For monozygotic or identical twins, the most common relationship of placentas and fetal membranes is sharing one placenta and two amniotic sacs.
This is because monozygotic twins develop from a single fertilized egg that splits into two embryos. In some cases, the splitting occurs early enough that each twin has its own placenta and amniotic sac. However, in most cases, the splitting occurs later, and the twins share a single placenta while having their own amniotic sacs.
This is known as monochorionic diamniotic (MCDA) twin pregnancy. Sharing a placenta can sometimes lead to complications such as twin-to-twin transfusion syndrome (TTTS), where one twin receives more blood flow than the other, but proper monitoring and management can prevent or treat such complications.
To know more about amniotic sacs click on below link:
https://brainly.com/question/10922341#
#SPJ11
for the purpose of hiding data, which attribute should you use for the property of a class?
The attribute that should be used for the purpose of hiding data in a class is "private".
In object-oriented programming, encapsulation is a key principle that promotes the hiding of implementation details from the outside world. This is achieved by defining access levels for the attributes of a class. The three access levels are public, private, and protected.
When an attribute is defined as "private", it means that it can only be accessed within the same class. This helps to prevent unauthorized modification of the data and maintains the integrity of the object.
Therefore, to hide data in a class, the "private" access level should be used for the relevant attributes. It is important to note that even if an attribute is private, it can still be accessed through public methods that are defined within the same class. This allows for controlled access to the data and ensures that it is not compromised.
Learn more about encapsulation: https://brainly.com/question/13147634
#SPJ11
Popularity increases a product’s
A. price
B. utility
C. life cycle
D. trial period
Answer:
life cycle
Explanation:
When a product has been popularized with adverts, people will know d product and will wanna try it out.Once this happens,the product will still be in existence prolonging the life cycle
capital is the amount of money paid into a company by its owners. true or false?
Answer:
True. The Capital is the amount of money invested into a company by its owners.
The company makes these predictions by finding patterns and relationships in large amounts of data by using machine learning algorithms called __________.
Answer:
Neural networks
Explanation:
The company makes these predictions by finding patterns and relationships in large amounts of data by using machine learning algorithms called neural networks.
what is the impact of walmart.com on customer-borne transaction costs? do you think that walmart.com is likely to create additional value? is it likely that walmart will capture any value created by walmart.com?
Walmart.com has had a significant impact on customer-borne transaction costs. By providing an online platform, Walmart.com has increased convenience and accessibility for customers.
Customers can now shop from the comfort of their homes, compare prices easily, and have products delivered to their doorstep. This reduces the time and effort required for traditional brick-and-mortar shopping, as well as the associated costs such as transportation expenses and parking fees. Overall, Walmart.com has reduced customer-borne transaction costs by streamlining the purchasing process.
Walmart.com is indeed likely to create additional value. With its online presence, Walmart can reach a wider customer base beyond its physical store locations. It allows the company to expand its product offerings, provide personalized recommendations, and offer targeted promotions.
The online platform also enables Walmart to collect and analyze customer data, which can be utilized to improve customer experiences and tailor marketing strategies. Additionally, Walmart.com creates value by enhancing customer convenience, which is a significant factor in today's digital era.
As for capturing value, Walmart is well-positioned to benefit from the value created by Walmart.com. The company has a strong brand presence, a vast supply chain network, and significant resources to support its online operations.
By integrating Walmart.com with its existing physical stores, Walmart can leverage its omnichannel capabilities to drive customer traffic both online and offline. Furthermore, Walmart has the ability to optimize its pricing strategies, operational efficiencies, and customer loyalty programs to capture the value generated by Walmart.com and strengthen its overall competitive advantage in the retail industry.
Learn more about Online platform here:
brainly.com/question/29609160
#SPJ11
Do you agree or disagree with the argument that crime seriousness and prior criminal record are not necessarily legally relevant variables? What are some other variables that should be taken into account? What do you feel are the most important factors that should be used when sentencing?
I agree to this argument.
Arguments that the severity of the offence and the defendant's prior criminal record are not inherently legally pertinent variables are frequently brought up in discussions about the equity and efficacy of sentencing.
Socioeconomic origin, mental health, and personal history contribute to a deeper understanding of the underlying causes of criminal behaviour and the potential for rehabilitation.
Important factors include the willingness to participate in rehabilitation programmes, the availability of support networks, and the likelihood of successful reintegration into society.
The appropriate sentence may be determined by weighing factors such as the nature of the offence, the likelihood of recidivism, and the need to protect society.
