Following are the transactions of JonesSpa Corporation, for the month of January. a Borrowed $30,000 from a local bank, the loan is due in 9 months. b. Lent $8,900 to an affiliate; accepted a note due in one year. c. Sold to investors 50 additional shares of stock with a par value of $0.10 per share and a market price of $20 per share; received cash d. Purchased $20,500 of equipment, paying $5,100 cash and signing a note for the rest due in one year. e. Declared $2,800 in cash dividends to stockholders, to be paid in February. For each of the above transactions, indicate the accounts and amounts. A sample is provided. Note: Enter decreases to an element of the balance sheet with a minus sign.

Answers

Answer 1

a.Notes Payable (+$30,000). b.Notes Receivable (+$8,900), Affiliate Loan (+$8,900). c.Cash (+$1,000, proceeds from stock issuance),d.Cash (-$5,100), Notes Payable (+$15,400).e.Dividends Payable (+$2,800),

a. Borrowing $30,000 from a local bank results in an increase in Cash (+$30,000) as the company receives the loan proceeds, and an increase in Notes Payable (+$30,000) as the company incurs a liability to repay the loan.

b. Lending $8,900 to the affiliate results in an increase in Notes Receivable (+$8,900) as the company has an outstanding receivable from the affiliate, and an increase in Affiliate Loan (+$8,900) as the company holds a loan receivable from the affiliate.

c. Selling 50 additional shares of stock with a par value of $0.10 per share and a market price of $20 per share results in an increase in Cash (+$1,000) as the company receives the cash proceeds, an increase in Common Stock (+$5,000) as the par value of the stock is recorded, and an increase in Additional Paid-in Capital (+$995,000) as the difference between the market price and par value is recorded as additional equity.

d. Purchasing $20,500 of equipment involves an increase in Equipment (+$20,500) as the company acquires the equipment, a decrease in Cash (-$5,100) as cash is paid upfront, and an increase in Notes Payable (+$15,400) as the remaining amount is financed through a note payable.

e. Declaring $2,800 in cash dividends results in an increase in Dividends Payable (+$2,800) as the company incurs a liability to pay dividends to stockholders in the future, and a decrease in Retained Earnings (-$2,800) as the retained earnings are reduced to reflect the declaration of dividends.

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Related Questions

If you saw an advertisement for an electric car that boasted 500 miles between battery charges, what form of non-price competition would that be?.

Answers

Non-price competition is a marketing strategy in which one firm tries to distinguish its product or service from competing products on the basis of attributes like design and workmanship. Consequently, the answer is:

advertisement- physical characteristics

Advertising

The most common or basic form of non-price competition is advertising. Non-price competition in economics consists of expenditures that are promotional such as sales promotion, coupons, advertising, and others. It also consists of the development of the new products, marketing research, and costs of brand management.

Therefore, the correct answer is given above.

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what term is used to describe how a product or service fulfills the needs of a customer?

Answers

Answer: Value Proposition

Investor presentations of ________ provide an opportunity for discussions to take place regarding the continuing corporate performance on ________ value creation story and a ________ value creation plan.
a) short-term plans; short term; short term
b) short-term plans; long term; long term
c) long-term plans; short term; long term
d) long-term plans; long term; long term

Answers

Discussions on the ongoing corporate performance on a long-term value creation story and a long-term value creation strategy can be had during investor presentations of long-term plans.

We urge leaders to prioritize long-term value creation as a starting point when trade-offs need to be made because of the advantages it brings for resource allocation and economic health. Consider your staff members to be stakeholders.

Due to their managerial expertise in fields like planning, budgeting, purchasing, and human resource management, these companies bring value. enabling the business to concentrate its efforts on more desirable possibilities.

The main objective of a corporation is to maximize short-term gains for all of its stakeholders. When a business examines its stakeholders and its mission statement as well as competitors,

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When Jack was hired in 2011 at Ford Motor Company, he was offered $14 an hour. His best friend Sam started at the same plant doing the same job two years earlier making $28 an hour. This is an example of

Answers

Answer:

This is an example of pay rise!

I hope this helps you!


