Answer:
Failing to yield causes thousands of injuries and deaths each year. The National Safety Council estimates that roughly 15% of all automobile accidents are caused when motorists fail to yield to traffic on the road. These types of accidents are the second leading cause of automobile accident fatalities.
Explanation:
15%
Which of the following is not one of the methods used for applying overhead?u
a.activity-based costing application method
b.multiple production department rates
c.single plantwide application rate
d.single investment application rate
Answer:
d. single investment application rate
Explanation:
Manufacturing costs can be defined as the overall costs associated with the acquisition of resources such as materials and the cost of converting these raw materials into finished goods. Manufacturing costs include direct labor costs, direct materials cost and manufacturing overhead costs.
An overhead allocation that is typically based on volume alone, will systematically overcost the high-volume products that are also complex and undercost low-volume products that are simple in nature.
Some of the methods used for applying overhead are;
a. Activity-based costing application method.
An activity-based costing (ABC) can be defined as a method of costing that identifies the numerous activities in a business firm and assigns the cost of each activity to their respective drivers based on their consumptions.
b. Multiple production department rates.
c. Single plantwide application rate.
A plant-wide rate can be defined as a single overhead rate used by business firms or companies to allocate the manufacturing overhead costs to the level of output or productivity.
Answer:
d. single investment application rate
Explanation:
Hope this helps
the slack for any activity on the critical path will beA. Infinite. B. Positive. C. Negative. D. Zero.
Marie Hernandez are in $43,000 in taxable income she figured her tax from the single taxpayer table given
We have to calculate the income tax for Mary Hernandez. Her income is $43,000. She comes under the slab rate of 25750-62450. => 43000 - 25750 = $17250.
What is income tax ?A tax placed on people or organizations in relation to their income or profits is known as an income tax. Tax rates multiplied by taxable income are typically used to calculate income taxes. Tax rates might change depending on the taxpayer's attributes and source of income.
As taxable income rises, the tax rate can also. Corporate tax, which is often assessed at a fixed rate, is the name given to the tax charged on businesses.
Individual income is frequently taxed under progressive rates, which means that for every extra unit of income, a higher tax rate is applied. The majority of tax laws exempt local charitable groups. Different tax rates may apply to investment income compared to other sources of income.
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What is the marginal revenue and marginal cost for this diagram?
What type of market is this? Explain your answer
Marginal revenue :
2060120200300420560Marginal cost :
108210192640It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.
Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.
Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.
Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.
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A husband and wife wish to form a company as a Subchapter S Corporation, along with their 2 adult children. Which statement is TRUE about this?
Incorrect answer A. You did not choose this answer.
A There can only be 1 family member owner per Subchapter S corporation, so this is not permitted
B They are permitted to be owners of the Subchapter S Corporation with the husband and wife counting as 1 shareholder; and the 2 adult children counting as 1 shareholder; against the limit of 100 shareholders in a Subchapter S Corporation
C They are permitted to be owners of the Subchapter S Corporation, with all 4 family members counting as 1 shareholder against the limit of 100 shareholders in a Subchapter S Corporation
D They are permitted to be owners of the Subchapter S Corporation, with each family member counting as 1 shareholder against the limit of 100 shareholders in a Subchapter S Corporation
The correct answer is B. A Subchapter S Corporation allows for family members to be owners and shareholders. The husband and wife can count as one shareholder, and the two adult children can also count as one shareholder, which means that the corporation will have a total of four shareholders.
The limit for shareholders in a Subchapter S Corporation is 100, so this setup is permissible. It is important to note that Subchapter S Corporations have certain requirements, such as only having one class of stock and meeting specific ownership criteria, so it is advisable to consult with a legal professional when setting up this type of corporation. Overall, the family members can form a Subchapter S Corporation and be shareholders together, with the husband and wife counting as one shareholder and the two adult children counting as one shareholder.