To study more about criminal laws,
https://brainly.com/question/31849842
where does McKenna grace live? Brainliest for the correct answer
Answer:
McKenna grace lives in Texas of America.
n economy has a fixed price level, no imports, and no income taxes. MPC is 0.8, and real GDP is $200 billion. Businesses increase investment by $10 billion Calculate the new level of real GDP and explain why real GDP increases by more than $10 billion. The new level of real GDP is $billion. Real GDP increases by more than $10 billion because the increase in investment O A. increases exports B. O C. O D. induces an increase in consumption expenditure increases the marginal propensity to consume enables firms to produce more output
Option (c), Real GDP rises by more than $10 billion as a result of the increase in investment, which also causes a rise in consumption.
What is the impact of increased investment on GDP?Due to the creation and sale of physical capital, an increase in business investment directly improves the current level of gross domestic product (GDP) in the short term. Business investment, one of the GDP's most volatile components, has a history of suffering significant quarterly fluctuations.
What causes a rise in real GDP?The real GDP is adjusted to account for increases in inflation. In the case of positive inflation, this suggests that real GDP will be lower than nominal GDP and vice versa. Without accounting for actual GDP, positive inflation significantly raises nominal GDP.
Learn more about Real GDP: https://brainly.com/question/30836499
#SPJ1
Jill and Bert both produce nuts and coffee. They each prefer to consume a diet that is half nuts and half coffee. Both have access to the same resources. If Jill focuses on producing only coffee, she can produce 20 pounds of coffee in a week. If she only produces nuts, she can produce 40 pounds of nuts in a week. Bert can produce a maximum of 15 pounds of coffee in a week. He could also choose to produce only nuts, in which case he can produce 20 pounds of nuts a week. Required: a. Who has an absolute advantage in coffee production? b. Who has an absolute advantage in nut production?
In summary, Jill has an absolute advantage in both coffee and nut production. She can produce more of both goods than Bert can in a given time period. This indicates that Jill is more efficient and productive in both coffee and nut production compared to Bert.
a. Jill has an absolute advantage in coffee production because she can produce 20 pounds of coffee in a week, whereas Bert can produce a maximum of 15 pounds of coffee in a week. This means that Jill can produce more coffee than Bert within the same time frame and with the same resources.
b. Jill also has an absolute advantage in nut production because she can produce 40 pounds of nuts in a week, whereas Bert can produce a maximum of 20 pounds of nuts in a week. Again, Jill can produce a greater quantity of nuts compared to Bert using the same resources and time.
Learn more about production here
https://brainly.com/question/30333196
#SPJ11
The price of a stock at the maturity of an option is ST . All options mature on the
same day T. If the x-axis depicts possible values of the stock on the maturity day (ST )
and the y-axis depicts the gross payoff of a portfolio on the last day (i.e. ignore cash
inflows/cash outflows today), draw the payoff diagram of the following.
(a) Long a call of exercise price K = 100, long one unit of the underlying stock.
(b) Long a call of exercise price K = 100, long one unit of the underlying stock, long
one unit of discount bond with FV = K.
(c) Short one call with exercise price of K = 80, short another call with exercise price
of K = 110.
a. Long call option + stock: Increasing profits if ST > $100.b. Long call option + stock + discount bond: Minimum payoff of $100 regardless of stock price.c. Short call options (exercise prices $80 and $110): Limited gains (premiums received) outside $80-$110 range, losses within that range.
(a) The payoff diagram for being long a call option with an exercise price of $100 and holding one unit of the underlying stock would be as follows:
At expiration (T), if the stock price (ST) is below $100, the call option expires worthless, resulting in a maximum loss equal to the premium paid for the option.
As the stock price exceeds $100, the call option becomes profitable, and the payoff increases linearly with the stock price.
(b) The payoff diagram for being long a call option with an exercise price of $100, holding one unit of the underlying stock, and holding one unit of a discount bond with a face value (FV) equal to the exercise price would be similar to part (a) with an additional upward shift by the face value of the bond.
The inclusion of the discount bond ensures that at maturity (T), the investor receives the exercise price (K) regardless of the stock price.
Therefore, the payoff is increased by the face value of the bond when the stock price is below the exercise price, ensuring a minimum payoff equal to the exercise price.
(c) The payoff diagram for being short one call option with an exercise price of $80 and short another call option with an exercise price of $110 would be as follows:
If the stock price (ST) is below $80 or above $110 at expiration (T), both call options expire worthless, and the investor keeps the premiums received.
