The transaction of a company issuing a check for $2,900 in payment of merchandise previously purchased on credit would be recorded in the Cash Payments Journal. This journal records all transactions where the company pays cash or writes a check for any purpose.
Journal is defined as a book of original entry where business transactions are recorded in a systematic manner. It is also called a primary book, which is a part of the double-entry accounting system. A company's accounting system contains various journals, which record specific types of transactions that a company encounters in its day-to-day operations.
The Cash Payments Journal is one such journal that records all transactions where the company pays cash or writes a check for any purpose. This journal includes entries for all transactions, including merchandise purchases, expenses, and asset purchases, where the company pays cash or writes a check for the total amount owed. It is also used to record payments to suppliers and to record payments to employees.
See more about Cash Payments Journal in:
https://brainly.com/question/30335653
#SPJ11
suppose you own $15,000 of personal property, $5,000 of stock in abc corporation, a $1,000 certificate of deposit, and $10,000 of government bonds. if abc goes bankrupt, the most you could lose is
you would not owe any more money if ABC Corporation filed for bankruptcy beyond the money you paid to buy the shares, which in this case is $5,000.
If abc goes bankrupt, the most you could lose is?
Suppose you own $15,000 of personal property, $5,000 of stock in ABC corporation, a $1,000 certificate of deposit, and $10,000 of government bonds. If ABC goes bankrupt, the most you could lose is $5000.
What is a stock?
A stock is a kind of financial security that represents ownership in a corporation. A holder of one or more shares of stock in a corporation is a shareholder or stockholder. Collectively, the shareholders own the company.Suppose ABC corporation goes bankrupt, the most you could lose is $5,000 because of the $5,000 of stock in ABC corporation that you own.
If ABC corporation files for bankruptcy and has to sell its assets to pay off its debts, you will get paid after the company's creditors, bondholders, and preferred stockholders have been paid.
The bondholders and preferred stockholders are given priority because they are considered senior to common stockholders in the event of a bankruptcy filing. As a result, if the company goes bankrupt, stockholders may not receive their investment back.
Because stock prices fluctuate, it's also conceivable that the value of your stock in ABC corporation has dropped to $3,000 or even $0 due to factors unrelated to the bankruptcy. However, if you are a typical stockholder, you would not owe any more money if ABC Corporation filed for bankruptcy beyond the money you paid to buy the shares, which in this case is $5,000.
Learn more about stock.
brainly.com/question/29992015
#SPJ11
in the united states, the manufacture of breakfast cereal is dominated by kellogg's, general mills, and general foods, which together control most sales. this pattern is an illustration of . a monopoly an oligarchy a plutocracy an oligopoly
Monopoly is he illustration in the given case. Thus Option A is the correct answer.
The definition of monopoly in the eyes of a layman is the an organization that posses the exclusive and crucial control over a type of commodity or service or supply. It is the ownership through legal privileges command of supply or concerned action. In short it means the dominance of a market by one owner or company.
Furthermore, as mentioned in the question in United states pf America the producing of breakfast cereals is provided by only companies like Kellogg's, Genera Mills, and General Food. Therefore after careful processing and cognitive thinking it is cleared that the given instance is a form of or practice of monopoly.
To learn more about Monopoly,
https://brainly.com/question/5832236
#SPJ4
tom and lily, who are married filing jointly, reported a standard deduction of $25,100 on their 2021 tax return. they paid $500 to the state for income taxes in 2021. in 2022, they received a $125 refund of state taxes paid in 2021. what is the amount that tom and lily need to report on their 2022 tax return?
Tom and Lily need to report $375 on their 2022 tax return. A tax return is an official document that includes a taxpayer's income, deductions, and tax obligations for a given financial year.
It also includes any overpayments or underpayments of taxes from the previous year. The government uses tax returns to calculate the amount of taxes owed or the refund amount owed to the taxpayer. A married couple Tom and Lily, filed their tax return jointly, with a standard deduction of $25,100 for the year 2021. In 2021, they paid $500 in state income taxes.
In 2022, they received a $125 refund for the state taxes they paid in 2021.The amount that Tom and Lily need to report on their 2022 tax return can be calculated as follows:
Total amount paid for state income tax in 2021 = $500 Amount of refund received in 2022 for state income tax paid in 2021 = $125 Amount to be reported on the 2022 tax return = $500 - $125= $375Therefore, Tom and Lily need to report $375 on their 2022 tax return.