D. They are permitted to be owners of the Subchapter S Corporation, with each family member counting as 1 shareholder against the limit of 100 shareholders in a Subchapter S Corporation.
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Drag the tiles to the correct boxes to complete the pairs.
Derek is studying business Information management careers. Help him match the career to its role.
project manager
marketing manager
business development
manager
business analyst
helps businesses to implement technology
solutions for particular projects
Answer:
Project Manager - Helps Businesses to Implement Technology
Marketing Manager - Business Development
Business Analyst - Solutions for Particular Projects
Explanation:
1. Project Manager - Helps Businesses to Implement Technology
The Project Manager basically helps the businesses to bring change in the business operation or processes. The implementation of technology is a change in operation or processes so it is the main role of the Project Manager.
2. Marketing Manager - Business Development
The marketing manager is responsible for bringing sales orders which is business development. Business development is all about generating sales.
3. Business Analyst - Solutions for Particular Projects
The business analyst analyzes the problems and generate solutions for the business which helps best in solving them. Their are numerous evolving issues which the business analyst solves so it is the job of the business analyst.
Business analyst - Helps businesses to implement technology solutions for particular projects.
Project manager - Develops and manages project plans
Marketing manager - Creates sales and marketing strategies for companies
Business development manager - Generates new business opportunities for companies
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Imagine you are an entrepreneur looking to hire additional employees to join your existing team of five accountants. You are exploring the options available for screening your applicants. Because you own an accounting business, you believe you will also need additional employee screening for the potential employees beyond typical new hire documentation. Name at least two forms of documentation that are typically required for the hiring process. Name the additional screening measures you will want to include and explain why additional screening may be necessary for your business.
The two forms of documentation required for the process of hiring accountants are:
Certified Public Accountant (CPA)Certified Fraud Examiner (CFE)What are the screening measures for a recruitment process?There needs to be a process of recruiting and selecting new potential candidates for a company in line with organizational needs. As candidate screening measures for an accounting firm the firm may require:
Bachelor's and Master's Degree in AccountingSpecific extracurricular coursesAccountant licensesThe company can also develop a series of steps in the selection process with the application of interviews, group dynamics, resolution of objective tests, etc.
Therefore, additional screening of candidates will assist in hiring an employee who meets the company's needs, with the necessary experiences and certifications to perform accounting positions, which require high responsibility and reliability.
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what is the difference between a credit report and a credit score?
Your credit report summarizes your credit history for potential lenders and creditors. Your credit score is a three-digit number that ranges from 300 to 850 and represents your overall credit risk at a glance.
What do you mean by credit report?A credit report is a declaration that contains details about your credit background and current credit situation, including information on how well you've paid your debts and the condition of your credit accounts.
Lenders will pay close attention to your credit score when you apply for the majority of loans. This three-digit number is crucial in determining whether you qualify for loans, credit cards, apartment rentals, and other financial products.
Therefore, Your credit report summarizes your credit history for potential lenders and creditors. Your credit score is a three-digit number that ranges from 300 to 850 and represents your overall credit risk at a glance.
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A set of cash flows begins at $80,000 the first year, with an increase each year until n = 10 years. If the interest rate is 5%, what is the present value when
(a) the annual increase is $10,000?
(b) the annual increase is 15%?
When the annual increase is $10,000, the present value is approximately $538,325.04, and when the annual increase is 15%, the present value is approximately $822,052.97.
(a) When the annual increase is $10,000, we can calculate the present value by using the formula for the present value of an increasing annuity:
PV = C * [1 - (1 + r)^(-n)] / r
Where:
PV = Present value
C = Cash flow in the first year
r = Interest rate
n = Number of years
Given:
C = $80,000 (first-year cash flow)
r = 5% (interest rate)
n = 10 (number of years)
Annual increase = $10,000
Substituting the values into the formula, we get:
PV = $80,000 * [1 - (1 + 0.05)^(-10)] / 0.05
Solving this equation, the present value (PV) is approximately $538,325.04.
