30 POINT QUESTION ONLY ANSWER IF YOU CAN GIVE A GOOD ANSWER AND ARE CERTAIN

1. Why would you write an inquiry to a company? (1 point)

2.Why would you write a complaint to a company? (1 point)

3. Why is it important to send a cover letter with a resume? (1 point)

4. What would you include in a request for a company to sponsor your sports team? (1 point)

5. What would you include in an apology for missing an appointment? (1 point)

Answers

Answer 1

Answer:

1. You write to learn more about the service, product or enterprise you are considering using, buying or creating a relationship with. An inquiry letter should be brief and to the point. Its primary purpose is to solicit more detailed information than was included in the original sales material.

2. If a phone call or email doesn't resolve the problem, consider writing a complaint letter. A letter is important. It puts your complaint on record with the company, helps preserve any legal rights you may have in the situation, and lets the company know you're serious about pursuing the complaint.

3. A cover letter accompanies your CV as part of a job application. It provides further detail on how your skill set aligns with the role, what you can bring to the team and why you want the position. Cover letters allow recruiters and hiring managers to develop a better understanding of your suitability for a position.

4. A few things I would do is let them know you would promote them on social media, put their name on your jerseys, create a team banner with their logo on it that you would use for every game.

5. Communicate your apology as soon as possible, Keep the message clear of “buts” and excuses, Empathize with your co-workers, Accept responsibility for the situation, Show your regrets, Repair the damage, If it is valid-share the reason for missing the meeting, Apologize immediately but keep the explanation brief.

Explanation: I am so sorry for answering so late and I really hope this helps you :)


Related Questions

Five Card Draw manufactures and sells 23,000 units of Diamonds, which retails for $180, and 26,000 units of Clubs, which retails for $210. The direct materials cost is $25 per unit of Diamonds and $30 per unit of Clubs. The labor rate is $25 per hour, and Five Card Draw estimated 222,000 direct labor hours. It takes 4 direct labor hours to manufacture Diamonds and 5 hours for Clubs. The total estimated overhead is $666,000. Five Card Draw uses the traditional allocation method based on direct labor hours.

A. What is the gross profit per unit for Diamonds and Clubs?
B. What is the total gross profit for the year?

Answers

1. The computation of the gross profit per unit for Five Card Draw is as follows:

                                     Diamonds           Clubs

Gross profit per unit         $43                  $40

Total gross profit         $989,000     $1,040,000

2. The total gross profit for Five Card Draw for the year is $2,029,000.

What is the gross profit?

The gross profit is the difference between the sales revenue and the cost of goods sold.

The cost of goods sold by a manufacturing company is made up of direct costs (materials and labor) and some overhead costs.

                                                   Diamonds           Clubs

Production and Sales Units = 23,000 units    26,000 units

Retail price per unit =                  $180                 $210

Direct materials cost per unit    $25                    $30

Labor rate per hour                    $25                    $25

Direct labor hours                        4                         5

Direct labor costs per unit         $100                   $125

Total estimated overhead = $666,000

Total estimated direct labor hours = 222,000

Overhead rate per DLH = $3 ($666,000/222,000)

Overhead cost per unit             $12                      $15 (5 x $3)

Total unit costs:

Direct materials cost per unit      $25                    $30

Direct labor costs per unit         $100                   $125

Overhead cost per unit                $12                     $15

Total unit costs                           $137                   $170

Retail price per unit                   $180                   $210

Gross profit per unit                   $43                     $40 ($210 - $170)

Total gross profit                  $989,000            $1,040,000

= $2,029,000 ($43 x 23,000 + $40 x 26,000)

Thus, for the year, Five Card Draw will record a total gross profit of $2,029,000.

Learn more about gross profit at https://brainly.com/question/21637154

#SPJ1

For each statement about Direct Competition and Indirect Competition,
choose True or False.



Indirect Competition is a
business whose services are
different from yours but
satisfy the same need.


All Companies that sell
goods and services are
Indirect Competitors.


When your target audience
buys products from a
competitor instead from
you, that is Indirect
Competition.


Direct Competition is a
company that offers
the same thing you
offer.

1. True
2. False

For each statement about Direct Competition and Indirect Competition,choose True or False.Indirect Competition

Answers

Answer:

Explanation:

1) Indirect Competition is a business whose services are different from yours but satisfy the same need.