To know more about tax return refer here:
https://brainly.com/question/7647897#
#SPJ11
competitive advantages are normally the result of superiority in one of three areas. which of the following is one of them? a. markets b. products c. profits d. resources e. revenues
Competitive advantages are normally the result of superiority in one of three areas. Such an area is d. resources
Superior performance in one or more of the three categories of resources, skills, and marketplace usually leads to competitive advantages. Resources allude to the material and immaterial assets that a firm has, such as its assets, cash resources, etc. Firm with more resources may be able to create and sell better goods, provide better customer service, or make greater investments in Research and development.
The capacity of the business to carry out particular duties or responsibilities, such as design, production, marketing, or customer support, is referred to as its capabilities. Firms can create goods of a higher calibre and run more smoothly. Market position, like market share, brand reputation, or client loyalty, relates to firm's place within its sector or market. Strong market positions may enable businesses to command higher rates, draw in more clients, or outperform rivals more successfully.
Read more about Competitive advantages on:
https://brainly.com/question/26514848
#SPJ4
what will be the value of pay after the following statements are executed? group of answer choices 400.00 450.00 465.00
The value of pay will be 475.00. So, the correct answer is C).
The variable "hours" is assigned the value of 45. The variable "payRate" is assigned the value of 10.00. The expression "hours <= 40 ? hours * payRate : 40)" evaluates to 40 * 10.00 since hours is greater than 40.
The variable "pay" is assigned the value of 400.00. The variable "payRate" is then reassigned the value of 1.5. The expression "40 * payRate + (hours - 40) * payRate * 1.5" evaluates to 40 * 1.5 + (45 - 40) * 1.5 * 1.5, which simplifies to 60.00 + 16.875.
The variable "pay" is then reassigned the value of 76.875, which rounds to 475.00. So, the correct option is C).
To know more about Pay:
https://brainly.com/question/15505825
#SPJ4
--The given question is incomplete, the complete question is given
" What will be the value of pay after the following statements are executed? int hours 45; double pay, payRate 10.00; pay hours <= 40 ? hours * payRate : 40) payRate 1.5; 40 * payRate + (hours
450.00 400.00 475.00 465.00"--
in march 2020, daniela motor financing (dmf), offered some securities for sale to the public. under the terms of the deal, dmf promised to repay the owner of one of these securities $2,000 in march 2040, but investors would receive nothing until then. investors paid dmf $900 for each of these securities; so they gave up $900 in march 2020, for the promise of a $2,000 payment 20 years later. assuming you purchased the bond for $900, what rate of return would you earn if you held the bond for 20 years until it matured with a value $2,000? note: do not round intermediate calculations and enter your answer as a percent, rounded to 2 decimal places, e.g., 32.16. suppose under the terms of the bond you could redeem the bond in 2030. dmf agreed to pay an annual interest rate of 1.1 percent until that date. how much would the bond be worth at that time? note: do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. in 2030, instead of cashing in the bond for its then current value, you decide to hold the bond until it matures in 2040. what annual rate of return will you earn over the last 10 years? note: do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.
a) if you hold the bond until it matures in 2040, you will earn a rate of return of 6.38% per year.
b) The bond would be worth $1,480.70 in 2030 if you decided to redeem it at that time.
c) If you hold the bond from 2030 to 2040, you will earn a rate of return of 3.59% per year.
a)To calculate the rate of return, we need to use the formula for the yield to maturity:
PV = FV / (1 + r)^n
Where PV is the present value, FV is the future value, r is the rate of return, and n is the number of periods.
In this case, PV = $900, FV = $2,000, and n = 20. Solving for r, we get:
r = ((FV / PV)^(1/n) - 1) x 100
r = (($2,000 / $900)^(1/20) - 1) x 100
r = 6.38%
B)To calculate the value of the bond in 2030, we need to discount the $2,000 future value back to 2030 using the 1.1% annual interest rate:
PV = FV / (1 + r)^n
Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of periods.
In this case, PV = ?, FV = $2,000, r = 1.1%, and n = 10. Solving for PV, we get:
PV = FV / (1 + r)^n
PV = $2,000 / (1 + 1.1%)^10
PV = $1,480.70
C)Finally, to calculate the rate of return if you hold the bond from 2030 to 2040, we can use the same formula for the yield to maturity:
PV = FV / (1 + r)^n
Where PV is the present value, FV is the future value, r is the rate of return, and n is the number of periods.