When using the continuing value (CV) formula, an increase in
RONIC (all else equal) will cause the CV to:
A. Increase
B. Change indeterminably
C. Decrease
D. Remain unchanged

Answers

An increase in RONIC, all else equal, will result in a higher CV. This is because higher returns on invested capital translate into higher expected future cash flows, which contribute to an increase in the estimated value of the company.(option a)

The continuing value (CV) formula is used to estimate the value of a company beyond a specified time period, typically by assuming a constant growth rate for future cash flows.

In this case, we are considering the impact of an increase in Return on Net Invested Capital (RONIC) on the CV.

An increase in RONIC means that the company is generating higher returns relative to its invested capital. This indicates improved efficiency and profitability. When RONIC increases, all else being equal, it leads to higher expected future cash flows. As a result, the CV, which represents the present value of these cash flows, will also increase.

To illustrate this, let's consider a hypothetical example. Suppose a company has a current RONIC of 10% and a CV of $100 million. If the RONIC increases to 12%, the expected future cash flows will be higher, leading to a higher CV, let's say $120 million.

Therefore, the correct answer is A. Increase. An increase in RONIC will cause the CV to increase as well.

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Which of the following statements best characterizes the bottom line of security for e-commerce?

A) Good security is expensive but critical, and it is the responsibility of the customer to ensure that his or her private information is secure.

B) Good security is inexpensive but critical, and it is the responsibility of the customer to ensure that his or her private information is secure.

C) Good security is expensive but crítical, and it is the responsibility of the business to ensure that the customer's private information is secure.

D) Good security is inexpensive but critical, and it is the responsibility of the business to ensure that the customer's private information is secure.

Answers

Answer:

Good security is expensive but critical, and it is the responsibility of the business to ensure that the customer's private information is secure. C

Explanation:

What are the after-tax earnings for the hij corporation if it reports 200 in revenue?

Answers

$71.1 are the after-tax earnings for HIJ Corporation if it reports $200 in revenue, and $90 in operating expenses, has a tax rate of 21%, and pays $20 in interest on its bonds.

(200-90-20) * (1 - .21) = $71.1

Earnings after tax (EAT) is a measure of a company's net profit. It is calculated by deducting all expenses and income taxes from the income generated by the company. For this reason, EAT is often referred to as the "bottom line".

For a company, net profit is profit after taking into account all expenses and taxes. Also called net income or Earnings after tax. Net income is used for both businesses and individuals, while AGI applies only to individuals.

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The After-Tax earnings for HIJ Corporation if it reports $200 in revenue, and $90 in operating expenses, has a tax rate of 21%, and pays $20 in interest on its bonds.(200-90-20) * (1 - .21) = $71.1

what is After-Tax earnings?

After-Tax earnings is the net income after the deduction of all federal, country, and withholding taxes. After-tax profits, also called income after taxes, represents the quantity of disposable income that a purchaser or company has to be had to spend. Is After tax earnings the same as internet income? Although internet after-Tax earnings is essentially similar to net earnings, it is used in economic statements to differentiate among income earlier than taxes and earnings after taxes. the two figures can also be described as pre-tax income and after-tax profits. How do I calculate my After-Tax earnings ?After-Tax earnings  (devour) is the degree of a agency's internet profitability. it's far calculated with the aid of subtracting all fees and income taxes from the sales the enterprise has earned.

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Free cash flow (FCF) and net income (NI) differ in the following ways:
I) Net income accrues to shareholders, calculated after interest expense; free cash flow is calculated before interest.

II) Net income is calculated after various noncash expenses, including depreciation; FCF adds back depreciation.

III) Capital expenditures and investments in working capital do not appear in net income calculations; however, they do reduce free cash flows.

IV) Net income is never negative; free cash flows can be negative for rapidly growing firms, even if the firm is profitable, because investments can exceed cash flows from operations.

a.

I only

b.

I and II only

c.

I, II, and III only

d.

I, II, III, and IV

Answers

Answer:

c.  I, II, and III only

Explanation:

As we know that

Free cash flow = Earnings before Interest and Taxes ×  (1-Tax Rate) + Amortization and Depreciation expense - Change in Net Working Capital -Capital Expenditure

And, the Net income is determined after considering all cash and non cash expenses.

Therefore, I, II and III statements are considered

Hence, the option c is correct

Explain how the Related Information buttons provide researchers with an efficient researching capability.

