"To format a range so that all values greater than $500 appear in red, you can use conditional formatting rule" is True Option A
What is conditional formatting rule?Generally, To format a range so that all values greater than $500 appear in red, you can use a conditional formatting rule. This is a feature in spreadsheet programs such as Micro/soft Excel and Go/ogle Sheets that allows you to apply formatting to cells based on the values in those cells or based on a formula.
To create a conditional formatting rule to highlight values greater than $500 in red, you can do the following:
Select the range of cells you want to apply the formatting to.
In the ribbon or menu bar, go to the "Home" or "Format" tab and click on the "Conditional Formatting" button.
In the conditional formatting options, select "Greater Than" or "Less Than" from the list of rules.
In the value or formula field, enter "500" or "$500".
Select the red fill or red text formatting that you want to apply to the cells that meet the condition.
Click "OK" or "Apply" to apply the formatting rule to the selected cells.
You can also use a formula in the conditional formatting rule to apply formatting based on more complex conditions. For example, you could use the formula "=A1>500" to apply the formatting to cells in column A where the value is greater than 500.
In summary, you can use a conditional formatting rule to format a range so that all values greater than $500 appear in red.
Read more about conditional formatting rule
https://brainly.com/question/16014701
#SPJ1
Scenario: The market demand for soccer balls in a small town is 2,500 units and there
are two rival sports brands selling soccer balls in this town—Sporty and Go! The
products of the two brands are identical.
7. __________ Refer to the scenario above. The demand for Sporty's soccer balls is
1,250 units if ________.
A) the price charged by Sporty is higher than the price charged by Go!
B) the price charged by Go! is higher than the price charged by Sporty
C) the price charged by Sporty is equal to the price charged by Go!
D) the price charged by Sporty is higher than the cost of production of each ball
8. __________ Refer to the scenario above. The demand for Sporty's soccer balls is
2,500 units if ________.
A) the price charged by Sporty is higher than the price charged by Go!
B) the price charged by Go! is higher than the price charged by Sporty
C) the price charged by Sporty is equal to the price charged by Go!
D) the price charged by Go! is higher than the unit cost of producing a ball
9. __________ Refer to the scenario above. The demand for Go!'s soccer balls is
2,500 units if ________.
A) the price charged by Sporty is higher than the price charged by Go!
B) the price charged by Go! is higher than the price charged by Sporty
C) the price charged by Sporty is equal to the price charged by Go!
D) the price charged by Go! is higher than the cost of producing a ball
7. The correct option is c)
The demand for Sporty's soccer balls is 1,250 units if the price charged by Sporty is equal to the price charged by Go!
8. The correct option is b)
The demand for Sporty's soccer balls is 2,500 units if the price charged by Go! is higher than the price charged by Sporty
9. The correct option is a)
The demand for Go!'s soccer balls is 2,500 units if the price charged by Sporty is higher than the price charged by Go!
7. Because the products of the two brands are identical; this market structure is an oligopoly with homogenous products.
8. Because as the price charged by sporty is lower; the demand is higher and there is a chance of demand of 2500 units.
9. Because of the price charged by Go! sporty is lower; the demand of Go! is higher( or) maybe 100%. So, the demand for Go! sporty is 2500 units.
To know more about market demand:
brainly.com/question/3331860
#SPJ4
Which of the following recruitment strategies can help an organization reduce labor costs and improve customer service together with accessing top talent?A. offshoringB. resume databasesC. observationD. trade fairs
Offshoring is the following recruitment strategies can help an organization reduce labor costs and improve customer service together with accessing top talent.
A talent inventory is what, exactly?A talent inventory is a database that contains information about the knowledge, experience, and career interests of the present workforce. Before you begin gathering any data, there are a few crucial questions you should ask yourself. I've included a complete list in the exercise files for you.
What does a talent inventory serve as its primary function?Employers use these inventories to determine whether their current workforce is capable of achieving their objectives. Planning strategically is aided by having a clear understanding of the company's present talent pool and future skill requirements.
To know more about talent inventory visit:
https://brainly.com/question/14818958
#SPJ4
Amy and Bob have decided to borrow a portion of the purchase price of stocks from their broker. They will then have a ________ account.
A) cash
B) round lot
C) margin D) debtor
E) combination
Amy and Bob will then have a margin account, Since they are borrowing a portion from their broker.