In this case, PV = $1,480.70, FV = $2,000, and n = 10. Solving for r, we get:
r = ((FV / PV)^(1/n) - 1) x 100
r = (($2,000 / $1,480.70)^(1/10) - 1) x 100
r = 3.59%
Learn more about rate of return
https://brainly.com/question/24232401
#SPJ4
in january 2024, summit department store sells a gift card for $50 and receives cash. in february 2024, the customer comes back and spends $20 of the gift card to purchase a water bottle. what would be the appropriate journal entry for the sale of the gift card in january? multiple choice
The appropriate journal entry for the sale of the gift card in January would involve two accounts: Cash and Gift Card Liability.
When Summit Department Store sells the gift card for $50, they are receiving cash and have an obligation to provide goods or services to the customer in the future. This obligation is recorded as a liability.
Step-by-step explanation:
1. Identify the accounts involved: In this case, the accounts are Cash (an asset account) and Gift Card Liability (a liability account).
2. Determine the increase or decrease in each account: Cash increases by $50 because the store receives the money, and Gift Card Liability increases by $50 because the store now owes the customer goods or services.
3. Record the journal entry: Since both accounts are increasing, we will debit Cash (which is an asset account) and credit Gift Card Liability (which is a liability account).
The journal entry in January would look like this:
- Debit Cash: $50
- Credit Gift Card Liability: $50
This journal entry shows that the store has received cash for the sale of the gift card and has recorded a liability, acknowledging its obligation to provide goods or services to the customer.
The remaining balance on the gift card after the customer spends $20 in February would still be recorded as a liability (Gift Card Liability) until the full amount has been redeemed.
To know more about Cash and Gift Card Liability here
https://brainly.com/question/14814319
#SPJ11
what characteristics of good corporate citizenship does brian display? citizenship is the actions, attitudes, and behaviors that go above and beyond those required on a job description.
Giving everyone an equal chance is essential to being a good corporate citizen. Giving priority to fairness, diversity, and inclusion is one approach to achieve this. Your business should be diverse, and everyone should feel at home there regardless of their origins or identities.
Diversity is the term used to describe the traits that make each of us unique, such as our histories, personalities, experiences, and beliefs—all of which help to define who we are. Our variety intersects to influence our viewpoint, perspective, and methodology. Diversity is the inclusion of a wide variety of individuals from various backgrounds. Gender, race, ethnicity, financial status, age, cultural, religious, and political diversity are a few examples of variety. Diversity allows people to learn from one another's knowledge and experiences. Incorporating a range of opinions and concepts enhances problem-solving. Communication is improved and innovation is encouraged when working in diverse teams. The value of variety also relates to our culture.
Learn more about diversity here
https://brainly.com/question/26794205
#SPJ4
quantitative problem: potter industries has a bond issue outstanding with a 6% coupon rate with semiannual payments of $30, and a 10-year maturity. the par value of the bond is $1,000. if the going annual interest rate is 7.4%, what is the value of the bond? round your answer to the nearest cent. do not round intermediate calculations. $
The value of the bond is $568.56 (rounded to the nearest cent).
To calculate the value of the bond, we need to find the present value of the future cash flows (semiannual coupon payments and the final payment of $1,000) discounted at the current market rate of 7.4%.
First, we need to calculate the number of periods (N) for the bond, which is 2 * 10 = 20 (since there are two semiannual payments per year for 10 years).
Next, we can use the following formula to calculate the present value (PV) of the bond:
PV = C * [(1 - (1 + r)^-N) / r] + FV / (1 + r)^N
where:
C = semiannual coupon payment = $30
r = market interest rate per period = 7.4% / 2 = 0.037
N = number of periods = 20
FV = final payment at maturity = $1,000
Plugging in the values, we get:
PV = $30 * [(1 - (1 + 0.037)^-20) / 0.037] + $1,000 / (1 + 0.037)^20
PV = $568.56
Learn more about bond value
https://brainly.com/question/22504216
#SPJ4
which of the following statements about project management plan development is accurate? a.the project plan is developed throughout all four phases of the project lifecycle. b.the project plan is fully developed at once at the beginning of the planning phase. c.the project plan is not typically developed in a single effort; rather, it is developed at different stages of the initiation and planning phases. d.the project plan is developed in its entirety upon project initiation; any changes after that are subject to the change control process.
