TRUE OR FALSE if alternatively karim's hooknladder were a competitive firm and $125,000 were the market price for an engine, decreasing its price from $125,000 to $75,000 would result in a decrease in the production quantity, but an increase in total revenue.

Answers

Answer 1

The preceding assertion is untrue if, instead, Karim's HooknLadder was a rival business and the spot price for an engine was $125,000.

What are sales versus profit?

Both provide a critical perspective on your company. Profit refers to operating earnings after excluding expenditures form earnings, whereas revenue refers to income gained via company activities. Sales, fee-based revenue, and property-based income are just a few of the several ways that money might come in.

Income or revenue?

You should be aware that "revenue" refers to the whole amount of money a firm makes before deducting any expenditures when comparing revenue and income. On the opposite hand, "earnings" is determined by deducting corporate expenses like obsolescence, interest, royalties, and other charges from revenues.

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Related Questions

the stock of money is determined by the federal reserve system and does not change when the interest rate changes; therefore the

Answers

The stock of money is determined by the federal reserve system and does not change when the interest rate changes therefore the supply of the money curve is verticle.

The Fed can influence the money supply by changing reserve requirements. Reserve requirements generally refer to the number of funds a bank must hold against deposits in a bank account. By lowering the reserve requirement ratio, banks can lend more money.

Increase the total amount of money in the economy. The Federal Reserve Board controls the money supply by increasing or decreasing the monetary base. The monetary base depends on the size of the Fed's balance sheet. Specifically, it is the currency in circulation plus the balance of deposits held by the custodians of the Federal Reserve.

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A company bought a new machine for its warehouse on January 1: • Paid $10,000 in cash • Financed the rest of the purchase price via a $30,000 5-year note • Incurred a separate $2,000 setup charge Monthly depreciation is $500 ($6,000 annual). What's the book value of the new machine on December 31? $9,500 $24,000 $34,000 $36,000

Answers

Cost of property encompass fees incurred until asset is positioned to use. In this example book value will include coins paid quantity financed and setup expenses incurred. $36000 is the correct answer!  

The required details about book value is mentioned in below paragraph.

In accounting, book value is the cost of an asset in keeping with its stability sheet account stability. For property, the cost is primarily based totally at the authentic fee of the asset much less any depreciation, amortization or impairment fees made in opposition to the asset The book value actually means the cost of a commercial enterprise in keeping with its books or accounts, as pondered on its monetary statements. Theoretically, it's far what buyers could get in the event that they offered all of the company's property and paid all its money owed and obligations.

Computation of Book Value of machine on Dec 31    

Cash paid for machine  $             10,000.00    

Note payable signed for machine  $          30,000.00    

Setup Charges incurred for machine  $          2,000.00    

Total Cost                                          $          42,000.00    

Less: Depreciation for the year          $          6,000.00    

Book value of machine on dec 31  $          36,000.00    

      $36000 is the correct answer!  

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on april 1 a company sells a 5-year, $60,000 bond with a 7% stated interest rate. the market interest on that day was also 7%. if interest is paid quarterly, the company makes interest payments of .
Group of answer choices
$1,050
$3,150
$4,200
$5,250

Answers

If interest is paid quarterly, the company makes interest payments of $1,050.

Interest rate is that the quantity charged over and on top of the principal quantity by the investor from the receiver. In terms of the receiver, an individual who deposits cash to any bank or financial organization additionally earns further financial gain considering the value of cash, termed as interest received by the investor.

For a loan, the market rate is that the average rate of interest which will be charged to the receiver from a spread of suppliers. To the capitalist, the market rate is that the average rate of interest gained from all or a definite set of investment vehicles that ar on the market on the open market.

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which of the following best depicts the current subasimilation outcomes for irish americans in the 21st century

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High cultural, Secondary, primary, and Marital assimilation best depicts the current subsidization outcomes for Irish Americans in the 21st century

High culture is a term used to describe the cultural products of a society that are held in the highest regard by that society, and are often associated with the upper classes. These cultural products are typically seen as having superior artistic or intellectual value and are often seen as possessing an aura of antiquity and wisdom that is unattainable to the general public.

This can include art, music, literature, philosophy, religion, and architecture. High culture is often seen as a reflection of a society's values and ideals and is often used to differentiate the upper classes from the lower classes. High culture is often seen as a sign of status, and those who possess it are often seen as superior to those who do not.