(b) When the annual increase is 15%, we can again use the same formula to calculate the present value:
PV = C * [1 - (1 + r)^(-n)] / r
Substituting the values into the formula, we get:
PV = $80,000 * [1 - (1 + 0.05)^(-10)] / 0.05
Solving this equation, the present value (PV) is approximately $822,052.97.
Therefore, when the annual increase is $10,000, the present value is approximately $538,325.04, and when the annual increase is 15%, the present value is approximately $822,052.97.
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Synthesizing Suppose you were told that you would
earn $95,000 in 2020. Explain why this information
would say little about the standard of living you might
enjoy. What other information would you need before
you could evaluate how well you could live in 2020?
Answer:
The nominal earnings is only one side of the story. The thing that matters is what the earnings would be able to buy. Hence, we need to know how the prices are going to change, and what are is the expected inflation. If the inflation is very high, the same nominal money would be able to buy less goods and if the inflation is more, the same nominal money would be able to buy more goods.
Explanation:
The answer is the explanation
Before evaluating how well I could live in 2020, there are several other factors that need to be evaluated.
Evaluation for livingMany things need to be evaluated. These include the rise in price of every thing from food, petrol, and other basic necessities. It is important to note that what our earnings would be able to buy. Earnings will decide how better can we live in 2020.
Standard of livingStandard of living refers to the level of wealth, comfort, material goods, and necessities available to a certain socioeconomic class or geographic area. Standard of living is relevant because it is considered to contribute to an individual's quality of life.
Thus, many things need to be evaluated before deciding how well we are going to live in 2020.
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What are the four phases of the Business cycle?
Answer:
1) expansion, 2) peak, 3) contraction, 4) trough
You would study a business's ______ to see a visual representation of its vertical structure, including the chain of command.
To examine a graphic representation of a company's vertical structure, including the chain of command, you would study its organisational chart.
An organisational chart is a graphic representation of the hierarchical structure of a firm or organisation. It often illustrates the many layers of management and how they relate to one another, along with the duties and roles assigned to personnel at various levels. A conventional pyramid shape, a matrix structure, or a horizontal chart are just a few examples of the various shapes that organisational charts can take. Other details like job titles, organisational units, and lines of communication are also possible. Understanding the chain of command, recognising the various positions within a corporation, and defining lines of duty can all be done with the use of an organisational chart. Also, it might make it easier for staff members and stakeholders to comprehend how various teams or departments interact and collaborate.
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A(n) _____ is a social responsiveness strategy in which a company accepts responsibility for a problem and does all that society expects to solve that problem. discretionary strategy reactive strategy defensive strategy accommodative strategy
An accommodative strategy is a social responsiveness strategy in which a company accepts responsibility for a problem and does all that society expects to solve that problem.
A society is a group of people in regular contact with each other who reside in the same physical or social realm and are usually under the control of the same political leadership and general cultural expectations, or a significant society. group. Society is defined by the relationship patterns that exist among people who share a common culture and set of institutions.
A society can be defined as the totality of these relationships among its members. In the social sciences, subgroup dominance or stratification patterns often occur in larger societies. Society creates patterns of behavior by designating certain behaviors and ideas as acceptable or unacceptable.
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suppose that tw, incorporated has a capital structure of 25 percent equity, 15 percent preferred stock, and 60 percent debt. if the before-tax component costs of equity, preferred stock and debt are 13.5 percent, 9.5 percent and 4 percent, respectively, what is tw's wacc if the firm faces an average tax rate of 21 percent?
If the before-tax component costs of equity, preferred stock and debt are 13.5 percent, 9.5 percent and 4 percent, respectively, the WACC of TW, Incorporated is 9.19%.
WACC or Weighted Average Cost of Capital is the weighted average of the costs of various sources of financing, such as equity, preferred stock, and debt. It is used to evaluate the overall cost of a company's capital, which is used to make investment decisions.
