When agent Hal shows a home he should never Allow indoor pets to leave their designated area. Option (c) is correct.
What do you mean by Prospects?Prospectus is the likelihood or potentiality that something will occur.
A real estate agent who holds a license facilitates transactions between buyers and sellers and represents them in court. Agents typically receive payment in the form of commission, which is a percentage of the sale price of the home. Depending on their state and brokerage, agents receive a different percentage.
As a result, Option (c) is correct. When agent Hal shows a home he should never Allow indoor pets to leave their designated area.
Learn more about Prospects, here;
https://brainly.com/question/15024051
#SPJ1
antonio supervises six graphic designers. if he intends to fill a senior graphic designer position with one of these six people, he will use to identify his job candidates.
Antonio supervises six graphic designers. If he intends to fill a senior graphic designer position with one of these six people, he will use Internal recruiting to identify his job candidates.
Graphic design is a profession, academic discipline, and applied art in which visual communications are projected in order to transmit specific messages to social groups with specific goals. Graphic design is an interdisciplinary design and fine arts field.
Its practise entails using manual or digital tools to express creativity, innovation, and lateral thinking, where text and graphics are commonly used to communicate visually. The graphic designer's role in the communication process is that of message encoder or interpreter.
To know more about Graphic designer here-
https://brainly.com/question/10678312
#SPJ4
suppose that the marginal cost of mining gold is constant at $300 per ounce and the demand schedule is as follows:
Supposing that the marginal cost of mining gold is constant at $300 per ounce and the demand schedule is as follows:
The price would be $300 and quantity would be 8000 ozThe price would be $700 and quantity would be 4000 ozThe price would be $700 and quantity would be 2000 oz eachThe revenues of both firm would : increase ( for the firm that increase production ) and decrease ( for the firm that doesn't increase production)Demand is a principle of economics that captures the consumer's desire to buy the product or service. The demand is calculated as the price the consumers are willing to pay for the product or service.
Now the reason behind the answer can be explained by following-
marginal cost = $300 calculating the value of TR ( total revenue for each price and quantity given )
TR = price * quantity also calculate the MR ( marginal revenue for each )
MR = For the first value : TR = $1000000 , MR = nil
For the second value : TR = $1800000 , MR = $800
For the third value : TR = $2400000. MR = $600
For the fourth value : TR = $2800000 , MR = $400
For the fifth value: TR = $3000000 , MR = $200
For the sixth value : TR = $3000000, MR = $0
For the seventh value : TR = $2800000, MR = -$200
For the eighth value : TR = $2400000, MR = -$400
a)The price would be $300 and quantity would be 8000 oz because from the table above that is the point with highest quantity supplied
b) The price would be $700 and quantity would be 4000 oz because the single supplier would put the price and quantity to be supplied at the point where marginal cost is closest to the marginal revenue
d) The revenues of both firm would : increase ( for the firm that increase production ) and decrease ( for the firm that doesn't increase production) this is because increase in production is directly proportional to increase in revenue .
To know more about Demand, click below-
https://brainly.com/question/13320101
#SPJ4
current attempt in progress pharoah company ltd. publishes a monthly sports magazine, fishing preview. subscriptions to the magazine cost $15 per year. during november 2022, pharoah sells 14,000 subscriptions for cash, beginning with the december issue. pharoah prepares financial statements quarterly and recognizes subscription revenue at the end of the quarter. the company uses the accounts unearned subscription revenue and subscription revenue. the company has a december 31 year-end. prepare a tabular summary to record the following events. (a) receipt of the subscriptions in november. (b) adjustment at december 31, 2022, to record subscription revenue in december 2022.
Fishing Previe is a monthly sports magazine published by Faro Company Limited. Subscriptions to the magazine cost 15 per year in November 2022, and starting with the December edition,[tex]14,000[/tex] subscriptions will be sold for cash record .
