A balance sheet with classification. provides current assets and liabilities subtotals.
The totals of the assets, liabilities, and equity on a classified balance sheet are identical to those on an unclassified balance sheet, but they are given in greater detail and broken down into distinct categories as opposed to being stated in the traditional balance sheet format.
It depends on the type of business you run as to which categories are used; there is no one correct technique to construct a classified balance sheet. While there are various formatting differences between classified and unclassified balance sheets, classified balance sheets are meant to display specifics.
An unclassified balance sheet and a classified balance sheet both contain asset, debt, and equity balances.
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Which condition is a result of open competition in a free market system?
A. Poor customer service
B. Government regulation
C. Higher prices
D. Higher quality goods
A result of open competition in a free market system is higher quality goods (option D).
What is the result of open competition?
Competition is when there are many producers operating in a particular industry. Competition is high in purely competitive markets and low in a monopoly. This is because in a pure competition, there are many producers while there is only one producer in a monopoly.
Due to the high level of competition in an industry, prices would be more likely to be low. This is because producers would want to attract more consumers by fairly pricing their goods. Also, producers would want to offer good customer service in order to retain consumers as there are many competing producers in the market. High quality goods are also a way to attract an retain customers.
A free market system is a market system where prices are set by the forces of demand and supply. There is no government regulation in this type of market.
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What should a company do to get immediate customer feedback about a product
Answer:
ig it would be email lol i need points
Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
Select all that apply.
Select all reasons data mining is important to businesses.
It cuts costs.
It identifies long-term goals.
It solves problems.
It increases profits.
Answer:
a,c,d
Explanation:
which of the following commodities is a product of the primary or extractive industry
A. Cars
B. Gold
C. Hair Processing
D . Houses
When an insured has a major medical plan with first dollar coverage, how does this impact the benefits paid
When an insured has a major medical plan with first dollar coverage, it means that the insurance plan covers the costs of eligible medical expenses right from the beginning without requiring the insured to pay any out-of-pocket expenses like a deductible or copay.
In this type of plan, the insurance company will pay for the eligible medical expenses from the very first dollar spent on medical care, up to the maximum amount allowed by the policy. This can be beneficial for the insured because they won't have to pay anything out of pocket for covered services.
It's important to note that even with first dollar coverage, there may still be certain limitations and exclusions in the insurance policy. For example, certain types of medical procedures or treatments may not be covered, or there may be limits on the total amount of benefits that can be paid out in a given year.
Overall, having a major medical plan with first dollar coverage can provide peace of mind for insured individuals who want to minimize their out-of-pocket expenses when receiving medical care.
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bad news which is the beginning of a negative growth phase will do what to the company's p/e ratio?
The price-to-earnings (P/E) ratio is one measure of a company's stock performance. A company's P/E ratio is calculated by dividing the stock's share price by the company's earnings per share.
When a company releases negative news, such as the beginning of a negative growth phase, it can jeopardize its stock performance causing investors to be more cautious about buying stocks or selling them at a higher price. This results in a decrease in the company's share prices, which then leads to a decrease in the P/E ratio overall.
For example, if Company XYZ is in the middle of negative growth phase and news of poor performance is released, investors may become less willing to pay the market price, causing a decrease in the company's share price. The decrease in the share price reduces the company's P/E ratio as the current stock price is divided by the same earnings per share.
Therefore, when a company receives bad news which is the beginning of a negative growth phase, it can do significant damage to the company's P/E ratio. Investors respond to bad news by becoming more conservative which results in lowering the value of the company's stock, thus reducing the P/E ratio.
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In general, how would you describe the U.S. Economy to someone else?
The U.S. is a mixed economy, exhibiting characteristics of both capitalism and socialism. Such a mixed economy embraces economic freedom when it comes to capital use, but it also allows for government intervention for the public good.
Why does the quantity supplied of stock go up when prices go up? A. Companies want to issue more stock when prices are high B. So Supply will match Demand C. More current owners are willing to sell their shares at a high price D. More expensive stocks make better investments
Answer:
I think its A
Explanation:
suppose asset a has an expected return of 10% and a standard deviation of 20%. asset b has an expected return of 16% and a standard deviation of 40%. if the correlation between a and b is 0.35, what are the expected return and standard deviation for a portfolio consisting of 30% asset a and 70% asset b?