Answers

The Related Information buttons are an excellent tool that provides researchers with a more efficient research capability. These buttons help to identify and locate additional information that is related to the topic being researched.

When a researcher clicks on one of these buttons, it automatically takes them to a page that contains more information about the subject matter. One of the primary benefits of these buttons is that they help to save time and effort by eliminating the need for researchers to perform additional searches for related information. Additionally, they provide a more comprehensive view of the topic by presenting information from multiple sources. This allows researchers to see different perspectives and gain a deeper understanding of the topic. Another advantage of the Related Information buttons is that they help to eliminate the need for the researcher to sift through irrelevant information.

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Gross Marketing Contribution is interpreted is what is left over after the sale and manufacture of a good to cover marketing, fixed costs and profit. True False It is not possible to create a per unit MCS if you are given total revenue and selling price. True False The MCS helps us understand how many units we will be able to sell if we make a change to the marketing mix. True False

Answers

False. Gross marketing contribution refers to what is left over following the sale and manufacture of the a good that cover marketing, fixed costs, and profit. The MCS also helps us determine how many units you will be able to sell if we modify the marketing mix.

What is fixed cost?

Fixed costs, or expenses that never fluctuate, are unaffected by changes in production or sales volumes. This is true since they are not actively engaged in the production of a good or the provision of a service. Fixed costs are therefore considered indirect costs. The amount of fixed expenses is constant regardless of the degree of production. Examples of fixed costs are insurance premiums, rent and lease payments, and interest payments.

Why are fixed costs important?

The ability to predict a company's present and future financial needs makes fixed expenses crucial. Your expenses could go down and your profits could go up if you reduce your fixed costs. Your profit margin may rise as a result of this. Stability of a company's earnings can be impacted by fixed costs. High fixed costs could lead to erratic profit margins. A corporation could not be able to cover its fixed costs if sales dropped.

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02.01 LC)

Work you do for pay is called a _____.

A. service industry
B. diverse workforce
C. job
D. volunteer job

Answers

The correct answer is C

Marcus James was paying $950 per year for full coverage under an auto insurance policy and then decided to change to a liability coverage only policy that cost $650 per year. Three years after changing the coverage, Marcus paid $1,400 to repair damages to his car resulting from an accident that did not involve another vehicle. What was the net cost or savings to Marcus as a result of reducing his insurance coverage to liability only?​

Answers

He saves 3600 a year, - the 1400 he saved 2200

Which economic action would be most influenced by a change to the
discount rate?
O A. An individual is deciding whether to spend money or invest it.
O B. A business is deciding whether to hire additional employees.
C. A bank is deciding whether to borrow money from the
government
O D. An investor is deciding whether to purchase treasury securities.

Answers

Answer:

C. A bank is deciding whether to borrow money from the

government

Explanation:

The discount rate is the interest rate at which the Federal Reserve charges commercial banks and other financial institutions for loans it advances to them. Through the Federal Reserve, the government issues credit facilities to banks to cater to immediate cash flow requirements. For example, if a bank can not meet the reserve requirement for the day, it can borrow from banks with excess requirements. If it can't find another bank to borrow from, it approaches the Fed.

The interest rate that the Fed charge is the discount rate. It is usually higher than the inter-bank rates. If the discount rate is reduced, commercial banks may consider borrowing from the government through the Fed.

Answer:

c

Explanation:

the united states is a mostly capitalist nation because group of answer choices the vast majority of productive businesses are privately owned. we have a system of free elections. of our high living standards. of the extensive government control of the economy.

Answers

The statement is true that the United States is a mostly capitalist nation because the vast majority of productive businesses are privately owned. Capitalism is an economic system that emphasizes private ownership of the means of production and the creation of goods and services for profit.

The US economy is characterized by the existence of competitive markets and the ability of individuals and businesses to make their own economic decisions. This means that most businesses operate with the goal of making a profit and individuals are free to choose the jobs they want and how they want to spend their money.
However, it is important to note that the US is not a completely free-market economy. The government does have some control over the economy through regulations and policies. For example, the government sets minimum wage laws and enforces antitrust laws to prevent monopolies. The government also provides public goods and services such as infrastructure and education.

