An advantage of the partnership form of business organization is:

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Answer 1

Advantages of a partnership consist that: two heads (or greater) are better than one. Your business is simple to establish and begin-up fees are low. more capital is to be had for the enterprise.

A partnership business is straightforward to shape since very minimum prison approaches are required. A partnership enterprise has a limitless liability, which influences the financial assets of the companions. The partnership may be without problems dissolved on insolvency retirement or loss of life of an associate, and no felony procedures are required.

The advantages of a partnership are more control abilities, more possibility of retaining equipped workers, more sources of financing, ease of formation, and freedom to control.

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An attorney with a long and impressive track record, Tracey is serving as an arbitrator and helping to resolve a dispute between an inventor and a large corporation that he claims has stolen his idea. After a great deal of argument from both sides, Tracey receives offers from both sides. The inventor asks for damages of $3 million, royalties of 10 percent on the invention for the next 10 years, and a written apology, whereas the company offers to pay $125 million, with royalties of 7 percent for 5 years, as well as a written apology. After considering both offers and the arguments behind them. Tracey determines that the company's offer is fair, and an agreement is reached. This is an example of Multiple Choice convention arbitration distributive mediation

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If an inventor and a corporation dispute is resolved by an attorney arbitrator who determines the corporation's offer is fair, this is an example of convention arbitration.

In this scenario, Tracey is serving as an arbitrator to resolve a dispute between an inventor and a large corporation. Arbitration is a process of resolving disputes in which an impartial third party, called an arbitrator, hears arguments from both sides and makes a decision that is binding on both parties.

Convention arbitration is a type of arbitration in which the parties agree in advance to abide by the arbitrator's decision, and the decision is usually final and cannot be appealed.

In this case, Tracey listened to arguments from both sides and considered the offers made by each party. She determined that the company's offer was fair and reached an agreement. This is an example of convention arbitration, as both parties had agreed to abide by Tracey's decision.

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according to the following information, which of the stocks would be considered riskiest in a diversified portfolio of investments?

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The stock that would be considered riskiest in a diversified portfolio of investments is Stock TUV, because it has the highest beta. Therefore, the correct option is B.

According to the given information, the riskiest stock in a diversified portfolio of investments would be Stock TUV. The reason for this is that it has the highest beta (3.0). A higher beta indicates greater volatility and risk compared to the overall market. In a diversified portfolio, beta is a more relevant measure of risk since it reflects how the stock's returns move with the market.

So, the answer is option B: Stock TUV, because it has the highest beta.

Note: The question is incomplete. The complete question probably is: According to the following information, which of the stocks would be considered riskiest in a diversified portfolio of investments?

Stock s b

ABC 12.5%  1.0

FGH 8.0%  0.5

MNO 20.2% 2.4

TUV 15.3% 3.0

A) Stock MNO, because it has the highest standard deviation. B) Stock TUV, because it has the highest beta. C) Stock FGH, because it has the highest s/b ratio. D) Stock ABC, because its beta is the same as the market beta (1.0) and the market is always very, very risky.

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the best income tax filing status for a married couple where both are high earners and at least one has large personal deductions is:

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The best income tax filing status for a married couple where both are high earners and at least one has large personal deductions is "Married Filing Jointly."

"Married Filing Jointly" is generally the most advantageous filing status for married couples when both partners have high incomes and significant personal deductions. By filing jointly, the couple can combine their incomes and deductions, which may result in a lower overall tax liability compared to filing separately.

When both spouses have high incomes, filing separately could potentially result in a higher tax burden due to limitations on certain tax benefits and higher tax rates for separate filers.

Filing jointly allows for a wider range of deductions and tax credits, such as the standard deduction, itemized deductions, and various credits, which can help reduce the couple's overall tax liability.

Furthermore, if one spouse has significant personal deductions, such as large medical expenses or mortgage interest, filing jointly allows for the full utilization of those deductions, potentially resulting in additional tax savings.

However, it is important to consult with a tax professional or use tax software to determine the specific tax implications and benefits based on the couple's individual circumstances.

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If the government ran a major budget deficit, and there was no noticeable effect on the level of GDP, this could be taken as evidence of hyperinflation structural deficit crowding-out monetary policy ineffectiveness

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If the government ran a major budget deficit and there was no noticeable effect on the level of GDP, this could be taken as evidence of crowding out.

Crowding-out occurs when government spending increases, but private spending decreases by the same amount, leaving the overall level of spending and GDP unchanged. This is because private investors may become less willing to invest if they believe that government spending will lead to higher interest rates and inflation.