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in the circular-flow diagram, if Jane is an employee who delivers packages for fedex, she participates in the markets for ___
A) factos of prodcution exchanging packages for revenue
B) goods and sercvices exchanging packages for wages, rent, and profit
C) goods and services exchanging for labor for service
D) factos of prodcution exchanging labor for income

Answers

FedEx Services provides sales, marketing, information technology, communications, customer service, technical support, billing and collection services, and certain back-office.

What is a pull based strategy?Pull strategy is inventory management that reacts in real time to current consumer demand. Push strategy, which creates inventory ahead of anticipated consumer demand based on projections, seasonal demand planning, and historical trends, is frequently contrasted with it.A technique of marketing in which a business invests time and money to promote products to customers directly in the hopes that they will desire to purchase them: Using a pull technique necessitates thorough market understanding.The goal of the pull marketing strategy is to increase the number of consumers who want to purchase a specific good. To encourage stores to stock a product, it frequently involves persuading a buyer to actively seek it out.The package shipping industry is dominated by a few large competitors: us postal service, FedEx, and ups. this is an example of Pure competition.

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___ is an expensive way to finance a new business. a. credit b. credit grants c. grants loans d. loans investments d. investments

Answers

Answer:

hope this helps

Explanation:

the freaken award is ......................................................... c

Which of the following statements relating to a firm in an imperfectly competitive market and a firm in a perfectly competitive market is true?
a) Firms in both types of markets will likely advertise the merits of their products to increase sales.
b) Firms in both types of markets will increase price to increase total revenues when their demand is inelastic.
c) An imperfectly competitive firm must lower its price to increase sales, while a perfectly competitive firm can increase sales by increasing output at the current price.
d) Barriers to entry give both imperfectly competitive and perfectly competitive firms market power to raise price.
e) As their product becomes different from their competitors' product, both an imperfectly competitive firm and a perfectly competitive firm will face less elastic consumer demand.

Answers

An imperfectly competitive firm must lower its price to increase sales, while a perfectly competitive firm can increase sales by increasing output at the current price is True.

What does Firm mean?

A firm is a business organization that provides goods or services to customers and clients. It is usually a partnership or corporation. It can also refer to a company's reputation, financial strength, and management team strength.A "firm" is the name used in a legal context to refer to a specific business organization, whether it is a partnership, limited liability company, corporation, or other type of legal entity.

What does Liability means?
A legal obligation to pay a debt or compensate for a loss or damage is referred to as liability. It is a legal or contractual obligation to pay money to another person or organization. An asset or property that is subject to being used to pay a debt or other obligation is also referred to as a "liability."

Therfore the correct option is c) An imperfectly competitive firm must lower its price to increase sales, while a perfectly competitive firm can increase sales by increasing output at the current price.

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which of the following statements about capital budgeting is not true? decisions have to be made considering long-term cash flow factors.

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The claim on capital budgeting that is untrue is (A) Purchase decisions are made at the manager level.

Long-term choices involving major capital purchases are capital budgeting. Due to the size of the sum, it might not be possible to change these choices. Decisions must take into account long-term cash flow issues because there are a lot of risks associated with the usage of resources. Since they are so important to the business, the buying decisions are made at the highest level.

Making the best judgments is aided by capital budgeting. It includes decisions regarding expansion plans, mergers, and replacements but excludes those pertaining to inventory.

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COMPLETE QUESTION:

Which of the following statements about capital budgeting is not true

A) Purchase decisions are made at the manager level.

B) Capital purchases are for large amounts.

C) Capital purchases are long-term.

D) Decisions may not be possible to reverse.

E) Decisions have to be made considering long-term cash flow factors.

Companies often require non-disclosure agreements from their employees because a non-disclosure agreement

identifies all the different ways an employee could violate company policies
obligates the employer to keep the personal information of employees private
protects company secrets from being leaked, which could result in loss of clients
provides for a documented exchange of information between employees and employers

Answers

A non-disclosure agreement (NDA) is a contract that is enforceable under law and creates a confidential relationship. The signatory(s) agree that any sensitive information they may collect will not be disclosed to any third parties. A confidentiality agreement is another name for an NDA.

What is non-disclosure agreement (NDA)?

Non-disclosure agreements are frequently used by companies when they get into negotiations with other companies. They give the parties the freedom to exchange private information without worrying that their rivals would obtain it. It might be referred to as a mutual non-disclosure agreement in this situation.

Before conversations between companies about potential joint ventures, the NDA is customary.

