Answer:
The answer is Credit.
Explanation:
Net loss can be thought of as a Credit to the Capital account.
Easy question 20 points……..
Answer:
its b
Explanation:
When a persons actions make another person look bad
The investment with the highest risk is ____.
A. government bonds
B. stocks
C. mutual funds
D. real estate
The investment with the highest risk is known as the C. mutual fund.
What is a mutual fund?It should be noted that a mutual fund simply means investing in securities, bonds, ad debt by the company.
Therefore, the investment with the highest risk is known as the mutual fund.
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Answer:
B. Stocks
Explanation:
Stocks do not guarantee giving return to the visitor, and they are easy to lure people into scams.
Which position or group of stakeholders has the most power in your organization or one with which you are familiar?
The group of stakeholders with the most power in any organization is the Board of Directors (Management).
What is the Board of Directors?The board of management or directors obtains its power through a formal position as appointed by the stockholders.
The role of the Board of Directors in a company includes:
Set strategyOversee managementHire the CEO or general manager Assess the overall direction and strategy.Thus, the group of stakeholders with the most power in any organization is the Board of Directors (Management).
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the usefulness of the worksheet is?
a. identifying the accounts that need to be adjusted
b. summarizing the effects of all the transaction of the period
c. adding the preparation of the FS
d. all of the above
The worksheet is used for identifying the accounts that need to be adjusted, summarizing the effects of all the transaction of the period and adding the preparation of the financial statements.
What is a worksheet?It is a document used in the accounting department for analyzing and ensuring accounting entries and records. It is the working space for entering the additional information about the accounting data.
Hence, option D is correct with respect to the worksheet.
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need some help with my business class
Answer:
what specific project?
What is the definition of
continuous compounding?
Answer: Continuous compounding is the mathematical limit that compound interest can reach if it's calculated and reinvested into an account's balance over a theoretically infinite number of periods. While this is not possible in practice, the concept of continuously compounded interest is important in finance.
Explanation:
Sharon wants to set aside funds to take an around the world cruise in 4 years. Sharon expects that she will need $26000 for her dream vacation. If she is able to earn 9% per annum on an investment, how much will she have to set aside today so that she will have sufficient funds available?
The present value to be kept aside by Sharon to have sufficient funds will be $18,419.
What is present value?The current value of any sum of money, which is certain to be gained in the future over compounded interest on such investment, is known as present value. Using given information, it can be calculated as,
[tex]\rm Present\ Value= Future\ Value\ x\ \dfrac{1}{(1+r)^n}\\\\\rm Present\ Value= 26000\ x\ \dfrac{1}{(1+0.09)^4}\\\\\rm Present\ Value= \$18419[/tex]
Hence, the present value of the annuity of $26000 in 4 years has been calculated above.
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If you’re working with a group of people, or need the support of the students, you’ll need to learn how to create an argument and present it in an effective way.
A. True
B. False
Discuss some of the trade-offs and the challenges of a move to an enterprise-level analytics solution for companies and their individual end users who might have grown accustomed to working with their own customised solutions for generating data.
Enterprise-level analytics is a challenge for mid-small companies but it may render important benefits.
What is Enterprise-level analytics?Enterprise-level analytics can be defined as the analysis of data, business, and analytical abilities of a given enterprise.
The most important benefit associated with enterprise-level analytics is to low costs of production.
In conclusion, enterprise-level analytics is a challenge for mid-small companies but it may render important benefits.
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If two adjacent columns are selected and then sorted, the left-most column is
the primary sort.
the secondary sort.
the primary filter.
the secondary filter.
Answer:
The first sort
Explanation:
QBF sorts the field with the lowest number first. The first sort is called the primary sort. If you want the field displayed in descending order, follow the sort priority number by d (or D). For ascending order, you can enter a (or A) or no letter, because ascending order is the default.
PLEASE ANSWER FAST
A film editor’s job requires artistic vision and adaptability.
A. True
B. False
Work should be performed by an individual if ________.
(discuss the five value added role (economic benefits) of distribution centers?)
A warehouse or other specialized building, regularly equipped with refrigeration or air conditioning, which is stocked with goods to be delivered to retailers, wholesalers, or immediately to consumers is known as a distribution center for a set of merchandise.
What are the economic benefits of distribution centers?Distribution facilities are designed to maximize performance on the subject of the:
IntakeProcessing, Storage,Distribution of goodsThus, As a result of the establishment of distribution centers, less cash is wasted purchasing transient storage, coping with stockouts, or dropping clients because of not being on time or incomplete orders.
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National cement factor is engage in the production of cement, and the company has birr 10,000,000 birr. Further, the production function of the company is given by Q = 20L1/2K1/2, and the unit cost of labor and capital are birr 100 and 50 respectively. Given the above information perform the following questions. Determine the type of returns to scale that the company production function has? Find the optimal level of labor and capital, and maximum output? Find the level of profit if the unit price of 100 KM of cement is birr 400?