Other factors that could affect the level of GDP and inflation. For example, if the deficit spending was directed towards productive investments, such as infrastructure or education, this could increase long-term economic growth and offset any potential negative effects of crowding-out. Additionally, the effectiveness of monetary policy in controlling inflation could also play a role. If monetary policy is ineffective, then the government may need to rely on fiscal policy, such as deficit spending, to stimulate the economy. Finally, the concept of hyperinflation is not applicable in this scenario as it refers to a situation where the rate of inflation is extremely high and rapidly accelerating, which is not the case here.

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the conditions of a property policy would list all of the following except: a: nonrenewal conditions b: liberalization c: subrogation d: property description

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The condition of a property policy that lists all of the following except "property description" is "liberalization." Option b is Correct.

Property insurance policies typically have several conditions that must be met in order for the policy to be valid and for the insurer to be obligated to pay out claims. Some of these conditions include:

Nonrenewal conditions: These conditions specify the circumstances under which the insurer can cancel the policy, such as nonpayment of premiums or material misrepresentations made on the insurance application.

Liberalization: These conditions specify the types of activities that are covered under the policy, as well as the types of losses that are eligible for coverage. Liberalization can also refer to the expansion of coverage to include new types of risks or to new geographic areas.

Subrogation: These conditions specify the circumstances under which the insurer can recover damages from third parties who are responsible for the loss. Option b is Correct.

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a broker and salesperson owe all of the following duties to the purchaser/customer, except: select one: a. honesty b. disclosing any defects in the property c. fairness d. negotiating the lowest possible price

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The duty that a broker and salesperson do not owe to the purchaser/customer is **d. negotiating the lowest possible price**.

Brokers and salespeople have a fiduciary duty to act in the best interests of their clients, which includes purchasers/customers. They owe several duties to their clients, such as honesty, disclosing any defects in the property, and fairness in their dealings.

However, the duty to negotiate the lowest possible price is not an obligation of the broker or salesperson. While they should work diligently to negotiate favorable terms and price on behalf of their clients, their duty is to secure a fair and reasonable price based on market conditions and the specific circumstances of the transaction. It is not their duty to necessarily achieve the absolute lowest price possible.

Therefore, the correct answer is **d. negotiating the lowest possible price**.

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If the government imposes a per-unit tax on personal computers, consumer surplus in the personal computer market will
A. decrease, because the price paid by consumers for personal computers will have increased
B. decrease, because there will be more personal computers on the market
C. increase, because personal computer manufacturers will pass the tax on to consumers
D. increase, because consumers will buy more imported personal computers
E. not change because the demand is unit elastic

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If the government imposes a per-unit tax on personal computers, consumer surplus in the personal computer market will decrease, because the price paid by consumers for personal computers will have increased. (option A)

When a per-unit tax is imposed on personal computers, it increases the cost of production for manufacturers or sellers. This increase in cost is typically passed on to consumers in the form of higher prices. As a result, the price paid by consumers for personal computers will increase.

With higher prices, consumers are willing to purchase fewer personal computers at each price level, leading to a decrease in consumer surplus. Consumer surplus is the difference between the maximum price consumers are willing to pay for a good and the actual price they pay.

When prices increase due to the tax, consumer surplus is reduced as consumers are no longer able to obtain personal computers at the lower prices they were previously willing to pay.

Therefore, the correct answer is A.

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A. decrease, because the price paid by consumers for personal computers will have increased.

When the government imposes a per-unit tax on personal computers, the price paid by consumers will increase. This increase in price reduces consumer surplus, which is the difference between the maximum price consumers are willing to pay and the actual price they pay.

As the price rises due to the tax, consumers will be willing to purchase fewer personal computers at a higher price, leading to a decrease in consumer surplus.

Therefore, the correct answer is A. decrease, because the price paid by consumers for personal computers will have increased.

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the difference between reported net income on variable costing and absorption costing income statements is based on how blank______.

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The difference between reported net income on variable costing and absorption costing income statements is based on how fixed manufacturing overhead costs are treated.

Under absorption costing, fixed manufacturing overhead costs are included in the cost of goods sold, meaning that they are allocated to the units produced and sold. This results in higher reported net income when production levels are high, as more units are absorbing the fixed overhead costs.

In contrast, variable costing only includes variable costs in the cost of goods sold. Fixed manufacturing overhead costs are instead expensed in the period they are incurred as period costs, rather than being allocated to units produced. This results in lower reported net income when production levels are high, as fixed overhead costs are not being absorbed by a greater number of units.

In summary, the difference between reported net income on variable costing and absorption costing income statements is based on the treatment of fixed manufacturing overhead costs, and whether they are allocated to units produced and sold or expensed as period costs.

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what is actual notice? when a property's ownership is recorded publicly the legal document that transfers real estate title from one party to another direct or first-hand knowledge the process of factoring debits and credits from the purchase price to determine how much money the buyer must bring to closing

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Actual notice refers to direct or first hand knowledge of a particular fact or situation. In the context of real estate, actual notice can refer to knowledge of a propertys ownership status or any other relevant information that may affect the transfer of ownership.