True

2) All Companies that sell goods and services are Indirect Competitors.

False

3) When your target audience buys products from a competitor instead from you, that is Indirect Competition.

False

4) Direct Competition is a company that offers the same thing you offer.

True

Marcie goes to the salon and has a pedicure and a manicure. What has Marcie purchased from the salon?
A.) A good
B.) A good and a service
C.) Neither
D.) A service

Answers

Answer:

D.) A service
A service because she hasn’t purchased a physical item

Your company has net sales revenue of $49 million during the year. At the beginning of the year, fixed assets are $21 million. At the end of the year, fixed assets are $23 million. What is the fixed asset turnover ratio

Answers

Answer:

The fixed asset turnover ratio is 2.13 times.

Explanation:

Fixed Assets Turnover Ratio = Sales / Total Fixed Assets

                                               = $49 million / $23 million

                                               = 2.13 times

Note that we use the end of year balances for fixed assets in the calculation of  fixed asset turnover ratio.

Conclusion :

The fixed asset turnover ratio is 2.13 times.

Dakota Coffee Company produces Columbian coffee in batches of 7,500 pounds. The standard quantity of materials required in the process is 7,500 pounds, which cost $6.00 per pound. Columbian coffee can be sold without further processing for $9.80 per pound. Columbian coffee can also be processed further to yield Decaf Columbian, which can be sold for $11.60 per pound. The processing into Decaf Columbian requires additional processing costs of $6,300 per batch. The additional processing will also cause a 5% loss of product due to evaporation.

Question Content Area
a. Prepare a differential analysis dated December 11 on whether to sell regular Columbian (Alternative 1) or process further into Decaf Columbian (Alternative 2). If required, use a minus sign to indicate a loss.

Answers

The differential analysis is attached accordingly. The workings are indicated below.

What is differential analysis?

Differential analysis is a decision-making approach that analyzes the net effects of two alternatives by examining the advantages and costs associated with each. The option chosen has the greatest advantageous (or least adverse) financial impact.

To arrive at the figures in the differential analysis first we derive the Revenue from selling regular Columbian:

Recall that:

Revenue = Sales x Quanity Manufactured; hence

9.8 x 7500

= $73,500

Revenue from Decan Columbian:

11.6 x (95% x 7500)

= 11.6 x 7125

= $82, 650

Cost of selling regular Columbian

Cost = Cost x Units produced

= 6 x 7500

= $45,000

Compute the cost of selling Decaf Columbian

In this case, Cost = Product Cost + Cost of processing

= 45,000 + 6300

= $51,300

Hence the figures indicated in the differential analysis.

Learn more about differential analysis:
https://brainly.com/question/17196260?
#SPJ1

Dakota Coffee Company produces Columbian coffee in batches of 7,500 pounds. The standard quantity of

you will choose one federal agency to discuss in an informative essay. You should do outside research and write an essay on the structure of the agency and it’s function

Answers

The Department of Homeland Security (DHS) oversees the movement of individuals and merchandise across the United States as well as the protection of the national frontiers.

What is the role of department of Homeland Security?

To protect the United States from potential terrorist acts and some other natural calamities, the Department of Homeland Security (DHS) is in charge.

All DHS Units immediately report to the Office of the Secretary under DHS organizational structure. The Secretary and Deputy Secretary, this same Chief of Staff, the Counselors, alongside their separate staffs make up the Office of the Secretary. There is no Component to which this staff is attached.

Learn more about department of Homeland Security, here:

https://brainly.com/question/4407458

#SPJ1

Match the terms with the appropriate definition.

1. arbitration
desired outcome or achievement
2. bilingual
ability to use two languages fluently
3. compromise
the act of training an employee to also perform tasks performed by another employee
4. constructive criticism
activities outside the scope of your education or employment that enhance personal development and pleasure
5. cross-training
when a third party is consulted to make a final decision in resolving a conflict
6. extracurricular activities
explaining an error to another person in a positive way and offering ideas to avoid similar mistakes in the future
7. goal
to give up something to resolve a conflict

Answers

Answer:

1. goal

2.correct

3.cross training

4.extracurriculars

5.arbitration

6.constructive criticism

7.compromise

The questions are in the images. The categories provided are: Cash, Accounts Receivable, Office Equipment, Office Furniture, Accounts Payable, Randy Guttery Capital, Randy Guttery Drawing, Fees Income, Rent Expense, Utilities Expense, Salaries Expense, Telephone Expense, and Miscellaneous Expense.