The expected return is 14.2% and the standard deviation is 0.306 for a portfolio consisting of 30% asset a and 70% asset b.
The expected return of Asset A = 10%
The standard deviation of Asset A = 20%
Weight of Asset A = 30%
The expected return of Asset B = 16%
The standard deviation of Asset B = 40%
Weight of Asset B = 70%
Correlation = 0.35
The standard deviation is a degree of the quantity of variation or dispersion of a hard and fast of values. A low widespread deviation suggests that the values tend to be close to the mean of the set, at the same time as a high trendy deviation shows that the values are spread out over a much wider range.
A Standard deviation is a degree of how dispersed the data is when it comes to the suggestion. Low preferred deviation method statistics are clustered across the suggested, and high standard deviation shows records are extra spread out.
Expected return = ( weight of Asset A × Expected return of asset A) + Weight of asset B × Expected return of B)
Expected return = (30% × 10%) + (70% × 16%)
= (0.30 × 0.10) + ( 0.70 × 0.16)
= 0.03 + 0.112
= 0.142
OR 14.2%
Standard deviation = 0.306.
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*ECONOMICS* please help
thank you to whoever answers
Answer:
I think B
Explanation:
I don't know much about economics, but don't you need to have decent credit to take a loan (borrow) from the bank?
Scenario: NewTel, Inc.
NewTel is a telephone company with a policy of filling positions internally, through promotions, rather than hiring from outside. Until recently, the company had a strong engineering focus and tended to promote people into senior executive positions from the engineering areas. Consequently, almost all of the company’s 14 senior executives joined the company over 20 years ago in junior engineering positions. There is increasing pressure on NewTel to become more marketing and service-oriented. As a result, four people were hired last year from consumer products and retail firms to fill new senior executive positions in marketing and service management. The external hires were necessary because current employees were not sufficiently qualified. Now there are signs of tension among senior executives, particularly during budget deliberations where there is limited discretionary spending on new corporate activities. The four new hires have been frustrated in their attempts to have the company put more money into marketing and customer services instead of technology investment. The conflict episodes are viewed by both sides as personal attacks rather than attempts to resolve the problem.
The four new hires’ attempt to have the company put more money into marketing and customer services instead of technology investment. This is mainly an example of conflict due to:
A. role ambiguity.
B. lack of communication.
C. sequential task interdependence.
D. overt behaviors.
E. goal incompatibility.
Answer:
E. goal incompatibility.
Explanation:
Analyzing the scenario above, it is possible to see that the cause of the conflict is due to incompatibility of goals, that is, there are different objectives and goals between the teams and organizational departments, which causes a lack of consensus that culminates in the conflict.
This is a negative situation for the company, which is a set of systems that must operate in favor of the same objectives and goals. in order to listen to all the parties involved, and then start from a principle where everyone feels heard and integrated in the development of organizational goals, creating an environment of trust and positive relationship in the company.
The increase in owners' equity for a given period is equal to:
a. positive net cash flow minus dividends.
b. net income minus dividends.
c. sales minus dividends.
d. gross profit minus distributions to shareholders.
The increase in owners' equity for a given period is equal to the net income minus dividends.
Net income represents the amount of revenue a company generates during a specific period minus its expenses and taxes. It is an important indicator of a company's profitability. Dividends, on the other hand, are distributions of a company's earnings to its shareholders. They are typically paid out in cash or additional shares of stock. Owners' equity, also known as shareholders' equity or net worth, is the residual interest in the assets of a company after deducting its liabilities.
It represents the owners' claims on the company's assets and is a measure of the company's overall value. The increase in owners' equity is calculated by subtracting dividends from the net income. This reflects the portion of the company's earnings that is retained within the business and contributes to the growth of owners' equity.