At the conclusion of each quarter, Pharo prepares its financial accounts and records subscription revenue. The business uses accounts for earned and unearned subscription money. The business has a December 31st year and gets ready to receive subscriptions in November. So, we do. Date account names, an explanation, debit, and credit are the columns in this table. The year is 2022 point, and our date is November 30th because we're instructed that we're preparing the entry at the end of November. This is where we gave that up. The account's name and a justification. The first item is cash, which will be divided into[tex]210000[/tex] dollars by multiplying the cash account by 15 or 15 times the [tex]14,000[/tex] point, to get 93300 points. The next item is unearned subscription revenue, which is accredited at [tex]210000[/tex]dollars. Again, to record cash receipts, this was calculated by multiplying 15 by [tex]14,000[/tex]
Learn more about cash from
brainly.com/question/23156395
#SPJ4
Fishing Previe is a monthly sports magazine published by Faro Company Limited. Subscriptions to the magazine cost 15 per year in November 2022, and starting with the December edition[tex]14000[/tex], subscriptions will be sold for cash record .
At the conclusion of each quarter, Pharo prepares its financial accounts and records subscription revenue. The business uses accounts for earned and unearned subscription money. The business has a December 31st year and gets ready to receive subscriptions in November. So, we do. Date account names, an explanation, debit, and credit are the columns in this table. The year is 2022 point, and our date is November 30th because we're instructed that we're preparing the entry at the end of November. This is where we gave that up. The account's name and a justification. The first item is cash, which will be divided into[tex]210000[/tex] dollars by multiplying the cash account by 15 or 15 times the [tex]14000[/tex] point, to get 93300 points. The next item is unearned subscription revenue, which is accredited at [tex]210000[/tex] dollars. Again, to record cash receipts, this was calculated by multiplying 15 by [tex]14000[/tex]
Learn more about cash from
brainly.com/question/23156395
#SPJ4
companies must have a carefully constructed inventory policy in order to
Companies must have a carefully constructed inventory policy in order to manage available funds and maximize profitability.
What is an inventory policy?An inventory policy is an integral part of inventory management which helps manage stock flow in a better manner.
A very effective inventory policy is a good theoretical objective but at a practical level, it becomes difficult to achieve because the senior management’s views differs concerning the role of inventory and the knowledge and skills of supply chain and logistics professionals to structure a decision making process for an inventory policy.
Read more about inventory policy
brainly.com/question/26533444
#SPJ1
the manager of the bank where you work tells you that your bank has $10 million in excess reserves. she also tells you that the bank has $500 million in deposits and $455 million in loans. given this information you find that the reserve requirement must be
The reserve ratio requirement must be 7%
Reserves= deposits-loans
= 500-455
= 45 million
Required reserve= reserve- excess reserve
= 45-10
= 35 million
Required reserve ratio= required reserve/deposits
= 35/500
= 0.07
= 7%
Required reserve ratio- A required reserve ratio is the percentage of deposits that a bank is required by regulators to hold in reserves and not lend out. If the required reserve ratio is one to ten, a bank must keep $0.10 of every dollar in reserves but can lend out $0.90 of every dollar.
For more information on Required reserve ratio visit:
https://brainly.com/question/13758092
#SPJ4
paper money in the united states is circulating debt of the and has no intrinsic value.
Paper cash, in contrast to product cash, has no or very little natural worth. Therefore, paper cash is government issued currency. Consequently, the right response is government-issued currency.
What is government-issued currency?
Cash that isn't supported by a ware, like gold or silver, is known as government-issued currency. It is typically assigned as legitimate cash by the responsible government. Neighborhood banks and different associations have once in a while delivered government-issued currency since the beginning of time. Government-issued currency is in many cases allowed under unofficial law in contemporary times.
Government-issued currency, as a rule, has no inherent worth and no utility worth. It just has esteem because individuals who use it as a unit of record - or, on account of money, a vehicle of trade - settle on its worth.
