A. True. American Depositary Receipts (ADRs) are a type of security that represents ownership in a foreign company. They are traded on U.S. stock exchanges and are denominated in U.S. dollars.
ADRs are created by a U.S. bank that purchases shares of the foreign company and issues the ADRs to investors on a U.S. exchange. This allows investors to buy and sell shares in foreign companies without having to deal with the complexities of international trading. ADRs are often used by U.S. investors to gain exposure to international markets, and they are subject to the same rules and regulations as other U.S.-listed stocks.
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churning occurs when the stockholder converts preferred stock to common stock. (True or False)
False. Churning occurs when the stockholder converts preferred stock to common stock is a false statement.
Churning refers to excessive buying and selling of securities by a broker in order to generate commissions for themselves, often without regard to the client's best interests. It is an unethical and illegal practice in the financial industry.
Converting preferred stock to common stock is not considered churning. Converting preferred stock to common stock is a legitimate action taken by a stockholder to change the characteristics of their investment, typically in terms of voting rights or dividend preference. It is a voluntary decision made by the stockholder and does not involve excessive trading or unethical behavior.
Therefore, the statement that churning occurs when the stockholder converts preferred stock to common stock is false. Churning is unrelated to the conversion of preferred stock to common stock.
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How much should you pay for a $1,000 bond with 9% coupon, annual payments, and 7 years to traturity if the interest rate is 10 s.? 595132 598140 $1,00000 $1.075.82
Previous question
the amount to pay for the bond will be $860.25.
The value of a $1,000 bond with a 9% coupon, annual payments, and 7 years to maturity will depend on the prevailing interest rate. In this case, if the interest rate is 10%, the bond's price will be discounted as compared to its face value.The bond price can be calculated using the formula for present value of a bond:PV = C × [1 - (1 + r)-n]/r + FV/(1 + r)nWherePV = Present value of bondC = Annual interest paymentr = Interest raten = Number of years to maturityFV = Face value of bondSubstituting the given values into the formula, we get:PV = 90 × [1 - (1 + 0.1)-7]/0.1 + 1000/(1 + 0.1)7≈ $860.25. Therefore, the amount to pay for the bond will be $860.25.
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Scenario A Challenge • 600+/1000 points = 10 points • 550-599/1000 points = 5 points • 500-549/1000 points = 2 points • 499 or less/1000 = 0 points Insert Scenario A Screen Shot Here Scenario B Challenge • 600+/1000 points = 10 points • 550-599/1000 points = 5 points • 500-549/1000 points = 2 points • 499 or less/1000 = 0 points Insert Scenario B Screen Shot Here Scenario C Challenge • 600+/1000 points = 10 points • 550-599/1000 points = 5 points • 500-549/1000 points = 2 points • 499 or less/1000 = 0 points Insert Scenario C Screen Shot Here Scenario Context Differences
1. Identify at least two things that differed about the project context in scenario A versus scenario B.
2. Identify at least two things that differed about the project context in scenario B versus scenario C.
In scenario A, the issue is related to technology, while in scenario B, it is related to workload. They are team Size in scenario B, there are a lot more team members than in scenario C.
Scenario A Challenge:• 600+/1000 points = 10 points• 550-599/1000 points = 5 points• 500-549/1000 points = 2 points• 499 or less/1000 = 0 points
Insert Scenario A Screen Shot Here Scenario B Challenge:
• 600+/1000 points = 10 points
• 550-599/1000 points = 5 points
• 500-549/1000 points = 2 points
• 499 or less/1000 = 0 points
Scenario B Screen Shot Here
Scenario C Challenge:• 600+/1000 points = 10 points
• 550-599/1000 points = 5 points
• 500-549/1000 points = 2 points
• 499 or less/1000 = 0 points
Insert Scenario C Screen Shot Here
Scenario Context Differences:
1. In scenario A versus scenario B, there are a number of things that differ in the project context. They are:Time Management: In scenario A, time management is an issue, while in scenario B, there is no such concern.Technology: In scenario A, the issue is related to technology, while in scenario B, it is related to workload.
2. In scenario B versus scenario C, there are a number of things that differ in the project context.
They are:
Team Size: In scenario B, there are a lot more team members than in scenario C.
Location: In scenario B, the location of the project is different from that of scenario C.
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A good credit rating will cause your mortgage interest rate to be:
A. Higher
B.
Lower
C.
Fixed
D.