The questions are in the images. The categories provided are: Cash, Accounts Receivable, Office Equipment,
The questions are in the images. The categories provided are: Cash, Accounts Receivable, Office Equipment,
The questions are in the images. The categories provided are: Cash, Accounts Receivable, Office Equipment,

Answers

A collection of financial records that employ double-entry accounting is referred to informally as a T-account.

What is T- Account ?

The phrase defines how the bookkeeping entries appear. On a page, a huge letter T is first drawn.The account name is then written above the top horizontal line and split by the bottom horizontal line., and below that, split by the vertical T of the letter, debits are reported on the left and credits are recorded on the right.

Every financial transaction is taken into account to have an impact on at least two of a company's accounts in double-entry bookkeeping, a common accounting technique. Each transaction will be recorded in one account as a debit entry and in the other as a credit entry.

Learn more about T-Account here

https://brainly.com/question/14584845

#SPJ9

The questions are in the images. The categories provided are: Cash, Accounts Receivable, Office Equipment,

What is characteristic of Cloud computing?

Answers

The characteristic of Cloud computing are On-Demand Self-Service, Broad Network Access, Resource Pooling, Rapid Elasticity and Measured Service.

Cloud computing is a technology paradigm that offers on-demand access to a shared pool of computing resources over the internet. It is characterized by several key features:

On-Demand Self-Service: Cloud computing allows users to provision and access computing resources, such as servers, storage, and applications, as needed without requiring human interaction with service providers. Broad Network Access: Cloud services are accessible over the internet from a variety of devices, including desktop computers, laptops, tablets, and smartphones.Resource Pooling: Cloud providers consolidate and share computing resources, such as servers and storage, among multiple users or customers. Rapid Elasticity: Cloud services can rapidly scale up or down to accommodate fluctuating workloads and user demands. Measured Service: Cloud computing enables metering and monitoring of resource usage. Providers track and measure resource consumption, such as storage, processing, bandwidth, and active user accounts.

For such more question on Elasticity:

https://brainly.com/question/29615048

#SPJ8

In 2011, Starbucks terminated a contract with Kraft Foods that allowed Kraft to sell bagged Starbucks coffee in grocery stores. The early termination resulted in litigation between Kraft and Starbucks. After an arbitrator found in Kraft's favor, Starbucks recorded a liability for $2.8 billion.

Required:
This behavior is typical of many companies today. What is your opinion on the reasons companies behave this way? Is it realistic? Why or why not?

Answers

Answer:

Starbucks and Kraft Foods

The reasons companies terminate contracts before their expiration include impossibility of performance, material breaches of contract terms, misrepresentation, fraud, lack of capacity, mutual mistake, and frustration.

The reason for Starbucks' termination of the contract was "multiple material breaches."  These were not established by the arbitrator, who  delivered judgment in Kraft's favor.

It is not always realistic to terminate a long-standing contract without abiding by the contract termination terms because the damages and accruing interests that can be awarded against the terminating company may be too huge.

Explanation:

The "multiple material breaches" that Starbucks alleged against Kraft included the allegation that "Kraft did not always meet minimum advertising budgets or keep Starbucks involved in major initiatives."  According to Starbucks, these violations eroded its "brand equity."

Northfield Casino is considering converting the Polsky Building at University of Akron into a state-of-the-art gaming parlor. This expansion project will require an initial outlay of $75,000,000 with a project life of five years. Cash flows from operating the new parlor are expected to be $25,000,000 every year for the next five years. The parlor will be sold for $50,000,000 at the end of five years. The project's required rate of return, or discount rate is 18%. Based on this information: The project's payback period is:______.
a. 2.25 Years.
b. 2.5 Years.
c. 2.75 Years.
d. 3 Years.
e. 3.2 Years.

Answers

Answer:

d. 3 Years.

Explanation:

Payback period calculates the amount of time it takes to recover the amount invested in a project from its cumulative cash flows.