To safeguard the private business information of a company, NDAs are frequently demanded of employees.

A confidentiality agreement is another name for an NDA.

Mutual and non-mutual non-disclosure agreements are the two main categories of non-disclosure agreements.

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When one business is dependent upon the performance of another business, liability for poor performance becomes easier and clearer to determine. TRUE or FALSE

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When one company depends on the success of another, it is simpler to prove liability for inadequate performance. FALSE

What do you mean by liability?

A company's potential obligations to clients, vendors, or other businesses are referred to as liabilities. This suggests that future profits for the company won't be possible. In contrast to equity, a responsibility is a way for a firm to obtain funding.

How do assets and liabilities differ?

Assets show a net growth in value while liabilities show a net loss in value. By comparing a company's entire assets to its total liabilities using a common accounting calculation, investors can determine the ratio of assets to liabilities and determine the company's value.

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2. Problems and Applications Q2A small town is served by many competing supermarkets, which all have the same constant marginal cost.Use the black point (plus symbol) to show the competitive price and quantity in this market. Then use the green area (triangle symbol) to shade the area representing consumer surplus in the market for groceries, and use the purple area (diamond symbol) to shade the area representing producer surplus.Now suppose that the independent supermarkets combine into one chain. Use the black point (plus symbol) to show the profit-maximizing monopoly outcome. Then use the green area (triangle symbol) to shade the area representing consumer surplus in the market for groceries, and use the purple area (diamond symbol) to shade the area representing producer surplus. Finally, use the black area (plus symbol) to shade the area representing deadweight loss.Which of the following statements is true about the changes that occur after the supermarkets merge? check all that apply. O the market quantity decreases. O total surplus remains unchangedO producer surplus fallsO consumer surplus fallsO the market price decreases.

Answers

The customer overflow lies just beneath the interest bend (the descending inclining bend) and the maker excess is over the marginal cost.

What is marginal cost?

In administration bookkeeping, the possibility of minimal expense is urgent because expanding yield through economies of scale inside an organization might be utilized.

By delivering where marginal cost  (MC) rises to negligible income, a business might improve its profit (MR).

Since fixed costs are fixed paying little mind to yield levels, bigger creation spreads the all-out fixed cost over additional units, bringing about a lower fixed cost for each unit.

Creation levels influence variable expenses, hence expanding the number of units will build those expenses.

Organizations should know that developing results leads to sync costs due to changes in significant reaches (i.e., extra apparatus or extra room required).

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Suppose the price level is fixed, the MPC is .5, and the GDP gap is a negative $100 billion. To achieve full-employment output (exactly), government should
A. increase government expenditures by $100 billion
B. increase government expenditures by $50 billion
C. reduce taxes by $50 billion
D. reduce taxes by $200 billion

Answers

Multiplier is 1/.5= 2 so 50 billion increases demand by 100 and closes the GDP gap.

Hence, the correct option is B i.e., increase government expenditures by $50 billion.

The difference between an economy's actual gross domestic product (GDP) and its potential GDP, as shown by the long-term trend, is known as the GDP gap. A country's economy forfeits output when there aren't enough jobs for everyone who wants to work, which results in a negative GDP gap. On the other side, a significant positive GDP gap typically indicates that an economy is overheated and at risk of experiencing excessive inflation.

The production gap is the distinction between real GDP and potential GDP.

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A perfectly competitive producer's demand curve is:
a. downward sloping but more elastic than the market demand curve.
b. also the market demand curve.
c. upward sloping.
d. a vertical line.
e. a horizontal line.

Answers

A perfectly competitive producer's demand curve is downward sloping but more elastic than the market demand curve.

Demonstrate Demand curve of perfectly competitive market

The demand curve for the market, which encompasses all firms, slopes downward; yet, the demand curve for a particular firm is flat or fully elastic, reflecting the fact that the customer accepts the price set by the market. The presumption that each firm is small accounts for the disparity in slopes between the market demand curve and the demand curve of each individual firm. The market price cannot be changed by any amount of output a single firm produces. Keep in mind that the amount of output that each firm decides to supply will entirely determine the equilibrium quantity of production for that firm.

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Question 1 (1 point) On May 1, 2022, Heineken Company had beginning inventory consisting of 300 units with a unit cost of $7. During May, the company purchased inventory as follows: 600 units at $7 900 units at $8 The company sold 1,500 units during the month for $12 per unit. Heineken uses the average-cost method. The average cost per unit for May is O $7.00. O $7.50.O $7.60. O $8.00.

