is: Janet has a company that pays all employees a salary on the first and the fifteenth of the month. Her normal payroll is $10,000 per pay period. On the last day of the month she would have shown: A) $20,000 as an operating expense under salaries on the income statement. B) $10,000 as payroll payable on the balance sheet. C) $20,000 as a cash flow from operating expenses on the statement of cash flows. D) All of these. E) Not enough information is provided to answer this question.
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