Variable
Reset
Next
Answer:
B
Explanation:
If your credit rating is good it should be lowered, it makes sense.
Introduction about three stocks and their market index
Netflix(S&P500 index) , AXA(CAC 40 index) , adidas(DAX
index)
Stocks are securities that represent ownership in a corporation and give the owner a claim to a share of the company's earnings and assets. The stock market is an aggregation of buyers and sellers who trade these stocks. It is where investors go to buy and sell stocks, and it is also where the values of these stocks are determined.
We will introduce the three stocks Netflix (S&P500 index), AXA (CAC 40 index), and Adidas (DAX index). Netflix (S&P500 index) Netflix is a streaming service that offers a wide range of award-winning TV shows, movies, anime, documentaries, and more. It is a component of the S&P500 index, which is a market-capitalization-weighted index of 500 large-cap U.S. companies that captures about 80% of the available total market capitalization.
AXA (CAC 40 index)AXA is a multinational insurance company that offers insurance and investment services. It is a component of the CAC 40 index, which is a benchmark French stock market index that represents 40 of the largest French companies listed on the Euronext Paris stock exchange. adidas (DAX index)Adidas is a multinational sportswear company that designs and manufactures shoes, clothing, and accessories.
It is a component of the DAX index, which is a blue-chip stock market index consisting of the 30 major German companies trading on the Frankfurt Stock Exchange.
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A movement (as opposed to a shift) from one point to an another point along the Keynesian consumption function could be caused from changes in interest rates an increase in the general price level. a decrease in the real interest rate. changes in wealth. O changes in disposable income.
The Keynesian consumption function is a statistical model utilized to show how consumer spending changes with respect to changes in disposable income. Consumption function is a behavioral relationship between income and consumption, showing how consumer spending changes as income changes, holding other factors constant.
A movement along the consumption function is due to changes in income and consumption, holding other factors constant. Shifts in the consumption function may occur due to changes in a number of variables, including income, wealth, and demographic variables.
A movement (as opposed to a shift) from one point to another point along the Keynesian consumption function could be caused by changes in interest rates, an increase in the general price level, a decrease in the real interest rate, changes in wealth, or changes in disposable income.
Disposable income, which is the income received by households minus any taxes paid, is a major factor in determining consumption behavior. As disposable income increases, consumer spending also increases. Changes in interest rates and the general price level may also have an impact on consumer spending.
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Why is the Amazon locker an innovation? What are the benefits
and costs associated with it?
The Amazon locker is considered an innovation because it revolutionizes the way packages are delivered and received. It provides convenience, security, and flexibility for customers by offering a self-service pick-up option at various locations. The benefits of Amazon lockers include improved delivery efficiency, reduced delivery failures, increased customer satisfaction, and enhanced accessibility.
The Amazon locker system is an innovative solution to the challenges of traditional package delivery methods. It allows customers to choose a locker location as their delivery address, and once the package arrives, they receive a unique pickup code. This system offers several benefits. Firstly, it improves delivery efficiency by eliminating the need for multiple delivery attempts to a customer's home. Packages can be securely stored in the lockers until customers retrieve them. Secondly, it reduces the risk of delivery failures due to missed deliveries or stolen packages, providing a secure alternative. Additionally, Amazon lockers increase customer satisfaction by offering flexibility in pick-up times, as lockers are often available 24/7. They also provide convenience for individuals who may not have a reliable mail delivery service or secure receiving location.
However, there are also associated costs with Amazon lockers. The installation, maintenance, and operation of locker locations require investments from Amazon. The company needs to establish partnerships or lease spaces for the lockers and ensure regular maintenance and security. There may also be costs associated with managing and monitoring the locker system, including customer support for any issues or inquiries. Nonetheless, the benefits of increased customer satisfaction, improved delivery efficiency, and enhanced security often outweigh the costs, making Amazon lockers a valuable innovation in the e-commerce industry.
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According to the video, what skills do urban and regional planners need?
Answer:
communication skills
computer skills
negotiation skills
Urban and Regional Planners need Analytical skills, Communication skills, Decision making skills, and Leadership skills.
Who are Urban and Regional Planners?Among other areas of interest, urban and regional planners may choose to specialize in topics like transportation planning, community development, historic preservation, or urban design. Public servants, civil and environmental engineers, architects, attorneys, and real estate developers are all common collaborators with planners.