Learn more about intrinsic value:
https://brainly.com/question/29450945
#SPJ4
KNOWLEDGE CHECK This chart shows the output gap in the U.S. from 1949 to 1973, What was the output gap in 1973? -80 -3.2% +160 +3.0% Click to open/close chart < PREV S ? stes on-making < > Potential GDP and Output Gap Index GP Related functions Menu Message t o CBOPGDPR 20823.20 As of 12/31/26 Billions Congressional Budget Office Potential R... Congressional Budget Office CBOPGDPR Index 99 Compare 90 Actions - 90 Edit Line Chart 03/31/1949 - 12/31/1973 1D 3D IM 6 YTD 1Y SY Max Quarterly Table << Security/Study. Event o U.S. potential GDP ($B) U.S. actual GDP ($B) Track And ap. Part 2 ap. Part 3 wheck est rate estim... 7 5 9
The output gap for the year 1973 is given as +3.0%
What is the output gap?The formula for the output gap is
actual GDP - potential GDP / potential GDP
The difference between real GDP or actual output and prospective GDP is known as the GDP gap or the output gap, and it is used to measure the current economic situation relative to the business cycle. Macroeconomic policy mostly on the output gap measurement.
The difference between an economy's actual and potential output is measured economically as the "output gap." The maximum amount of products and services that an economy can produce at its peak efficiency, or when it is operating at capacity, is known as potential output.
From the image that we have here, we have
actual GDP = 5292.4
potential GDP = 5550.9
5292.4 - 5550.9 / 5550.9
= -4.65%
Then the output gap is given as -4.65%
Read more on output gap here: https://brainly.com/question/14307946
#SPJ1
in year 1, rick bought a collectible watch for his own use at a cost of $8,000. in year 5, when the fair market value was $12,000, rick gave this watch to his son, chris. no gift tax was due. which of the following correctly states the holding period and the type of asset? holding period type of asset holding period starts year 5 type of asset sec. 1231 holding period starts year 5 type of asset capital asset holding period starts year 1 type of asset capital asset holding period starts year 1 type of asset sec. 1231
Begins Year 1 | The asset's first year was when Rick bought the watch. Unless specifically excluded under the IRC, all of a taxpayer's possessions are considered capital assets.
What is the IRC's purpose?The International Rescue Society responds to some of the worst humanitarian emergencies that exist today, such as the conflict in Afghanistan and the crisis in Ukraine. We aid those who have been harmed by conflict and tragedy in regaining their healthcare, safety, education, economic well-being, and power.
The IRC is legitimate, right?Charity watchdog organizations frequently give the IRC high marks for our effective use of donations and the efficiency of our operations.
to know more about IRC visit:
https://brainly.com/question/24319176
#SPJ4
ePage(s) 351-352 11.1. What is price discrimination? Match each type of market to its welfare effect. maximizes benefits to consumers perfectly competitive maximizes benefits to producers perfect price discrimination creates inefficiency monopolist that charges a single price
Price discrimination is defined as the strategy of charging different prices to different consumers for the same product based on their willingness to pay.
What is price discrimination?The practice of charging varying rates to customers for the same goods depending on their willingness to pay is known as price discrimination. Price discrimination is a marketing strategy whereby vendors charge customers different prices for the same commodity or service depending on what they think will win the customer over. The greatest price imaginable will be charged to each consumer by a business that engages in pure price discrimination.
Pricing discrimination is a practice where businesses charge different prices to customers based on how much money they are willing to spend. For instance, various pricing is commonly offered at theaters for adults, seniors, and kids. They also have promotions for particular days of the week.
Type of market - Welfare effect.
maximizes benefits to consumers - perfect price discrimination
maximizes benefits to producers - perfectly competitive
monopolist that charges a single - price creates inefficiency
To learn more about perfect price discrimination, visit:
https://brainly.com/question/14412690
#SPJ1
year investment cash inflow 1 $ 58,000 $ 4,000 2 $ 8,000 $ 8,000 3 $ 11,000 4 $ 14,000 5 $ 17,000 6 $ 15,000 7 $ 13,000 8 $ 11,000 9 $ 10,000 10 $ 10,000
In 5.8 yeas, the invested amount is recovered.