What is margin account?A "margin account" is a type of brokerage account in which the broker-dealer lends the investor money to purchase securities using the account as collateral. Margin increases investors' purchasing power while also exposing them to the possibility of larger losses.A margin account allows a trader to borrow funds from a broker rather than putting up the entire value of a trade. A margin account typically allows a trader to trade other financial products in addition to stocks, such as futures and options (if approved and available with that broker).All transactions in a cash account must be made with available cash or long positions. Margin accounts allow investors to borrow money against the value of their securities.To learn more about margin account refer to :
https://brainly.com/question/28517683
#SPJ4
this graphic organizer is used to classify systems of government according to the relationship between political and economic freedom. in which quadrant did the soviet union belong?
The Soviet Union belonged in the bottom left quadrant, where political freedom is low and economic freedom is also low. The Soviet Union was a totalitarian state that had little economic or political freedom. The state tightly controlled the economy and limited the rights of its citizens.
Here are four quadrants
Quadrant 1: High Political and Economic Freedom
Quadrant 2: High Political Freedom and Low Economic Freedom
Quadrant 3: Low Political Freedom and High Economic Freedom
Quadrant 4: Low Political and Economic Freedom
To know more about political and economic freedom click here
https://brainly.com/question/28126222
#SPJ4
on september 1, 2024, venetian airlines borrows $46 million, and records the full amount as notes payable (long-term). on december 31, 2024 (balance sheet date), southwest determines $15 million of the note is due next year, while the remaining $31 million is due in two years. record the entry to reclassify the current portion of long-term debt.
Given the amount borrowed by Venetian Airlines and the amount of the note due in the next year, the journal entry for the present component of the long-term debt is:
Date Account title Debit Credit
December 31 Notes Payable ( Long term) $ 15, 000, 000
Notes Payable $ 15, 000, 000
How should the present part of long-term debt be recorded?The share of long-term obligations that must be settled this year is referred to as the current portion of long-term debt. It is specifically shown on the balance sheet under the heading current obligations. The current portion of long-term debt is deducted from the long-term obligation and is credited under the heading current portion of long-term debt.
In order to demonstrate that the note's value is declining, the Notes Payable account will be debited by $ 15, 000, 000, which represents the current part of the note. The identical sum will be credited to the Notes Payable account.
Learn more about Long term debt:
https://brainly.com/question/18359733
#SPJ1
in section 6.5, we mentioned that disabling interrupts frequently can affect the system's clock. explain why this can occur and how such effects can be minimized.
At each clock interrupt, the system clock is updated and it's likely that the system clock may quickly lose the proper time if interrupts were deactivated, especially for an extended length of time.
Scheduling operations also make use of the system clock. For instance, the number of clock ticks is used to represent the time quantum for a procedure.
The scheduler checks whether the time quantum for the active process has run out at each clock interrupt. The scheduler would not be able to assign time quantum values with accuracy if clock interrupts were deactivated. By simply temporarily removing clock interrupts, this effect can be reduced.
When the interrupts are turned off, scheduling of other processes is effectively halted. When interrupts are disabled, the CPU cannot switch between processes, and programmes can use shared variables without another process being able to access them.
To know more about 'system clock' related questions
visit- https://brainly.com/question/13185913
#SPJ4
true or false : in a limited partnership, a limited partner has full responsibility for the partnership and for all its debts.
The statement that in a limited partnership, a limited partner has full responsibility for the partnership and for all its debts is false.
What is a Limited Partnership?
A limited partnership (LP) is a partnership agreement between two or more partners - a general partner and limited partners who go into business together.
The limited partners are only liable for the amount they invested in the business but have little to no involvement in the management of the business.
The general partners have unlimited liability and are fully in charge of the management of the business.
Therefore, a limited partner does not have full responsibility for the partnership and for all its debts in a limited partnership.
Learn more about the limited partnerships at brainly.com/question/25877213.
#SPJ1
which of these is a capital budgeting technique that generates a decision rule and associated metric for choosing projects based on the total discounted value of their cash flows?
The Net Present Value (NPV) is a capital budgeting technique that generates a decision rule and associated metric for choosing projects based on the total discounted value of their cash flows
What is the Net Present Value ?The difference between the present value of cash inflows and outflows over time, or net present value (NPV), is what we refer to as this. The profitability of an anticipated investment or project is examined using NPV in capital budgeting and investment planning.
The computation of NPV is the outcome of selecting the appropriate discount rate to determine the current value of a stream of future payments. Projects worth starting are those having a positive NPV, whereas those with a negative NPV are not.