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Ed lives in Merchantville , a state that has a so-called merchant protection statute (or shopkeeper's privilege). One day Ed goes to the grocery store to shoplift some steaks for dinner. The owner of the grocery store catches Ed red-handed in the act of shoplifting. He and an employee gently restrain Ed in the back room, feeding him gourmet food and wine until the local sheriff finally shows up three days later. If Ed sues the grocer for the tort of false imprisonment, he will win if he can prove that
Answer:
the gourmet food that he was fed was poorly prepared
Explanation:
Shopkeeper's priviledge is the law that allows United States shop owners detain people that shoplifted from their shop.
They must have proof that the person did the crime and also are only able to hold him for a reasonable time.
In the given scenario the shop owner catches Ed red-handed in the act of shoplifting. He and an employee gently restrain Ed in the back room, feeding him gourmet food and wine until the local sheriff finally shows up three days later.
Ed can win a tort of false imprisonment if the gourmet food that he was fed was poorly prepared.
There must be proper care given while the suspect is being detained. Being fed poorly prepared food means he was detained under conditions that could be detrimental to his health
What is one way to come and economy affects the lives of private citizens?.
A market economy influences the daily lives of private persons in that they can readily change occupations.
The benefits of a planned economy includes low levels of inequity as well as unemployment, as well as the common goal of replacing profit by fairness as the major motivator for production. Command economies have disadvantages such as an absence of competition, which could also lead to a lack of innovation or efficiency.
Capitalism might be thought however it has always been a market structure in which individual actors own as well as control property in accordance with individual interests, while demand, as well as supply,as well as supply freely establish pricing in markets in a way that serves society's best interests. The desire to generate a profit is a fundamental element of capitalism.
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What is the formula for calculating marginal product?
Formula to calculate the marginal product is (Qₙ – Qₙ₋₁) / (Lₙ – Lₙ₋₁). Here, Q is total production and L is the unit and n denotes the time used for the production or in unit.
What is marginal product?According to the marginal productivity theory, which was developed in economics at the end of the 19th century by a number of authors, including John Bates Clark and Philip Henry Wicksteed, a business firm would only be willing to pay a productive agent what he adds to the firm's utility or well-being; it is therefore obviously unprofitable to buy, for instance, a man-hour of labor if it adds less to its buyer's income than what it costs.
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The demand for cattle and an increase in railroad construction across the u. S. Contributed most directly to –.
The amount of land available for ranching in West Texas decreased due to the demand for cattle and a rise in railroad development across the United States.
What exactly do you mean by "Texas ranching"?Texas has 248,800 farms and ranches totaling 130.2 million acres, making it the state with the highest production of beef cattle in the nation. Cattle ranching contributes to Texas's culture as well as its economy.
What type of ranching is the most successful?The most profitable and straightforward animal to raise for profit is typically cattle. Simply having adequate pasture, extra hay during the winter, fresh water, immunizations, and lots of space to wander are all that beef cattle need.
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Imagine starting your own company. What type of company might you start and what type of ownership do you think would work best for your business? Why?
I would start a company that will be a sole trader company, as this will have my own capital and no other investors or shareholders.
What is a Company?A company is a business that sells products and or services to customers for the earning of profits, the company I will form is a sole trader and it will be a burger shop.
This will have a sole trader and no other shareholder, the complete profit will be enjoyed by the sole owner and if required more capital the further capital will be obtained by the banks through loan a fixed interest will be paid to them each year.
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What is NOT one of the main components of money management?
A.financial records
B.personal financial statements
C.tracking interest rates
D.budgeting
What is not one of the main components of money management is tracking interest rates. Money management is a strategy to make money work by tracking expenses and financial factors.
The components of money management are:
Financial recordsPersonal financial statementsBudgetThrough these three components, a person is able to analyze, manage, control and review their finances to keep their inflows and outflows, investments and financial needs under control.
It is therefore essential for an individual to learn more about money management, to avoid debt, undue expenses and losses arising from mismanagement of their personal finances.
The correct answer is letter C.
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Answer:
C because you need to know all the financial records , personal statements and how to budget .
Explanation:
Select the correct answer.