To calculate the WACC, we need to determine the proportion of each component in the company's capital structure and the before-tax cost of each component. We also need to consider the effect of taxes since the interest paid on debt is tax-deductible.
Given that TW, Incorporated has a capital structure of 25% equity, 15% preferred stock, and 60% debt, we can calculate the weights of each component as follows:
Equity weight = 25%
Preferred stock weight = 15%
Debt weight = 60%
Next, we can calculate the after-tax cost of debt by adjusting the before-tax cost of debt for taxes. Given that the firm's average tax rate is 21%, the after-tax cost of debt is:
After-tax cost of debt = Before-tax cost of debt x (1 - Tax rate)
= 4% x (1 - 0.21)
= 3.16%
Finally, we can calculate the WACC as follows:
WACC = (Equity weight x Cost of equity) + (Preferred stock weight x Cost of preferred stock) + (Debt weight x After-tax cost of debt)
= (0.25 x 13.5%) + (0.15 x 9.5%) + (0.6 x 3.16%)
= 9.19%
This means that for every dollar invested in the company, the company needs to earn a return of at least 9.19% to satisfy its investors.
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APR, a rate advertised by ___ is typically ___ than APY
A) lenders; higher
B) borrowers; higher
C) borrowers; lower
D) lenders; lower
answer: D
APR, a rate advertised by lenders is typically lower than APY. The correct answer is D.
What is APR?APR is an acronym for annual percentage rate, it is considered as a cost of borrowing money which is calculated on a percentage that any individual pay each year on their loan. It does not only include the rate of interest but also the fees you must pay to obtain the loan.
APY is an acronym for annual percentage yield, which is considered the actual rate of return on the investment after considering the effect of investment returns.
APR is a rate advertised by lenders that is typically lower than APY as the cost of overall borrowing is lower, and the accounts of APR are also lower. If the difference between APR and APY is higher, the frequency with which interest compounds also increases.
Therefore, option D lenders and lower is the appropriate answer.
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Using the rule of 70, if a person lived to be 70 years old in a country with an average annual growth rate in real GDP per capita of 2 percent, approximately how many times would the average income during this person's lifetime increase?
In real GDP per capita of 2 percent, approximately the average income during this person's lifetime will increase 4 times.
Using the rule of 70, we can approximate the number of years it takes for a variable to double by dividing 70 by the annual growth rate as a percentage.
In this case, the annual growth rate in real GDP per capita is 2 percent. So, we can calculate the number of years it takes for real GDP per capita to double as:
70 / 2 = 35 years
If a person lived to be 70 years old in this country, their lifetime would span approximately 2 doublings of real GDP per capita:
2² = 4
So, the average income during this person's lifetime would increase by approximately 4 times.
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A website that shows you a selection of athletic shoes based on your previous views of other shoes is using Blank______ to be responsive to your personal needs.
If website that shows you a selection of athletic shoes based on your previous views of other shoes is using personalization.
What is personalization?Personalization can be defined as the process of knowing a person preferences so as to meet their need.
Most online companies tend to make use of personalization to know your preference based on the last thing you bought or based on your previous view by advertising or marketing similar products to you so as to meet your personal needs.
Inconclusion If website that shows you a selection of athletic shoes based on your previous views of other shoes is using personalization.
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you have to talk about trade between different nations,Look around your room or in your house and find five different objects and identify where they were made. In at least 100 words, discuss how you have personally benefited from trade and provide at least 2 examples. Identify 1 positive impact of trade on your life and 1 way that you have been negatively impacted also. you have to talk about trade between different nations
Answer:
hi u can be my friend
Explanation:
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define finiancial institution
Answer:
A financial institution (FI) is a company engaged in the business of dealing with financial and monetary transactions such as deposits, loans, investments, and currency exchange.