From the equation given, it is clear that the company's production function has a constant returns to scale.
What is a production function?A production function refers to an equation that captures the highest number of output that can be manufactured with a limited or given set of input.
To determine whether a production function has growing, decreasing, or constant returns to scale, multiply each input with a positive constant (t > 0), then see if the entire production function is multiplied with a number that is higher, lower, or equal to that constant.
Recall the the production function is given as:
Q = 20L1/2K1/2; and
Unit cost of Labor and Capital are 100 and 50 respectively. Plugging the Unit costs of Labor and Capital respectively, we have:
Q = (20 * 100)/ (2 *50/2)
= 2000/50
Q = 40
Hence the production function of the company has a constant returns to scale.
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What is Top Glove's company process strategy?
Answer: Top Glove's growth strategy is two-fold: organic and inorganic expansion. Its yearly production capacity increased dramatically from 3.2 billion pieces in 2001 to 64 billion pieces in 2019.
Explanation:
Answer:
Top Glove's management's focus is to use technology to further automate its production lines, reduce the number of workers, and improve the efficiency of its line and quality of its products.
Explanation:
You are working for an organization that provides clean water technology to communities in Africa. They have never worked in Malawi, but want to and need to understand how consumers source water, how they prepare it (sterilize or clean it), and how they use it. You know that a study was done on water sources, water preparation, and water uses in Kenya. ● What type of research would the Kenya study be considered and how would you go about validating its findings for Malawi (a different country in Africa)? How would your answer change if your organization was considering a community in a remote area of Nicaragua?
The research type of the Kenya study would be qualitative, and to validate its findings in Malawi it would be necessary to apply new research in the region.
What is qualitative research?It corresponds to an approach that considers subjective aspects of human behavior and society, related to cultural and historical individualities of a population.
Therefore, according to the analysis of the case, it would be essential that for each challenge in the search to understand the behaviors of a different country in relation to water, a new qualitative research was developed.
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How would you enter the following into a adjusted trial balance?
1. A physical count reveals only $500 of roofing supplies on hand.
2. Depreciation for March is $247.
3. Unearned revenue amounted to $180 at March 31.
4. Accrued salaries are $600.
The following items will be listed on the Adjusted Trial Balance as indicated:
Adjusted Trial Balance as of March 311. Debit Supplies on Hand with $500
2. Debit Depreciation Expense with $247
3. Credit Unearned revenue with $180
4. Credit Accrued Salaries with $600
What is an adjusted trial balance?An adjusted trial balance is the trial balance prepared after making adjustments for:
PrepaymentsUnearned revenueAccrued expenses and revenueNon-cash expenses, e.g. depreciation.Thus, preparing an adjusted trial balance helps to ensure that the accounts are prepared in agreement with the matching concept and the accrual basis of generally accepted accounting principles.
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What can a borrower do to take control of their debt?
A. The borrower can create a payment plan.
B. The borrower can make only minimum payments.
C. The borrower can pay bills selectively.
D. The borrower can apply for more credit cards.
Answer:
the Answer is A. The borrower can create a payment plan.
Explanation:
Respond to the following prompt in a post with a minimum of 250 words, then comment on at least TWO other posts. Respond to the posts indicating your agreement or disagreement with their position and why. Feel free to bring in additional references to these reply posts.
Find a current news article or video (within the past 12 months) that describes some government intervention in the economy with the intent of controlling prices. Identify the parties who benefit and those who are or will be hurt by this intervention. What unintended consequences will likely or have occurred as a result of this intervention. What is your opinion on this matter? Why? Include your thoughts and the link to the article in your post.
Government, usually intervene in the foreign exchange market mainly for preventing violent fluctuations in the exchange rate. A foreign currency is sold when it is overvalued and bought when it is undervalued. As the US works to correct its deficit balance of payment account, devaluing the dollar seems like a feasible option. Dollar devaluation will help to increase the demands of American goods in the international market and supports the current policy initiatives.
What is intervention?Intervention is an act of taking action about something in order to have an effect on its outcome.
Intervention strategies mean a plan for staff action that outlines methods, techniques, cues, programs, or tasks that enable the child to successfully complete a specific goal.
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In 2019, your father gave you a gift of property with a fair market value (FMV) of $75,000. His adjusted basis was $50,000. The gift tax paid was $7,440. What is your basis in the property?
A.
$75,000
B.
$57,440
C.
$53,100
D.
$50,000
Answer:
your basis is 57440
Explanation:
just take the basis of the father and plus the gift tax
A down payment is:
O
a) The monthly payment you make towards your mortgage.
Ob) Part of your closing costs.
c)
The initial sum of money that you pay toward your house.
A homeowner's final mortgage payment.
d)
Submit
Answer:
C
Explanation:
Down payment is something that you pay upfront before getting anything.