The statement that the project plan is not basically developed in single effort but basically at different stages which consist of the planning as well as initiation stages is the correct statement as it takes place through a number of phases.
The correct option is option c.
Making a project management plan is very important as it basically happens to hold all the information which is required for the project which may include the costs, the goal as well as the scope of the project, the schedules, communications, the human resources, procurement etc.
Project management plan does not develop in a single effort and rather develops in a number of different stages which are initiation as well as the planning phase.
Hence, the correct option is option c.
To know more about project
https://brainly.com/question/14803780
#SPJ4
successful partnerships with voads include: a. shared points of contact (pocs), frequent communications, and contractual expectations b. frequent communications, periodic meetings, and a list of expectations c. early engagement, frequent communications, and agreed mutual expectations d. frequent engagement, frequent communications, and a list of desired assistance
VOADs (Voluntary Organizations Active in Disaster) often work with various organizations and partners to provide disaster response and recovery services. Successful partnerships with VOADs involve effective communication, early engagement, and clearly defined expectations. option (c) is the best answer.
Among the options provided, (c) early engagement, frequent communications, and agreed mutual expectations, is the most comprehensive and accurate answer.
Early engagement means that organizations partner with VOADs before disasters occur, allowing them to prepare and plan together. Frequent communication helps to maintain a strong relationship and enables effective collaboration during disaster response and recovery efforts. Agreed mutual expectations refer to establishing clear goals, roles, and responsibilities for each partner, which can be reflected in a formal agreement or contract.
Learn more about VOADs ,
https://brainly.com/question/26795286
#SPJ4
Why is measurement of nation income difficult in developing countries like Nepal?
Answer:
Measuring national income is difficult in developing countries like Nepal due to several reasons. Some of the main reasons are: 1) Lack of reliable data: Developing countries may not have accurate data about the size and structure of their economies. This can make it difficult to estimate the value of goods and services produced within the country. 2) Informal economy: A large portion of economic activity in developing countries takes place in the informal sector, which is not easily tracked or measured. This includes activities such as street vending or subsistence farming. 3) Limited infrastructure: Developing countries may have limited infrastructure for data collection and analysis, making it difficult to collect accurate and timely information about economic activity. 4) Poor governance: In some developing countries, corruption and poor governance can make it difficult to collect accurate data and report it honestly. 5) Cultural differences: Cultural differences can also make it difficult to accurately measure national income
the aftermath of a hurricane, an entrepreneur took a one-month leave of absence (without pay) from her $5,000 per month job in order to operate a kiosk that sold fresh drinking water. during the month she operated this venture the entrepreneur paid the government $2,500 in kiosk rent and purchased water from a local wholesaler at a price of $1.34 per gallon. if consumers were willing to pay $2.25 to purchase each gallon of fresh drinking water, how many units did she have to sell in order to turn an economic profit? instruction: enter your responses rounded up to the nearest gallon.
The entrepreneur must sell at least 2,740 gallons of water to turn an economic profit.
Enter your responses rounded up to the nearest gallon.The first step in solving this problem is to determine the total cost of the venture. This can be calculated by adding the cost of rent and the cost of water:Total cost = rent + (price of water x number of gallons)Total cost = $2,500 + ($1.34 x n)Next, we need to determine the total revenue generated from selling the water.
This can be calculated by multiplying the selling price per gallon by the number of gallons sold:Total revenue = $2.25 x nTo turn an economic profit, the revenue must be greater than the cost:Total revenue > Total cost$2.25 x n > $2,500 + ($1.34 x n)Solving for n:Number of gallons sold > 2,739
For more such questions on entrepreneur
https://brainly.com/question/353543
#SPJ11
explain why operating leverage decreases as a company increases sales and shifts away from the break-even point.
Operating leverage decreases as a company increases sales and shifts away from the break-even point because of the changing relationship between fixed costs, variable costs, and revenue. Let's break down the reasons step-by-step:
1. Operating leverage is a measure of how sensitive a company's operating income is to changes in sales. It is calculated by dividing the company's contribution margin (sales revenue minus variable costs) by its operating income.2. Companies with high operating leverage have a large proportion of fixed costs compared to variable costs. This means that any increase in sales can result in a significant increase in operating income, as the fixed costs remain constant.