Answers

On May 1, 2022, Heineken Company had 300 units of initial inventory at a $7 per unit cost. The average price per unit for the 20 selections in May is $8.00.

Starting Inventory: What Does It Mean?

The total dollar value of stock products that are available for use or sale at the start of an accounting period is referred to as commencing inventory. Beginning stock, also referred to as commencing stock, is the same as ending stock from the previous accounting period.

Stock, often known as inventory, refers to the goods and materials that a business keeps on hand with the intention of reselling, producing, or using them later. Usually, stock control refers to a discipline that generally specifies the number and location of stocked commodities.

Inventory is the collective term for all the materials, supplies, items, and things that a company keeps on hand in order to sell them to customers and turn a profit. If a newspaper distributor employs a vehicle to deliver newspapers to customers, for instance, then merely the newspaper might be regarded as inventory. The four most typical forms of inventory, though there are many others, are raw materials and additives, work-in-progress, finished goods, and maintenance, repair, and functional resources.

[(300 × $7) + (400 × $7) + (600 × $8)] ÷ 1,500 = $7.50; [($12 - $7.50)] × 1,000 = $8.00.

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american honda purchases over $20 billion worth of auto parts and materials every year. are key players in the company's success. group of answer choices

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American Honda annually spends more than $20 billion on materials and motor parts. the success of the business depends on them. a selection of responses.

Which of the following generations has the highest level of education to date?

The current most educated generation is Generation X. C) The population's poorest group is made up of baby boomers.

What about people's views and values is most likely accurate?

What about people's views and values is most likely accurate? Values and fundamental beliefs are very persistent.

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You choose to participate in a raffle . Raffle tickets sell for $5 each and there are a total of 10000 tickets . The prizes in this raffle are * 1st prize $20,000 college scholarships (1 winner)
* 2nd prize $10,000 college scholarship (2 winner)
* 3rd prize $ 1,000 college scholarship (5 winner) * 4th prize $100 college scholarship (50 winners) You purchase one $5 raffle ticket . How much of your college tuition can you expect to be paid for by your raffle ticket purchase .

Answers

The college tuition can that expected to be paid for by purchasing of raffle ticket can be computed through the use of probability.

What is probability?

A probability is a numerical representation of the likelihood or chance that a specific event will take place. Both proportions ranging from 0 to 1 and percentages ranging from 0% to 100% can be used to describe probabilities.

The probability is computed by dividing the total number of possible outcomes by the number of possible ways the event could occur. Probability and odds are two distinct ideas. Odds are calculated by dividing the likelihood of an event by the likelihood that it won't.

The probability of winning a scholarship can be computed separately for each raffle prize:

Total No. of Tickets = 10000 tickets

Price per ticket = $5

a) 1st prize college scholarships (1 winner) = $20,000

∴ P = No. of Outcome / Total Outcome = 1/10000 = 0.01%

b) 2nd prize college scholarship (2 winner) = $10,000

∴ P = No. of Outcome / Total Outcome = 2/10000 = 0.02%

c) 3rd prize college scholarship (5 winner) = $ 1,000

∴ P = No. of Outcome / Total Outcome = 5/10000 = 0.05%

d) 4th prize college scholarship (50 winners) = $100

∴ P = No. of Outcome / Total Outcome = 50/10000 = 0.5%

Therefore the probability amount that would be win as college scholarship is $5 which is equal to the raffle ticket price.  

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You recently purchased 100 shares of stock $15 per share. The stock is now worth $20 per share, and it paid $2 dividend during the time you held it. You rate of return on the stock is closest to what percent? -20%, 33%, 35%, or 47%

Answers

Purchase Stock may not be less than 50% of the Fair Market Value of the Common Stock on the date such Purchase Stock is offered.

What is a Stock Dividend?

A stock dividend is a dividend payment given in the form of shares rather than cash, and is a strategy employed by firms to disperse wealth to shareholders. When the business has a limited amount of liquid cash on hand, stock dividends are typically distributed in instead of cash dividends.

The timing and format of a stock dividend declaration and payment are determined by the board of directors. A stock dividend is similar to a cash dividend in that it does not boost shareholder wealth or market capitalization.

Although it raises the number of shares a corporation has outstanding, the price per share must fall in tandem. Why the share price must fall if more shares are issued is explained by the fact that a company's market capitalisation stays the same.