As the stock price falls between $80 and $110, the options start to generate losses. The losses increase as the stock price moves further away from the range, limiting the maximum possible gain to the total premiums received.
To know more about Long call refer here:
https://brainly.com/question/17309195#
#SPJ11
Congress passes a bill calling for a 5% tax decrease. The president then signs it
a.) the government's monetary policy
b.) government's open. market regulations
c.) the government's tight money policy
d.) the government's fiscal policy
Answer:
d.) the government's fiscal policy
Explanation:
Fiscal policy is the actions of a government to alter spending and taxation to influence economic direction. This implies that fiscal policy tools are the level of government spending and taxation.
Reducing taxes and government spending increases the money supply in the market. The government will consider these actions during recessions to stimulate economic growth. Increasing taxes and decreasing spending reduces money circulation in the economy, thereby regulating economic growth.
This is for people who have a ps4.
do you still have to pay the PS plus even though you have Auto-renew off?
Answer:
not me
Explanation:
Answer:
no
Explanation:
Have a lovely day. <:
Samatha Beese took a loan out of $2,800 at 8% for 1 year . Her monthly payment was $233.50 . For the first monthly payment, what is the payment to the principal
Mills Corporation acquired as an investment $250 million of 6% bonds, dated July 1, on July 1 , 2021. Company management is holding the bonds in its trading portfolio. The market interest rate (yieid) was 4% for bonds of similar risk and maturity. Mills paid $300 million for the bonds. The company will receive interest semiannually on June 30 and December 31 . As a result of changing market conditions, the fair value of the bonds at December 31,2021 , was $275 million. Required: 1. \& 2. Prepare the journal entry to record Milis' investment in the bonds on July 1, 2021 and interest on December 31,2021 , at the effective (market) rate. 3. Prepare the journal entry by Mills to record any fair value adjustment necessary for the year ended December 31,2021. 4. Suppose Moody's bond rating agency upgraded the risk rating of the bonds, and Mills decided to sell the investment on January 2, 2022, for $312 million. Prepare the journal entries required on the date of sale. Complete this question by entering your answers in the tabs below. Prepare the joumal entry to record Mills' investment in the bonds on July 1,2021 and interest on December 31,2021 , at the effective (market) rate. (If no entry is required for a transaction/event, seloct "No Journal entry required" in the first account filld, Enter your anwers in mulions rounded to 1 decimal place, (h.e.4 5,500,000 should be entered as 5.5).) Journal entry worksheet Peebed Mils' investment in the bonds on July 1,2021 .
Mills Corporation acquired $250 million of 6% bonds on July 1, dated July 1, and paid $300 million for it. The bonds are kept in the trading portfolio, and Mills will get interest every year on June 30 and December 31. On December 31, 2021, the bonds' fair value was $275 million due to market changes.
The journal entry to record Mills' investment in the bonds on July 1, 2021, is:Account Titles Debit Credit Bonds receivable 250,000,000 Cash 250,000,000(Journal entry to record Mills' investment in the bonds on July 1, 2021)On December 31, 2021, the journal entry to record the interest at the effective (market) rate is:Account Titles Debit CreditI nterest receivable 3,000,000 Interest revenue 3,000,000(Journal entry to record the interest on December 31, 2021, at the effective (market) rate)The journal entry by Mills to record the fair value adjustment is:Account Titles Debit Credit Unrealized holding gains or losses 25,000,000 Bonds receivable 25,000,000(Journal entry to record any fair value adjustment necessary for the year ended December 31, 2021)The journal entries required on the date of sale when Moody's bond rating agency upgraded the risk rating of the bonds, and Mills decided to sell the investment on January 2, 2022, for $312 million .
To know more about Corporation visit:
https://brainly.com/question/28097453
#SPJ11
Typically, salary of a job grows when: *
A. amount of time on the job has increased
B. employer likes the employee
C. employee demands a raise
D. motivation, desire, and attitude of an employee grows in a positive direction.
Answer:
D
Explanation:
motivation, desire, and attitude are the most important aspects when it comes to your job. Having your boss like you is great and all, but it won't get you a raise.
This week we look more closely at the systems theory and organizational structure. Organizations can be either flat or steep - and that's not referring to the building they are housed in? - A flat organization is one where there aren't many opportunities to move up - there's one manager over several positions, and there's not much above that person. - A steep organizational chart is one where there is a hierarchy. Your boss reports to someone who reports to someone, and there are a few more layers before the President of the company Food Service companies have that as well. IN A GENERAL SENSE... Sodexo is a 'steep' company, while Compass Canada and Marquise are much 'flatter'. Both have positives and negatives associated with their structure. What would you expect are these positives and negatives? What have you experienced?