3. When a company increases sales and shifts away from the break-even point, it starts generating higher operating income. At this point, the company has already covered its fixed costs, and any additional revenue contributes directly to the operating income.4. As the proportion of variable costs to total costs increases with higher sales, the operating leverage decreases. This is because the company becomes less reliant on fixed costs to generate profit, and the sensitivity of its operating income to changes in sales reduces.
To know more about operating leverage click here
brainly.com/question/28255135
#SPJ11
the accompanying graph depicts the marginal cost (mc), average total cost (atc), demand, and marginal revenue (mr) curves facing a monopolistically competitive firm. place point a at the profit-maximizing price and quantity combination for the firm. price quantity 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 mr demand atc mc 17.00 19.00 a what is the total profit made by the firm? profits: $
The total profit made by the company is -$18 by using the formula Total Revenue = Cost x Amount.
To decide the entire profit made by the firm, we ought, to begin with distinguishing the profit-maximizing amount and cost for the firm.
In a monopolistic competitive showcase, the profit-maximizing amount and price are decided where minimal income (MR) breaks even with minimal taking a toll (MC).
Looking at the chart, able to see that this happens at point A, where the MC bend intersects the MR bend. At this point, the firm produces an amount of 9 units and sets a cost of $17.
To calculate the whole benefit, we ought to subtract the overall cost (TC) from the full revenue (TR). The overall revenue is rise to the cost duplicated by the quantity sold, so:
TR = Cost x Amount
TR = $17 x 9
TR = $153
To calculate the entire fetched, we got to discover the overall taken toll related to creating 9 units of yield. Able to utilize the normal add up to fetched (ATC) bend to discover the entire taken toll per unit of yield and after that increase by the amount delivered:
ATC at point A is $19, so the full taken toll of creating 9 units is:
TC = ATC x Amount
TC = $19 x 9
TC = $171
Presently able to calculate the benefit as:
Benefit = TR - TC
Benefit = $153 - $171
Benefit = -$18
Hence, the full profit made by the firm is -$18. This implies that the firm is making a loss in the short run.
learn more about monopolistic competitive
brainly.com/question/29407851
#SPJ4
suppose europeans began purchasing real asets in the united states. how would this impact the foreign exchange market for the euro and the u.s. dollar price of the euro?
If Europeans began purchasing real assets in the United States, such as real estate or businesses, it would increase the demand for US dollars in the foreign exchange market.
This is because the Europeans would need to convert their euros into dollars to make the purchases. As a result, the exchange rate of euros to dollars would decrease, making the US dollar stronger relative to the euro.
The increased demand for US dollars could also lead to an increase in the value of the dollar against other currencies, as investors may see the US as a more attractive investment destination. This could result in a decrease in the value of the euro against other currencies as well.
Overall, the impact of Europeans purchasing real assets in the United States would likely be a stronger US dollar and a weaker euro in the foreign exchange market.
However, the magnitude and duration of the effect would depend on a variety of factors, such as the size of the transactions and other economic and political developments.
To learn more about exchange click on,
https://brainly.com/question/31037715
#SPJ4
brand x has 3 types of market offerings. of which, 2 are technology-related products, and 1 is an online market research consulting service with only one type of service plan available. one of the tech products is a smartwatch available in 2 models, and the other is a camera available only in one model. how many product lines does brand x operate?
If brand X has 3 types of market offering, then the number of product lines that brand X operates is 2.
A "Product-Line" is defined as a group or set of related products that are marketed and sold by a company under a common brand or product family name.
The total number of market offering by brand X = 3,
Even though there are 3 types of market offerings, they can be grouped into 2 product lines.
Brand X operates 2 product lines. One product line includes the technology-related products, which consists of 2 models of smartwatches and 1 model of camera.
The other product line is the online-market research consulting service with one type of service plan available.
Therefore, brand X operate 2 product lines.
Learn more about Product Line here
https://brainly.com/question/30001373
#SPJ4
in a dealer market, the broker takes the trade through the dealer, who participates in trades as a principal by buying and selling the security for his own account true false
True. In a dealer market, the broker facilitates trades between buyers and sellers by taking the trade through a dealer who participates in trades as a principal.