Any inflows or outflows of cash from a company's long-term investments are included in cash flow from investing activities. The cash flow statement shows how much cash and cash equivalents are coming into and going out of a business.
If the cash inflow in the previous year had been several times as large, the payback period would not be impacted.
Calculation:
In the payback, we analyze in how many years the invested amount is recovered. The computation is shown below:
In year 0 = $58,000 + $8,000 = $66,000
In year 1 = $4,000
In year 2 = $8,000
In year 3 = $11,000
In year 4 = $14,000
In year 5 = $17,000
In year 6 = $15,000
If we sum the first 5 year cash inflows than it would be $54,000
Now we deduct the $54,000 from the $66,000 , so the amount would be $12,000 as if we added the sixth year cash inflow so the total amount exceed to the initial investment. So, we deduct it
And, the next year cash inflow is $`15,000
So, the payback period equal to
= 5 years + $12,000 ÷ $15,000
= 5.8 yeas
To know more about cash inflow visit:-
https://brainly.com/question/10714011
#SPJ4
A high-fashion brand is launching a new line of clothing targeting style-conscious preteens. Their mission is to become the most-recognized, bestselling brand for this demographic. Which of the following strategic objectives is most appropriate and realistic for their new venture? Select one.
Question options:
Improve quality control measures at the corporate level
Devise a focused social media marketing strategy
Collaborate with big-box stores for merchandising
Increase shareholder value by 10% in the first quarter
Devise a focused social media marketing strategy. (Option B)
What is mean by social media marketing?Utilizing social media sites to market your brand and increase sales of your goods or services is known as social media marketing. Social media marketing is when a new product is released by your company and you intend to publicize the launch on social media.
What does "marketing strategy" mean?A marketing strategy is a long-term plan for attaining a company's objectives through comprehending client needs and forging an identifiable and long-lasting competitive advantage. It includes everything, from defining who your target audience is to selecting the methods you will use to communicate with them.
To know more about Social media marketing, visit:
brainly.com/question/12264032
#SPJ4
FILL IN THE BLANK. bond market values are expressed as a percentage of their par (face) value. for example, a company's bonds might be trading at 103, which means that they can be bought or sold for___of their par value.
Bond market values are expressed as a percentage of their par (face) value. for example, a company's bonds might be trading at 103, which means that they can be bought or sold for 103% of their par value.
In a bond, the issuer owes the bond holder money and is required under the bond's terms to return the bond's capital and income within a specified period of time until the bond matures.
The borrower can receive external liquidity through the sale of the bond in order to finance long-term investments or, in the case of government bonds, to cover urgent costs. Bondholders have the interest of creditors, whereas shareholders have an equity stake in a firm, even though both stocks and bonds are regarded as securities.
The above question is incomplete, the complete question is-
Bond market values are expressed as a percentage of their par (face) value. For example, a company's bonds might be trading at 103, which means that they can be bought or sold for ____ of their par value.
Multiple choice question.
103%
100.3%
10.3%
0.103%
To know more about bonds here-
https://brainly.com/question/17405470
#SPJ4
which of the following line items would be found on a statement of stockholders' equity that would not be on the statement of retained earnings? (select all that apply.)
The line items would be found on a statement of stockholders' equity that would not be on the statement of retained earnings is
a) Additional Paid-in capital
c) Common Stock
e) Treasury Stock
What are retained earnings?After subtracting dividends, retained earnings are the total net profits or profit of the company. Retained Earnings is a word used to indicate a company's previous profits that haven't been distributed as dividends.