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TMA manufactures 37-in. high definition LCD televisions in two separate locations, Locations I and II. The output at Location I is at most 6000 televisions/month, whereas the output at Location II is at most 5000 televisions/month. TMA is the main supplier of televisions to the Pulsar Corporation, its holding company, which has priority in having all its requirements met. In a certain month, Pulsar placed orders for 3000 and 4000 televisions to be shipped to two of its factories located in City A and City B, respectively. The shipping costs (in dollars) per television from the two TMA plants to the two Pulsar factories are as follows.
To Pulsar Factories
From TMA City A City B
Location I $6 $3
Location II $7 $10
TMA will ship x televisions from Location I to city A and y televisions from Location I to city B. Find a shipping schedule that meets the requirements of both companies while keeping costs to a minimum.
(x, y) = What is the minimum cost?
$

Answers

In easy terms, delivery charges are the fees for the movement of cargo from Point A to Point B. Depending on the kind of contract, a couple of aspects may additionally be included in the transport costs.

Are transport costs by way of dimension or weight?

All main carriers use a pricing technique called dimensional weight (also referred to as DIM weight) to calculate shipping rates. Dimensional weight takes into account the size of a package to determine the delivery cost.

Use flat-rate delivery where possible—flat-rate transport will almost always be the pleasant fee for money, especially for domestic delivery. Flat-rate shipping potential that you can predict expenditures greater accurately. No matter what sort of parcel you have or what dimensions or weight it is, the charge will usually be the same.

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True or False: Load reports show capacity requirements for departments or work centers which may be more or less than the capacity available in that work center

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True - Load reports show capacity requirements for departments or work centers which may be more or less than the capacity available in that work center.

In arithmetic, the capability of a hard and fast in Euclidean area is a degree of the "length" of that set. in contrast to, say, Lebesgue degree, which measures a fixed's extent or bodily extent, ability is a mathematical analogue of a set's potential to preserve electric price. more exactly, it's miles the capacitance of the set: the overall rate a fixed can maintain even as retaining a given capacity electricity. The capacity strength is computed with appreciate to an idealized ground at infinity for the harmonic or Newtonian potential, and with recognize to a surface for the condenser capacity.

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The dominant strategy for player 1 in the accompanying game is Player 1 Player 2 A B C X 9, 8 10, 12 3, 15 Y 5, 6 12, 20 4, 10 Z 10, 9 13, 4 8, 12
The dominant strategy for player 1 in the accompanying game is
Question 7 options:
C.
X.
Z.
Y.

Answers

The dominant strategy for player 1 in the accompanying game is Y.

What is a game theory?

In game theory, the dominating strategy is a situation in which one player has superior tactics regardless of how their opponent chooses to play. All other things being equal, that player has an advantage over the opposition in the game. It implies that the dominant player will always have control over the course of events, regardless of the strategies employed by the adversary.

The option with the greatest advantages among the available options is considered the dominant strategy. The dominant strategy focuses on actions taken by any player in the game without taking the opponent's response into account. It is an independent action that the player has taken.

Therefore, based on the information, Y will be the dominant strategy for player 1 in the accompanying game.

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Lauren contributed $7,200 before-tax to her 401(k). If Lauren has a 24 percent marginal rate, her after-tax cost of the contribution is $__.

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Lauren contributed $7,200 before tax to her 401(k). If Lauren has a 24 percent marginal rate, her after-tax cost of the contribution is $5,472.

What is the Marginal Tax Rate?

The amount of additional tax paid for each new dollar of income received is known as the marginal tax rate. Total taxes paid divided by total income earned is the average tax rate. With a marginal tax rate of 10%, tax would be deducted from the following dollar of income at a rate of 10%.

You must determine the additional tax on the new income in order to get the marginal tax rate on the investment. $500 will be taxed at 15% and $500 at 25% in this scenario. This results in a tax of $200, which, when applied to an income of $1,000, results in a marginal tax rate from that investment of $200 divided by $1,000, or 20%.

According to the given information:

7,200 X (2) .24= 1,728

7,200 - 1,728= $5,472

So, the after-tax cost of the contribution is $5,472.