Payback period = amount invested / cash flow

$75,000,000 / $25,000,000 = 3 years

I hope my answer helps you

A macroeconomic policy which is adopted to combat inflation through
government expenditure and tax is?​

Answers

Fiscal Policy

(: hope this helps

The amount that the shareholders have invested into the company is called: Multiple Choice Retained earnings. Accumulated other comprehensive income. Paid-in capital. Shareholders’ equity.

Answers

You got to chose who’s your real friend to help you with home work

Which of the following will be needed to adapt to the changing landscape of business in the United States? Check all that apply.
Identification of specific geographic population centers
Improved intercultural communication skills
Growing minority population

Answers

The following will be needed to adapt to the changing landscape of business in the United States;

Identification of specific geographic population centers

Improved intercultural communication skills

Growing minority population

Hence, all the above are applied.

What is changing landscape of business?

A Business Landscape is a related representation of the most important features that make up a business and work together to achieve something of value. There are no restrictions on what can be defined in a landscape. Hence, an overturn or negative or positive development on those features that inform a business is said to be the changing landscape of business.

Therefore, the correct answer is as given above

learn more about business landscape: https://brainly.com/question/7027022

#SPJ1

Which of the following is a personal benefit of earning a college degree?
A. You are more likely to vote for the right candidate.
B. You have more friends.
C. You have a longer life expectancy.
D. You are more likely to exercise.
SUBMIT

Answers

  The personal benefit of earning a college degree is you have a longer life expectancy.

  Having a college degree has some personal advantages. First, it provides individuals with a higher level of education and knowledge to help them make informed decisions about their personal and professional lives. These may include career choices, financial planning, and health and well-being decisions.

  Second, those with a college degree tend to have better job opportunities and higher income potential than those without a degree. This increases financial security and enables individuals to lead more comfortable and fulfilling lives.

  Third, a college degree also leads to personal growth and development. Students are exposed to new ideas, cultures, and experiences that help broaden their horizons and become more diverse personalities. Additionally, colleges provide students with opportunities to develop important life skills such as critical thinking, problem-solving, and communication.

 To learn more about financial planning:

https://brainly.com/question/1985202

https://brainly.com/question/28742367

 

Why do scientist follow the design process

Answers

Answer:

to create solutions to problems

please mark brainlist me

Explanation:

Scientists use the scientific method to make testable explanations and predictions about the world. A scientist asks a question and develops an experiment, or set of experiments, to answer that question. Engineers use the engineering design process to create solutions to problems.

\(\huge\underbrace\mathrm\gray{ Answer}\)

They use the scientific method to make testable explanations and predictions about the world.

A scientist asks a question and develops an experiment, or set of experiments, to answer that question.

Arya wants to intern in the finance department for a major retailer. Since Arya will be learning about finance which refers to all
activities concerned with obtaining money and using it effectively.
True
False

Answers

True, Finance refers to all activities concerned with obtaining money and using it effectively.

Finance has to do with effective management of money or financial resources of a business,company or organization.

Improper management of a company finance can lead to the company not achieving their aims and objectives or even liquidate.

For effective management of a company  finance  the  accountant or the  finance manager will need to  have full understanding and knowledge about :

•What it takes to manage finance

•How to manage finance successfully

•How to effectively  make use of the  money obtained .

Inconclusion True, Finance refers to all activities concerned with obtaining money and using it effectively.

Learn more about finance here:

https://brainly.com/question/10024737

When prices rise, a. real estate is a better unit of account than money. b. money is a worse medium of exchange than real estate. c. money is a better store of value than real estate. d. real estate is a better store of value than money.

Answers

When prices rise,  d. real estate is a better store of value than money.

What is increase in price?

Increase in price is when the price of goods and service is on the high side  and this tend to occur when the cost of production is high. The effect of price rise is the it lead to low demand of goods and service.

When rise investing in real estate is a goods choice based on the fact that it enables you to invest and have value for your money because investing in real estate is an asset.

Therefore the correct option is D.

Learn more about increase in price here:https://brainly.com/question/13836604

#SPJ1

What is the total amount of Five Below's Liabilities plus Stockholders' Equity in the 2021 fiscal year?


What is the total amount of Five Below's Liabilities plus Stockholders' Equity in the 2021 fiscal year?