Previously issued stock that has been purchased by the issuing business from stockholders is referred to as treasury stock. One type of security is common stock, which is a way to own business shares. The words "voting share" and "ordinary share" are also often used.
Learn more about retained earnings, here:
https://brainly.com/question/28320031
#SPJ1
The complete question is probably
Which of the following line items would be found on a statement of stockholders' equity that would not be on the statement of retained earnings?
a) Additional Paid-in Capital
b) Dividends Payable
c) Common Stock
d) Dividends
e) Treasury Stock
f) Net Income
a customer recently switched apartment units and is upset he hasn't receiving his mail he asks if you can give it to him now but you're not supposed to until he files a change of address form
The answers using logical reasoning are:
Most likely: Tell him that even though you understand it's annoying, you have to deliver to the location shown on the envelope. Offer to walk them through setting up the mail forwarding.
Least likely: The least likely course of action is to explain that you cannot forward mail without a form because there is no way to confirm that he is telling the truth about his address change.
Deductive reasoning, often known as logical reasoning, is the process of drawing conclusions from a body of facts or evidence.
It involves putting specific premises in front of conclusions.
Example: "When it rains, everything outside becomes soggy.
The grass gets wet when it rains because it is outside."
This type of reasoning is commonly contrasted with both philosophical and mathematical logic.
Most likely: Tell him that although you realize it's frustrating, you must deliver to the address indicated on the envelope. Offer to assist them through the mail forwarding setup.
Least likely: The least likely option is to explain that without a form, you have no method of verifying that he is being truthful about his address change and hence cannot forward mail.
Therefore, the answers using logical reasoning are:
Most likely: Tell him that even though you understand it's annoying, you have to deliver to the location shown on the envelope. Offer to walk them through setting up the mail forwarding.
Least likely: The least likely course of action is to explain that you cannot forward mail without a form because there is no way to confirm that he is telling the truth about his address change.
Know more about Logical reasoning here:
https://brainly.com/question/28418750
#SPJ4
Complete question:
A customer recently switched apartment units and is upset he hasn't been receiving his mail. he asks if you can give it to him, but you're not supposed to until he files a change of address form. What would you most and least likely do?
When the bookkeeper or accountant has a choice between two acceptable alternatives, they should choose the one that will report less profit, less asset amount, or a greater liability amount. This is based upon which assumption/principle?
When the bookkeeper or accountant has a choice between two acceptable alternatives, they should choose the one that will report less profit, less asset amount, or a greater liability amount. This is based upon Conservatism principle.
A person who does accounting or accountancy is called an accountant. Accountants may use titles like "Chartered Accountant," "Certified Public Accountant," or "Registered Public Accountant" after passing certification tests offered by respective professional organizations.
These experts may be held accountable for professional wrongdoing and are given specific duties by legislation, such as the authority to certify an organization's financial accounts. Non-qualified accountants have no legal rights or duties and are free to operate independently or in the employ of a competent accountant. An accountant may work for a company that regularly needs accounting services or they may be a member of an accounting firm that offers accounting consulting services to other companies.
To know about Accountant here-
https://brainly.com/question/21088926
#SPJ4
Oriole Company borrows $86,400 on July 1 from the bank by signing a $86,400, 8%, 1-year note payable. (a) Prepare the journal entry to record the proceeds of the note. (Credit account titles are automatically indented when amount is entered. Do not indent manually.)
Oriole Company borrows $86,400 on July 1 from the bank by signing a $86,400, 8%, 1-year note payable. The Journal entry will be debit : cash for 86,400 and credit : notes payable for 86,400.
The transactions pertaining to adjustment entries, opening stock, depreciation, accounting mistakes, etc. are documented in a general journal, which is a daybook or subsidiary journal. General journal entries may have invoices, copies of management reports, and journal vouchers as their source materials.
Prime entry books, also known as books of original entry, are journals because transactions were first recorded in a journal before being physically posted to accounts in the main ledger or a subsidiary ledger. It is the process of recording double entry bookkeeping transactions by debiting one or more accounts and crediting one or more other accounts with the same sum of money.