The discount rate could represent your cost of capital or the rewards offered by substitute assets with similar risk.
If a project's or investment's net present value (NPV) is positive, that indicates that the rate of return will exceed the discount
Read more on NPV here: https://brainly.com/question/17053574
#SPJ1
TRUE/FALSE. an excise tax placed on gasoline would: group of answer choices decrease the demand for gasoline and not change the supply of gasoline. increase the demand for gasoline and increase the supply of gasoline. decrease the demand for gasoline and decrease the supply of gasoline. not change the demand for gasoline and decrease the supply of gasoline.
False. gasoline would see a fall in both supply as well as demand if an excise tax were imposed on it.
The increased price of gasoline brought on by the excise tax would result in a decrease in demand since consumers are less inclined to buy gasoline when it is more expensive. The supply of gasoline would decrease if demand dropped because manufacturers would be less likely to produce it.
Excise duty is imposed on goods produced domestically, as opposed to customs duty, which is imposed on goods entering the country from overseas.
To know more about excise here
https://brainly.com/question/29838785
#SPJ4
which of the following is true about the concept of power distance, as it is explained in the video lectures? group of answer choices
It is a measure of how much people in a society value social hierarchy and authority is true about the concept of power distance as explained in the video lectures.
What does Social Hierrarchy mean?
The ranking of individuals within a social group, community, or society is referred to as "social hierarchy." It is usually determined by factors such as wealth, power, and prestige. Birth, occupation, gender, and other factors can all influence hierarchies. This system of ranking people can help create order and structure in a society.
What does Power Distance mean?
The term "power distance" refers to the level of acceptance and expectation of inequality in a society. It assesses how much a society expects and accepts unequal power and authority distribution. It refers to how a society handles power differences among its members as well as how individuals interact with those who have more power than them. It is closely related to the concept of social hierarchy.
To know more about Power Distance,
https://brainly.com/question/16008525
#SPJ1
combines computerized manufacturing processes with other computerized systems used before and after manufacturing.
Computer-integrated manufacturing combines computerized manufacturing processes with other computerized systems used before and after manufacturing.
What combines additional computerized systems used before and after manufacturing with computerized manufacturing processes?Design, inventory, production, and purchasing are all managed by computerized systems in computer-integrated manufacturing (CIM).
What is a production process where the fundamental inputs either unite to produce the result or are transformed into the output?The converse is true throughout the assembly process. Natural resources, raw materials, and human resources are only a few examples of the essential inputs that are either combined to create the output or changed into the product.
To Know more about Computer-integrated
https://brainly.com/question/29643445
#SPJ4
FILL IN THE BLANK. one of the true risks of high national debt is an equity issue in that upper-income individuals may benefit more through expanded investment opportunities at the cost of___lower-income individuals.
The private sector's inability to utilize savings properly is one of the real problems associated with the massive national debt.
What does "debt" mean?Debt may well be defined as the amount that the borrow owes the lender. A debt refers to a sum of income that has been taken for a specified time frame and must be repaid, plus interest. That debtor's reputation affects both the debt's size and its clearance.
What kind of debt are there?Loan payments, housing, and credit card transactions are typical examples. But did you guys know there are several sorts of debts, in addition to the loans? Four kinds of debt are frequently used: secured, unsecure, revolving, and monthly.
To know more about Debt visit:
https://brainly.com/question/17286021
#SPJ4
if the fed raises reserves requirements, then interest rates will and the money supply will .
if the fed raises reserves requirements, then interest rates will decline and also it the decrease the size of the money supply.
Central banks use different methods to increase or decrease the amount of money in the banking system. These actions are called as monetary policy. While the Federal Reserve Board—commonly known as the Fed—can print money at its discretion in an effort to increase the amount of money in the economy, this is not the standard used, at least not yet in America.
The Federal Reserve Board, which is the agency that oversees the Federal Reserve System, oversees all domestic monetary policy. They are often referred to as the Central Bank of America. This means they are generally responsible for controlling inflation and managing short-term and long-term interest rates. They make these decisions to stimulate the economy, and controlling the money supply is an important tool they use.
Conversely, by increasing the banks' reserve requirements, the Fed can reduce the size of the money supply.
The Fed can also change short-term interest rates by lowering (or raising) the discount rate that banks pay on short-term loans from the Fed.