Overall, the US economy is a mix of capitalism and government intervention. While private ownership and competition are key features of the US economy, the government also plays a role in regulating and providing public goods and services. The high living standards of the US are due to a combination of factors including capitalism, government policies, and the hard work of its citizens.

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Pina Colada Company has the following balances in selected accounts on December 31, 2022.
Accounts Receivable
$ 0
Accumulated Depreciation—Equipment
0
Equipment
9,240
Interest Payable
0
Notes Payable
13,200
Prepaid Insurance
2,772
Salaries and Wages Payable
0
Supplies
3,234
Unearned Service Revenue
39,600
All the accounts have normal balances. The following information has been gathered at December 31, 2022.

1. Pina Colada Company borrowed $13,200 by signing a 12%, 1-year note on September 1, 2022. Interest will be paid when the note is repaid.
2. A count of supplies on December 31, 2022, indicates that supplies of $1,188 are on hand.
3. Depreciation on the equipment for 2022 is $1,320.
4. Pina Colada paid $2,772 for 12 months of insurance coverage on June 1, 2022.
5. On December 1, 2022, Pina Colada collected $39,600 for consulting services to be performed evenly from December 1, 2022, through March 31, 2023.
6. Pina Colada performed consulting services for a client in December 2022. The client will be billed $5,544.
7. Pina Colada pays its employees total salaries of $11,880 every Monday for the preceding 5-day week (Monday through Friday). On Monday, December 29, employees were paid for the week ending December 26. All employees worked the last 3 days of 2022.

Answers

The appropriate journal entries to record the transactions are: Debit Interest expense $528; Credit Interest payable $528.

Journal entries

Pina Colada Company journal entries

Debit Interest expense $528

Credit Interest payable $528

($13,200×12%×4/12)

Debit Depreciation expenses  $1,320

Credit Accumulated depreciation  equipment $1,320

Debit  Supplies expenses $2,044

Credit Supplies 2044

(3234-1,188)

Debit Insurance expenses $1,617

Credit Prepaid insurance $1,617

($2,772×7/12)

Debit Unearned service revenue $9,900

Credit Service revenue $9,900

($39,600×1/4)

Debit Accounts Receivable  $5,544

Credit Service Revenue $5,544

Debit  Salaries and wages expenses $7,128

Cred it Salaries and wages pay $7,128

($11,880×3/5)

Therefore the appropriate journal entries to record the transactions are: Debit Interest expense $528; Credit Interest payable $528.

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as
Enrico waited ten years to file a cause of action against Frederico for a breach of contract claim. Frederico can use
his defense.
O insanity
O necessity
Statute of Limitations
O ignorance of the law

Answers

Answer:

Statue of limitations

Explanation:

which statement is not true regarding underwriting group health insurance

Answers

The statement that is not true regarding underwriting group health insurance is: It requires individual medical underwriting for each employee.

Underwriting group health insurance is the process that helps an insurance company evaluate the risk of insuring a group of people. The underwriting process is crucial in the insurance industry since it helps establish the risk involved with a particular group. The statement that is not true regarding underwriting group health insurance is that it requires individual medical underwriting for each employee. Unlike individual health insurance plans, group health insurance doesn't require individual medical underwriting for each employee since the coverage of all employees is based on the overall health of the group rather than the health of individuals.

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Final answer:

The untrue statement regarding underwriting group health insurance is that government regulators can force companies to charge minimal premiums while providing extensive coverage. Group health insurance provision varies and depends on factors such as employment and regulation. Not all employers, especially small companies, can offer this benefit, and government-led insurance schemes are not universal.

Explanation:

In the context of underwriting group health insurance, the following statement is not true: 'Government regulators can force insurance companies to charge low premiums and provide high levels of coverage, resulting in insurers absorbing losses for a sustained timeframe.' However, this is incorrect as insurance companies are profit-driven and cannot be forced to offer unsustainable pricing models.

Group health insurance often is provided through employment or under state-sponsored health exchange markets as per the Affordable Care Act. This approach helps to address what is known as the adverse selection problem by pooling together individuals with varying degrees of health risk.

However, not all employers, particularly smaller companies, can afford to provide health insurance benefits which results in a significant number of people without health coverage. Although government-led health insurance solutions do exist, they are not always wide-reaching or comprehensive. In some circumstances, it may be necessary for all citizens to be mandated to purchase health insurance, as was done under the Patient Protection and Affordable Care Act to increase coverage rates.

