True. Mario, as a general manager, exhibited both the informational role by sharing information from higher-ups and the decisional role by making the Taco Bell locations central hubs for training.
True. As a general manager, Mario performed the informational position by providing essential information from higher-ups to his employees, which is a critical aspect of successful communication and decision-making within a company.
Furthermore, he displayed a decisional role by taking the initiative to create his Taco Bell location's training centres. This position entails making decisions that impact the company's path as well as dealing with problems that arise within the business. Mario successfully managed his employees and contributed to the company's success by assuming both positions.
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strategic tool for navigating shadow negotiations and keeping negotiations from becoming blocked or stalled?
Strategic tools for navigating shadow negotiations and keeping negotiations from becoming blocked or stalled include information exchange, effective communication, building trust, preparing alternative solutions, brainstorming, and knowing the other party’s interests and objectives.
The strategic tools for navigating shadow negotiations and keeping negotiations from becoming blocked or stalled are as follows:
Creating and maintaining effective communication channels is the first strategic tool for navigating shadow negotiations and preventing negotiations from becoming blocked or stalled. It is critical to establish lines of communication that enable all parties to participate and communicate effectively. It is critical to provide the appropriate information to all parties involved in shadow negotiations.Establish a shared goal that all parties can agree on. When parties in shadow negotiations have different objectives, they may have difficulty reaching an agreement. Create trust between the parties. It's critical to build trust in shadow negotiations to ensure that all parties involved feel secure enough to negotiate openly and honestly. A positive negotiating environment is also necessary for establishing trust. In conclusion, creating and maintaining effective communication channels, establishing a shared goal that all parties can agree on, and building trust between the parties are the key strategic tools for navigating shadow negotiations and preventing negotiations from becoming blocked or stalled.Learn more about strategic tools at https://brainly.com/question/29434261
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publicly owned companies must file their audited financial statements with which of the following? multiple choice question. the securities and exchange commission the internal revenue service the financial accounting standards board the public company accounting oversight board
Publicly owned companies must file their audited financial statements with the Securities and Exchange Commission (SEC).
What is a publicly-owned company? A publicly traded company (also known as a public company) is a corporation whose ownership is divided into publicly traded shares of stock. Anyone can purchase shares of publicly traded companies, and the shares are traded on a stock exchange.What are audited financial statements?Audited financial statements are financial reports that have been audited by an independent certified public accountant (CPA). The purpose of an audit is to assess the accuracy, completeness, and fairness of a company's financial statements. The audit's primary goal is to provide assurance that the financial statements are free of material misstatement, fraud, or other irregularities.Who requires audited financial statements?Publicly traded companies must file audited financial statements with the Securities and Exchange Commission (SEC) each year. The SEC requires publicly traded companies to file annual reports (Form 10-K) that include audited financial statements. Additionally, privately held companies may need to provide audited financial statements to their lenders, creditors, or investors.
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You live in a town with 300 adults and 200 children, and you are thinking about putting on a play to entertain your neighbors and make some money. A play has a fixed cost of $2,000, but selling an extra ticket has zero marginal cost. Here are the demand schedules for your two types of customer:
Price. Adults. Children
$10. 0. 0
9. 100. 0
8. 200. 0
7. 300. 0
6. 300. 0
5. 300. 100 4. 300. 200
3. 300. 200
2. 300. 200
1. 300. 200
0. 300. 200
a. To maximize profit, what price would you charge for an adult ticket? For a children's ticket? How much profit do you make? b. The city council passes a law prohibiting you from charging different prices to different customers. What price do you set for a ticket now? How much profit do you make? c. Who is worse off because of the law prohibiting price discrimination? Who is better off? (If you can, quantify the changes in welfare.) d. If the fixed cost of the play were $2,500 rather than $2,000, how would your answers to parts (a), (b), and (c) change?
To maximize profit, you should charge an adult ticket at $7 and a children's ticket at $6. This would lead to a total profit of $1,700 (300 adults x $7 + 200 children x $6).