If the total assets to equity ratio of a company is increasing, it is possible that:
A.The company is increasing the use of debt and getting higher financial leverage
B.The company is decreasing the use of debt and getting lower financial leverage
C.The company is decreasing its efficiency in operations
D.The company is increasing its efficiency in operations
When the proportion of the total assets to equities ratio increases, it is an indication that the company is less dependent on the debts of creditors.
What is assets to equity ratio?The assets to equity ratio represents the number of assets earned by an organization with the use of debt resources. If such ratio increases, the use of debts is lowered by the company.
An increase in the assets to equity ratio also indicates that the company is operating at very low risks of losing money, acquired through debt mode.
Hence, option B holds true regarding the assets to equity ratio.
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How nike failed to promote a healthy intercultural and diverse communication environment
Explanation:
Nike’s HR chief has conceded that it has “failed” in promoting and hiring women and minorities to senior-level positions within the business.
The memo comes just a few weeks after the resignation of general manager of global categories Jayme Martin amid reports of inappropriate behaviour.
6. Using current examples (include cases of resolved or pending judgements) evaluate the success or failures of the Competition Policy of South Africa. economics
It benefited by balancing the act of economic transformation that will benefit all South Africans through ownership, the participation of small and medium enterprises and employment.
What is the Competition Policy of South Africa?South Africa's new competition policy and law were drafted during the early years of South Africa's new democracy, a period characterized by important domestic policy and regulatory reform.
The Competition Commission is empowered by the Competition Act to investigate, control and evaluate restrictive business practices, abuse of dominant positions and mergers in order to achieve equity and efficiency in the South African economy.
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Which statement describes why you should start retirement planning early?
A. Your income will decrease, while your expenses will stay the
same.
B. Your income will increase, while your expenses will decrease.
C. Your income will decrease, while your expenses will increase.
D. Your income will increase, while your expenses will stay the same.
The reason why you should begin to plan retirement at an early stage is that C. Your income will decrease, while your expenses will increase.
Why should you plan retirement early?As you grow older, the value of your income will decrease thanks to inflation which depreciates the value of money.
This also means that the value of your expenses increases. You should therefore start planning for retirement earlier when you have more income.
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Answer:
C. Your income will decrease, while your expenses will increase.
Explanation:
Which option is not available in the Presenter view of a presentation?
Next Slide Preview
Pen/Laser Pointer tools
Open Slide Show
Navigation Controls
Answer:
next slide preview
Explanation:
next slide preview
Given the above predicted changes in quantity demanded by region, use the stay even analysis %ΔQd = %ΔP/(%ΔP +margin): Can you raise prices by 7% in any of the regional markets? State your conclusion and then show the all the steps supporting your conclusion. Note: Assume from problem 3 on Problem Set 1 that the optimal prices by region are: Southwest region $311; Upper West region $278; and Northeast $240. Please write your conclusion case study style in the dialogue box.
Based on the stay even analysis, it can be concluded that a 7% increase in price would lead to a decrease in the quantity demanded.
How to explain the stay even analysis?
The stay even analysis %ΔQd = %ΔP/(%ΔP +margin) can be used to determine if a price increase of 7% would result in a decrease in quantity demanded that is less than the increase in quantity demanded.
The optimal prices by region are Southwest region $311; Upper West region $278; and Northeast $240. The stay even analysis for the Southwest region is as follows:
%ΔQd = %ΔP/(%ΔP +margin)
= 7%/7.5% = 93.33%.
This means that a 7% increase in price would result in a decrease in the quantity demanded.
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what's the best way to calculate ending inventory if using FIFO method?
Answer:
According to-
Explanation:
According to the FIFO method, the first units are sold first, and the calculation uses the newest units. So, the ending inventory would be 1,500 x 10 = 15,000, since $10 was the cost of the newest units purchased.
Which of the following is one way the Federal Reserve Bank serves the government?
a. making loans to the government
C. minting coins for the government
b. selling government securities
d. financing state government projects
Answer:
making loans to the government
Answer:selling government securities
Explanation:Correct on Grad Point
Alpha sold machinery that it used in its business to Beta, a related entity, for $40,250. Beta used the machinery in its business. Alpha bought the machinery a few years ago for $49,750 and has claimed $30,250 of depreciation expense. What is the amount and character of Alpha's gain?Alpha sold machinery that it used in its business to Beta, a related entity, for $40,250. Beta used the machinery in its business. Alpha bought the machinery a few years ago for $49,750 and has claimed $30,250 of depreciation expense. What is the amount and character of Alpha's gain?
The amount and character of Alpha's gain from the sale to Beta are $20,750 capital gains.
What is capital gain?A capital gain is an excess realized from the sale of assets because of the increased value compared to the book value.
Capital gain is subject to capital gain tax.
Data and Calculations:Cost of machinery = $49,750
Accumulated depreciation = $30,250
Book value = $19,500 ($49,750 - $30,250)
Sales to a related entity = $40,250
Capital gains = $20,750 ($40,250 - $19,500)
Thus, the amount and character of Alpha's gain from the sale to Beta are $20,750 capital gains.
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