For more such questions on Reserve Requirements:
https://brainly.com/question/26960573
#SPJ4
spoilage of canned foods not accompanied by gas production is group of answer choices thermophilic anaerobic spoilage. flat sour spoilage. mesophilic bacteria spoilage. acid-tolerant fungi. putrefactive anaerobic spoilage.
It is considered as flat sour spoilage.
What is spoilage flat sour spoilage?
FLAT SOUR SPOILAGE is a term used to describe the microbial degradation of foods that have been professionally canned. It is frequently connected to microorganisms that produce spores and can destroy a product without significantly boosting gas output.
Acidic and low-acid canned foods can deteriorate flat-sour. Acid canned foods' flat-sour degradation is also caused by Bacillus Thermoacidurans. Typically, flat-sour spoilage bacteria are found in soil, sugar, starch, and plant equipment.
The spores are present everywhere in nature but are not found in any food or habitat, including the polar and the desert. Bacillus stearothermophilus, which is typical of flat-sour spoilage of low acid foods, and Bacillus Coagulans, which is typical of flat-sour spoilage of acid foods, are the two different forms of flat-sour aerobes.
to learn more about spoilage click:
https://brainly.com/question/24180159
#SPJ4
assuming the prices of resoures a and b are 5 and 8 resoectively when the firm hires the profit maximizing combination of resources its ecnomomic profit will be 138 170 145 76
When the company hires the mix of resources that will increase profits by 5 and 8 respectively, its economic profit will be 145.
What is meant by profit maximization?In order to increase their returns, firms must ensure that the best levels both output and prices were realized through the process of profit maximizing. For the purpose of achieving its profit goals, the corporation alters crucial factors such as sale price, cost of production, or output levels. When marginal revenue equals marginal cost, or when MR = MC, a fully competitive firm will make the decision that will maximize its profits.
Why is profit maximizing important and what are the three conditions of profit maximization?Profit maximization is indeed a tactic that can encourage efficient and long-term company growth. If you're prepared to expand your business, a maximizing profit strategy will ensure that more work yields better net revenue.
Cost price p must match market value (MC). At q0, the marginal cost must not be decreasing. In order for the business to continue producing goods, the cost price must be higher than the average variable cost (p > AVC) in the short term and higher than the average cost (p > AC) in the long term.
To know more about Profit Maximization visit:
https://brainly.com/question/17233964
#SPJ4
a regression analysis between sales (in $1000) and price (in dollars) resulted in the following equation y-hat
A regression analysis between sales (in $1000) and price (in dollars) resulted in the following equation y-hat = -0.5x + 800.This equation suggests that for every dollar increase in price, sales will decrease by $0.5 thousand.
Regression analysis is a group of statistical procedures used in statistical modelling to determine the relationships between a dependent variable (often referred to as the "outcome" or "response" variable, or a "label" in machine learning jargon), and one or more independent variables (often referred to as "predictors," "covariates," "explanatory variables," or "features"). In linear regression, the most typical type of regression analysis, the line (or a more complicated linear combination) that most closely matches the data in terms of a given mathematical criterion is found. When using the ordinary least squares method, for instance, the specific line (or hyperplane) that minimises the sum of squared differences between the genuine data and that line is computed (or hyperplane).
To know more about regression here
https://brainly.com/question/24163174
#SPJ4
fill in the blank question. changes in the interest rate mainly affect the component of total spending, and also affect spending on durable consumer goods that are purchased on credit.
As interest rates move up, the cost of borrowing becomes more expensive. This means that demand for lower-yield bonds will drop, causing their price to drop. As interest rates fall, it becomes easier to borrow money, and many companies will issue new bonds to finance expansion.
Finance is the study and discipline of money, foreign money and capital assets. it's far associated with, but no longer synonymous with economics, the take a look at of production, distribution, and intake of cash, belongings, goods and offerings (the field of monetary economics bridges the two). Finance sports take region in financial structures at numerous scopes, as a result the field may be more or less divided into private, corporate, and public finance. in a economic machine, belongings are offered, sold, or traded as economic units, consisting of currencies, loans, bonds, shares, shares, alternatives, futures, and so forth. assets also can be banked, invested, and insured to maximize fee and limit loss. In practice, dangers are always found in any financial action and entities.
Learn more about finance here
https://brainly.com/question/26240841
#SPJ4
TRUE/FALSE. Strategic decisions such as market entry or exit and capital budgeting are called structured decisions and often executed by higher-level management.