To know more about Journal here-
https://brainly.com/question/27159868
#SPJ4
the keynesian transmission mechanism could be blocked by either interest-insensitive investment or by the liquidity trap.
Either interest-insensitive investment or the liquidity trap have the potential to obstruct the Keynesian transmission mechanism. Typically, the money supply curve is horizontal. The investment demand curve is horizontal in the liquidity trap.
Which best sums up how the money supply grows in a Keynesian transmission model?Falling interest rates encourage investment spending, which in turn raises overall spending and moves the AD curve to the right.
By liquidity trap, what do you mean?An expansionary monetary policy (increase in money supply) in a liquidity trap prevents economic growth by failing to raise interest rates or income.
The most extreme outcome of monetary policy is the liquidity trap.
To know more about transmission mechanism visit:-
https://brainly.com/question/24077670
#SPJ4
discuss the benefits that a strong executive provides to a republican government
The President appoints the heads of all Federal agencies, including the Cabinet, with the duty of carrying out and upholding the laws passed by Congress. A member of the Executive Branch who is prepared to take over as President if necessary is the Vice President.
What advantages can a strong presidency bring to the Federal Republic?For there to be a good government, there must be a powerful executive. It defends against foreign invasions, is necessary for the enforcement of the law, aids in the preservation of private property, and ensures freedom.
To know more about Federal visit:
https://brainly.com/question/8305583
#SPJ4
What value does tracking and following-up on Expired Listings provide? --Provides the community a snapshot of marketing trends. --Provides an opportunity for personal contact with a property seller. --Provides little value because the property did not sell in the market. --Provides the Real Estate Board an opportunity to improve listing records.
The tracking and following-up on expired listings provide an opportunity for personal contact with a property seller.
What does expired mean in real estate listing?Properties that were on the market but didn't sell before the listing's expiration date are known as expired listings. Agents can obtain expired listing leads by locating or acquiring them, following up with them directly, or by using lead nurturing programs and advertising via email, SMS, and direct mail.
An "Expired" or "Cancelled" status indicates that there is no longer an active brokerage agreement or listing contract with the seller according to the Bright MLS Rules & Regulations. In the real estate industry, a property that didn't sell through the MLS is referred to as having an expired listing. It is essentially a property that is no longer active in the MLS since it did not receive a purchase agreement during its period or under the terms of a contract with a realtor.
To learn more about expired listing, visit:
https://brainly.com/question/28097118
#SPJ1
if the short-run aggregate supply curve is horizontal, an increase in union aggressiveness that pushes wages and prices up will result in prices and output in the short run. a) lower;lower b) higher;higher; c) lower; higher; d) higher; lower
If the short-run aggregate supply curve is horizontal, an increase in union aggressiveness that pushes wages and prices up will result in higher prices and lower output in the short run (D).
Aggregate Supply is the total output of products produced within an aconomy at a given price in a giver time period. Aggregate suspply curve represents the relationship between price levels and the quantity of output that firms are willing to produce.
In the short-run, aggregate supply responds to the fluctuation of demands by changing the use of current inputs in the production process. In the short-run, the level of capital is fixed and a company cannot generate new working capital to increase the production efficiency.
When union aggressively pushes the wages up, this will put firms in difficult position because they have to allocate more costs to direct labors and wages expenses. Because the limitation of working capital, the only way out for those firms are to increase their product's prices and lower their production output.
This condition will shifted the Short-run aggregate supply curve and resulted in higher prices and lower output in the short-run.
Learnmore about Short-run Aggregate Supply here: https://brainly.com/equation/27064601
#SPJ4
if all of the government’s debt were internal, would financing that debt make the nation poorer?
if all of the government’s debt were internal, would financing that debt makes the nation poorer is a false statement.