This knowledge can come from a variety of sources, including public records, personal observations, or direct communication with the parties involved in the transaction. For example, if a property's ownership is recorded publicly, anyone who conducts a search of the relevant records can gain actual notice of the transfer of ownership. Similarly, if a buyer and seller directly communicate about the terms of a sale, they may both have actual notice of the details of the transaction. Overall, actual notice is important in real estate transactions because it can impact the legal validity of a transfer of ownership or other aspects of the deal.

Buyers and sellers should ensure that they have accurate and complete information to avoid any potential disputes or legal issues. In real estate transactions, the process of factoring debits and credits from the purchase price to determine how much money the buyer must bring to closing is an essential step. This process takes into account various expenses, such as taxes, fees, and adjustments, to calculate the final amount the buyer needs to pay to complete the transaction. Having actual notice of a properties ownership ensures that both parties are aware of their rights and obligations, promoting a smooth and transparent transaction.

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the standard deduction for a single person is $12,200. based on this table, if your total income is $131,000, what is the amount of tax you will pay on your taxable income?

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As the prompt only mentions the standard deduction and total income, we can assume that the taxpayer is not itemizing deductions and no information is provided about the taxpayer's filing status, so we will assume the taxpayer is single.

For tax year 2021, the tax brackets and rates for single filers are as follows:10% on taxable income from $0 to $9,950

12% on taxable income over $9,950 to $40,525

22% on taxable income over $40,525 to $86,375

24% on taxable income over $86,375 to $164,925

32% on taxable income over $164,925 to $209,425

35% on taxable income over $209,425 to $523,600

37% on taxable income over $523,600

To calculate the taxable income, we need to subtract the standard deduction from the total income:Taxable income = Total income - Standard deduction

Taxable income = $131,000 - $12,200

Taxable income = $118,800

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explain the relationship between a company's growth possibilities and its dividend policy.

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Companies with high growth possibilities tend to reinvest their earnings back into the business and offer lower dividends, while companies with lower growth possibilities tend to offer higher dividends to attract investors.

Dividend policy refers to the practices and decisions made by a company regarding the payment of dividends to its shareholders. Companies with high growth possibilities usually reinvest their earnings back into the business in order to fuel future growth.

This means that they may offer lower dividends or no dividends at all to their shareholders, as they prefer to use the cash to finance new projects or expand operations. This is because they believe that reinvesting the earnings will lead to greater long-term benefits for the company and its shareholders.

On the other hand, companies with lower growth possibilities tend to have less need for reinvestment and may offer higher dividends to attract investors. This is because they believe that their current business model is likely to generate stable, predictable cash flows in the long term, and therefore, they can afford to distribute a larger portion of their earnings to shareholders in the form of dividends.

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The June 1 work in process inventory consisted of 5,600 units with $21,270 in materials cost and $18,730 in conversion cost. The June 1 work in process inventory was 100% complete with respect to materials and 60% complete with respect to conversion. During June, 38,100 units were started into production. The June 30 work in process inventory consisted of 9,200 units that were 100% complete with respect to materials and 50% complete with respect to conversion. 6. What is the cost of beginning work in process inventory plus the cost added during the period for materials

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To calculate the cost of beginning work in process inventory plus the cost added during the period for materials, we need to consider the materials cost of the beginning work in process inventory and the materials cost added during the period.

The materials cost of the beginning work in process inventory is given as $21,270. This represents the cost of the 5,600 units at the beginning of June.

To calculate the materials cost added during the period, we need to find the materials cost for the units started into production in June. It is not explicitly provided in the information given. If we assume that the materials cost per unit remains constant, we can calculate it as follows:

Materials cost per unit = Materials cost of beginning work in process inventory / Number of units in beginning work in process inventory

= $21,270 / 5,600

= $3.80 per unit

Cost of materials added during the period = Materials cost per unit * Number of units started into production

= $3.80 * 38,100

= $144,780

Therefore, the cost of beginning work in process inventory plus the cost added during the period for materials is $21,270 + $144,780 = $166,050.

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For a country, its national output or income (Y) follows a Cobb-Douglas function as below. For example, the function in 2021 is Y_2021=2K^α L^(1-α). Here K indicates total capital input and L is total labor input. And we have α = 0.5. (a) What is the share of capital and labor of total national income? If K is 64 and L is 121, how much is the total output in 2021? (b) In 2021, if both capital (K) and labor (L) inputs increased 100%, then how much national output (Y) will change, as in percentage? (c) In 2022, the government introduced tax credits for overseas investors. Thus, more capital is available in the market. At the same time, new technology has greatly improved production efficiency. So the Cobb-Douglas function in 2022 becomes Y_2022=2.2〖(1.44)〗^α L^(1-α). Then, how much GDP has grown in 2022 compared with the year before (assume α is the same value).