The skills that Urban and regional planners need to posses are:
Knowledge of urban spatial structure or physical design and the way in which cities work.Ability to analyze demographic information to discern trends in population, employment, and health.Knowledge of plan-making and project evaluation.Therefore, analytical skills, communication skills, decision making skills, and leadership skills are required by urban and regional planners .
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The Consumer Price Index is a way that the U.S. government measures ____.
Answer:
prices of all goods and services bought by US households
Explanation:
why are for agi deductions preferable to from agi deductions
Deductions "for AGI" are generally considered preferable to deductions "from AGI" because they offer more tax benefits, greater flexibility, and a higher deduction limit.
"AGI" stands for "adjusted gross income" and refers to the total income an individual or business has earned in a given year, minus certain allowable deductions such as retirement contributions, health savings account contributions and some self-employment expenses. Deductions "for AGI" (also known as "above-the-line" deductions) are taken before the calculation of AGI, while deductions "from AGI" (also known as "below-the-line" deductions) are taken after the calculation of AGI.
Deductions "for AGI" are generally considered preferable to deductions "from AGI" for several reasons:
Eligibility for other tax benefits: Deductions "for AGI" can reduce a taxpayer's AGI, which can make them eligible for other tax benefits that are based on AGI, such as tax credits or itemized deductions.Higher deduction limit: Deductions "for AGI" generally have a higher limit than deductions "from AGI". For example, the deduction limit for contributions to a traditional IRA is $6,000 for taxpayers under age 50, but this limit can be increased by an additional $1,000 for taxpayers who are 50 or older. This means that taxpayers can deduct more money "for AGI" than they can deduct "from AGI."Greater flexibility: Deductions "for AGI" are not subject to phase-out limitations or other restrictions that apply to deductions "from AGI." This makes them a more flexible and reliable tool for reducing taxable income.Simplified tax preparation: Deductions "for AGI" can make tax preparation simpler and less time-consuming, as they can be taken directly on the front page of the tax return. Deductions "from AGI," on the other hand, require taxpayers to itemize their deductions and calculate the value of each deduction separately.Overall, deductions "for AGI" are generally preferable to deductions "from AGI" because they offer more tax benefits, greater flexibility, and a higher deduction limit. However, the specific tax circumstances of an individual or business can vary, so it is important to consult a tax professional for personalized advice.
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In the context of a country's balance of payments, unilateral transfers arise from ______
A) payments that are made now for goods or services to be received in the future. B) transactions in which the inflow of value and the outflow of value are equal. C) transactions where only one country is involved. D) transactions for which there are no offsetting transfers of value, such as gifts.
In the context of a country's balance of payments, unilateral transfers arise from transactions for which there are no offsetting transfers of value, such as gifts.
Here correct answer is D.
Unilateral transfers are payments made from one country to another without any offsetting payments in the opposite direction.
This type of transfer does not involve any exchange of goods or services and is instead typically a form of assistance, such as foreign aid, remittances, or gifts. Unilateral transfers are recorded in the current account of a country’s balance of payments and can have a significant impact on the overall balance of payments of a country.
Unilateral transfers can be either official or private. Official transfers, also known as “official development assistance” are typically made by a government and are often used to support development efforts in the recipient country. Private transfers are typically sent by individuals, such as remittances sent by foreign workers to their families in their home countries.
Unilateral transfers can be beneficial to both countries involved, as they can help reduce the current account deficit of the recipient country, allowing them to finance their imports, and can also help to improve the overall balance of payments of the sending country. However, if the transfers are not well managed, they can also have a negative impact on the receiving country’s economy, as it can lead to a decrease in domestic savings and can also lead to an increase in inflation.
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Seattle Paint Company developed a new exterior house paint that can be properly applied even in the rain.How can this formula be protected without filing for a patent?a. Without a patent, no protection is available.b. If the company takes all reasonable steps to avoid discovery of the secret, it can be protected against some,but not all, methods of discovery of the secret.c. By putting a notice on the cans of paint that the formula is a protected trade secret.d. By registering a trademark for the product specifying that the product is distinctive.
Seattle Paint Company developed a new exterior house paint that can be properly applied even in the rain. this formula be protected without filing for a patent Without a patent, no protection is available.
The paint industry, often referred to as the "paint and coatings industry," consists of manufacturers, wholesalers, and retailers that sell paints, stains, and other coatings. The term extends to anyone who manufactures or sells related items, often referred to as "miscellaneous goods," such as brushes, rollers, fall clothes, etc.