Answer:
Financial institutions, otherwise known as banking institutions, are corporations that provide services as intermediaries of financial markets. Broadly speaking, there are three major types of financial institutions:[1][2]
Depository institutions – deposit-taking institutions that accept and manage deposits and make loans, including banks, building societies, credit unions, trust companies, and mortgage loan companies;
Contractual institutions – insurance companies and pension funds
Investment institutions – investment banks, underwriters, brokerage firms
Which of the following is TRUE about owning a share of stock?
A. The value of a share is based on the number of investors in a company.
B. You have to return the share of company you own typically after 5 years, otherwise, you pay a penalty fee each year.
C. Owning a share means you own a percentage of the company.
D. Companies lose significant amounts of money every time someone buys a share.
Answer:
A
Explanation:
The answer to that Question would be A
The value of a share is based on the number of investors in a company that is TRUE about the share of stock.
What is a share stock?Share stock implies the ownership of the individuals in the business based upon the percentage of their holdings in total business shares. It means the single smallest denomination that a company has.
Therefore, the value that share has is based upon the demand for the company's share and supply in the market.
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omnichannel retailers use information collected from customers’ web browsing and buying behavior to send e-mails to customers promoting specific products or services in an effort to:
Increase sales and customer engagement. This information allows them to tailor email campaigns.
Omnichannel retailers use customer data to send targeted promotional emails. By analyzing web browsing and buying behavior, retailers gain insights into customers' preferences and interests. This information allows them to tailor email campaigns, promoting specific products or services that are likely to appeal to individual customers. This targeted approach increases the chances of driving sales by presenting customers with relevant and appealing offers. Additionally, personalized emails help to enhance customer engagement and foster a stronger connection between the retailer and the customer. By leveraging customer data, omnichannel retailers aim to boost sales while creating a more personalized and satisfying shopping experience.
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How can a person become a dentist
Explanation:
It generally takes eight years to become a dentist: four years to earn a bachelor's degree as an undergraduate and four years to earn a DDS or DMD in dental school. If you're interested in specializing, you'll also need to complete a dental residency (more on that below).
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If 135 TV's are sold and cost $275 to produce and is priced at $250, what is the profit/loss?
Answer:
$25
Explanation:
The production cost is $275.
The selling price is $250
The loss/profit will be: Selling price minus cost price
=$250 - $275
= -$25
A loss of $25.
If this is the cost for all the 135 TVs, then the loss is only $25.
N:B
If the costs are for one TV, then the loss will be $25 x 135=$3,375
Bank of Sun city has $800 million in deposits. The required reserve ratio is 20%. Bank of Sun city must keep ______ in reserves
Bank of Sun city has $800 million in deposits. The required reserve ratio is 20%. Bank of Sun City must keep $160 million in reserves.
The required reserve ratio is the percentage of deposits that a bank must keep in reserves. In this case, the required reserve ratio is 20%.
To calculate the required reserves, we multiply the total deposits by the required reserve ratio:
Required reserves = Total deposits * Required reserve ratio
Given that Bank of Sun City has $800 million in deposits and the required reserve ratio is 20% (or 0.20), we can calculate the required reserves:
Required reserves = $800 million * 0.20 = $160 million
Bank of Sun City must keep $160 million in reserves to comply with the 20% required reserve ratio.
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list five of the important accounting assumptions that have had an impact on the development of generally accepted accounting principles.
Five important accounting assumptions that impact GAAP are: Going Concern, Accrual Basis, Monetary Unit, Time Period, and Historical Cost, guiding financial reporting for consistency and accuracy.
Five important accounting assumptions that have had an impact on the development of generally accepted accounting principles (GAAP) are:
1. Going Concern Assumption: This assumption assumes that the entity will continue its operations in the foreseeable future. It allows accountants to prepare financial statements under the assumption that the company will not liquidate or go bankrupt.
2. Accrual Basis Assumption: The accrual basis assumption requires that transactions and events are recorded in the financial statements when they occur, regardless of when the cash is received or paid. It helps provide a more accurate representation of a company's financial performance and position.