With the city council's law prohibiting you from charging different prices, you would have to charge the same price for both adults and children. This price should be set at $6.50, since this would maximize total revenue (300 adults x $6.50 + 200 children x $6.50 = $2,350). Your profit would then be $1,350.
The law prohibiting price discrimination makes the adults worse off and the children better off. The adults would have to pay $0.50 more for their tickets than before, which leads to a decrease in total welfare of $150 (300 adults x $0.50 = $150). Meanwhile, the children would pay $0.50 less, leading to an increase in total welfare of $100 (200 children x $0.50 = $100).
If the fixed cost of the play were $2,500, then you would have to charge an adult ticket at $8 and a children's ticket at $7 in order to maximize profit. With the city council's law prohibiting price discrimination, you would have to charge the same price for both adults and children. This should be set at $7.50, since this would maximize total revenue. The adults would have to pay $1.50 more for their tickets than before, leading to a decrease in total welfare of $450 (300 adults x $1.50 = $450). Meanwhile, the children would pay $1.50 less, leading to an increase in total welfare of $300 (200 children x $1.50 = $300). Your profit would then be $950.
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If the government begins to run a larger budget deficits, then assuming there is no Ricardo-Barro effect, the demand for loanable funds ________ and the real interest rate ________.
A. decreases; rises
B. increases; rises
C. decreases; falls
D. increases; falls
If the government starts running a higher budget deficit, then the demand for loanable funds Decreases and the real interest rate rises. (A)
The Ricardo-Barro effect is a concept in economics that implies that government spending does not influence people's spending habits. People are forward-looking in their spending habits, according to this concept.
Because taxes will eventually have to be raised to pay off the deficit, people will save more now in anticipation of higher taxes in the future.
As a result, the impact of a budget deficit on private sector demand is totally offset by future tax expectations. As a result, the Ricardo-Barro effect is the idea that when the government incurs a deficit, it does not affect aggregate demand because the private sector saves more in anticipation of future tax increases. (A)
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What is the last step in developing an ABC system?
In the following question, among the conditions given, The last step in developing an ABC system is to implement the system and monitor its effectiveness.
What is an ABC system? Activity-Based Costing (ABC) is a technique for calculating the costs of business processes and products. The costs are assigned to individual products, services, or business processes according to the number and nature of the activities involved in their manufacture or provision. ABC is more accurate than traditional costing methods because it recognizes that various products consume various activities at varying levels of cost.
However, developing an ABC system requires a systematic and logical approach, as well as the following eight steps: Identify and define activities that are relevant to the cost object. Create activity cost pools and estimate the total cost of each pool. Determine the cost driver that has the most impact on each activity pool.
Establish a rate for each activity cost pool by dividing the pool's total cost by its cost driver activity. Estimate the total quantity of each cost driver activity that will be required for each product or service. Compute the cost of each product or service by multiplying the total quantity of each cost driver activity by the rate of the cost driver activity.
Compile the results and allocate the costs of each activity pool to the appropriate products, services, or business processes. Implement the system and monitor its effectiveness. The implementation of the ABC system involves the incorporation of the new process, method, or system into the company's culture. Monitoring the effectiveness of the ABC system assists to keep the system functioning effectively over time.
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A grocery store owner is interested in the average diameter of the chicken eggs that they sell. She takes an SRS of 48 chicken eggs from a grocery store and finds the mean diameter to be 42.3 mm with a standard deviation of 1.5 mm. i. What is the parameter of interest? [Select] ii. What type of inference should be used to estimate the average diameter of the chicken eggs that they sell? [Select] iii. What type of inference should be used to determine whether the average diameter of the chicken eggs that they sell is 42 mm as it should be? [Select]
The parameter of interest is the average diameter of the chicken eggs that the grocery store sells.
To estimate the average diameter of the chicken eggs that the grocery store sells, the type of inference used should be a point estimate, or a single value from the sample that is used to estimate the population parameter.
To determine whether the average diameter of the chicken eggs that the grocery store sells is 42 mm as it should be, the type of inference used should be a hypothesis test, which is used to determine whether the sample data supports or rejects the stated hypothesis.