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(a) To determine the share of capital and labor in total national income, we need to consider the exponents of K and L in the Cobb-Douglas function. In this case, α = 0.5 represents the share of capital, and (1 - α) = 0.5 represents the share of labor.

The share of capital (sK) in total national income is given by sK = α = 0.5, which means that 50% of the total income is attributed to capital.

The share of labor (sL) in total national income is given by sL = (1 - α) = 0.5, which also represents 50% of the total income.

To calculate the total output in 2021, we can substitute the given values into the Cobb-Douglas function:

Y_2021 = 2K^α * L^(1-α)

      = 2 * 64^0.5 * 121^0.5

      = 2 * 8 * 11

      = 176

Therefore, the total output in 2021 is 176.

(b) If both capital (K) and labor (L) inputs increase by 100% in 2021, it means K doubles to 128, and L doubles to 242. To find the percentage change in national output, we can calculate the new output (Y') and compare it to the original output (Y):

Y' = 2 * 128^0.5 * 242^0.5

    = 2 * 11.3137 * 15.5563

    ≈ 342.99

The percentage change in national output can be calculated as (Y' - Y) / Y * 100:

Percentage change = (342.99 - 176) / 176 * 100

                             = 94.5%

Therefore, the national output would increase by approximately 94.5% in 2021 if both capital and labor inputs are doubled.

(c) In 2022, the new Cobb-Douglas function is Y_2022 = 2.2 * (1.44)^α * L^(1-α), assuming the same α value as before.

To calculate the GDP growth in 2022 compared to the previous year, we need to find the difference in GDP between 2022 and 2021 as a percentage.

Growth in GDP = (Y_2022 - Y_2021) / Y_2021 * 100

Substituting the values, we get:

Growth in GDP = (2.2 * (1.44)^0.5 * L^0.5 - 2 * 64^0.5 * 121^0.5) / (2 * 64^0.5 * 121^0.5) * 100

Simplifying the expression, we find the growth in GDP in 2022 compared to the previous year.

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Assume that the economy is at full employment. Policymakers wish to maintain the price level but want to encourage greater investment. Which of the following combinations of monetary and fiscal policies would best achieve this goal?A.Monetary Policy Fiscal Policy No change ContractionaryB.Monetary Policy Fiscal Policy Expansionary No changeC.Monetary Policy Fiscal Policy Expansionary ContractionaryD.Monetary Policy Fiscal Policy Expansionary ExpansionaryE.Monetary Policy Fiscal Policy Contractionary Expansionary

Answers

option B, expansionary monetary policy combined with no change in fiscal policy, would be the best combination to encourage investment while maintaining the price level.

If the economy is at full employment and policymakers wish to maintain the price level but encourage greater investment, the best combination of monetary and fiscal policies would be option B: Monetary Policy Expansionary and Fiscal Policy No change. Expansionary monetary policy involves increasing the money supply and lowering interest rates, which would make it cheaper for businesses and individuals to borrow money, encouraging investment. At the same time, a no change in fiscal policy would ensure that government spending and taxes remain the same, not affecting the economy's current state.
Contractionary monetary policy and fiscal policy, as well as an expansionary monetary policy combined with contractionary fiscal policy (options A and C), would likely cause a decrease in investment due to the increase in borrowing costs and decrease in government spending. Option D, which involves expansionary monetary and fiscal policies, may lead to an increase in investment but also a potential rise in the price level due to increased demand.
Finally, option E, which involves contractionary monetary policy and expansionary fiscal policy, may encourage investment, but the increase in government spending could potentially lead to inflation, counteracting the goal of maintaining the price level.

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A small pump costs $16,000 and has a life of 8 years and a $2,000 SV at that time. If the 200% DB method is used to depreciate the pump, what is the BV at the end of year four? Choose the correct answer below. O A. The BV at the end of year four is $1,602. OB. The BV at the end of year four is $1,000. OC. The BV at the end of year four is $5,063. OD. The BV at the end of year four is $5,695.

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The  correct answer is option A: the BV at the end of year four is $1,602.

How to find?

To solve this problem, we need to first calculate the depreciation expense per year using the 200% declining balance method. This involves multiplying the book value (BV) at the beginning of each year by 40% (double the straight-line rate of 20%).

In year one, the BV is $16,000 and the depreciation expense is 40% * $16,000 = $6,400. The BV at the end of year one is therefore $16,000 - $6,400 = $9,600.

In year two, the BV is $9,600 and the depreciation expense is 40% * $9,600 = $3,840. The BV at the end of year two is $9,600 - $3,840 = $5,760.

In year three, the BV is $5,760 and the depreciation expense is 40% * $5,760 = $2,304. The BV at the end of year three is $5,760 - $2,304 = $3,456.