Paints and coatings manufacturing facilities preserve, protect, We manufacture decorative paints, inks, adhesives, and a variety of other specialty coatings. Activities such as mixing and washing operations can release pollutants into the air and pose health concerns for local communities.
Coating industry can be broadly divided into he two segments: industrial and decorative. Industrial coatings are for automotive original equipment manufacturers (OEMs), industrial and rail, and decorative coatings for the residential sector.
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A bookstore costs $90 a day to keep open, and spends $12 for each book it sells. The store charges $18 for each book it sells. If n represents the number of books sold, which equation represents the cost function for this bookstore?
O A. C = 90n + 15
O B. C = 12n + 90
O C. C = 18n + 90
O D. C = 90n + 12
Answer:
The correct answer is B just got it right on ape
Explanation:
Which of these was a cause of the savings and loan crisis?.
Federal deposit insurance, which was extended to S&Ls in 1934, was the foundation reason behind the S&L crisis. Deposit insurance was actuarially unsound from its origination, primarily as a result of all S&Ls being charged constant payment rates notwithstanding however safe or risky they were.
A brief summary of insolvencies within the S&L trade between 1980 and 1982, caused by traditionally high-interest rates, is followed by a review of the federal regulative structure and superior atmosphere for S&Ls. The savings and loan crisis of the Nineteen Eighties and Nineties was the failure of 747 savings and loan associations.
As a result of the savings and loan crisis, Congress passed the money establishments Reform, Recovery, and social control Act of 1989 (FIRREA), which dramatically modified the savings and loan trade and its federal regulation.
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Capitalizing the cash cost of a piece of equipment is.
Answer:
converting it to an asset on the balance sheet.
Explanation:
Capitalizing a cost means converting it to an asset on the balance sheet. For example, if a company pays $10,000 in cash for piece of equipment, its financial statements don't show that it "spent" $10,000. Rather, they show that it converted $10,000 worth of cash into $10,000 worth of equipment, an asset.
A sale should always satisfy both a customer’s wants and his or her needs.
True
False
Answer:
True
Explanation:
Answer:
true
Explanation:
andy hastings borrowed 500 shares of stock from a broker. this stock is currently selling for $25 a share ($12500). the commission was $125 . three weeks later the price of the stock was $22.50 a share so he bought the 500 shares. the commission was $115. he returned a stock certificate for 500 shares to the broker. what is the rate of return?
The the rate of return is 8.9%.
Rate of return on the shares = total cost of borrowing - total cost of buying) / total cost of buying
Total cost of borrowing = cost of shares - commission
$12500 - $125 = $12,375
Total cost of buying = total cost of shares - commission
total cost of shares = $115 x 500 = $11,250
$11,250 + $115 = $11,365
Rate of return = ($12,375 - $11,365) / $11,365 = 0.089 = 8.9%
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Consider the following case of Grey Fox Aviation Company: Grey Fox Aviation Company has 9% annual coupon bonds that are callable and have 18 years left until maturity. The bonds have a par value of $1,000, and their current market price is $1,160.35. However, Grey Fox Aviation Company may call the bonds in eight years at a call price of $1,060. Grey Fox Aviation Company's bonds have a yield-to-maturity (YTM) of and a yield-to-call (YTC) of If interest rates are expected to remain constant, what is the best estimate of the remaining life left for Grey Fox Aviation Company's bonds? 10 years 18 years
8 years 13 years
If Grey Fox Aviation Company issued new bonds today, what coupon rate must the bonds have to be issued at par?
Case of Grey Fox Aviation Company:Grey Fox Aviation Company has 9% annual coupon bonds that are callable and have 18 years left until maturity. The bonds have a par value of $1,000, and their current market price is $1,160.35. However, Grey Fox Aviation Company may call the bonds in eight years at a call price of $1,060.
The bonds of the company has a yield-to-maturity (YTM) of 7.01% and a yield-to-call (YTC) of 5.99%.Calculation of remaining life left for Grey Fox Aviation Company's bonds:It is given that bonds are callable in 8 years, and the bond's current maturity is 18 years. So, the best estimate of the remaining life left for Grey Fox Aviation Company's bonds is 18 - 8 = 10 years. Calculation of coupon rate for new bonds issued today:The bond's par value is $1,000 and to be issued at par the present value of the bond should be equal to $1,000. It is also given that the interest rates are expected to remain constant.
The present value of a bond can be calculated using the following formula:PV = C * (1 - 1 / (1 + r) ^ n) / r + F / (1 + r) ^ nWhere,PV is the present value of the bond.C is the coupon payment.F is the maturity value or face value of the bond.r is the required rate of return.n is the number of years to maturity.