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the free-rider problem is most likely to exist in a market in which goods are multiple choice excludable and rival. excludable and nonrival. nonexcludable and rival. nonexcludable and nonrival.
The free-rider problem is most likely to exist in a market in which goods are nonexcludable and rival. Correct answer is option D.
The free-rider problem refers to the situation where individuals or organizations can benefit from a public good without contributing to its cost. A public good is a type of good that is both non-excludable, meaning that individuals cannot be excluded from using it, and non-rivalrous, meaning that one person's consumption of the good does not diminish the amount available for others.
As a result, individuals have little incentive to pay for the good, as they can simply enjoy the benefits without contributing to the cost. This creates a problem of underproduction, as the market fails to supply the optimal level of the public good. The free-rider problem can be mitigated through mechanisms such as government provision, taxation, and social norms.
Therefore, the correct answer is option D.
"
Complete question
The free-rider problem is most likely to exist in a market in which goods are
multiple choice
A: excludable and rival.
B: excludable and nonrival.
C: nonexcludable and rival.
D: nonexcludable and nonrival.
"
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the positioning process: select one: a. must be continually modified to match customer wants and needs b. is a fixed value-added process conducted by the salesperson c. involves isolation from the competition d. is performed by the customer in the buying cycle e. should be performed every five years
The positioning process: must be continually modified to match customer wants and needs. It is the process of identifying an appropriate marketing mix for the target market. Hence option A. is correct.
What is the positioning process?
Positioning refers to the place that a product occupies in the minds of the customers relative to other products.
The positioning strategy involves developing a unique, meaningful, and believable perception in the minds of the customers about a company’s offering and image.
The purpose of the positioning process is to create a brand that has a competitive advantage in the marketplace. The positioning process is dynamic and should be continually modified to match customer wants and needs.
Therefore, option A. is correct.
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compare and explain differences in the support-department costs allocated to each production department. (
When it comes to support-department costs allocated to each production department, there are a few key differences. The first difference is that some production departments require more support than others.
What is the differences in the costs?The differences in the level of support required by each department can lead to differences in the amount of support-department costs allocated to each department. Another difference is that some support departments may have a greater impact on certain production departments than others.
For example, if one production department relies heavily on another department for raw materials or finished goods, the support department that provides support to the second department may also provide more support to the first department.
This can result in differences in the amount of support-department costs allocated to each production department.
Overall, the key to understanding the differences in support-department costs allocated to each production department is to look at the specific needs and requirements of each department, as well as the impact of support departments on the production process.
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When household debt levels rise:
a. the ability to get more credit rises.
b. families are less able to spend in the current period.
c. investment levels rise.
d. tax payments will be higher.
e. none of the above
When household debt levels rise, families are less able to spend in the current period. Option B.
What is debt?Debt is an amount of money owed by one person, organization, or country to another. Debt may have been incurred as a result of borrowing money, as in the case of credit cards, mortgages, or personal loans, or as a result of a trade or service received, such as unpaid bills or taxes that are due.
What is household debt?
Household debt is the total amount of money owed by households or consumers in a particular country or area. Household debt includes all types of consumer loans and mortgages. The rise in household debt is one of the primary causes of economic recession.
However, when the amount of household debt increases, it can lead to a decrease in consumer spending as households struggle to pay back their loans and interest charges.
In conclusion, when household debt levels rise, families are less able to spend in the current period. The right answer is Option B.
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9) Cost minimization is an appropriate strategy in which stage of the product life cycle?A) introductionB) growthC) adolescenceD) declineE) retirement
Cost minimization is an appropriate strategy in the decline stage of the product life cycle. Thus the correct option (d)
In the decline stage, sales and profits are decreasing as the product becomes outdated or is replaced by newer products. In this stage, cost minimization is important to maintain profitability and prolong the life of the product as long as possible.
The focus shifts from growth and expansion to streamlining operations and reducing costs. This may involve reducing marketing expenses, cutting back on production costs, and optimizing the supply chain to minimize costs. By minimizing costs, the business can continue to generate revenue and maximize profits for as long as possible before eventually retiring the product.