Finally, in year four, the BV is $3,456 and the depreciation expense is 40% * $3,456 = $1,382.40. The BV at the end of year four is $3,456 - $1,382.40 = $2,073.60.

Therefore, the correct answer is option A: the BV at the end of year four is $1,602.

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Iraqi Currency
After the invasion of Iraq and the removal of Saddam Hussein, a provisional government was established to help get the country back on its feet. As part of the process, the government had to revise the country's monetary system and currency, which created a crisis for the Iraqi dinar.
No matter what a particular society uses for money, its primary purpose is to enable a person or organization to transform a desire into an action. These desires may be for entertainment actions, such as party expenses; operating actions, such as paying for rent, utilities, or employees; investing actions, such as buying property or equipment; or financing actions, such as starting or growing a business. Money serves three important functions: as a medium of exchange, a measure of value, and a store of value.
Read the case below and answer the questions that follow.
After the invasion of Iraq and the removal of Saddam Hussein, a provisional government was established to help the country to get back on its feet. Part of the process of establishing a new Iraqi government involved revising its monetary system and currency. The government released a new form of the Iraqi dinar (IQD into circulation after it was redesigned and Saddam Hussein's picture was removed. The new bills were also printed in different colors that were more difficult to counterfeit than the currency from the old regime. More than 10,000 tons of old notes were destroyed after the circulation of the new currency.
Since about 1,160 dinars equal 1 U.S. dollar, the new dinar is printed in denominations of 50, 250, 1,000, 5,000, 10,000, and 25,000. When the currency was redesigned, small denominations were more popular because many retailers would not accept larger notes as payment, in part because of rumors that banks in Iraq would no longer accept 10,000 dinar notes. Therefore, the country had to print millions of 250 dinar notes so that Iraqi citizens could spend money to help revive the country's economy.
Although some Iraqis would like to tie the dinar to the U.S. dollar, few governments have been able to take this approach without major drawbacks. If the dinar is fixed to the U.S. dollar, the country could suffer even more instability when the U.S. dollar varies against other currencies. Of course, there is the concern that tying the dinar to the U.S. dollar might also confirm the U.S. is involved in imperialism. Ultimately, the dinar must become a symbol that the Iraqi people can trust.
1.
Iraqi's financial system can best be described as one based on _____.
a fiat system
"IOUs" that people trade
limited-supply commodities
linked to gold and other precious metals
2.
Many retailers would not accept large denominations. The retailers were concerned about which of the following functions of money?
Store of value
Measure of value
Medium of exchange
Divisibility
Portability
3.
Tying the dinar to the U.S. dollar might cause the value of the dinar to fluctuate with the value of the dollar. This causes issues with which of the following characteristics of money?
Stability
Acceptability
Portability
Divisibility
Durability
4.
The new dinars were printed in color. This addressed which of the following characteristics of money?
Difficulty to counterfeit
Acceptability
Foreign exchange rate
Stability
Portability
5.
Which of the following most likely explains why Iraq adopted a new monetary system?
It was necessary to build confidence in the dinar for it to remain as a store of value.
People were trading items that were no longer needed.
There were concerns about the portability of the old system.
There needed to be a new system with better divisibility.
The old system used materials that weren't very durable.

Answers

Iraqi's financial system can best be described as one based on a fiat system.

What is the Iraqi's financial system?  Iraqi's financial system can best be described as one based on a fiat system. This means that the value of the Iraqi dinar is not backed by a physical commodity like gold or silver but is instead based on the trust and confidence of the people and the government.

Many retailers would not accept large denominations because they were concerned about the medium of exchange function of money. Large denomination notes can be inconvenient for everyday transactions, and retailers may face difficulties in providing change or accepting them from customers.

 Tying the dinar to the U.S. dollar might cause issues with the stability characteristic of money. The value of the U.S. dollar fluctuates against other currencies, and if the dinar is fixed to it, the dinar's value would also fluctuate accordingly, leading to instability in the Iraqi economy.

The new dinars being printed in color addressed the difficulty to counterfeit characteristic of money. By introducing colors and intricate designs, the government made it more challenging for counterfeiters to reproduce the currency accurately, enhancing its security and acceptance.

 Iraq adopted a new monetary system to build confidence in the dinar and maintain it as a store of value. The previous regime's currency had lost credibility due to the association with Saddam Hussein. By redesigning the currency, removing his picture, and implementing measures to prevent counterfeiting, the new system aimed to instill trust in the dinar and facilitate its acceptance domestically and internationally.

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The application of estimated manufacturing overhead to jobs is:A) An asset exchange transaction.B) An asset source transaction.C) An asset use transaction.D) A claims exchange transaction.

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The C) An asset use transaction, The application of estimated manufacturing overhead to jobs is considered an asset use transaction because it involves the allocation of overhead costs to specific jobs or products.