This means that the dealer buys and sells securities for their own account and takes on the risk of holding those securities until they can be sold to another buyer. The dealer earns a profit by buying low and selling high, which is known as the bid-ask spread. The broker earns a commission on the trade.
A dealer market is a type of financial market where participants, known as dealers or market makers, buy and sell securities for their own account. In a dealer market, the dealers act as intermediaries between buyers and sellers, providing liquidity to the market by buying securities from sellers and selling them to buyers.
Unlike an auction market, where buyers and sellers trade with each other through a centralized exchange, in a dealer market, buyers and sellers trade through dealers who hold an inventory of securities and are willing to buy and sell at quoted prices. The prices quoted by dealers include a bid price (the price at which the dealer is willing to buy a security) and an ask price (the price at which the dealer is willing to sell a security).
To know more about dealer market, here
https://brainly.com/question/30048768
#SPJ4
a report issued by the world trade organization described the production of a particular u.s. car. the study showed that 30 percent of the car value goes to korea for assembly, 17.5 percent to japan for components and advanced technology, 7.5 percent to germany for design, 4 percent to taiwan and singapore for minor parts, 2.5 percent to u.k. for advertising and marketing services, and 1.5 percent to ireland and barbados for data processing. this is an example of group of answer choices outsourcing and offshoring. outsourcing and on-shoring. insourcing and offshoring. insourcing and outsourcing.
Example of outsourcing and offshoring in car production, using different countries for assembly, components, design, and services.
The report portrayed in the inquiry is an instance of reevaluating and offshoring, which are methodologies regularly utilized by organizations to bring down expenses and increment productivity.
Re-appropriating alludes to the act of contracting out a business capability or interaction to another organization, while offshoring includes moving a business capability to another country.
For this situation, the vehicle creation includes different nations, with Korea dealing with get together, Japan giving parts and cutting edge innovation, Germany dealing with plan, and Taiwan and Singapore contributing minor parts.
Furthermore, the marketing services in U.K. handles promoting and advertising administrations, and Ireland and Barbados handle information handling. By using the abilities and assets of various nations, the vehicle maker can deliver the vehicle more productively and cost-successfully than if it somehow managed to locally deal with all parts of creation.
To learn more about marketing services, refer:
https://brainly.com/question/31367098
#SPJ4
before closing, who is generally responsible for completing the loan application, ordering a home inspection, and securing homeowners insurance?
Before closing, the homebuyer will be generally responsible for completing the loan application, ordering a home inspection, and the securing homeowners insurance.
A homebuyer is a person or entity who is looking to purchase a residential property, such as a house or a condo, with the intention of living in it or renting it out for income. The homebuyer typically conducts research on properties available in the market, arranges financing for the purchase, and works with a real estate agent or broker to complete the transaction.
The homebuyer may also be responsible for completing the loan application, ordering a home inspection, and securing homeowners insurance before the purchase is finalized.
To know more about homebuyer here
https://brainly.com/question/30689544
#SPJ4
a(n) contract is a contract in which at least one of the parties has the option to void his or her contractual obligations.
Yes, a contract in which at least one of the parties has the option to void their contractual obligations is typically referred to as a "voidable contract." This means that one party has the right to cancel or avoid their obligations under the contract, usually due to certain conditions or circumstances specified in the contract.
The party with the option to void the contract is not obligated to fulfill their contractual obligations if they choose to exercise their right to void the contract. However, the other party who does not have the option to void the contract is still bound by their contractual obligations unless the contract is voided by the party with the option to do so. It's important to note that the specific conditions and circumstances under which a contract may be voided can vary depending on the jurisdiction and the terms of the contract itself. Legal advice from a qualified professional should be sought when dealing with contract matters.
Learn more about contract
https://brainly.com/question/2669219
#SPJ4
gwen has decided to start her own photography studio. to purchase the necessary equipment, gwen withdrew $2,000 from her savings account, which was earning 3% interest, and borrowed an additional $4,000 from the bank at an interest rate of 7%. what is gwen's annual opportunity cost of the financial capital that has been invested in the business? a. $60 b. $280 c. $340 d. $660
The total annual opportunity cost of financial capital invested in the business will be $340. Option C is correct.