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Assuming appropriate disclosure is made, which of the following fee arrangements generally would be permitted under the ethical standards of the profession?
a.) A fee paid to the client's audit firm for recommending investment advisory services to the client.
b.) A fee paid to the client's tax accountant for recommending a computer system to the client.
c.) A contingent fee paid to the CPA for preparing the client's amended income tax return.
d.) A contingent fee paid to the CPA for reviewing the client's financial statements.
Assuming appropriate disclosure is made, the fee arrangement that is generally permitted under the ethical standards of the profession is a.) A fee paid to the client's audit firm for recommending investment advisory services to the client, while the others are restricted.
The American Institute of Certified Public Accountants (AICPA) has established ethical standards for the accounting profession. This standard applies to all certified public accountants (CPAs) in the United States. The AICPA's Code of Professional Conduct contains four key principles that are generally applicable to all public accountants: objectivity, integrity, confidentiality, and professional conduct.
A fee paid to the client's audit firm for recommending investment advisory services to the client is generally allowed under the ethical standards of the profession. The reason why a fee paid to the client's audit firm for recommending investment advisory services to the client is acceptable is because it does not create a conflict of interest. Additionally, the investment advisory services are related to the audit firm's core services and are therefore complementary to them.
In conclusion, the ethical standards of the profession permit a fee paid to the client's audit firm for recommending investment advisory services to the client, assuming appropriate disclosure is made. The correct option is A) A fee paid to the client's audit firm for recommending investment advisory services to the client.
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which of the following procedures would an auditor most likely include in establishing the overall audit strategy of a financial statement audit? a. Obtain an understanding of the entity's risk assessment process
b. Identify specific internal control activities designed to prevent fraud
c. Evaluate the reasonableness of the entity's accounting estimates
d. Perform cutoff tests of the entity's sales and purchases
An auditor would most likely include obtaining an understanding of the entity's risk assessment process in establishing the overall audit strategy of a financial statement audit. Therefore, the correct answer is A.
An audit of a financial statement, also known as an external audit or financial audit, is a review of an organization's financial records and internal controls conducted by an independent auditor who then offers an opinion on the accuracy of the financial statements. A financial statement audit is meant to provide assurance that the company's financial statements are reliable and free of a material misstatement by checking for conformity with Generally Accepted Accounting Principles (GAAP).
Auditors utilize various methods to establish the overall audit strategy of a financial statement audit. One of the methods is to obtain an understanding of the entity's risk assessment process. The objective of obtaining an understanding of the entity and its environment, including its internal control, is to assess the risks of material misstatement of the financial statements and to plan the audit procedures accordingly. The auditor's overall strategy is based on an understanding of the entity and its environment, which is obtained through research, consultation, communication with management, and information gathered from preliminary analytical procedures.
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Year P of Shoes Q of Shoes P of Hammers Q of Hammers2010 $5 400 $2 502011 $6 400 $2 1002012 $7 400 $3 100The Nominal GDP for each year was:2010: $2,1002011: $2,6002012: $3,100Real GDP for each year using 2011 as the base year was:2010: $24102011: $26002012: $2700The GDP deflator for each year:2010: 87.1362011:1002012: 114.8The percentage change in nominal GDP, real GDP, and the GDP deflator in 2010 and 2011 from the previous year.NOMINAL: 2010 to 2011: %23.8 2011 to 2012: %19.23REAL: 2010 to 2011: %7.88 2011 to 2012: %2.8DEFLATOR: 2010 to 2011:% 14.7 2011 to 2012: % 14.8a) Did economic well-being rise more from 2010 to 2011 or from 2011 to 2012? Why?
Economic well-being means people have their most basic survival needs met and have sustainable income and assets so they can prosper. During and after crises, people may be forced to make short-term decisions to survive—such as pulling children out of school to work—that will have long-term negative consequences.
Economic well-being rose more from 2010 to 2011 than from 2011 to 2012. This is because, in 2010–2011, both the nominal GDP and the GDP deflator rose by 23.8% and 14.7%, respectively, while in 2011–2012, the nominal GDP and the GDP deflator only rose by 19.2% and 14.8%, respectively.
