The solution entails (B) integrating a new platform or application that works with sensitive information. The primary stage is to review.
Appropriate action when integrating a new platform:The first step in integrating a new utility or platform that deals with sensitive data is to review everything.
The next step is for the developers to identify critical areas of applications handling sensitive data using risk modeling, which is used to map information flow and identify critical areas of the software's infrastructure that need extra security attention.
The next step will involve analyzing the applicant's layout, which is essential to keep the application's business purpose front and center for analysis and future guidance.
Finally, frequent security tests of all critical components and controls must be planned in order to guarantee that a robust security posture was enabled.
Therefore, the solution entails (B) integrating a new platform or application that works with sensitive information. The primary stage is to review.
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Correct question:
Which action is appropriate for an organization to consider when integrating a new application or platform that deals with sensitive information?
A. Build all applications in the same programming language to enhance security.
B. include security specialists at the beginning and throughout the process
C. follow only proprietary best practices when designing an application to mitigate threats
D. copy the best practices of the other organizations and implement them without changes
On the statement of cash flows, the investing activities section would include a.cash paid for retirement of bonds payable b.cash received from the issuance of capital stock c.cash paid for dividends d.cash received from the sale of investments
20 points on how globalization is good for the triple bottom line
Answer:
t common questions I get as the founder and CEO is: Can a start-up delight customers, provide a great work culture, and see exceptional growth metrics? The answer is yes, you absolutely can.
I know this because at Globalization Partners we’ve done it—and part of our mission is to pass that know-how on to our customers. When I founded this company, my goal was to build a high-growth business that would enable anyone to hire employees anywhere, without the red tape traditionally associated with global expansion. But I also wanted to build a company people love— customers, business partners, and employees. Fast forward a few years and I’m happy to report we’ve had rocket-ship growth numbers, 96% of our customers say that they are “very satisfied” or “satisfied” with our services, but perhaps what makes me most proud is we’re also able to regularly win awards for our company culture. We haven’t had to make a trade off, and neither should you.
The secret to balancing this success is what I call the Triple Bottom Line: prioritizing happy customers, happy employees, and happy shareholders.
While a Triple Bottom Line may sound like an obvious formula for growth, it might also feel unrealistic. Its anathema to the typical blitz scaling mantra right now, which is “growth at all costs.” But the reality is, companies who focus only on growth end up underpaying people and treating customers so poorly that growth is ultimately unsustainable.
I wasn’t sure if the Triple Bottom Line would be achievable when I set out to build my business, but I knew I didn’t want to be in business any other way. Now, Globalization Partners is proof that the Triple Bottom Line is an exceptionally good strategy for growth.
Explanation:
JPJ Corp has sales of $1.33 million, accounts receivable of $48,000, total assets of $4.75 million (of which $2.98 million are fixed assets), inventory of $155,000, and cost of goods sold of $597,000.
If JPJ Corp is able to increase sales by 11.8% but keep its total and fixed asset growth to only 4.7%, what will its new asset turnover ratios be?
JPJ's new fixed asset turnover is ____ (Round to two decimal places.)
To find JPJ Corp's new fixed asset turnover, we will first calculate the new sales and fixed assets figures after the given increases. Then, we will use the fixed asset turnover formula to find the ratio. JPJ's new fixed asset turnover is 0.48.
Step 1: Calculate new sales and fixed assets figures:
New sales = $1.33 million × (1 + 11.8%)
New sales = $1.33 million × 1.118
New sales = $1.48794 million
New fixed assets = $2.98 million × (1 + 4.7%)
New fixed assets = $2.98 million × 1.047
New fixed assets = $3.11986 million
Step 2: Calculate the new fixed asset turnover ratio:
Fixed asset turnover = (New sales) / (New fixed assets)
Fixed asset turnover = $1.48794 million / $3.11986 million
Fixed asset turnover = 0.476569
Step 3: Round the result to two decimal places.
New fixed asset turnover = 0.48 (rounded to two decimal places)
So, JPJ's new fixed asset turnover is 0.48.
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aetna the application date is the date you received the completed enrollment form from the beneficiary
The application date for Aetna is the date when the completed enrollment form is received from the beneficiary. This means that Aetna considers the date of receiving the form as the application date. Let's break down the process step-by-step:
1. The beneficiary completes the enrollment form, providing all the required information.
2. The completed form is then submitted to Aetna.
3. Aetna receives the form and acknowledges the receipt.
4. The date of this receipt is considered the application date.
It's important to note that the application date is significant because it determines various timelines and deadlines related to the enrollment process.
For example, it may impact the effective date of coverage or the deadline for submitting additional documentation.
In summary, the application date for Aetna is the date when Aetna receives the completed enrollment form from the beneficiary. This date is important for processing and determining timelines related to coverage.