Organizational structure refers to how an organization's activities are organized and coordinated. This involves management of activities and delegation of tasks to employees.
There are different types of organizational structures:
Flat organizations: Organizations with few or no levels of middle management between staff and executives. Generally, flat organizations have a wider span of control, with executives having a larger number of direct reports. This implies that employees are responsible for more duties, while executives may interact with employees more often.
Steep organizational charts: Organizations with many levels of middle management between staff and executives. Steep organizations have a narrow span of control, which means that executives have a smaller number of direct reports and are responsible for fewer tasks.
The benefits and drawbacks of flat and steep organizational charts are as follows:
Flat organizations have a number of advantages:
They promote teamwork and collaboration among employees and departments.
They provide employees with greater autonomy and responsibility, which can lead to increased job satisfaction.
They promote communication between executives and employees, which can lead to a better understanding of the organization's goals and objectives.
They can operate more efficiently and flexibly than hierarchical organizations because there are fewer layers of management.
Steep organizations have a number of advantages:
They promote specialization and expertise among employees, which can lead to higher productivity and quality.
They provide clear lines of authority and accountability, which can facilitate decision-making and reduce conflict.
They promote career development and opportunities for advancement, which can lead to increased motivation and loyalty.
They can be more effective than flat organizations in larger, more complex organizations because they require more formal coordination and control.
Learn more about Organizational structure: https://brainly.com/question/33123076
#SPJ11
Question 7of 10 true false whether employer sponsored or privately purchased, disability insurance plans will cover 70% of your lost
The statement provided in Question 7 of 10, which states "whether employer sponsored or privately purchased, disability insurance plans will cover 70% of your lost," is generally true.
Disability insurance plans are designed to provide financial assistance in the event that an individual becomes disabled and is unable to work for a period of time.Whether purchased through an employer-sponsored plan or privately, most disability insurance plans will typically cover a portion of the individual's lost income. The amount of coverage provided can vary depending on the specific terms of the policy, but a common coverage percentage is 70% of the individual's pre-disability income.It is important to note that there may be certain limitations or exclusions to coverage, depending on the policy. For example, some policies may only cover disabilities resulting from accidents, while others may also cover illnesses or other medical conditions. Additionally, the length of time for which benefits are provided may vary, with some policies providing benefits for a limited period of time and others offering coverage for as long as the individual remains disabled.
To know more about employer visit:
brainly.com/question/32317695
#SPJ11
JohnBoy Industries has a cash balance of $54,000, accounts payable of $134,000, inventory of $184,000, accounts receivable of $219,000, notes payable of $129,000, and accrued wages and taxes of $41,500. How much net working capital does the firm need to fund?
Answer:Net working capital = $152,500
Explanation:
Net working capital = CA– CL
Where CA= Current Assets = Cash + Inventory + Accounts Receivable
and CL= Current Liabilities= Account payable + Notes payable + accrued wages and taxes
CA=$54, 000 + $184,000 + $ 219,000 =$457,000
Current liabilities = Account payable + Notes payable + accrued wages and taxes
CL = $134,000 + $129,000 + $41,500 = $304,500
Net working capital = Current assets – Current liabilities
Net working capital = $457,000 – $304,500= $152,500
Net working capital = $152,500
Sven has an aquarium in the shape of a right rectangular prism. It is 50 centimeters long, 20 centimeters wide and 30 centimeters tall. Sven wants to add a single layer of marbles to the bottom of the tank. The marbles have a diameter of 1 centimeter and come in bags of 200. How many bags of marbles will Sven need to buy?
Number of bags of marbles needed = (Volume of aquarium's bottom surface) / (Volume of a single marble) / 200 (marbles per bag).
To determine the number of bags of marbles Sven needs to buy, we can calculate the total volume of the aquarium's bottom surface and then divide it by the volume of a single marble.
To find the number of bags of marbles, we need to calculate the total volume of the aquarium's bottom surface (in cubic centimeters) and divide it by the volume of a single marble.
The volume of a right rectangular prism is given by the formula: Volume = Length * Width * Height.
Volume of the aquarium's bottom surface = Length * Width = 50 cm * 20 cm = 1000 cm².
Now, we need to calculate the volume of a single marble.
The volume of a sphere is given by the formula: Volume = (4/3) * π * (radius)³.
Since the diameter is given, we can divide it by 2 to get the radius.