Strategic decisions such as market entry or exit and capital budgeting are called structured decisions and are often executed by higher-level management is a false statement.
Why is capital budgeting used by businesses when making strategic decisions?
Companies use capital budgeting to assess the viability of potential projects. Capital budgeting aids businesses in making long-term decisions about things such as whether to invest in new software, buy new equipment, expand their facilities, or do other things that will enhance their operations.
A number of capital analysis techniques can be used to ascertain whether a capital investment is economically feasible. There are several companions, including the Payback Period, Discounted Payment Period, Net Present Value, Profitability Index, Internal Rate of Return, and Modified Internal Rate of Return.
Therefore, Structured decisions, which are frequently carried out by higher-level management, include strategic decisions like market entry or exit and capital budgeting.
Learn more about structured decisions from the given link
https://brainly.com/question/18406819
#SPJ4
Typical capital budgeting decisions include ______ decisions.
O employee hiring and firing
O cost reduction
O lease or buy
O equipment selection
O product and service pricing
Answer: cost reduction
lease or buy
equipment selection
Typical capital budgeting decisions include decisions related to cost reduction, lease or buy, and equipment selection.
Capital budgeting is the evaluation of potential big projects or investments by a corporation. Construction of a new facility or a substantial investment in an external enterprise are examples of undertakings that require capital budgeting prior to approval or rejection.
As part of capital planning, a corporation may evaluate the lifetime cash inflows and outflows of a prospective project to determine whether the anticipated returns generated reach an acceptable threshold. The practice of capital budgeting is also known as investment evaluation.
Companies use capital budgeting to analyze significant projects and investments, such as new factories or equipment.
The procedure entails assessing the cash inflows and outflows of a project to evaluate whether the predicted return satisfies a predetermined benchmark.
The primary techniques for capital planning are discounted cash flow, payback, and throughput analyses.
To know more about Capital budgeting
https://brainly.com/question/23719404
#SPJ4
Suppose the total monetary value of all final goods and services produced in a particular country during 2010 is $600 billion, and the total monetary value of final goods and services sold is $450 billion. We can conclude that ___. real GDP in 2010 is $450 billion nominal GDP in 2010 is $600 billion inventories in 2010 fell by $50 billion nominal GDP in 2010 is $500 billion
We can infer that: A. The GDP was $450 billion in 2008. NDP was $450 billion in 2008. $500 billion was the GDP in 2008. D.
What is the total economic value of all finished products, services, and buildings created within a nation's borders over a 12-month period?A measure of total production is a country's Gross Domestic Product (GDP). In more precise terms, it is the total monetary value of all finished goods and services produced in a nation or region over a certain time frame.
To know more about billion visit:
https://brainly.com/question/14260274
#SPJ4
Which of the following statements is TRUE in terms of an optimal strategy for local, regional, and global systems? A Firms will always increase agency costs by developing only a few core global systems for vital global operations, and leaving other systems to local and regional units B All systems should always be locally scoped in nature, even ones which are vital for global operations Firms can reduce agency costs by developing only a few core global systems for vital global operations and leaving other systems to local and regional units D Firms should seek to increase transactional, agency, and coordination costs when doing business globally
An optimal strategy for local, regional, and global systems All systems should always be locally scoped in nature, even ones that are vital for global operations. Option B.
The best-mixed strategy for a Platoon player is the one that has the lowest possible expected value for the Platoon player's best counter-strategy. The First Order Optimal Strategy is the strategy with the highest power/effort ratio.
These strategies require minimal effort and skill but offer relatively high levels of strength or other rewards. It is often detected early. Pure Strategy provides a complete definition of how players play the game. Pure strategy can be viewed as an observational plan you make throughout the game. In particular, it determines the moves players make in situations they may face.
Learn more about An optimal strategy here:- https://brainly.com/question/28449012
#SPJ4
Assume that Jill spends all her allowance on only two goods whose prices are equal. To maximize utility Jill will
A. Spend the same total dollar amount on each good
B. Purchase the same number of units of each good
C. Purchase a combination of the two goods so that the utility of each good is the same
D. Purchase a combination of the two goods so that the marginal utility of the last unit purchased of each good is the same
E. Purchase a combination of the two goods so that the marginal utility of the last unite purchased of each good divided by the price is equal to one
To maximize utility Jill will spend the same total dollar amount on each good. The idea behind utility maximisation is that people and organisations should aim to get the most happiness possible out of their financial choices.