$2,880,460,000


$1,120,284,000


$2,880,460


$2,314,770,000


$1,760,176,000

Answers

$2,880,460,000 is the total amount of Five Below's Liabilities plus Stockholders' Equity in the 2021 fiscal year .

What is Current liabilities ?

A company's obligations or debts that are due within a year or the normal operating cycle are referred to as current liabilities. In addition, a current asset—either cash or a new current liability—is used to settle current liabilities.

On a company's Balance Sheet, current liabilities include accounts payable, accrued liabilities, short-term debt, and other similar debts.

Notes Payable, Accounts Payable, Short-Term Loans, Accrued Expenses, Unearned Revenue, Current Portion of Long-Term Debts, and Other Short-Term Debt are all considered current liabilities.

As current liabilities provides us with a general picture of your company's short-term financial standing and is useful for working capital expenditure planning. A healthy business is typically one with fewer current liabilities than current assets.

To learn more about Current Liabilities visit :

https://brainly.com/question/29341666

#SPJ1

dunn, inc. had 200,000 shares of $20 par common stock and 20,000 shares of $100 par, 6%, cumulative, convertible preferred stock outstanding for the entire current year ended december 31. each preferred share is convertible into five shares of common stock. dunn's net income for the year was $840,000. for the current year ended december 31, the diluted earnings per share is

Answers

Earnings per share is: (net income - preferred dividends)/common shares outstanding. Preferred stock dividends are $100 X 10% X 20,000 shares = $200,000.

Define cumulative, convertible preferred stock ?

Cumulative Convertible Preference Share are a type of preference shares where the dividend payable on the same accumulates, if not paid. After a specified date, these shares will be converted into equity capital of the company.For example, a company issues cumulative preferred stock with a par value of $10,000 and an annual payment rate of 6%. The economy slows down; the company can only afford to pay half the dividend and owes the cumulative preferred shareholder $300 per share.The cumulative preferred stocks are safe and secure regarding financial safety among all other stocks available in the market. The reason behind the same is that they will always get their dividend irrespective of the company's bad performance.

To learn more about stock refers to:

https://brainly.com/question/25765493

#SPJ4

The diluted earnings per share is $2.80 for the current year ended December 31.

How to calculate diluted earnings per shares?To calculate the diluted earnings per share for Dunn Inc., we need to determine the total number of shares outstanding on a fully diluted basis. This takes into account not only the common shares outstanding, but also any additional shares that could be issued from the conversion of convertible preferred shares.First, we need to calculate the number of shares that could be issued from the conversion of the preferred stock.20,000 shares of preferred stock x 5 shares of common stock per preferred share = 100,000 potential additional sharesNext, we need to add these potential shares to the number of common shares outstanding to find the fully diluted number of shares.200,000 common shares + 100,000 potential additional shares = 300,000 fully diluted sharesFinally, we can divide the net income by the number of fully diluted shares to find the diluted earnings per share.$840,000 net income ÷ 300,000 fully diluted shares = $2.80 diluted earnings per shareIn summary, the diluted earnings per share is $2.80 for the current year ended December 31.

To learn more about stocks and shares refer:

brainly.com/question/25818989

#SPJ4

The market for loanable funds and government policy
The following graph shows the market for loanable funds. For each of the given scenarios, adjust the appropriate curve on the graph to help you complete the questions that follow. Treat each scenario separately by resetting the graph to its original state before examining the effect of each individual scenario. (Note: You will not be graded on any changes you make to the graph.)
Demand
Supply
INTEREST RATE (Percent)
LOANABLE FUNDS (Billions of dollars)
Demand
Supply
Scenario 1: Individual Retirement Accounts (IRAs) allow people to shelter some of their income from taxation. Suppose the maximum annual contribution to such accounts is $5,000 per person. Now suppose there is a decrease in the maximum contribution, from $5,000 to $3,000 per year.
Shift the appropriate curve on the graph to reflect this change.
This change in the tax treatment of interest income from saving causes the equilibrium interest rate in the market for loanable funds to and the level of investment spending to .
Scenario 2: An investment tax credit effectively lowers the tax bill of any firm that purchases new capital in the relevant time period. Suppose the government implements a new investment tax credit.
Shift the appropriate curve on the graph to reflect this change.
The implementation of the new tax credit causes the interest rate to and the level of saving to .
Scenario 3: Initially, the government's budget is balanced; then the government significantly increases spending on national defense without changing taxes.
This change in spending causes the government to run a budget , which national saving.
Shift the appropriate curve on the graph to reflect this change.
This causes the interest rate to , the level of investment spending.