Radius of a marble = Diameter / 2 = 1 cm / 2 = 0.5 cm.
Volume of a single marble = (4/3) * π * (0.5 cm)³.
Now, we can divide the volume of the aquarium's bottom surface by the volume of a single marble to get the number of marbles needed.
Number of marbles = (Volume of aquarium's bottom surface) / (Volume of a single marble).
Number of marbles = 1000 cm² / [(4/3) * π * (0.5 cm)³].
After calculating the result, we can divide it by 200 (the number of marbles in a bag) to find the number of bags Sven needs to buy.
learn more about "marbles ":- https://brainly.com/question/28929561
#SPJ11
Examine the table comparing two individuals.
Who is more likely to have higher health insurance premiums? (selma or thelma)
Which risk factor will make a difference in premium price for Selma and Thelma? (tabaco use or age)
Which risk factor will not make difference in premium price? (preexisting condition or tabaco use)
Answer:
1- selma
2- tobacco use
3- preexisting condition
Explanation:
I just took it on edge
please help me ASAP
i will give brainliest
Answer:
d
Explanation:
The equation of any straight line, called a linear equation, can be written as: y = mx + b, where m is the slope of the line and b is the y-intercept. The y-intercept of this line is the value of y at the point where the line crosses the y axis.
When given an Income Statement, Balance Sheet, and Cash Flow Statement, how would you calculate the following in excel:
DuPont Analysis. Break down your company’s Return on Equity, ROE, into the 3-part DuPont Equation for each year. Comment on what factors caused changes in your company’s ROE over the time period.
To calculate the DuPont Analysis and break down a company's Return on Equity (ROE) into the three-part DuPont Equation in Excel, you need to analyze the company's Income Statement, Balance Sheet, and Cash Flow Statement. The three components of the DuPont Equation are Profit Margin, Asset Turnover, and Equity Multiplier. Analyzing changes in each component over time can help identify factors influencing the company's ROE.
To perform DuPont Analysis in Excel, follow these steps:
Retrieve the necessary financial statements, including the Income Statement, Balance Sheet, and Cash Flow Statement, for each year of analysis. Calculate the Profit Margin by dividing Net Income by Total Revenue. This ratio measures how efficiently the company generates profits from its sales.
Calculate the Asset Turnover by dividing Total Revenue by Average Total Assets. This ratio indicates how effectively the company utilizes its assets to generate sales. Calculate the Equity Multiplier by dividing Average Total Assets by Average Shareholders' Equity. This ratio shows the leverage or financial structure of the company.
Calculate the ROE by multiplying the Profit Margin, Asset Turnover, and Equity Multiplier. The formula for ROE is: ROE = Profit Margin x Asset Turnover x Equity Multiplier.
By analyzing changes in each component of the DuPont Equation over time, you can identify factors influencing the company's ROE. For example, an increase in Profit Margin may indicate improved cost management or pricing strategies. An increase in Asset Turnover may suggest increased efficiency in utilizing assets. Changes in the Equity Multiplier can be influenced by factors such as debt financing or stock buybacks.
In conclusion, DuPont Analysis allows for a comprehensive breakdown of a company's ROE by analyzing the Profit Margin, Asset Turnover, and Equity Multiplier. Examining changes in these components over time can provide insights into the factors impacting the company's ROE, including profitability, asset utilization, and financial leverage.
Learn more about DuPont Analysis here:
https://brainly.com/question/30403150
#SPJ11
Which of these terms means "paying to communicate with potential clients about your company"? A. Customer support. B. Marketing. C. Advertising. D. Community outreach.
Marketing means "paying to communicate with potential clients about your company." The correct answer is option B.
Marketing is the action of selling a product or service. Marketing refers to all of the activities that a company does to increase customer demand for a product or service. This includes advertising, selling, and promoting. Businesses must constantly advertise their products to increase sales, attract new customers, and increase brand awareness. In a nutshell, marketing entails promoting a product or service to consumers.
Marketing is a significant aspect of any business because it helps in expanding the customer base and increasing profits. A company's success depends on how well they can market their products or services. To be effective, marketing must be well-targeted, relevant, and appealing to the target market. A company that markets its goods and services well has a better chance of gaining loyal customers and expanding its reach.
Marketing can take many forms, including advertising, direct marketing, public relations, and online marketing. Marketing activities must be aligned with a company's overall marketing strategy. A well-planned and executed marketing strategy can help businesses achieve their goals.