This indicates that there was a larger increase in the purchasing power of the economy in 2010–2011 compared to 2012–2013.
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14
Mateo is trying to buy a house and applied for a mortgage. He received a notice that the bank had turned him down for a loan. He wonders if there is
some mistake because he has been saving up him money and he knows that he can afford the house. Does the potential lender have to tell him why
he was turned down?
Yes, under Fair Credit Reporting Act (FCRA), if Mateo's mortgage application was turned down, the lender must provide him with a written notice that includes the specific reasons for the denial.
What is a mortgage?A mortgage is a type of loan that is specifically used to purchase a property, such as a home or a piece of land. The loan is typically repaid over a set period of time, usually ranging from 15 to 30 years, with regular payments that include both principal and interest. The property being purchased serves as collateral for the loan, which means that if the borrower fails to make payments, the lender can take possession of the property through a process called foreclosure. Mortgages are typically offered by banks, credit unions, and other financial institutions, and the terms and interest rates of the loan can vary depending on a variety of factors, such as the borrower's credit score, income, and the amount of the down payment.
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Answer:
Plato answer is B within 60 days
Explanation:
according to porter's five forces model, which of the following firms would be least affected by the threat of substitutes? group of answer choices a used car dealership in new york a convenience store that sells retail products a firm that sells the only drug for a disease a corner latte shop in atlanta a food vendor at a county fair
According to Porter's five forces model, which of the following firms would be least affected by the threat of substitutes?The company that sells the only drug for a disease would be least affected by the threat of substitutes because it is the only company that provides the drug required to treat a particular disease.
According to Porter's five forces model, the threat of substitutes is one of the five components of competitive analysis that influences the competitive dynamics of a market. It evaluates the availability of comparable products and services that could meet the consumer's need or want.The firm that sells the only drug for a disease is least affected by the threat of substitutes. The firm is protected from the rivalry of other firms, and the market dominance they've established. This is because consumers have no other option to consider, and so they are willing to pay any price to obtain the product. This understanding can be used to conclude that the only drug-selling company is least affected by the threat of substitutes. Learn more about the five forces model and the impact of substitutes on business in this article.
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economists typically rely on a broader measure of international trade known asthe ___________________, which includes _____________________________.A. current trade balance; foreign aid announced by the government.B. current trade balance; finance, law, and software product design.C. current account balance; telecommunications, computers, finance, law, andadvertising.D. current account balance; goods, services, international income flows, and foreignaid.
D. current account balance; goods, services, international income flows, and foreign aid.
A more comprehensive assessment of a nation's performance in international commerce than the simple trade balance is the current account balance. It comprises the country's receipt of foreign aid as well as the exports and imports of goods and services, as well as income flows like dividends, interest, and remittances from abroad. The current account balance, which depicts the net outcome of these transactions, is a crucial sign of a nation's economic health and capacity to pay for its commitments to other nations. The current account balance is a common tool used by economists to assess the competitiveness, external economic ties, and trade patterns of a nation as well as to project its future economic prospects.
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the process of allocating congressional seats among the states is called
The process of allocating congressional seats among the states is called "apportionment".
Apportionment is the process by which the total number of congressional seats each state receives is determined. Apportionment is based on the population of each state, as determined by the national census, and is re-allocated every ten years. The U.S. Constitution requires that the number of congressional seats each state receives should be proportional to the population of that state. To achieve this, the total number of congressional seats is divided by the total population of all states to get the average population of a district. The total number of congressional seats allocated to each state is then determined by dividing the population of that state by the average population of a district. This ensures that each state is proportionally represented in Congress.
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a drug that is effective against a large variety of bacterial types including gram positive, gram negative, intracellular pathogens, and bacterial without cell walls (mycoplasmas) is a ______ antimicrobial
A drug that is effective against a large variety of bacterial types including gram-positive, gram-negative, intracellular pathogens, and bacterial without cell walls (mycoplasmas) is known as a broad-spectrum antimicrobial.