3. Monetary Unit Assumption: The monetary unit assumption assumes that the financial transactions and events recorded in the financial statements are expressed in a stable currency, such as the U.S. dollar. It allows for the measurement and comparison of financial information over time and between different entities.
4. Time Period Assumption: The time period assumption assumes that the economic activity of an entity can be divided into specific time periods for financial reporting purposes. It allows for the preparation of financial statements on a regular basis, such as monthly, quarterly, or annually.
5. Historical Cost Assumption: The historical cost assumption requires that assets and liabilities are recorded at their original acquisition or production cost. This assumption provides reliability and verifiability to the financial statements, but it may not always reflect the current market value of assets and liabilities.
These accounting assumptions form the foundation of GAAP and help guide the recognition, measurement, and disclosure of financial information to ensure consistency, comparability, and relevance in financial reporting.
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Jackie has been selling gold rings for $50 each. her cost for the rings was $25. she learns that another store on the other side of the mall sells gold rings for $40. what information should jackie consider before deciding if she should change her price?
When adjusting the price of an established product, Jackie should have knowledge of the pricing considerations and strategies
What are the different types of pricing strategies?
There are 4 types of pricing strategies as follows :
Premium pricing strategySkimming pricing strategyValue pricing strategyPenetration pricing strategy.In the aforesaid scenario, Jackie will employ a value pricing approach, in which he will reduce the product's cost in order to attract buyers, hence increasing the product's perceived worth.
Thus,
Pricing strategies information should be considered before introducing any changes in the price of the product.
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In 2016 based on people ages 15-74 the Swedish adult non-institutionalized population was about 7. 3 million, the labor force was 5. 2 million, and the number of people employed was 4. 8 million. According to these numbers, the Swedish labor force participation rate and unemployment rate were about
a. 71. 2% and 7. 7%
b. 71. 2% and 5. 5%
c. 65. 8% and 7. 7%
d. 65. 8% and 5. 5%
According to these numbers, the Swedish labor force participation rate and unemployment rate were about option a: 71.2% and 7.7%.
To calculate the labor force participation rate and unemployment rate, we need to use the following formulas:
Labor Force Participation Rate = (Labor Force / Adult Non-Institutionalized Population) * 100
Unemployment Rate = (Unemployed / Labor Force) * 100
Given the information provided:
Adult Non-Institutionalized Population = 7.3 million
Labor Force = 5.2 million
Number of People Employed = 4.8 million
Using the formulas above, we can calculate the rates:
Labor Force Participation Rate = (5.2 million / 7.3 million) * 100 = 71.23%
To calculate the number of unemployed people, we subtract the number of employed people from the labor force:
Unemployed = Labor Force - Number of People Employed
Unemployed = 5.2 million - 4.8 million = 0.4 million
Unemployment Rate = (0.4 million / 5.2 million) * 100 = 7.69%
Rounding these values to one decimal place, we find that the labor force participation rate is approximately 71.2% and the unemployment rate is approximately 7.7%.
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Scientific management is the study of work methods to improve the productivity of _____.
A.accounting practices
B.the supply chain
C.individual workers
D.external vendors
Answer:
C. Individual workers
Explanation:
Which investment has the least amount of default risk?
A)
junk bonds
B)
common stocks
c)
corporate bonds
D)
US Treasury bonds
Answer:
D....U.S. Treasury Bonds!
Which is an example of a small business showing social responsibility to individuals within the company?
A. starting an office recycling program
B. developing sustainable business practice
C. donating money to local organizations
D. allowing employees to work from home
Starting an office recycling program, developing sustainable business practice and donating money to local organizations are examples of a small business showing social responsibility to individuals within the company.
Company have a social responsibility to the communities in which they operate. This includes ensuring that they are good corporate citizens, providing support for local causes and charities, and protecting the environment.
Sustainable business is a term that is often used to describe businesses that are environmentally friendly or that have a positive social impact.
Hence, the correct options are "A, B & C".
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