A strategy will assist you in identifying your target market and how best to communicate with them. In short, marketing is a set of strategies aimed at promoting products or services to consumers through various channels such as advertising, sales promotion, public relations, and direct marketing. Marketing is an essential part of any business, and it helps businesses reach new heights.
Hence, option B is the right choice.
To know more about marketing, visit https://brainly.com/question/27155256
#SPJ11
Why is it called Chick-Fil-A when a Fil-A (filet) is normally cooked with beef???
Which correctly lists the titles for this Venn diagram?
Title 1 should be Logistics and Inventory Control Pathway and Title 2 should be Maintenance, Installation, and
Repair Pathway.
O Title 1 should be Maintenance, Installation, and Repair Pathway and Title 2 should be Logistics and Inventory
Control Pathway.
Title 1 should be Quality Assurance Pathway and Title 2 should be Production Pathway.
Title 1 should be Production Pathway and Title 2 should be Quality Assurance Pathway.
The correct title for the Venn diagram should be
Title 1 should be Production Pathway and Title 2 should be Quality Assurance Pathway.What is a production pathway?This is the pathway that has to show all the process of manufacturing and assembling the products.
What is the quality assurance pathway?This has to do with the inclusion of the workers that would help to ensure that quality standards are followed and the products meets their performance requirements.
Read more on production pathway here:
https://brainly.com/question/14953687
Answer:
D
Explanation:
Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
Learn more about stock investment at https://brainly.com/question/25818989
#SPJ1
Jason is a technician at Johns Hopkins Hospital and earns $19.84 an hour. His boss informed him that he can earn time and a half (1.5) for all hours he works over his regular 40 hours. This week he worked 51 hours. What will be his gross pay for the week?
Answer:
$1120.96
Explanation:
19.84 x 40 = 793.60
19.84 x 1.5 = 29.76 x 11 = 327.36
793.60 + 327.36 = 1120.96
What is the purpose of business law and why is there a need for it?
Answer:
So the money isn’t fraud or stolen/illegal
Answer:
Businesses are motivated by wanting to make money. That money needs to be legal and known that its for profit motived and not stolen
Collaboration can occur:
A) outside the organization only.
B) between two organizations, but not internally.
C) within but not outside the organization.
D) with customers.
E) among managers only.
The correct answer is C) within but not outside the organization. Collaboration refers to the act of working together towards a common goal.
The correct answer is C) within but not outside the organization. Collaboration refers to the act of working together towards a common goal. It can occur both within and outside an organization, but the question specifies that the options only relate to internal collaboration. Therefore, option C is the most appropriate as it indicates that collaboration can occur within the organization, but not necessarily outside of it.
Learn more about organization here
https://brainly.com/question/13278945
#SPJ11
Collaboration can occur in various ways, including within the organization, between two organizations, and even with customers. It involves working together with others to achieve a common goal or objective.
Collaborative efforts can take place within a team or department, across different departments or units within an organization, or between different organizations. The ultimate goal of the collaboration is to leverage the collective skills, knowledge, and resources of all involved parties to achieve greater success than what could be achieved individually.
Collaboration can occur in various ways and contexts, both inside and outside of an organization. For instance, collaboration can happen among team members, departments, or functional units within an organization to achieve common goals or objectives.
To learn more about collaboration, visit here
https://brainly.com/question/13278099
#SPJ4
Robert placed the following assets into service for his packing and shipping company this year
Option B. The way that Robert would eliminate the requirement to use the mid-quarter convention B.Claim the Section 179 deduction for the delivery truck.
What is meant by mid-quarter convention?According to the mid-quarter convention, a company that purchases fixed assets during a reporting quarter should treat them as though they were purchased at the halfway point of the quarter.
When the total depreciable basis of MACRS property placed in service during the final three months of the client's tax year exceeds 40% of the total depreciable basis of all MACRS property placed in service throughout the entire year, you must utilize the mid-quarter convention.
Read more on deduction here: https://brainly.com/question/13757943
#SPJ1
Robert placed the following assets into service for his packing and shipping company this year: April 3: Desk with a basis of $1,100. July 30: Computer software with a basis of $4,200. October 30: Delivery truck with a basis of $33,000. All assets were used exclusively for business purposes. How may Robert eliminate the requirement to use the mid-quarter convention?
A.Claim the special depreciation allowance for the computer software.
B.Claim the Section 179 deduction for the delivery truck.
C.Elect to expense the desk on the tax return in accordance with the de minimis safe harbor of the tangible property regulations.
D.Use the ADS system to depreciate the truck and the desk.