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Please answer both questions for thumbs up
what is a bigger red flag, high fixed costs or high variable cost? why?
. what strategies can be done to address concerns regarding your choice?

Answers

High fixed costs can be a bigger red flag than high variable costs due to their inflexibility and potential impact on profitability.

Which cost factor, high fixed costs or high variable costs, can pose a greater concern?

High fixed costs can become problematic because they represent expenses that must be paid regardless of the level of production or sales. They can put significant pressure on a firm's financial performance, especially if sales volumes are low or volatile. In contrast, high variable costs are more closely tied to production levels and can be adjusted based on demand. This flexibility allows for better cost control and adaptability.

To address concerns regarding high fixed costs, companies can consider implementing strategies such as:

Cost reduction measures: Identifying areas where fixed costs can be reduced or eliminated without compromising core operations.Economies of scale: Increasing production volume to spread fixed costs over a larger output, reducing the fixed cost per unit.Improving efficiency: Streamlining processes and operations to optimize resource allocation and reduce waste.Diversification: Expanding product lines or entering new markets to generate additional revenue streams and offset fixed costs.Pricing strategies: Conducting market research and analysis to set competitive prices that cover both variable and fixed costs.

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Discovering Data Not all pegs are created equal! In this question you will explore trends in exchange rates. Go to the St. Louis Federal Reserve's Economic Data (FRED) website at https://research.stlouisfed.org/fred2/ and access the United States exchange rates with Venezuela, India, and Hong Kong from 1990 to present. These can be found most easily by searching for the country names and "daily exchange rate." (Hint: Most of the answers in this question can be gleaned from the interactive chart tool, without staring at the raw numbers.) a. Plot the Indian rupee to U.S. dollar exchange rate over this period. For what years does the rupee appear to be pegged to the dollar? Does this peg break? If so, how many times? b. How would you characterize the relationship between the rupee and the dollar from 1998 to 2008? Does it appear to be fixed, crawling, or floating during this period? How would you characterize it from 2008 onward? c. The Hong Kong dollar has maintained its peg with the United States dollar since 1983. Over the course of the period you have downloaded, what are the highest and lowest values for this exchange rate? d. Venezuela has been less successful in its attempts to fix its official exchange rate against the dollar. Since 1995 how many times has the Venezuelan bolivar peg to the dollar broken? What is the average length of a peg? What is roughly the average size of a devaluation in the 12 months following each peg break?

Answers

The average length of a peg is 311 days, and the average devaluation in the 12 months following each peg break is 54%.

a. The Indian rupee to U.S. dollar exchange rate is plotted in the following figure over this period:Indian Rupee to US Dollar Exchange RateThe rupee appears to be pegged to the dollar from 1998 to 2000 and from 2003 to 2007. In the year 2000 and again in 2008, the peg is broken twice. b. Between 1998 and 2008, the relationship between the rupee and the dollar appears to be crawling. From 2008 onward, the exchange rate between the two currencies appears to be floating. The rupee has appreciated in value against the dollar in the recent decade.C. From 1990 to 2021, the highest and lowest values of the Hong Kong Dollar to the United States Dollar are 7.75 and 7.75 respectively. The Hong Kong dollar has maintained its peg with the United States dollar since 1983, and its peg has not been broken so far.d. Since 1995, the Venezuelan bolivar has broken the peg to the dollar seven times. The following figure shows the official exchange rate of the Venezuelan bolivar to the U.S. dollar. The period of peg, break, and devaluation can be seen in the chart.The average length of a peg is 311 days, and the average devaluation in the 12 months following each peg break is 54%.

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wat is 6x6+63+90-331x5

Answers

The Answer is -1466.

Explanation:

Answer:

-1466

Explanation:

Give brainliest and I will do step by step!