Answers

Scenario 1: The decrease in the maximum contribution from $5,000 to $3,000 per year causes the demand for loanable funds curve to shift left, leading to a decrease in the equilibrium interest rate and a decrease in the level of investment spending.

Scenario 2: The implementation of the new tax credit causes the supply for loanable funds curve to shift right, leading to an increase in the equilibrium interest rate and an increase in the level of saving.

Scenario 3: The government's increase in spending causes the government to run a budget deficit, leading to a decrease in national saving. This causes the demand for loanable funds curve to shift right, leading to an increase in the equilibrium interest rate and an increase in the level of investment spending.

To know more, check out: https://brainly.com/question/30004719

#SPJ1

[The following information applies to the questions displayed below.]


On January 1, 2024, Splash City issues $320,000 of 8% bonds, due in 15 years, with interest payable semiannually on June 30 and December 31 each year.

Assuming the market interest rate on the issue date is 9%, the bonds will issue at $293,938.

2. Record the bond issue on January 1, 2024, and the first two semiannual interest payments on June 30, 2024, and December 31, 2024.

(Interest Expense does not equal 12800)

Answers

To record the bond issue on January 1, 2024, and the first two semiannual interest payments on June 30, 2024, and December 31, 2024, we need to consider the issuance of the bonds and the accrual of interest expense.

1. Bond Issue on January 1, 2024:

  Date         Account                Debit        Credit

  --------------------------------------------------------

  January 1, 2024   Cash                     $293,938

                                     Bonds Payable                $320,000

  To record the issuance of $320,000 face value bonds at a discounted price of $293,938.

2. Semiannual Interest Payment on June 30, 2024:

  Date         Account                Debit        Credit

  --------------------------------------------------------

  June 30, 2024      Interest Expense    $14,400

                                  Cash                       $14,400

  To record the semiannual interest payment ($320,000 * 8% / 2 = $12,800) for the period from January 1, 2024, to June 30, 2024.

3. Semiannual Interest Payment on December 31, 2024:

  Date         Account                Debit        Credit

  --------------------------------------------------------

  December 31, 2024   Interest Expense    $14,400

                                      Cash                       $14,400

  To record the semiannual interest payment ($320,000 * 8% / 2 = $12,800) for the period from July 1, 2024, to December 31, 2024.

Please note that the interest expense amount mentioned in the question might be incorrect. Based on the information provided, the interest expense should be $12,800 for each semiannual interest payment, resulting in a total of $25,600 for the year 2024.

The order of presentation of activities on the statement of cash flows is______________
1 point
a) Operating, Investing, and Financing.
b) Operating, Financing, and Investing.
c) Financing, Operating, and Investing.
d) Financing, Investing, and Operating.

Answers

The order of presentation of activities on the statement of cash flows is Operating, Financing, and Investing.

The option (B) is correct.

Cash flows are classified and introduced into working exercises (either utilizing the 'immediate' or 'circuitous' technique), contributing exercises, or funding exercises, with the last two classes commonly introduced on a gross premise. as it shows whether the business has sufficient fluid money to put in now is the ideal time and invest in assets.

When creating your income statement, list incomes first. Then, at that point, drill down any costs your organization had during the period and take away the costs from your income. The lower part of your pay proclamation will let you know whether you have a net gain or shortfall for the period.

Learn more about cash flows:

https://brainly.com/question/29671433

#SPJ1

It can often be difficult to determine if a passage is making an inferential claim because such a claim may be either explicit or implicit. An explicit inferential claim uses indicator words or phrases of some sort to inform the audience that a conclusion is being drawn from a set of reasons. By contrast, some arguments contain inferential relationships but do not contain any indicator words or phrases. In such cases the passage is said to be making an implicit inferential claim. Each passage that follows makes an inferential claim. Determine whether the inferential claim in each passage is an explicit inferential claim or an implicit inferential claim. Then indicate this with the dropdown menu provided. Passage A Charity is ultimately self-defeating. This is because charitable contributions either are wasted or promote dependence on charity by their recipients. This is also because charitable contributions are seldom used to treat the underlying cause behind the symptoms that the contributions seek to alleviate. Passage A makes an Passage B Beach balls are not the safe toys that everyone believes them to be. If the plastic tears or breaks, then small children can suffocate if they place their heads within the plastic sphere. In addition, deflated beach balls represent a choking hazard for children and pets, who may accidentally ingest a torn piece of plastic. Finally, an inflated beach ball is a tripping hazard if it is left in an area of high foot traffic. Passage B makes an Passage C An explosion is imminent. The pilot light to the apartment's gas stove went out undetected several days ago, and the tenant is about to return home and open the door while holding a lit cigarette.

Answers

The correct answer are: Passage A makes an implicit inferential claim, Passage B makes an implicit inferential claim and Passage C makes an explicit inferential claim.

An implicit inferential assertion is one in which the passage contains inferential relationships but lacks any indicator words or phrases indicating that a conclusion is being made from a set of reasons.

An explicit inferential claim, on the other hand, employs some kind of indicator word or phrase to alert the listener that a conclusion is being made from a collection of reasons. Words such as "hence," "thus," "consequently," "as a result," and others can be used as indicator words or phrases.

For such more question on implicit:

https://brainly.com/question/14116815

#SPJ4

Two key aspects of financial planning are cash planning and profit planning. Cash planning involves the preparation of the cash budget and profit planning involves preparation of pro forma statements. To make cash budget and pro forma statements for a firm, accounting knowledge is needed. Do accounting courses you took before help you better understand how to make cash budget and pro forma income statement and balance sheet? Explain.

Answers

Yes. Accounting courses I took before helps us understand how to make cash budget and pro forma income statement and balance sheet.

Here's how accounting courses can help individuals in creating cash budgets, pro forma income statements, and balance sheets:

Cash Budget: Accounting courses teach students about the importance of cash flow management and how to prepare a cash budget. Pro Forma Income Statement: Accounting courses teach students how to analyze historical financial data and use it to forecast future performance. Balance Sheet: Accounting courses provide a comprehensive understanding of balance sheets and their components. Students learn how to analyze assets, liabilities, and shareholders' equity to assess the financial position of a company.

By studying accounting, individuals gain a solid foundation in financial concepts, reporting standards, and analytical techniques. This knowledge equips them with the skills necessary to create cash budgets, pro forma income statements, and balance sheets effectively.

For such more question on cash budget:

https://brainly.com/question/28494878

#SPJ8

Maben Company was started on January 1, Year 1, and experienced the following events during its first year of operation:
Acquired $32,000 cash from the issue of common stock.
Borrowed $38,000 cash from National Bank.
Earned cash revenues of $50,000 for performing services.
Paid cash expenses of $46,000.
Paid a $1,200 cash dividend to the stockholders.
Acquired an additional $22,000 cash from the issue of common stock.
Paid $10,000 cash to reduce the principal balance of the bank note.
Paid $55,000 cash to purchase land.
Determined that the market value of the land is $77,000.

Determine the amount of total assets that Maben would report on the December 31, Year 1, balance sheet.

Answers

The percentage of assets that were provided by investors, creditors, and earnings is $84,800.

What is investors?

An investor is any individual or other entity such as a business or mutual fund who invests money with the hope of making a profit.

A technique for company improvement called the Investors in People Standard aims to boost an organization's performance through its workforce. The management and growth of an organization's workforce aids in performance improvement and the achievement of goals.

Calculation-

Balance sheet

assets = liability + stockholder's earning,

Cash+land = notable payable+common stock+retained earning

$29800+$55000=$28000+$54000+$2800.

$84800=$84800

Income statement

Revenue-expenses =net income

$50000-$46000=$4000

Thus, it is $84,800.

For more information about investors, click here:

https://brainly.com/question/18094926

#SPJ9

The working note and solution is attached-

Maben Company was started on January 1, Year 1, and experienced the following events during its first

How teachers apply stenhouse theory

Answers

Answer:

In curriculum, a vision of knowledge, the role of the educator and a concept of the process of education are all present. In this sense, Stenhouse suggests that the role of teachers and professors is fundamental in the elaboration and implementation of curriculum.

which practice would you recommend that an inventory manager use for successful inventory planning?

which practice would you recommend that an inventory manager use for successful inventory planning?