What is debt?Debt may be defined as the sum that the borrower owes the bank. A debt is an amount of money that has been received for a specified time frame and must be repaid, plus interest.
External existing debt results in equalization; the process does not make a country poorer. The debt will in time need to be equalized as some point of time in time. The debtor's creditworthiness affects both the debt's size and its acceptance.
Learn more about debt, here:
https://brainly.com/question/17286021
#SPJ1
a 55 year old recently received a $30 000 distribution
A 55 year historic lately received a $30,000 distribution from a preceding employer's 401k plan, minus $6,000 withholding.
Which tax would an IRA participant be subjected to on distributions?IRAs: An IRA distribution paid to you is situation to 10% withholding except you choose out of withholding or pick to have a specific quantity withheld. You can keep away from withholding taxes if you pick out to do a trustee-to-trustee switch to some other IRA.
Do I have to record my IRA distributions on my tax return?Regardless of your age, you will want to file a Form 1040 and show the quantity of the IRA withdrawal. Since you took the withdrawal earlier than you reached age 59 1/2, unless you met one of the exceptions, you will need to pay an additional 10% tax on early distributions on your Form 1040.
Learn more about IRA distributions here:
https://brainly.com/question/1300867#SPJ4if a change in price barely effects demand, that means the demand is _______.
if a change in price barely affects demand, that means the demand is Inelastic
What is Inelastic demand?Generally, The degree to which the amount required is affected by changes in the price of an item is referred to as its price elasticity of demand.
When the price of practically any product goes up, the amount of that good that people want to buy goes down, however, the degree to which it drops varies depending on the commodity.
Read more about Inelastic demand
https://brainly.com/question/28192591
#SPJ1
if the value of goods and services that australia purchases from the united states are less than the value of goods and services that the united states purchases from australia, then the united states has
With Australia, there are both negative net exports and a trade imbalance.
What is goods and services?An economic system's output is goods and services. Services are acts performed for the benefit of the recipients, whereas goods are tangible products made available to customers. Among the products are clothing, homes goods, and automobiles. Services include things like consulting, cleaning, and legal advice. Production at a company might be anywhere between these two concepts. For instance, a landscaping company may give a homeowner a tree (a good) and also take care of the yard (a service).
A physical object that buyers want or own is a good. Customers want services even when they are not tangible, physical objects. Frequently, a service may be provided remotely as well. What individuals consume and pay for is generally referred to as "goods" and "services."
To know more about Trade imbalance, visit,
https://brainly.com/question/8962641
#SPJ1
A machine with a book value of $38,000 is sold for $32,000 cash. Which of the following answers would accurately represent the effects of the sale on the financial statements?
Balance Sheet Income Statement Statement of Cash Flows
Assets = Liabilities + Stockholders’ Equity Revenue/Gain Expense/Loss = Net Income
A. 38,000 = n/a + 38,000 38,000 n/a = 38,000 38,000 I/A
B. (6,000) = n/a + (6,000) n/a 6,000 = (6,000) 6,000 OA
C. (6,000) = n/a + (6,000) n/a 6,000 = (6,000) 6,000 IA
D. (6,000) = n/a + (6,000) n/a 6,000 = (6,000) 32,000 IA
Multiple Choice
Option A
Option B
Option D
Option C
The option which would accurately represent the effects of the sale on the financial statements is option D which is (6,000) = n/a + (6,000) n/a 6,000 = (6,000) 32,000 IA.
Balance Sheet
Assets = Liabilities + Stockholder's Equity
Machine = $38,000
Cash = $32,000
Loss on sale = $6,000
Total = $6,000
Income Statement
Revenue/Gain - Expenses/loss = Net income
n/a - $6,000 = ($6,000)
Statement of Cash flows
= $32,000 IA
Therefore, option D is correct and the remaining options are incorrect.
A balance sheet is a budget summary that reports an organization's resources, liabilities, and investor value. The monetary record is one of the three center budget reports that are utilized to assess a business. It gives a preview of an organization's funds (what it claims and owes) as of the date of distribution.