What is an antimicrobial? An antimicrobial is a substance that is capable of destroying or inhibiting the growth of microorganisms. These microorganisms can be bacteria, viruses, fungi, or parasites. They are often used to treat infections and are sometimes used as disinfectants.
Broad-spectrum antimicrobial A broad-spectrum antimicrobial is a type of antimicrobial drug that is effective against a wide range of bacterial types. It is used when the causative agent of the infection is unknown or when the infection is caused by a mixture of different types of bacteria. Broad-spectrum antimicrobials are effective against both gram-positive and gram-negative bacteria.
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Find the following values. Compounding/discounting occurs annually. Do not round intermediate calculations. Round your answers to the nearest cent.
a. An initial $500 compounded for 10 years at 7%.
$
b. An initial $500 compounded for 10 years at 14%.
$
c. The present value of $500 due in 10 years at 7%.
$
d. The present value of $1,865 due in 10 years at 14% and 7%.
Present value at 14%: $
Present value at 7%: $
e. Define present value.
The present value is the value today of a sum of money to be received in the future and in general is less than the future value.
The present value is the value today of a sum of money to be received in the future and in general is greater than the future value.
The present value is the value today of a sum of money to be received in the future and in general is equal to the future value.
The present value is the value in the future of a sum of money to be received today and in general is less than the future value.
The present value is the value in the future of a sum of money to be received today and in general is greater than the future value.
-Select-IIIIIIIVVItem 6
How are present values affected by interest rates?
The present value of a sum of money is directly affected by the interest rate. The higher the interest rate, the lower the present value of a future sum of money.
This is because higher interest rates represent a greater opportunity cost of waiting to receive the money until the future, so the present value of the money decreases. Conversely, lower interest rates represent a lower opportunity cost of waiting to receive the money in the future, so the present value of the money increases.
In other words, the present value of a sum of money is inversely related to the interest rate, meaning that as one goes up, the other goes down.
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xidentify and briefly discuss three factors which influence the choice of crops produced by commercial farmers?
Commercial farmers are responsible for growing and distributing crops to markets. The following are three factors that influence their choice of crops produced by commercial farmers: Soil characteristics, Climate changes, and Market demands.
What are the three factors?1. Soil characteristics: The choice of crops is determined by soil type, fertility, and nutrient levels. The pH of the soil should also be considered when selecting crops, as some crops require acidic soil while others require alkaline soil.
2. Climate change: The changing weather patterns are a significant factor that influences the choice of crops. For example, farmers must choose drought-resistant crops if they live in areas that experience drought.
3. Market demands: The demand for certain crops is determined by the market. Farmers must be aware of the crops that are in high demand and which ones are in low demand. They should also be aware of any seasonal variations in demand. They must also decide on the best price to sell the crops they grow so as to maximize their profits.
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Lonnie Flanagan's weekly gross pay is $1,250. Each week she has $64.37 in deductions, plus state tax of 2% of her gross pay, Social Security taxes of 6.2%, and Medicare taxes of 1.45%. What is her net pay?
The weekly gross salary for Lonnie Flanagan is $1,250. She deducts $64.37 from her paycheck each week in addition to the 2% state tax, 6.2% Social Security tax, and 1.45% Medicare tax. Her net pay was $1065.
How are net and gross salaries different?When all payroll deductions from an employee's gross pay have been made, the remaining pay is referred to as their net pay.
Once insurance, provident funds, and other costs have been covered, the remaining sum belongs to the employee. Among of the elements that go into calculating the gross sum include the House Rent Allowance, Conveyance Allowance, and Medical Allowance. A few of the elements that make up net income are income taxes, professional taxes, provident funds, pensions, and others.
Her salary will be:
= Gross pay - Deduction - Tax - Social security - Medicare
= $1,250 - $64.37 - (2% × $1250) - (6.2% × $1,250) - (1.45% × $1,250)
= $1,250 - $64.37 - $25 - $77.50 - $18.125
= $1,065
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a deposit increases the value of a bank account. a withdrawal decreases the value of a bank account. enter the integer that represents a withdrawal of 72 dollars.