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somebody help me pls
Answer:
with what do you need help with
Answer:
with what
Explanation:
what
What is a tax refund?
Answer:
A tax refund is essentially a payment to the taxpayer when the taxpayer pays more tax than they owe.
Explanation:
May I have brainliest please? :)
A tax refund is essentially a payment to the taxpayer when the taxpayer pays more tax than they owe.
What is tax refund?An amount given to a taxpayer to make up for any overpayments made to the federal or state governments is known as a tax refund. Refunds are frequently perceived by taxpayers as a windfall or a lucky break, but in reality, they often equate to a loan that the taxpayer made to the government at no interest.
It depends on the discrepancy between the annual tax due and the amount of tax withheld throughout the year. If the amount of tax payable is less than the latter sum, the individual receives a tax refund.
When too much money is withheld from their taxes, the taxpayer gets a refund at the end of the year.
Thus, A tax refund is essentially a payment to the taxpayer.
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a high-rise apartment building has 50 apartments. half of the apartments are one-bedroom units with one bath, a kitchen, and a living room, which rent for $840 a month. the other apartments are two-bedroom units with two baths, a kitchen, and a living room, which rent for $1,000 a month. what is the scheduled rent for this property on an annual per-room basis?
the scheduled rent for this property on an annual per-room basis is $6,000.
The one-bedroom units have one bedroom, one bath, a kitchen, and a living room. Therefore, each unit has a total of one bedroom.The two-bedroom units have two bedrooms, two baths, a kitchen, and a living room. Thus, each unit has a total of two bedrooms.Considering there are 50 apartments in total, half of which are one-bedroom units and the other half are two-bedroom units, we have:Number of one-bedroom units: 50 / 2 = 25 units
Number of two-bedroom units: 50 / 2 = 25 units
Now, we can calculate the total annual rent:Total annual rent for one-bedroom units: 25 units * $840/month * 12 months = $252,000Total annual rent for two-bedroom units: 25 units * $1,000/month * 12 months = $300,000
Adding the annual rents for both types of units together:Total annual rent for the property: $252,000 + $300,000 = $552,000
Finally, to determine the scheduled rent for this property on an annual per-room basis, we divide the total annual rent by the total number of bedrooms:Scheduled rent per room: $552,000 / (25 one-bedroom units + 50 two-bedroom units) = $6,000 per room.Therefore, the scheduled rent for this property on an annual per-room basis is $6,000.
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suppose you have developed a new product for you business.outlineany five steps in developing a rematch instrument
Answer:
But I am too young to start a new business
FILL IN THE BLANK. Electrical forces ____.
(static electricity)
a. can cause objects to only attract each other
b. can cause objects to only repel each other
c. can cause objects to attract or repel each other
d. have no effect on objects
Electrical forces can cause objects to attract or repel each other.
Option C is correct.
Electrical forces are one of the fundamental forces of nature that govern the behavior of electrically charged particles, such as protons and electrons. These forces arise due to the interaction between the electrically charged particles and are responsible for the attraction or repulsion of particles.
The strength of the electrical force is determined by the magnitude of the charge on the particles and the distance between them. Like charges (i.e., positive-positive or negative-negative) repel each other, while opposite charges (i.e., positive-negative) attract each other. The magnitude of the force decreases as the distance between the particles increases.
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Video concepts, inc. (vci) manufactures a line of dvd recorders (dvds) that are distributed to large retailers. The line consists of three models of dvds. The following data are available regarding the models: model dvd selling price variable cost demand/year per unit per unit (units) model lx1 $175 $100 2000 model lx2 $250 $125 1000 model lx3 $300 $140 500 vci is considering the addition of a fourth model to its line of dvds. This model would be sold to retailers for $375. The variable cost of this unit is $225. The demand for the new model lx4 is estimated to be 300 units per year, sixty percent of these units sales of the new model is expected to come from other models already being manufactured by vci (10 percent from model lx1, 30 percent from model lx2 and 60 percent from model lx3. Vci will incur a fixed cost of 20,000 to add new model to the line. Based on the data do you think they should add a new model lx4 to the lines or vcr's and if so why?
Using the contribution margin to calculate the net profit, it would not be profitable for VCR to add the new model LX4 to its line of DVD recorders.
Is there a justification to add a new model lx4 to the lines or vcr's?To determine whether VCI should add the new model LX4 to its line of DVD recorders, we need to calculate the incremental profit from adding the new model and compare it to the fixed cost of $20,000.