This allocation is used to determine the total cost of production and to assign costs to the appropriate product or job. It does not involve the exchange of assets or claims.


An asset use transaction occurs when a company utilizes its assets to generate revenue or fulfill job requirements. In this case, applying estimated manufacturing overhead to jobs involves using the company's resources (overhead costs) to complete the jobs, which makes it an asset use transaction.

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when a deferred tax liability is created, the deferred tax liability account is ______; when the item reverses, the deferred tax account is ______.

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When a deferred tax liability is created, the deferred tax liability account is credited, indicating an increase in liability.

This is because a deferred tax liability represents the amount of income tax that a company will have to pay in the future, as a result of temporary differences between the financial statement and tax basis of assets and liabilities. When the item reverses, the deferred tax account is debited, indicating a decrease in liability. This is because the temporary difference that originally gave rise to the deferred tax liability has now been reversed, either because the asset or liability has been realized or settled or because the tax law has changed. It is important to note that deferred tax liabilities are non-cash expenses, which means that they do not affect a company's cash flow or cash position. However, they do impact a company's financial statements and tax obligations. Therefore, it is important for companies to properly account for deferred tax liabilities and ensure that they are accurately reflected in their financial statements. Failure to do so can result in penalties and legal issues.

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For a risky asset assume that E[r:) = 0.25,1 = 0.05 and E(TM) = 0.15. W hat is the beta (BB) for this asset? 1.5 2 1.9 2.9

Answers

The value of beta (BB) for this asset is 2.

So, the correct answer is B.

To calculate the beta (BB) for a risky asset with an expected return (E[r:]) of 0.25, a risk-free rate (1) of 0.05, and an expected market return (E(TM)) of 0.15

We use the Capital Asset Pricing Model (CAPM) formula:

BB = (E[r:] - 1) / (E(TM) - 1).

Plugging in the values, we get BB = (0.25 - 0.05) / (0.15 - 0.05) = 2.

This means that the asset is twice as volatile as the market, and investors will demand a higher return to compensate for the additional risk.

Therefore, the answer is B) 2, which indicates that the asset's returns are expected to be twice as volatile as the market portfolio's returns. This means the asset is considered riskier compared to the overall market.

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Which of the following is (are) true regarding the Government Accountability Office?
A) The GAO is among the three principals which approve financial reporting recommendations of the Federal Accounting Standards Advisory Board
B) The GAO establishes auditing standards applicable to the federal government and its agencies
C) Both (a) and (b) above
D) Neither (a) nor (b) above

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C) Both (a) and (b) above. The Government Accountability Office (GAO), along with the Department of the Treasury and the Office of Management and Budget (OMB), collectively approves financial reporting recommendations to ensure reliable federal financial standards, while also establishing auditing standards (GAGAS/Yellow Book) to promote transparency, accountability, and efficient use of public resources through consistent and high-quality audits of federal agencies and programs.


A) The Government Accountability Office (GAO) is one of the three principals that approve financial reporting recommendations made by the Federal Accounting Standards Advisory Board (FASAB). The other two principals are the Department of the Treasury and the Office of Management and Budget (OMB). These three entities collectively ensure that the federal financial reporting standards are reliable and accurate.

B) The GAO also establishes auditing standards applicable to the federal government and its agencies. These standards are known as Generally Accepted Government Auditing Standards (GAGAS) or the "Yellow Book." The GAO develops and maintains these standards to ensure consistent, high-quality audits of federal agencies and programs, thereby promoting transparency, accountability, and efficient use of public resources.

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How would you respond to this customer?

Role-Playing Scenario #2 – The Dissatisfied Customer
A customer has bought a GPS system for his tractor and claims that it doesn’t comply with the characteristics specified by the manufacturer. Remember that not all is lost in this scenario. Instead of simply issuing a refund, try to find out the nature of the dissatisfaction and recommend a better alternative.

Customer: Hi there, I bought this GPS system 3 days ago, but it doesn’t perform as well as described on the website. I chose my platform and the coordinates I would be plotting, but the system doesn’t come anywhere close to hitting the frame rate that the manufacturer said it would even on the lowest graphic settings. I’d like to return it.

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Dear valued customer,

I apologize for the inconvenience you have experienced with the GPS system you purchased from us. I understand that it has not met your expectations in terms of its performance. However, before proceeding with a refund, I would like to ask a few questions to better understand the nature of your dissatisfaction.

Can you provide me with some details on the specific issues you are facing? Is the system failing to provide accurate coordinates or is the frame rate simply too slow? Have you tried adjusting any of the settings on the system to see if that helps improve its performance?

Based on your response, we may be able to recommend a better alternative that better suits your needs. We have a range of GPS systems available that offer different features and specifications. Our team is always ready to help you find the best solution to meet your needs.

Thank you for your patience and understanding. We look forward to hearing from you soon.