The required rate of return is 7.01%.So, using the above formula we get:$1,000 = C * (1 - 1 / (1 + 0.0701) ^ 18) / 0.0701 + $1,000 / (1 + 0.0701) ^ 18Solving the above equation for C we get:C = $79.13So, if Grey Fox Aviation Company issued new bonds today, then the coupon rate must the bonds have to be issued at par is 7.913% (approx).
Answer: The remaining life left for Grey Fox Aviation Company's bonds is 10 years, and the coupon rate for new bonds issued today is 7.913%.
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Issues related to fairness and honesty may arise because business is sometimes regarded as a.
Issues related to fairness and honesty may arise because business is sometimes regarded as a competitive environment. In a competitive environment, businesses strive to outperform their rivals to gain market share, attract customers, and maximize profits.
One issue that can arise is deceptive advertising, where businesses may present misleading or false information about their products or services to attract customers. This practice not only harms the trust between the business and the consumer but also undermines fair competition among businesses.
Another concern is price fixing, where businesses conspire to set prices at a certain level, instead of allowing market forces to determine them. This practice is not only illegal but also unfair to consumers and other businesses that do not participate in such schemes.
Unfair treatment of employees is another issue that can arise in a competitive business environment. In an attempt to cut costs and increase profits, businesses may exploit their workers by paying them low wages, offering inadequate benefits, or subjecting them to unsafe working conditions. This is not only morally wrong but also violates labor laws and regulations.
Intellectual property theft is also a concern in the business world, where companies may steal ideas, designs, or trade secrets from their competitors to gain an advantage. This dishonest practice undermines fair competition and can lead to legal disputes and damage to a company's reputation.
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What position would be the highest in a company's hierarchy?
A). director of finance
B). finance manager
C). accountant
D). finance administrative assistant
Answer: D. Finance administrative assistant
Explanation: search all the answers up to see if it matches CEO or is closet to the CEO job
Which of the following statements is false regarding inventory management?
A. Extremely high levels for inventory turnover ratio and low levels for days' sales in inventory ratio may actually be a sign of bad firm or production management.
B. A high inventory turnover ratio or a low days' sales in inventory is generally a sign of good management.
C. In general, a firm wants to produce a high level of sales per dollar of inventory.
D. In general, a firm wants to produce a low level of sales per dollar of inventory.
The false statement regarding inventory management is In general, a firm wants to produce a low level of sales per dollar of inventory. Option d is correct.
An inventory turnover ratio is a measure of the rate at which a firm turns over its inventory. A high inventory turnover ratio, or a low days' sales in inventory ratio, is generally a sign of good management. It means that inventory is not being overstocked and that demand is being met satisfactorily.
Extremely high levels for inventory turnover ratio and low levels for days' sales in inventory ratio may actually be a sign of bad firm or production management. The false statement regarding inventory management is that in general, a firm wants to produce a low level of sales per dollar of inventory.
The goal of inventory management is to maximize the firm's return on its investment in inventory by producing a high level of sales per dollar of inventory. The level of sales per dollar of inventory is referred to as inventory productivity.
Therefore, d is correct.
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Give examples of the ways in which each of the five factors of production can affect the business performance of McDonald's or Walmart.
Explanation:
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Answer:
Give examples of the ways in which each of the five factors of production can affect the business performance of McDonald's or Walmart.
Calculate the simple interest on a loan of $9000 at an interest rate of 8% for 6 years?
Answer:
$4,320
Explanation:
Covert 8% to a decimal, in this case is 0.08. Then multiply all three values together.
9000 * 0.08 * 6 = 4320
Required solution :
Here we have been provided with the principal, rate of interest and the time period for which the loan was taken.