Which marketing strategy is the most effective in the modern era?
O A. relationship marketing
OB. marketing mix
Oc relationship marketing combined with the marketing mix
OD. considering the short-term interests of society
O E.
customer service
Answer:
Customer Service
Explanation:
Suppose you are a company CEO, your managers in the financial department presented the following data about the machine recently purchased to manufacture pillows: Cost = 15000 , estimated residual 1000 , estimated useful life 10 years, units of production 40000 . what is the cost of depreciation in the double decline method?
The cost of depreciation in the double declining balance method is $4,500.
The cost of depreciation in the double declining balance method for the recently purchased machine can be calculated based on the cost, estimated residual value, estimated useful life, and units of production.
In this case, the machine has a cost of $15,000, an estimated residual value of $1,000, an estimated useful life of 10 years, and is expected to produce 40,000 units.
The cost of depreciation in the double declining balance method is $4,500.
To calculate the cost of depreciation using the double declining balance method, we need to determine the depreciation expense for each year of the machine's useful life. The double declining balance method applies a depreciation rate that is double the straight-line depreciation rate.
First, we calculate the straight-line depreciation rate by dividing the difference between the cost and the estimated residual value by the estimated useful life:
Straight-line depreciation rate = (Cost - Estimated Residual Value) / Estimated Useful Life
= ($15,000 - $1,000) / 10
= $14,000 / 10
= $1,400 per year
Next, we calculate the double declining balance depreciation rate, which is twice the straight-line depreciation rate:
Double Declining Balance Depreciation Rate = 2 * Straight-line Depreciation Rate
= 2 * $1,400
= $2,800 per year
Finally, we calculate the depreciation expense for each year by multiplying the double declining balance depreciation rate by the units of production:
Depreciation Expense = Double Declining Balance Depreciation Rate * Units of Production
= $2,800 * 40,000
= $112,000
However, the cost of depreciation is capped at the depreciable base, which is the cost of the asset minus the estimated residual value. In this case, the depreciable base is $15,000 - $1,000 = $14,000.
Therefore, the cost of depreciation in the double declining balance method is $14,000, considering the depreciable base.
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Which of the following is not an element of marketing?
A. product
B. policy
C. promotion
D. price
••••••••••••••••••••••••••••••••••••••••••••••••
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The answer is B. policy
••••••••••••••••••••••••••••••••••••••••••••••••
False or true. irrational exuberance is when companies have stock that is undervalued.
The statement is false that irrational exuberance is when companies have stock that is undervalued, as in reality it is highly valued.
During the dot-com bubble of the 1990s, Alan Greenspan, the chairman of the Federal Reserve Board at the time, used the term "irrational exuberance" in a lecture at the American Enterprise Institute. The remark was taken to mean that there might be an overvaluation of the stock market.
Mania is characterised by irrational excitement. Investors lose sight of an asset's underlying value in the stock market when they are so certain that its price will continue to rise. Alan Greenspan, a former head of the Federal Reserve, first used the expression in 1996.
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Karen works in a department store. Her coworkers have diverse cultural backgrounds. Which statement shows that Karen understands the importance of multiculturalism?
A.
She values a consistent focus on knowing and completing her daily tasks.
B.
She expects everyone to conform to the same ideas about punctuality.
C.
She appreciates how other perspectives enhance customers’ shopping experiences.
D.
She values completing a job on schedule more than taking time to build relationships.
A.
She values a consistent focus on knowing and completing her daily tasks.Answer:
Explanation:
what are the ways of receiving employment related information?
Answer:
just do well on software and follow me for updates
According to the WSJ article, starting in 2021 yields on 10 year Treasury bonds increased. Which of the following explains it? a. Higher supply of Treasury bonds as government needed to finance Covid fiscal stimulus. b. Very low inflation in 2021 put a lid on Treasury bond yields c. Lower supply of Treasury bonds as government tried to cut the federal budget deficit.
d. Higher demand for Treasury bonds as result of investors fleeing riskier assets.