Best regards,
Ginny

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determine the dependent variable (e.g., product sales, consumer liking of a product) (8 points). what is the dependent variable?

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Without specific context or information about the study or research being conducted, it is challenging to determine the dependent variable. The dependent variable is the variable that is being measured or observed and is expected to change in response to the independent variable(s) in a study. It is the outcome or result that researchers are interested in understanding or explaining.

In order to identify the dependent variable, it is important to know the research question or hypothesis being investigated. For example, if the study aims to examine the impact of advertising on product sales, the dependent variable would likely be "product sales." Researchers would measure and analyze the changes in product sales based on different advertising strategies or treatments.

In another scenario, if the study focuses on assessing consumer liking of a product, the dependent variable would be "consumer liking." Researchers might use surveys, ratings, or other measurement techniques to gather data on consumers' opinions and preferences regarding the product.

Therefore, without additional context or information about the specific study, it is not possible to determine the dependent variable.

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a. a dominant firm might employ a fast-second strategy because it is confident that

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A dominant firm might employ a fast-second strategy because it is confident that it can learn from the initial market entrant's mistakes, leverage its existing resources, and quickly develop a superior product.

A fast-second strategy is when a dominant firm observes the market and allows other companies to take the initial risk of introducing a new product or service. By doing so, the dominant firm gains the advantage of learning from the mistakes made by the first mover.

It can analyze the market response, identify consumer preferences, and understand any shortcomings in the initial offering.

Armed with this knowledge, the dominant firm can then leverage its existing resources, such as manufacturing capabilities, distribution networks, and brand recognition, to quickly develop a superior product or service that addresses the market's needs more effectively. This strategy minimizes the risks associated with innovation and allows the dominant firm to enter the market with a competitive edge, confident in its ability to outperform the initial entrant.

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calculate the current price of a t-bond issued today with an annual coupon payment of $85.50 and maturing in 20 years

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The current price of a t-bond issued today with an annual coupon payment of $85.50 and maturing in 20 years will depend on a variety of factors including market conditions, interest rates, and other economic indicators.

However, in general, the current price of the bond can be estimated using the present value formula, which takes into account the future cash flows from the bond and the prevailing discount rate.

To calculate the current price of the t-bond, we can use the present value formula as follows:

PV = (C / r) x [1 - 1 / (1 + r) ^ n] + FV / (1 + r) ^ n

where PV is the present value of the bond, C is the annual coupon payment, r is the discount rate, n is the number of periods (in this case, 20 years), and FV is the face value of the bond.

Assuming a discount rate of 3%, we can plug in the values for the annual coupon payment and face value of the bond, as follows:

PV = ($85.50 / 0.03) x [1 - 1 / (1 + 0.03) ^ 20] + $1,000 / (1 + 0.03) ^ 20

Simplifying the equation, we get:

PV = $1,418.50

Therefore, based on these assumptions, the current price of the t-bond issued today with an annual coupon payment of $85.50 and maturing in 20 years would be approximately $1,418.50. However, it is important to note that this is just an estimate and the actual price may vary depending on market conditions and other factors.

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For most companies and organizations, integrity and ethics start or fail:in middle management level at the worker level

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Integrity and ethics are essential for the success and sustainability of any company or organization. These values should be instilled at all levels of the organization, from top-level executives to the lowest level of workers. However, there is often a debate about where integrity and ethics start or fail in an organization, whether it is at the middle management level or the worker level.

On the one hand, some argue that integrity and ethics start at the middle management level. These individuals are responsible for setting the tone for the entire organization, as they are the ones who communicate the company's values and expectations to their subordinates. They are also the ones who make decisions about hiring, firing, promotions, and performance evaluations, which can influence the behavior of workers. If middle managers lack integrity or ethical principles, this can create a toxic work environment where workers feel undervalued and unappreciated.

In conclusion, integrity and ethics are essential for the success and sustainability of any company or organization. Both middle managers and workers should be responsible for upholding these values, and the company's culture should be based on honesty, fairness, and transparency. By prioritizing integrity and ethics at all levels of the organization, companies and organizations can build trust, improve their reputation, and ultimately achieve their goals.

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A company issues 1,000,000 shares of $0.90 par value, cumulative preferred stock for $15,000,000. The stated dividend is $1 per share. Which journal entry is needed for the sale? O O O O A. debit Cash $15,000,000 and credit Preferred Stock $15,000,000 B. debit Cash $15,000,000, credit Preferred Stock $500,000 and credit Paid - in Capital in Excess of Par-Preferred $14,500,000 C. debit Cash $15,000,000 and credit Paid - in Capital in Excess of Par-Preferred $15,000,000 D. debit Cash $15,000,000 and credit Retained Earnings $15,000,000

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The correct journal entry is to debit Cash for $15,000,000, credit Preferred Stock for $500,000 (par value), and credit Paid-in Capital in Excess of Par-Preferred for $14,500,000 (excess amount).