Principal = $9000Rate = 8% Time = 6 yearsNow, we know that simple Interest is calculated by the formula :
\(\boxed{\sf{S.I. \: = \: \frac{P \times R \times T }{100} }} \: \red\bigstar\)Here in this formula,
S.I. is simple Interest R is rate of interest T is Time P is PrincipalPutting all the values in the formula,
\(: \: \implies \: \sf{S.I. \: = \: \dfrac{9000 \times 8 \times 6 }{100} }\)
\(: \: \implies \: \sf{S.I. \: = \: \dfrac{900 \times 8 \times 6 }{10} }\)
\(: \: \implies \: \sf{S.I. \: = \: \dfrac{90 \times 8 \times 6 }{1} }\)
\(: \: \implies \: \sf{S.I. \: = \: 90 \: \times \: 8 \: \times 6 } \)
\(: \: \implies \: \sf{S.I. \: = \: 90 \: \times \: 48 } \)
\(: \: \implies \: \underline{\underline \red{\sf{S.I. \: = \: 4320}}}\)
\(\underline{ \bf{Henceforth, \: simple \: interest \: on \: that \: loan \: is \: 4320 \: dollars}}\)
In a perfectly competitive market, if the market price is $4, how many units will they sell if they charge $4?How many will they sell if they charge over $4? Will they make more profit if they lower their price? Why or why not?
Answer:
In a perfectly competitive market, if the market price for a single unit is $4, then the number of units sold would be 32.
Explanation:
A perfectly competitive market is defined as a market where there are no monopolies - something extremely rare in the real world. However, it is a good example to explain the rules and workings of supply and demand in the market. There are multiple sellers and purchasers in a perfectly competitive market. Sellers earn just enough profit to keep their place in the market. Any more and they would lose their foothold in the marketplace to another company.
If the sellers are capable of producing more, then they can sell more, thus increasing their output. In any case, the economic output would be zero because the price is tangent to the low point on the average total cost curve. The seller has no control over market price because the price is set at equilibrium.
1. If you are an account holder, is it necessary to know how to prepare bank documents related to your account? cite an example.
Bank documentation consists of a wide range of documents, including bank certificates of accounts and balances, statements of accounts and transactions, certificates of constituted deposits, contracts for account establishment or deposit constitution, and so on.
You will require the following information: This is your Social Security number. A legitimate government-issued photo ID, such as a driver's license, passport, or state or military identification card. To activate your account, you must make a minimum deposit of $25.
Bank reconciliation statements verify that payments have been processed and cash collected has been deposited. The reconciliation statement aids in identifying discrepancies between the bank balance and the book balance so that appropriate changes or repairs can be made.
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many companies state their brand promise directly in words, using a short phrase called what
Answer:Many companies state their brand promise directly in words, using a short phrase called what? A. A warranty B. A customer mindset C. A corporate image D. A tagline
✓ D.
What is true about expense ratios for fees charged to manage mutual fund accounts?
Answer:
A lower percentage ratio indicates more money has been invested to make money for the customer
Explanation:
ad hominem
red herring
false dilemma
false analogy
Excerpt
Logical
Fallacy
Our current mayor has been in politics for over 25 years. It is time
that we have a younger mayor, so we can have fresh ideas to make our city better.
is true that the city council id approve a tax for a new road
construction project. However, our city needs to attract more businesses to stabilize
our economy
bring to work instead of using public transportation is the net
eating everything on your plate it wastes veueble resources
What is one result of competition in a free-market economy?
A. Businesses control the price that all the companies within an
industry can charge.
B. Consumers can choose which company's products they want to
buy.
C. The government decides who is allowed to compete in the market.
D. Traditional values determine who will compete in the market.
Assume that Muscular Consulting erroneously recorded the payment of $7,500 of owner withdrawals as a debit to Salary Expense. (a) How would this error affect the equality of the trial balance? (b) How would this error affect the income statement, statement of owner’s equity, and balance sheet?
a) Assume that Muscular Consulting erroneously recorded the payment of $7,500 of owner withdrawals as a debit to Salary Expense. This mistake will impact the equality of the trial balance.
The amount $7,500 will not be shown in the current assets side of the balance sheet as it will be added to the expenditure. Therefore, there will be a difference in the amount of $7,500 on the asset side of the balance sheet. The same amount, $7,500, will be included in the expenditure instead of the withdrawals of the owner. This will lead to a decrease in the equity of the owner.
b) The effect of the error on the income statement will be as follows:The amount of the error ($7,500) will be added to salary expenditure as a debit instead of owner's withdrawals as it was mistakenly recorded. As a result, the expenditure is greater than it should be. As a result, the income statement will be affected negatively because the net income will be reduced by $7,500.
On the statement of owner’s equity, the balance will be reduced by $7,500, because the amount was mistakenly added to expenditure instead of owner's withdrawal. The owner's equity will decrease by $7,500.The trial balance's equality would be impacted since the payments of $7,500 made for owner withdrawals will be recognized as expenditures, resulting in a shortage in the balance sheet. It will appear as a mismatch in the equality of the trial balance.
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