The integer that represents a withdrawal of 72 dollars is -72. Let's understand the meaning of a deposit and a withdrawal in a bank account.
What is deposit?A deposit increases the value of a bank account, while a withdrawal decreases the value of a bank account. A deposit refers to an amount of money that is added to an account in a bank or other financial institution. Deposits can be made in the form of cash, checks, or electronic transfers.
What is withdrawal?Withdrawal refers to an amount of money that is taken out of an account in a bank or other financial institution. Withdrawals can be made in the form of cash, checks, or electronic transfers. Depending on whether you are making a deposit or withdrawal, the amount you enter can be positive or negative. So, the integer that represents a withdrawal of 72 dollars is -72.
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From a macroeconomic point of view, which of the following is a source of demand for financial capital?
A. savings by households and firms
B. foreign financial investment
C. domestic household private savings
D. government borrowing
The journal of Ward Technology Solutions, includes the following entries for May, 2012:May 1 The business received cash of $80,000 and gave capital to the owner.2 Purchased supplies of $790 on the account.4 Paid $50,000 cash for a building.6 Performed service for customers and received cash, $3,200.9 Paid $540 on accounts payable.17 Performed service for customers on account, $2,900.23 Received $2,300 cash on account from a customer.31 Paid the following expenses: salary, $1,800; rent, $900.Prepare T-accounts.
T-accounts are a visual representation of an accounting system that allows for the tracking and analysis of financial transactions. They represent the account name and debit and credit columns.
To prepare T-accounts, we need to start by recording the transactions and their effects. For example:
May 1: The business received cash of $80,000 and gave capital to the owner.
Effect on T-accounts: Increase Cash and increase Capital.
May 2: Purchased supplies of $790 on the account.
Effect on T-accounts: Increase Supplies and increase Accounts Payable.
May 4: Paid $50,000 cash for a building.
Effect on T-accounts: Decrease Cash and increase Building.
May 6: Performed service for customers and received cash, $3,200.
Effect on T-accounts: Increase Cash and increase Accounts Receivable.
May 9: Paid $540 on accounts payable.
Effect on T-accounts: Decrease Cash and decrease Accounts Payable.
May 17: Performed service for customers on account, $2,900.
Effect on T-accounts: Increase Accounts Receivable and increase Service Revenue.
May 23: Received $2,300 cash on account from a customer.
Effect on T-accounts: Increase Cash and decrease Accounts Receivable.
May 31: Paid the following expenses: salary, $1,800; rent, $900.
Effect on T-accounts: Decrease Cash and increase Salary expenses and Rent Expenses.
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The ____ method for promotion budgeting is a simple and safe approach, but may not correctly allocate funds that may be necessary when a product faces an actual or anticipated downturn.
PERCENTAGE OF SALES
The Percentage of Sales method for promotion budgeting is a simple and safe approach for allocating funds for promotion.
It involves calculating the budget based on a percentage of the previous or projected sales figures. This is a suitable approach for a product that is experiencing steady or increasing sales.
However, this approach may not allocate sufficient funds for a product that faces an actual or anticipated downturn.
This method does not take into account any extra promotional expenditure that may be necessary in such circumstances, and so an alternative budgeting method may be preferable in this situation.
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Which of the following would shift the demand curve for the magazine Sports Illustrated to the right?
a. a fall in the price of other magazines
b. an increase in the number of sports fans
c. a decrease in the price of paper
d. a fall in the price of the magazine Sports Illustrated
The correct option that would shift the demand curve for the magazine Sports Illustrated to the right would be "an increase in the number of sports fans". Option (B) is the correct answer.
Shifts in the demand curve imply that the original demand relationship has changed, meaning that quantity demanded is affected by a factor other than price. The demand curve can shift to the left or the right due to a change in demand factors. A rightward shift implies that more is demanded at every price, while a leftward shift implies that less is demanded at every price.
The following factors are likely to cause a rightward shift in the demand curve:
A decrease in the price of a substitute (if Sports Illustrated is a substitute for another magazine)
An increase in the price of a complement (if Sports Illustrated is complementary to another good)
An increase in consumer income (if Sports Illustrated is a normal good)
An increase in the number of sports fans
A fall in the price of other magazines, an increase in the number of sports fans, and an increase in consumer income are examples of factors that will shift the demand curve to the right.