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global corporation had 44,000 shares of $20 par value common stock outstanding on july 1. later that day the board of directors declared a 5% stock dividend when the market value of each share was $29. the entry to record the dividend declaration is: multiple choice debit retained earnings $63,800; credit common stock dividend distributable $44,000; credit paid-in capital in excess of par value, common stock $19,800. debit retained earnings $63,800; credit cash $63,800. debit retained earnings $44,000; credit common stock dividend distributable $44,000. no entry is made until the stock is issued. debit retained earnings $63,800; credit common stock dividend distributable $63,800.

Answers

If global corporation had 44,000 shares of $20 par value common stock outstanding on july 1. the entry to record the dividend declaration is: Debit Retained Earnings $63,800; credit Common Stock Dividend Distributable $44,000; credit Paid-In Capital in Excess of Par Value, Common Stock $19,800.

What is journal entry?

Journal entry  is used by companies  to post or record their day to day business transaction.

Retained earnings =44,000 shares × 5% × $29

Retained earnings = $63,800

Common Stock Dividend Distributable= 44,000 shares × 5% × $20

Common Stock Dividend Distributable = $44,000

Paid-in Capital in Excess of Par Value, Common Stock= 44,000 shares × 5% × $9

Paid-in Capital in Excess of Par Value, Common Stock= $19,800

Global corporation Journal entry

Debit Retained Earnings $63,800

Credit Common Stock Dividend Distributable $44,000

Credit Paid-In Capital in Excess of Par Value, Common Stock $19,800

Therefore the entry is Debit Retained Earnings $63,800; credit Common Stock Dividend Distributable $44,000; credit Paid-In Capital in Excess of Par Value, Common Stock $19,800.

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When Michael started his construction company, he needed to purchase some very expensive excavating equipment, but he didn't have the cash on hand to do so. He borrowed from the bank to cover this _______ expenditure. Multiple Choice a. principal b. short-term c. capital d. inventory e. intangible

Answers

When Michael started his construction company, he needed to purchase some very expensive excavating equipment, but he didn't have the cash on hand to do so. He borrowed from the bank to cover this capital expenditure. The Option C is correct.

What is a capital expenditure?

Basically, a capital expenditures refers to the funds used by a company to acquire, upgrade, and maintain its physical assets such as property, plants, buildings, technology, or equipment.

This expenditure is often used to undertake new projects or investments by a company. Making of capital expenditures on fixed assets can include repairing a roof. purchasing a piece of equipment, or building a new factory.

In conclusion, this type of financial outlay are made by companies to increase the scope of their operations or add some future economic benefit to the operation.

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What does confirmation bias encourage?

Answers

The confirmation bias concept comes from the field of cognitive psychology and has been adapted to behavioral finance. Confirmation bias flourishes because it's an efficient way to process information, it promotes self-esteem, and it eases stress by eliminating conflict and contradictions.

Affirmation bias is a time period from the sphere of cognitive psychology that describes how humans certainly favor information that confirms their previously existing ideals. Professionals in the discipline of behavioral finance locate that this essential principle applies to buyers in notable ways.

Because buyers are seeking for out statistics that confirms their current evaluations and ignore facts or information that refutes them, they will skew the value in their selections based totally on their very own cognitive biases. This mental phenomenon takes place when buyers filter out probably useful facts and evaluations that don’t coincide with their preconceived notions.

Traders must be aware about their very own tendency closer to affirmation bias to be able to overcome negative decision-making, missing chances, and avoid falling prey to bubbles. Looking for contrarian perspectives and keeping off affirmative questions are two approaches to counteract affirmation bias.

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Jaheem, who owns a hardware store, uses an income statement to show his revenue and expenses over the past three years to potential investors.
True or False

Answers

A three-year income statement is used by Jaheem, the owner of a hardware store, to show prospective investors his earnings and outlays. It's untrue what they say.

A statement of income is what?The income statement is one of the three essential financial statements that are used to assess a company's financial performance over the course of a specific accounting period. The balance sheet and the cash flow statement are the two additional crucial statements.The income statement's primary subjects are the revenue, expenses, profits, and losses a company incurred over a certain time period. An income statement, also known as the profit and loss (P&L) statement or the statement of sales and expenses, provides crucial details about a company's operations, the efficiency of its management, underperforming industries, and its performance in relation to peers in the same industry.

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A permanent mortgage: O has a term of at least 20 years O is used to finance the purchase of existing properties O cannot be prepaid in any circumstances O none of the above

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A permanent mortgage has a term of at least 20 years. The purchase of homes and other real estate is made possible through mortgage loans.