The degree to which an individual's fulfilment is realised is measured by utility function. Making economic organisations that ensure the maximum possible level of customer happiness is known as utility maximisation (benefit). An illustration would be if a consumer chose to buy more "Product A" and less "Product B" since the former combination ensures greater benefit (utility) per dollar. The utility-maximizing condition is when overall expenditures are equal to the available budget.
To learn more about maximize utility, click here.
https://brainly.com/question/6002054
#SPJ4
Tax depreciation shelters a portion of annual operating income from taxation. However, the amount of cumulative tax depreciation is taxed when the property is sold. Suppose that your taxes due on sale will be $35,000 greater than if the property had not been depreciated. If the sale were to occur five years from now, determine the present value of the tax on depreciation recapture in the year of sale assuming a discount rate of 9.5%.
A) $31,963
B) $22,233
C) $55,098
D) $134,390
Tax depreciation shelters a portion of annual operating income from taxation.The closest answer choice to this value is $22,233, so the correct answer is B) $22,233.
What is Tax depreciation?Generally, To determine the present value of the tax on depreciation recapture in the year of sale, we can use the present value formula:
PV = FV / (1 + r)^n
Where PV is the present value, FV is the future value, r is the discount rate, and n is the number of periods.
Plugging in the given values, we get:
PV = $35,000 / (1 + 0.095)^5
= $35,000 / 1.503787
= $23,226.45
The present value of the tax on depreciation recapture in the year of sale is $23,226.45.
Read more about Tax depreciation
https://brainly.com/question/29243264
#SPJ1
the adjusted trial balance is used to prepare the income statement only. the unadjusted trial balance is used to prepare the equity statement and balance sheet.
False. The adjusted trial balance is used to prepare the income statement only. the unadjusted trial balance is used to prepare the equity statement and balance sheet.
What is the adjusted trial balance?The general ledger account balances are shown in an adjusted trial balance following any revisions. These changes often cover depreciation, prepaid expenses, accruing expenses, and other non-cash costs. It's that easy.
A list of the ledger account closing balances at a certain moment is called a trial balance. On the other hand, an adjusted balance is a list of general accounts and their current balances following the posting of the adjusting entries.
Read more on the adjusted trial balance here: https://brainly.com/question/28430728
#SPJ1
the adjusted trial balance is used to prepare the income statement only. the unadjusted trial balance is used to prepare the equity statement and balance sheet. T or F
marx believed that was the first economic system capable of maximizing the immense productive potential of human labor and ingenuity.
Marx considered capitalism to be the first economic system capable of harnessing the enormous productive potential of human labor and intellect.
Karl Marx, who was he?What were his thoughts on capitalism? Marx considered capitalism to be the first economic system capable of harnessing the enormous productive potential of human labor and intellect.Marx saw capitalism as a system that alienates the masses.His rationale was as follows: while employees generate goods for the market, it is market forces, not workers, that control the market.People are forced to labor for capitalists who wield complete control over the means of production and wield authority in the workplace.Marx is most renowned for his revolutionary works that advocated for socialism and a communist revolution.While the majority now rejects Marxism and Marxian economics, many of Marx's critiques of capitalism remain pertinent.To learn more about Karl Marx refer
https://brainly.com/question/2283863
#SPJ4
california surf clothing company issues 1,000 shares of $1 par value common stock at $18 per share. later in the year, the company decides to purchase 100 shares at a cost of $21 per share. record the transaction if california surf resells the 100 shares of treasury stock at $23 per share.
As stated, Dr. Cash is worth $2,300, Cr. Treasury Share is worth $2,100, Cr. $200 in Treasury stock was paid as capital.
What is purchase example?Examples taken from the Collins dictionary-He got a ticket and climbed up to the top deck. Brokers were used to purchase the majority of the shares. The receipts included some for auto purchases. She examined her item after opening the tie box.
Briefing:Shares of Treasury were purchased at the time.= 100 × $21
= $2,100
Dr Treasury stock $2,100
Cr Cash $2,100
when it is resold
This difference in the issuing of Treasury stock, it should be noted, will be transferred to a Paid in capital Receivable and inventory account.
Proceeds = 100 × $23
= $2,300
capitalised on Treasury stock.