A fall in the price of the magazine Sports Illustrated, on the other hand, would result in a movement along the demand curve rather than a shift.
Correct option that would shift the demand curve for the magazine Sports Illustrated to the right would be "an increase in the number of sports fans". Option (B) is correct answer.
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to find the nucleotide sequence of human chromosomes, chromosomes had to be digested into small fragments and then . to find the nucleotide sequence of human chromosomes, chromosomes had to be digested into small fragments and then . pasted together with dna ligase separated using gel electrophoresis cloned and sequenced cut into smaller fragments with restriction enzymes
"To find the nucleotide sequence of human chromosomes, chromosomes had to be digested into small fragments and then cloned and sequenced."
The human genome, which includes the nucleotide sequence of all chromosomes, is too large to be sequenced directly. To overcome this challenge, scientists use a technique called fragmentation, where the DNA is broken down into smaller pieces.
These fragments are then cloned, or copied, and sequenced individually. This approach allows for the sequencing of small portions of DNA that can be pieced together to generate a complete chromosome sequence.
To facilitate the process, special enzymes are used to cut the DNA at specific locations, creating fragments of a known size. This technique has been instrumental in the generation of the human genome sequence, which has led to a better understanding of genetic diseases and has opened new avenues for personalized medicine.
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Information for two companies follows: Skittles Starburst Company Company Sales $ 5,430,000 $ 3,992,000 Contribution margin 3,680,000 1,272,000 Fixed costs 2,760,000 742,000 (1) Compute the degree of operating leverage (DOL) for each company. (2) Which company is expected to produce a greater percent increase in income from a 10% increase in sales? Complete this question by entering your answers in the tabs below. Required 1 Required 2 Compute the degree of operating leverage (DOL) for each company, Degree of Operating Leverage Denominator: Numerator: Ratio E Degree of Operating Leverage Skittles's DOL Starburst's DOL է հատուկ Required 2 >
In the following question, among the conditions given, Skittles has a lower DOL than Starburst, a 10% increase in sales would produce a greater percent increase in income for Skittles than Starburst.
The degree of operating leverage (DOL) measures the sensitivity of a company's operating income to changes in sales. It is calculated by dividing the contribution margin by the operating income.
For Skittles, the DOL can be calculated as follows:
Denominator: Operating income = $3,680,000
Numerator: Contribution margin = $5,430,000
DOL = Numerator/Denominator
DOL = $5,430,000/$3,680,000
DOL = 1.48
For Starburst, the DOL can be calculated as follows:
Denominator: Operating income = $1,272,000
Numerator: Contribution margin = $3,992,000
DOL = Numerator/Denominator
DOL = $3,992,000/$1,272,000
DOL = 3.13
Since Skittles has a lower DOL than Starburst, a 10% increase in sales would produce a greater percent increase in income for Skittles than Starburst.
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julianna rollins was judged at fault in an automobile accident. three others were awarded damages of $158,000, $70,000, and $72,000. julianna has 100/300 bodily injury liability coverage. what amount, if any, would not be covered by her insurance?
The amount that is not covered by her insurance is the excess amount beyond her policy limit, which is $0 ($300,000 - $300,000). The insurance policy will cover all the damages awarded, up to the policy limit of $300,000, and there will be no amount that is not covered by her insurance.
How do we determine the amount covered by her policy?Julianna has 100/300 bodily injury liability coverage, which means her insurance policy will pay up to a maximum of $100,000 per person and $300,000 in total for all injuries resulting from the accident.
In this case, there were three people awarded damages:
First person was awarded $158,000Second person was awarded $70,000Third person was awarded $72,000The total damages awarded are:
= $158,000 + $70,000 + $72,000
= $300,000
Since the total damages awarded exceed Julianna's bodily injury liability coverage limit of $300,000, hence, her insurance policy will only cover up to the policy limit of $300,000.
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