Opportunity cost refers to the benefits that are forgone when choosing one option over another. In other words, it is the value of the next best alternative that must be given up in order to pursue a certain action.
The opportunity cost of capital is the return that Gwen could have earned if she had not invested the money in the photography studio. To calculate the opportunity cost, we need to find the return on the $2,000 that Gwen withdrew from her savings account and the return on the $4,000 loan that she took out from the bank.
Return on savings account = $2,000 x 0.03 = $60
Return on loan = $4,000 x 0.07 = $280
Therefore, the total annual opportunity cost of the financial capital invested in the business is;
$60 + $280 = $340
Hence, C. is the correct option.
To know more about opportunity cost here
https://brainly.com/question/13036997
#SPJ4
which of the following is an example of external debt for the united states? group of answer choices a purchase of apple stock by a person in canada a loan made in yen to a company in the united states a loan made by citibank to the government of mexico a purchase of u.s. treasury bills by the bank of japan
D) A loan made in yen to a company in the United States is an example of external debt for the United States.
The portion of a country's debt that is borrowed from foreign lenders, such as commercial banks, governments, or international financial institutions, is known as external debt. These loans, including interest, must typically be repaid in the currency in which they were made.
The borrowing country may sell and export goods to the lending country in order to earn the required currency. External debt, also known as foreign debt, includes both principal and interest but excludes contingent liabilities, which are debts that may be incurred at a later date based on the outcome of an uncertain future event.
External debt can take the form of a tied loan in some cases, which means that the funds obtained through the financing must be spent in the country.
To know more about external debt:
https://brainly.com/question/527881
#SPJ4
Correct question:
Which of the following is an example of external debt for the United States?
A) A purchase of Apple stock by a person in Canada
B) A loan made by Citibank to the government of Mexico
C) A purchase of U.S. Treasury bills by the Bank of Japan
D) A loan made in yen to a company in the United States
in year 1, an individual taxpayer purchased a condominium used as rental property at a cost of $180,000. the taxpayer sold the condominium for $200,000 in year 3. the condominium had an adjusted basis of $161,000 and accumulated depreciation of $19,000 using straight-line depreciation under the macrs. how should the taxpayer report the gain in year 3?
($200,000 selling price - $161,000 adjusted basis) The taxpayer is required to record a long-term capital gain of $20,000 ($20,000).
The total depreciation of $19,000 should be recovered as ordinary income up to the gain or $20,000, whichever is less. Therefore, the taxpayer's year-three tax return should include $19,000 in regular income from depreciation recapture and $1,000 in long-term capital gain. A taxpayer is anyone who owes taxes to the federal, state, or municipal governments, whether they are an individual or a business. Governments primarily obtain their funding from taxes, which are levied on both citizens and companies. According to the provisions of the Income Tax Act, a taxpayer is a person or a company that pays taxes on its income each year. It becomes legal once you submit income tax returns and disclose your earnings.
Learn more about taxpayer here:
https://brainly.com/question/29664276
#SPJ4
a fundamental assumption underlying this type of rating law is that market forces will determine the price and availability of insurance, rather than discretionary acts of regulators. this type of rate regulation is called
A fundamental assumption underlying this type of rating law is that market forces will determine the price and availability of insurance, rather than discretionary acts of regulators. this type of rate regulation is called competitive rating.
Competitive rating is a type of rate regulation in which market forces are allowed to determine the price and availability of insurance, rather than discretionary acts of regulators. The fundamental assumption underlying this type of rating law is that competition will ensure that insurance companies offer their products at a fair price, and that consumers will be able to choose the insurance policy that best suits their needs and budget. In competitive rating, insurance companies are free to set their own prices based on their own actuarial and underwriting principles. This means that prices can vary widely between insurance providers, and that consumers have the ability to compare prices and coverage options to find the policy that is right for them.
By allowing market forces to drive the price and availability of insurance, competitive rating aims to create a more efficient and competitive insurance market, in which insurers are incentivized to provide better coverage at lower prices.
Learn more about Competitive rating here: https://brainly.com/question/29350878
#SPJ11
which selections use effective you attitude? check all that apply. thank you for shopping at freelinks. your order will ship on saturday. to encourage attendance at the company bbq, we will enter your name in the raffle. we want you to take full advantage of the professional development workshops we offer. your online shopping experience at toys4fun should be enjoyable.