= $2,300 - $2,100
= $200
To know more about purchase visit:
brainly.com/question/24112214
#SPJ4
which combination of the following represent the risks that a swap dealer confronts? (i)- interest rate risk (ii)- basis risk (iii)- exchange rate risk (iv)- political risk (v)- sovereign risk (i), (ii), (iii), and (v) (i), (iii), and (iv) (iii), (iv), and (v) (i), (ii), (iii), (iv), and (v)
A swap dealer takes on risk and acts as a market maker of swaps. Talk about the dangers that a trader in interest rate and currency swaps faces.
What are the swaps' risks?Interest-rate swaps, like the majority of non-government fixed-income assets, are subject to two main risks: interest rate risk and counterparty risk, which is credit risk in the swaps market. Swaps involve interest-rate risk since real interest rate fluctuations don't always coincide with predictions.
Which two forms of swap contracts are there?In contrast to options and futures, which are traded on a public exchange, swaps are specialized contracts sold in the private over-the-counter (OTC) market. The two most typical and fundamental types of swaps are interest rate and currency swaps.
To know more about swap dealer confronts visit:-
https://brainly.com/question/15184603
#SPJ4
Openlane and Yearin Technologies have together invested and created a new organization, Globex Corporation, to focus on developing diagnostic devices. Through this new firm, both companies are attempting to combine their core competencies to innovate and reduce their risks associated with transaction-specific investments. However, the new organization operates independent of Openlane and Yearin Technologies. Which of the following alternatives to integration does this scenario best illustrate? a licensing contract a franchisee a joint venture a corporate acquisition
ANSWER: Joint venture illustrate this scenario perfectly.
WHAT IS A JOINT VENTURE?In order to accomplish a shared goal, two or more commercial organizations can form a joint venture (JV). Combining the advantages of each unit is the goal of the JV. Also, when the vulnerabilities are combined, they are lessened. A JV's participants may occasionally create a completely new company. They refer to it as a limited liability company, corporation, or a partnership in that situation. In the absence of such a JV agreement, the associated business entities maintain their current identities.
Resources, assets, and equity are shared by partners in a joint venture. The majority of the time, a joint venture is started with a specific goal in mind, such as product research or production. It can, however, also be developed for a persistent goal. The companies are not obligated to continue the joint venture after the agreed-upon duration because it is only a temporary agreement. According to a mutual agreement, the precise length of the collaboration is set.
FOUR MAIN REASONS WHY COMPANIES FORM JVs:
To reduce costsTo enter foreign marketsTo leverage resourcesTo combine expertiseTo know more about joint venture visit:
https://brainly.com/question/28892567
#SPJ4
You are considering staying in college another semester so that you can complete a major in economics. In deciding whether or not to stay, you should:
a) compare the total cost of your education to the total benefits of your education.
b) compare the total cost of your education to the benefits of staying one more semester.
c) compare the cost of staying one more semester to the benefits of staying one more semester.
d) compare the total benefits of your education to the cost of staying one more semester.
Option (C) . Compare the cost of staying one more semester to the benefits of staying one more semester.
How many months of semester are there?
A college semester lasts 15 weeks, or about four months. A typical semester is three months long and a quarter is about two and a half months long. Accelerated courses are typically completed within two months.
How semesters work?
The semester system usually consists of two semesters of 15 weeks each.
Once in autumn (winter vacation continues) and once in spring (summer vacation continues). An average full-time student per semester he takes 4-5 courses, or about 15 credits. The academic year usually begins at the end of August and ends at the beginning of May.
Why it is called a semester?
The first recorded use of the word semester dates back to the 19th century. It comes from the Latin sēmestris, meaning "half-yearly," sex, meaning "six," and mensis, meaning "one month." In high school, many classes span both semesters. This means that students will take that class throughout the academic year.
To know more about Semester visit here:
https://brainly.com/question/1808106
#SPJ4
inventory errors net income in year 2 is understated by $1,100. year 2 ending inventory per the financial statements
Net profits will be overstated if ending inventory is underestimated. In the event that closing inventory is overstated, the cost of goods sold,
Is your pay determined by your net income?
Gross pay is the amount of an employee's salary that is left over after payroll deductions for things like taxes, benefits, and other costs. Net pay, often known as take-home pay, is what is left over after all withholdings have been deducted.
What are net income and income?
Gross income is the entire amount of money made by selling products and services over a certain time period. The amount of money left over after all expenditures have been paid is known as net income. Knowing the difference between the two is essential to understanding the financial health of your company.
To know more about net income visit:
https://brainly.com/question/20938437
#SPJ4