A mortgage is a sort of loan used to buy or maintain a home, a plot of land, or other real estate. The borrower commits to paying the lender over time, usually in a series of regular instalments that are split into principal and interest. As security for the loan, the property is then used.

In order to qualify for a mortgage, a borrower must submit an application through their preferred lender and make sure they satisfy a number of standards, including down payments and minimum credit scores. Before they are closed, mortgage applications must pass a thorough underwriting process. Different mortgage products, including fixed-rate and conventional loans, are available depending on the borrower's needs.

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A firm’s WACC can be correctly used to discount the expected cash flows of a new project when that project: will be financed with the same proportions of debt and equity as those currently used by the overall firm. will be financed solely with new debt and internal equity. will be financed solely with internal equity. has the same level of risk as the firm’s current operations. will be managed by the firm’s current managers.

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When a new project includes the same amount of risk as the company's current activities, the WACC of the company can be utilized to accurately discount the anticipated cash flows of the project.

The correct option is A.

What is the firm's WACC?

The term "weighted average cost of capital" refers to a company's average after-tax cost of capital from all sources, including common stock, preferred shares, bonds, and numerous other types of debt (WACC). WACC is the anticipated average interest rate that a company will pay to finance its current assets.

Why is WACC used and what does it mean?

In order to determine whether a return on investment will be more than or equal to an asset, project, or company's expenditure of invested capital, the weighted average cost of capital (WACC), a crucial financial concept, is frequently used in financial circles.

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I understand that the question you are looking for is:

A firm's WACC can be correctly used to discount the expected cash flows of a new project when that project:

A) Has the same level of risk as the firm's current operations

B) Will be financed solely with new debt and internal equity

C) Will be managed by the firm's current managers

D) Will be financed with the same proportions of debt and equity as those currently used by the overall firm

E) Will be financed solely with internal equity

lyricists trying to break into the big time may find their wordsmith skills are particularly suited to this field that could provide paychecks.

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Lyricists looking to break into the big time may discover that their wordsmith skills are particularly suited to this field that can provide a paycheck, which is known as advertising.

What is advertising?Advertising is a marketing strategy that involves paying for advertising space to promote a product, service, or cause. Advertisements, or ads for short, are the actual promotional messages. Advertising's goal is to reach people who are most likely to be willing to pay for a company's products or services and persuade them to buy.Advertising raises consumer awareness of a new product, causing them to come and try it. After reaching a mature age, advertising aids in the creation of goodwill for the company and the acquisition of customer loyalty.Advertising strategies are classified into two types: institutional and product advertising. Institutional advertising is used to promote the brand of a company.There are traditional forms of advertising, such as newspapers, flyers, radio, and television, as well as newer forms, such as online advertising.

The complete question :

"lyricists trying to break into the big time may find their wordsmith skills are particularly suited to this field that could provide paychecks is referred to as."

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Read the statements below carefully, and decide whether it is true or false. And then explain your answer (whether "true " or "false").
a.) If interest rates increase, then investment expenditures by firms will tend to increase also.
b.) If an economy is experiencing cost-push inflation, then its real GDP will tend to be rising in the short run. Describe in words the shift that would happen in the SRAS-AD graphs, to support your answer.

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This statement is false because Investment is inversely correlated with interest rates and is dependent on real interest rates.

Therefore, if interest rates rise, investment tends to decline because it is now more expensive for businesses to borrow money, making investment less profitable.

b) False. As costs rise, aggregate supply declines and the supply curve moves to the left, raising prices and lowering real GDP in the economy as a whole.

What is inflation?

Inflation is an increase in an economy's overall level of prices for goods and services. Each unit of currency may purchase fewer products and services as the general price level rises; hence inflation is associated with a decline in the purchasing power of money.

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FILL IN THE BLANK. the board of governors is the policy making body at the fed and is responsible for setting the discount rate (rate of interest charged to commercial banks) and the___(the amount of customer deposits which commercial banks must hold back and not loan out).

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The board of governors is the policy-making body at the fed and is responsible for setting the discount rate (rate of interest charged to commercial banks) and the reserve requirements (the amount of customer deposits which commercial banks must hold back and not loan out).

in the united states of america, business radio stations make most of their sales by means of selling airtime for use for running radio advertisements. these classified ads are the result of a business or a carrier presenting a valuable attention, usually money, in alternate for the station airing their commercial or bringing up them on air. The maximum common classified ads are "spot advertisements", which generally final for no multiple minute, and longer packages, commonly running up to at least one hour, known as "informercials".

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