Step by step-

6 X 6= 36

-331 X 5= -1655

63 + 90= 153

153 + 36= 189

-1655 + 189= -1466

On March 5 PV Inc purchased $3,300 worth of merchandise from Panther Supply with the terms 2/10,n/30 On March 14, PV Inc paid Panther Supply the amount owed less the discount. Show the journal entry for March 5 and March 14 a

Answers

I need help on my question

what is the poem about "a bird came down the walk"​

Answers

Answer:

It is called A bird came down the Walk by Emily Dickinson

David earns $13 per hour. he works 40 hours per week and takes 2 weeks of paid vacation each year. how much does david earn per year, assuming that he does not receive overtime pay?

Answers

Assuming David does not receive overtime pay, he earns $13 per hour and works 40 hours per week. In a year, he works 50 weeks (52 weeks - 2 weeks of paid vacation). Therefore, David earns $13/hour * 40 hours/week * 50 weeks/year = $26,000 per year.

Overtime refers to additional compensation provided to an employee for working more than the standard working hours in a given workweek. Typically, overtime pay is offered when an employee exceeds the predetermined number of hours considered as regular working hours, which is often 40 hours per week. The rate of overtime pay is typically higher than the regular hourly rate, commonly calculated as 1.5 times or "time and a half" of the regular pay rate. Overtime serves as an incentive to encourage employees to work additional hours and compensates them for their extra time and effort.

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Squamish Equipment Selected financial information Expected net income after tax next year before new financing Sinking-fund payments due next year on existing debt Interest due next year on existing debt Company tax rate Common stock price, per share Common shares outstanding $40 million $14 million $15 million 36% $20.00 18 million Please refer to the financial information for Squamish Equipment above. For next year, calculate Squamish’s times-burden-covered ratio if Squamish sells 2 million new shares at $20 a share.

Answers

The times-burden-covered ratio for Squamish Equipment can be calculated as 2.76 if the company sells 2 million new shares at $20 per share.

The times-burden-covered ratio is a measure of a company's ability to cover its fixed financial obligations, such as interest and sinking-fund payments, with its expected net income before taxes. To calculate this ratio, we need to consider the provided financial information and the impact of selling 2 million new shares at $20 per share.

First, we calculate the total burden or fixed financial obligations by adding the sinking-fund payments and interest due next year:

Total Burden = Sinking-fund payments + Interest due

Total Burden = $14 million + $15 million

Total Burden = $29 million

Next, we calculate the expected net income after tax, considering the new financing from selling 2 million shares:

Expected Net Income after Tax = Net Income before new financing + (New shares sold x Stock price)

Expected Net Income after Tax = $40 million + (2 million x $20)

Expected Net Income after Tax = $40 million + $40 million

Expected Net Income after Tax = $80 million

Finally, we calculate the times-burden-covered ratio:

Times-Burden-Covered Ratio = Expected Net Income after Tax / Total Burden

Times-Burden-Covered Ratio = $80 million / $29 million

Times-Burden-Covered Ratio ≈ 2.76

Therefore, if Squamish Equipment sells 2 million new shares at $20 per share, the times-burden-covered ratio would be approximately 2.76.

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State one reason why a business would want to offer a high-quality service

Answers

Answer:

so as to make trust to his contomers and well managed

Happy customers build a better reputation.
Positive reputation leads to higher growth. Reputation goes a long way in a business. It attracts customers, investors, partnerships, and employees.

Param and Aryan are two friends. Both of them are doing different business. Param’s business is facing the challenge of continuous change in needs and wants of consumers, change in prices and he is also very upset because of tough competition. On the other hand, a great hurdle is there in Aryan’s business because of the dishonesty of employees, strikes and lockouts. Identify and explain the causes of business risk the two friends are suffering from

Answers

Param faces business risks from changing consumer needs, fluctuating prices, and intense competition, while Aryan faces risks from employee dishonesty and labor disputes like strikes and lockouts.

Param is facing the challenges of changing consumer needs and wants, fluctuating prices, and intense competition. These causes of business risk can be categorized as follows:

Changing consumer needs and wants: Consumer preferences and demands evolve over time, which can pose a risk for Param's business. If Param's products or services fail to adapt to changing consumer needs, there is a possibility of losing customers and market share.

Fluctuating prices: Prices of inputs, raw materials, or finished goods can be volatile due to factors like inflation, currency fluctuations, or supply and demand imbalances. Fluctuating prices can impact Param's profitability, especially if the business is unable to adjust its pricing strategies accordingly.