The selections that use an effective "you" attitude are:
A: Thank you for shopping at Freelinks. Your order will ship on Saturday.
C: We want you to take full advantage of the professional development workshops we offer.
D: Your online shopping experience at Toys4fun should be enjoyable.
These statements show a customer-centered approach by using "you" to address the customer directly, acknowledging their needs, and providing them with a positive experience. The statement about the company BBQ uses a similar approach by offering an incentive for attendance. This creates a positive impression and encourages the reader to take action.
Overall, using an effective "you" attitude is a way to build trust, establish rapport, and communicate in a customer-focused manner.
Correct options are A, C, and D.
You can learn more about customer-centered approach at
https://brainly.com/question/28194955
#SPJ11
Business at korey’s comics has been good, and korey expects the same business next month. however, due to an increase in business, korey has made the decision to bring on an extra hand to help run the store in the afternoons. the new employee will make $435 per month. how does this change affect korey’s monthly net income? a. korey’s monthly net income will be $435. b. korey’s monthly net income will increase by $435. c. korey’s monthly net income will decrease by $435. d. korey’s monthly net income will not be affected by the change.
The correct option is d.
If business has been good and Korey expects the same level of business next month, then bringing on an extra hand to help run the store in the afternoons should enable the store to serve more customers and increase sales.
As long as the increase in sales revenue generated by the additional employee is greater than $435 per month, Korey's monthly net income will not be affected by the change.
However, if the additional employee does not generate enough additional revenue to cover their salary, then Korey's monthly net income would decrease by the amount of the additional expense, which is $435 per month in this case.
Therefore, The correct option is d.
For more question on sales
https://brainly.com/question/29417616
#SPJ11
the bulletin board of tales and you, a children's publishing company, contained an article that congratulated the organization for achieving 1 million sales and appreciated everyone for their efforts. this piece of public relations was targeted at the:
Public relations is a strategic communication strategy that helps organizations build a positive relationship with the public.
How public relations helps us?
The bulletin board of tales and you, a children's publishing company, contained an article that congratulated the organization for achieving 1 million sales and appreciated everyone for their efforts. This piece of public relations was targeted at the public.
Public relations is a strategic communication strategy that helps organizations build a positive relationship with the public. It involves managing and promoting the image of the organization to the public. This can be done through various methods, such as press releases, social media posts, and newsletters.
In the given scenario, the bulletin board of tales and you, a children's publishing company, contained an article that congratulated the organization for achieving 1 million sales and appreciated everyone for their efforts. This piece of public relations was targeted at the public. Therefore, the correct answer is the public.
Learn more about Public relations
brainly.com/question/27993099
#SPJ11
what is the scope of small business marketing? has it always been as broad as it is now? why or why not?
The scope of small business marketing has always been broad, although it has become even broader in recent years due to the advancement of technology and the proliferation of digital marketing tools.
The use of social media, influencer marketing, email marketing, search engine optimisation, and other marketing strategies by small firms is now possible.
Small businesses can use these tools to reach a larger audience and provide more individualised services to clients.
Moreover, small enterprises may now contact clients from all over the world thanks to the development of e-commerce. The breadth of small business marketing has expanded as a result, and it now includes a wide range of techniques and tactics.
In conclusion, small business marketing has always been broad, but in recent years, thanks to digital tools and e-commerce, its breadth has expanded even more.
To learn more about small business visit:
https://brainly.com/question/7020331
#SPJ4
at sony, top executives are formulating strategies to stop: a.technological unemployment. b.creation of unsatisfying jobs. c.ethical lag. d.pollution of the environment.
At Sony, top executives are formulating strategies to stop option (c) Ethical lag
The Sony has started a nationwide recycling program to address the growing concern about the disposal of electronics in landfills. The goal of the program is to take back and recycle one pound of electronics for every pound of product that Sony puts out in the marketplace. This initiative indicates that Sony is aware of the potential environmental impact of electronic waste and is taking steps to address it, which suggests that they are addressing the issue of ethical lag.
Ethical lag refers to the time it takes for ethical considerations to be incorporated into business practices and is often seen when new technologies emerge. In this case, the concern about the disposal of electronic waste is a relatively new issue, and Sony is taking steps to address it
Therefore, the correct option is (c) Ethical lag
Learn more about Sony here
brainly.com/question/30636309
#SPJ4