According to the WSJ article, El Salvador became the first country to adopt bitcoin as a national currency and the first country to issue sovereign bonds backed by bitcoin. What is the risk El Salvador faces to back sovereign bonds with bitcoin? a. Since bitcoin is less regulated, less transparency may promote corruption in El Salvador. b. Since bond payments are in dollars, falling value of bitcoin will make it hard for El Salvador to repay debt. c. Issuing bonds backed by bitcoin may not generate enough excitement by the investors and El Salvador may not raise enough funds. d. Rising inflation may make El Salvador's debt burden too high. Municipal bonds are issued a. by the federal government, and by state and local governments. b. by both state and local governments. c. only by local governments. d. only by state governments.
A. Higher supply of Treasury bonds as government needed to finance Covid fiscal stimulus. B. Since bond payments are in dollars, falling value of bitcoin will make it hard for El Salvador to repay debt. B. by both state and local governments.
Yields on 10 year Treasury bonds increased in 2021, the reason being Higher supply of Treasury bonds as the government needed to finance Covid fiscal stimulus. The US Treasury is a department of the federal government that manages the revenue, public debt, and other monetary assets of the United States.
Bonds are one way for the US government to raise money by borrowing funds from investors, paying them back at an agreed-upon rate of interest.There are different types of bonds issued by the US Treasury, with maturities ranging from short-term (less than one year) to long-term (more than 10 years).
The risk El Salvador faces to back sovereign bonds with bitcoin is that falling value of bitcoin will make it hard for El Salvador to repay debt.
Bitcoin, the most popular cryptocurrency, is a virtual currency that fluctuates in value depending on a variety of factors, including supply and demand, government regulations, and investor sentiment. It has been volatile and vulnerable to fluctuations, which could cause El Salvador to experience significant financial losses if the currency loses its value. Municipal bonds are issued by both state and local governments.
A. Higher supply of Treasury bonds as government needed to finance Covid fiscal stimulus. B. Since bond payments are in dollars, falling value of bitcoin will make it hard for El Salvador to repay debt. B. by both state and local governments.
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As a manager for the northeast region, Yeung oversees the work of six pharmaceutical sales representatives. She is responsible for developing plans to help the region meet its strategic objectives as well as rewarding her employees when they meet their sales objectives. What level of management has Yeung achieved?
a. middle management.
b. top management.
c. first-line management.
d. supervisory management.
The level of management that Yeung achieved is: a. middle management.
What is middle management?Middle management can be defined as the managers whose sole responsibility is to direct, control and manage an organization.
The middle management is in-between the top management and the first-line management and their roles is to:
Manage the lower staff performance by ensuring that they are productive.Motivate employees etc.Inconclusion the level of management that Yeung achieved is: a. middle management.
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In the context of partnerships, _____ are funds distributed directly from the business. They are usually in the form of a cash dispersion in advance of salary, bonus, and expected year-end distribution.
In the context of partnerships, drawings are funds distributed directly from the business.
What are partnership drawings?Partnership drawings are funds distributed from the business to partners.
They are usually in the form of a cash dispersion in advance of salary, bonus, and expected year-end distribution.
Thus, in the context of partnerships, drawings are funds distributed directly from the business.
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Bonds often pay a coupon twice a year. For the valuation of bonds that make semiannual payments, the number of periods doubles, whereas the amount of cash flow decreases by half. Using the values of cash flows and number of periods, the valuation model is adjusted accordingly. Assume that a $1,000,000 par value, semiannual coupon US Treasury note with five years to maturity has a coupon rate of 6%. The yield to maturity (YTM) of the bond is 9.90%. Using this information and ignoring the other costs involved, calculate the value of the Treasury note:______.
A. $849,059.88
B. $1,018,871.86
C. $534,907.72
D. $721,700.90
What's the main reason to use a personal budget?
O A. To keep costs below benefits
O B. To stay out of debt
C. To appropriate discretionary funds
O D. To maximize investment returns
Answer: B, stay out of debt
Explanation: A budget reveals areas where you're spending too much money so you can refocus on your most important goals. A budget can keep you out of debt or help you get out of debt. A budget actually creates extra money for you to do use on things that matter to you.