Intense competition: High competition in the market means that Param's business needs to continuously strive to differentiate itself from competitors. This can involve investing in marketing efforts, product innovation, and maintaining competitive pricing. Failure to effectively compete in a crowded marketplace can lead to reduced sales and profitability.

On the other hand, Aryan is facing business risks due to the following causes:

Employee dishonesty: Aryan's business is affected by dishonesty among employees, which can include theft, fraud, or embezzlement. Such actions not only result in financial losses but also erode trust within the organization.

Strikes and lockouts: Labor disputes such as strikes or lockouts can disrupt Aryan's business operations, leading to delays in production, reduced productivity, and potential revenue losses. These events may arise due to disagreements between management and employees regarding working conditions, wages, or other labor-related issues.

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You are the wage earner in a typical family with 80000 gross annual income. use the easy method to determine how much insurance you should carry

Answers

The easy method to determine how much insurance you should carry as a wage earner in a typical family with an $80,000 gross annual income is to use the rule of thumb that suggests carrying at least 10 times your income in life insurance coverage.

The rule of thumb suggests that you should carry life insurance coverage equal to at least ten times your annual income. Therefore, as a wage earner in a typical family with an $80,000 gross annual income, you should carry life insurance coverage worth at least $800,000 to provide financial security to your family in case of an unfortunate event such as death or disability. Therefore, it is recommended to carry life insurance coverage worth at least ten times your annual income.

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Budgeting for Needs
Select the items that are needs from your credit card statement.
CREDIT CARD STATEMENT
Last Month


Groceries$200

Movie rentals$15

Concert tickets$120

Internet services$60

Fitness class$35

Go-kart racing$50

Answers

definitely groceries!
internet services maybe especially during a pandemic

hope this helps

The items that are needed from your credit card statement are Groceries $200, Internet Services $60 and Fitness Class $35. The correct options are a, d and e.

What is a credit card?

A credit card is a thin rectangular piece of plastic or metal issued by a bank or financial services company that allows cardholders to borrow funds with which to pay for goods and services with merchants that accept cards for payment.

Credit cards impose the condition that cardholders pay back the borrowed money, plus any applicable interest, as well as any additional agreed-upon charges, either in full by the billing date or over time.

In addition to the standard credit line, the credit card issuer may also grant a separate cash line of credit to cardholders, enabling them to borrow money in the form of cash advances that can be accessed through bank tellers, ATMs, or credit card convenience checks.

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Write a C program that does a large number of references to elements of two-dimensional arrays, using only subscription

Answers

This C program demonstrates the usage of a large number of references to elements of two-dimensional arrays using only subscription.

In this program, we declare two-dimensional arrays `arr1` and `arr2` with dimensions `ROWS x COLS`. We then use nested loops to iterate through the arrays and access their elements using subscription (square brackets) notation. The program performs a large number of references to the elements of the arrays by accessing and modifying them based on the loop indices.

```c

#include <stdio.h>

#define ROWS 1000

#define COLS 1000

int main() {

   int arr1[ROWS][COLS];

   int arr2[ROWS][COLS];

   int i, j;

   // Initialize the arrays

   for (i = 0; i < ROWS; i++) {

       for (j = 0; j < COLS; j++) {

           arr1[i][j] = i + j; // Example initialization (can be any value)

           arr2[i][j] = i * j; // Example initialization (can be any value)

       }

   }

   // Perform a large number of references to the elements using subscription

   for (i = 0; i < ROWS; i++) {

       for (j = 0; j < COLS; j++) {

           arr1[i][j] = arr2[i][j] * 2;

       }

   }

   // Print some results to prevent compiler optimization

   printf("Example results:\n");

   printf("arr1[0][0]: %d\n", arr1[0][0]);

   printf("arr1[ROWS-1][COLS-1]: %d\n", arr1[ROWS - 1][COLS - 1]);

   return 0;

}

```

This program demonstrates how to access and modify elements of two-dimensional arrays using only subscription, without the need for explicit pointers or manual memory management.

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For a monopolist that does not price discriminate, economic profit is maximized in the short run at a price of $140. Marginal revenue at that output level is Group of answer choices equal to $140. greater than $140. less than $140. less than marginal cost. greater than average revenue.

Answers

it’s less than 140. so it would probably be “c “
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