To learn more about sales and balance sheets,
https://brainly.com/question/13198606
#SPJ4
An increase in the wage rate will A. shift the labor supply curve to the right. B. shift the labor supply curve to the left. C. cause an upward movement along the labor supply curve. D. cause a downward movement along the labor supply curve. E. have no effect on the quantity of labor supplied.
There will be a reduction in the amount of labor requested and an upward shift in the demand curve.
What will increase labor wages effect ?Inflation is brought on by wage increases since doing business becomes more expensive as wages rise.
Companies must raise their prices for their products and services to offset the cost increase and keep their profitability at the same level.
The quantity of work required will alter in response to changes in pay or salary. Employers will want to hire fewer workers if the pay rate rises.
Learn more about Labor wages here
https://brainly.com/question/14090792
# SPJ 1
TRUE/FALSE. evidence is used to a decision whenever the decision process combines hard, objective facts with qualitative inputs
When a decision-making process mixes hard, objective facts with qualitative inputs, it uses TRUE evidence.
What function does evidence have in making decisions?Making better decisions and guiding actions that have the desired effect are the goals of evidence-based practice. The finest available evidence and critical thinking are the foundations of an evidence-based approach to decision-making.
What is decision-making supported by facts?Fact-based decision making is a disciplined process that calls for careful consideration before processes and procedures are evaluated in order to gather the right data and then have unbiased, nonjudgmental analysis to extract those facts that are crucial for making decisions and predicting the future.
To know more about evidence making decisions visit:-
https://brainly.com/question/28458367
#SPJ4
assume you purchased a $1000 convertible corporate bond. also assume the bond can be converted to 18.5 shares of the firm's stock. what is the dollar value the stock must reach before investors would consider converting to a common stock.
Dollar Value of the Stock: 54.054
Working Note: 1000/18.5 = 54.054
What are corporate convertible bonds?An interest-bearing fixed-income corporate debt asset known as a convertible bond has the option of being converted into a predetermined number of shares of common stock or equity. During the bond's term, the conversion from bond to stock is possible at specific times and is often at the bondholder's option.
What drives businesses to employ convertible bonds?Convertible bonds are a cost-effective solution for the corporation to raise capital because they have lower interest rates than comparable conventional bonds. The corporation also saves money by converting them into shares, albeit there is a chance that the share price will be diluted.
To learn more Corporate Bonds visit:
https://brainly.com/question/14531325
#SPJ4
identify each scenario as a result of ecological overshoot, or not.
Results of ecological overshoot may also consist of depletion of freshwater systems, collapsing fisheries in the oceans, and gentrification in urban neighborhoods. +human needs on nature exceed the planet's ability to provide.
What is Global Ecological Overshoot?Ecological overshoot is measured using ecological footprint analysis, which assesses humanity's complete demand on nature's offerings over a one-year duration compared to the functionality of biologically productive land and sea areas to meet that demand.
Today, most countries, and the world as a whole, are in ecological overshoot. Over 85% of the world population lives in nations running with an ecological overshoot.
Learn more about ecological overshoot here:
https://brainly.com/question/14548329#SPJ4sodexo, a leading food and facilities management services company in north america, deals primarily in the areas of serving
Sodexo, a leading food and facilities management services company in North America, deals primarily in the areas of serving corporate facilities management services.
What is Sodexo?Sodexo is company based in North America serving 100 million customers per day in 53 countries by means of special food cuisine, facilities management, employee benefits, and personal home services.
Some of the major services provided by Sodexo are Corporate facilities management services, Food delivering at work & business catering, employee and guest services such as visitor and concierge services, digital transformation services for corporate, social responsibilities services.
Thus Sodexo group is a leading service provider in food and facilities management services company in North America.
To know more about Sodexo refer:
https://brainly.com/question/15359610
#SPJ1