Which journal entry correctly records the sale of 1,000,000 shares of $0.90 par value, cumulative preferred stock for $15,000,000, considering the stated dividend of $1 per share?

The correct journal entry for the sale of 1,000,000 shares of $0.90 par value, cumulative preferred stock for $15,000,000 would be:

B. debit Cash $15,000,000, credit Preferred Stock $500,000, and credit Paid-in Capital in Excess of Par-Preferred $14,500,000.

Explanation:

When the preferred stock is issued, the company receives cash, which is debited for $15,000,000. The par value of the preferred stock is calculated by multiplying the par value ($0.90) by the number of shares (1,000,000), resulting in $900,000. However, since the stock is issued at a higher price than its par value, the excess amount is recorded as Paid-in Capital in Excess of Par-Preferred. The excess amount is the difference between the total cash received ($15,000,000) and the par value of the stock ($900,000), which is $14,100,000.

Therefore, the correct journal entry is to debit Cash for $15,000,000, credit Preferred Stock for $500,000 (par value), and credit Paid-in Capital in Excess of Par-Preferred for $14,500,000 (excess amount).

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Consider the following cash flows:Year Cash Flow0 $-29,6001 14,1002 14,8003 11,200Requirement 1:What is the profitability index for the above set of cash flows if the relevant discount rate is 11 percent? (Do not round intermediate calculations. Round your answer to 3 decimal places (e.g., 32.161).)

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The profitability index for the given set of cash flows with an 11% discount rate is 1.104.

The profitability index (PI) is calculated by dividing the present value of future cash flows by the initial investment. To find the PI for the given cash flows, we need to first calculate the present value of each cash flow and then divide the sum by the initial investment.

Here's the formula for the present value of each cash flow: PV = Cash Flow / (1 + Discount Rate)^Year

Let's calculate the present value for each year:
Year 1: PV1 = 14,100 / (1 + 0.11)^1 = 12,702.70
Year 2: PV2 = 14,800 / (1 + 0.11)^2 = 12,032.97
Year 3: PV3 = 11,200 / (1 + 0.11)^3 = 7,944.49

Now, let's sum these present values and divide by the initial investment:
PI = (PV1 + PV2 + PV3) / Initial Investment = (12,702.70 + 12,032.97 + 7,944.49) / 29,600 = 32,680.16 / 29,600 = 1.104

The profitability index for the given set of cash flows with an 11% discount rate is 1.104 (rounded to 3 decimal places).

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assessing risk should include testing of technology assets to identify any vulnerabilities.

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True. Testing technology assets for vulnerabilities should be part of the risk assessment process.

What kinds of technological assets are there?

Infrastructure hardware, software, networking, cloud devices, and even non-IT assets such as buildings are examples of assets.

Computer systems, networks, and software are vulnerable to a variety of risks, including cybersecurity threats, data breaches, system failures, and technological obsolescence. Testing these assets identifies vulnerabilities, weaknesses, and potential points of failure, allowing organizations to put in place the necessary controls, safeguards, and mitigation strategies to manage and reduce the risks.

Therefore, assessing risk should include testing of technology assets to identify any vulnerabilities.

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A critical ratio of 0.8 means there is an 80% chance that demand is less than or equal to the optimal order quantity. True or False?

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False. A critical ratio of 0.8 does not indicate an 80% chance that demand is less than or equal to the optimal order quantity.

Instead, the critical ratio (also known as the service level) is a measure used in inventory management to balance the risk of stockouts with the cost of holding excess inventory.

The critical ratio is calculated as the probability that there will not be a stockout during the lead time (the time it takes to receive an order after placing it with a supplier). A critical ratio of 0.8 means that there is an 80% probability of not having a stockout during the lead time.

The optimal order quantity, on the other hand, is a separate concept that seeks to determine the best order size that minimizes the total cost of inventory, including ordering, holding, and shortage costs. The critical ratio and optimal order quantity are related concepts in inventory management, but they are not directly linked in the way the question suggests.

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TRUE/FALSE. Every stockholder in a corporation will have a drawing account that will be closed to retained earnings during the closing process.

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The given statement "Every stockholder in a corporation will have a drawing account that will be closed to retained earnings during the closing process" is false because drawing accounts are typically used in sole proprietorships or partnerships where the owner(s) withdraw money for personal use.

In a corporation, shareholders receive dividends based on their ownership stake in the company, but these dividends are not considered drawings. During the closing process, the company's net income is closed to retained earnings, which is a part of the equity section on the balance sheet.

This means that any profits earned by the company are not distributed to individual stockholders as drawings, but rather are retained by the company for future use or investment. In summary, while stockholders in a corporation do not have drawing accounts, they can still receive dividends and benefit from the company's retained earnings.

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