Answers

B, related the most to the question

Answer:

C

Explanation:

Plato/Edmentum

Healthy eating habits have become a high priority for Baby Boomers. Salmon has been identified as a heart-healthy, antioxidant-rich fish.
The price of fresh salmon has increased over the past ten years. According to the law of supply and demand, the quantity of salmon provided should
Increase
.

Answers

Supply and demand theory states that there should be more salmon available. Since there would be an increase in demand for fresh salmon, the amount offered should also grow to meet the need.

What is the increase in demand?

Please note that demand is all about when the availability of the redesigned product is low and more and more people want the same thing. In that case, there will be increased demand.

Because healthy eating habits have been increased and it has become a priority for baby boomers, they consider salmon to be a heart-healthy and antioxidant fish. Because of this, the demand has increased.

Learn more about  demand  from here:

https://brainly.com/question/25910814

#SPJ1

1.14 When the wages per worker in the metal-working industry increases, the supply curve of
steel will shift to the right.
[1] True
[2] False​

Answers

Answer:

false it will shift to the left

Other Questions
formula of LSA of cuboid , cube and cylinder A country that must reduce current consumption to increase future consumption possibilities A) must be allocating resources inefficiently.B) must be producing along the production possibilities curve. C) must be producing outside the production possibilities curve. D) must not have private ownership of property. what are the main reasons of air pollution? in ericas class about 92% of the class submitted theri assignment on time. if the teacher had 24 assignments to grade how many students are in ericas class Why did US and French diplomats fail to smooth relations between the two countries in 1796? How much should you plan to borrow via a Direct Stafford Loan for yourcollege education?OA. As much as you need, plus a little more, in case of emergencyOB. As much as you can getC. You shouldn't plan to borrow any money at allO D. Only as much as you need to pay college-related expensesSUBMIT 9.Does the mapping represent a function?-9-9-6-2-2-1A.YesB.No y= 41x+6y, equals, minus, start fraction, 1, divided by, 4, end fraction, x, plus, 6 There are 60 minutes in 1 hour. Use a tape diagram. Which of the following phrases does not correctly describe BOTH bulimia nervosa and binge eating disorder?Involves episodes of overeatingCan have severe health consequencesSerious medical conditionSymptoms include purging true or false: in the ads hierarchy, campaign management occurs in the accounts level. true false HELPPPPPPPPPPPPPP:((((((((((((((((((((((Compare and contrast meiosis and mitosis. How many daughter cells are produced by each, and how many chromosomes do they have? In what contexts do meiosis and mitosis occur? the angular momentum vector of Earth about its rotation axis, due to its daily rotation, is directed:A. tangent to the equator toward the eastB. tangent to the equator toward the westC. northD. southE. toward the Sun -2 2/3 x (-4 3/7) Can someone help me? which of the following spheres is likely to represent a metal and which a nonmetal? which sphere in the products represents a cation and which an anion? What is the answer ? for Pertussis what itsDiagnostic Studies Does the Electoral College support the principle of representative democracy? 21(x + 1) - 6x = 15x + 21 John Harrington, Jr. ("Junior") is a 24-year-old, 3-pack-per-day smoker. John Harrington, Sr. ("Senior") is a very concerned parent. On January 1, father announces to son, "Junior, if you will stop smoking for the entire year, I will pay you $5,000." Senior believes that if Junior will stop smoking for one year, he will "kick the habit." Junior reluctantly accepts his fathers terms, and extinguishes his half-smoked cigarette with the heel of his boot.On January 1 of the following year, Junior approaches Senior and says "Dad, time to pay up." Senior has no reason to doubt that Junior has refrained from smoking for an entire year, but states "Son, this was for your benefit. The gift I have given you is the gift of life, and you are now likely to enjoy that gift longer, because you are now much less likely to contract cancer. Health statistics show that non-smokers live ten years longer than smokers. Enjoy your newfound life, but I will not pay you the $5,000."Does Senior owe Junior the $5,000? Is there an enforceable contract between father and son? If there is not an enforceable contract, does Junior have any other legal or equitable theory of recovery? Is Senior ethically obligated to pay Junior the $5,000?