First, let's calculate the contribution margin per unit for each of the existing models:
Model LX1: Selling price per unit ($175) - Variable cost per unit ($100) = $75 contribution margin per unitModel LX2: Selling price per unit ($250) - Variable cost per unit ($125) = $125 contribution margin per unitModel LX3: Selling price per unit ($300) - Variable cost per unit ($140) = $160 contribution margin per unitNext, let's calculate the incremental profit from adding the new model LX4:
Selling price per unit ($375) - Variable cost per unit ($225) = $150 contribution margin per unitSales per year (300 units) x Contribution margin per unit ($150) = $45,000 incremental profit from new modelNow let's consider the expected impact on the sales of existing models:
Model LX1: 10% of 300 units = 30 units x Selling price per unit ($175) x Contribution margin per unit ($75) = $52,500 reduction in profitModel LX2: 30% of 300 units = 90 units x Selling price per unit ($250) x Contribution margin per unit ($125) = $11,250 reduction in profitModel LX3: 60% of 300 units = 180 units x Selling price per unit ($300) x Contribution margin per unit ($160) = $28,800 reduction in profitThe total reduction in profit from the existing models is $92,550. However, the incremental profit from the new model is $45,000, so the net profit impact of adding the new model LX4 is:
Net profit impact = Incremental profit - Reduction in profit from existing models
Net profit impact = $45,000 - $92,550
Net profit impact = -$47,550
Since the net profit impact of adding the new model is negative, it would not be profitable for VCR to add the new model LX4 to its line of DVD recorders. The fixed cost of $20,000 to add the new model would only exacerbate the negative impact on VCI's profits. Therefore, VCR should not add the new model to its line.
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Why does the government intervene in the economy?
Explain 2 of the ways in which the government seeks to direct the economy in a mixed economic system like the United States.
How can ordinary citizens influence the economy?
The government intervenes in the economy for different reasons such as economic growth, job creation, price stability, and social welfare. In a mixed economic system like the United States, the government seeks to direct the economy in various ways, including regulation and control and direct provision of goods and services.
Below are two of the ways in which the government directs the economy in the United States:
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Complete the real-world problem that can be represented by 20x + 40 = 180.
jeremiah bought x toy sets for $ each and then a video game for $
total of $ how many toy sets did he buy?
jeremiah spent a
Jeremiah bought 7 toy sets for $20 each and then a video game for $180 total of $1260.
To solve this problem, we'll follow a systematic approach using basic algebraic principles. Our goal is to isolate the variable x on one side of the equation.
Begin by subtracting 40 from both sides of the equation:
20x + 40 - 40 = 180 - 40
20x = 140
To solve for x, we want to get rid of the coefficient 20 that multiplies x. We can achieve this by dividing both sides of the equation by 20:
(20x)/20 = 140/20
x = 7
Let's assume each toy set costs $y. Then the equation representing the total cost would be:
Total cost = (number of toy sets) × (cost per toy set)
Plugging in the values we know, the equation becomes:
Total cost = 7 × y
Additionally, we know Jeremiah spent $180 in total, including the toy sets and the video game. The equation representing the total cost is:
Total cost = (number of toy sets) × (cost per toy set) + (cost of video game)
Now, let's solve for the cost of the video game.
We know the total cost is $180, and the cost of toy sets is 7 × y. Therefore, we can write the equation as:
180 = 7y + (cost of video game)
Since the cost of the video game is missing, we'll represent it as $z. The equation now becomes:
180 = 7y + z
The equation 180 = 7y + z represents the total cost of $180, where 7y represents the cost of the toy sets and z represents the cost of the video game.
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How can I benefit from taxes?
Answer:
We pay taxes to the government as a way to pay for our daily life. Taxes can let you get credits on your health insurance, having safe roads, free public education and etc.
Explanation:
Hope this helped you :)
You have commissioned a local survey to see what consumers are most interested in.
Survey Data
78% of survey participants desire a store that offers custom outdoor sports equipment.
9% of participants think an additional coffee shop is needed.
26% of participants say that they purchase coffee on a daily basis.
Based on the survey data, what can be concluded about the market for coffee shops in the area?
According to the survey data, which business likely has the least supply in this town?
Based on the survey data, what can be concluded about the market for coffee shops in the area?
Saturation has been reached.
According to the survey data, which business likely has the least supply in this town?
Shoe stores
Answer: Based on the survey data, which business will most likely see higher consumer demand? - THE SHOE HUT
Based on the survey data, what may occur if an additional coffee shop is opened? - EXCESS SUPPLY
Explanation: i did the assignment on edge
additional information for png co. in 20x1: 1. all sales were on account. 2. earnings per share were $2.00. 3. the closing stock price on 12/31/x1 was $15.40. 4. png had 68,500 of its only class of (common) stock outstanding on 12/31/x1. 1. what was png company's current ratio for the year 20x1? 7.74 3.32 2.47 2.66
The annual current ratio for PNG Company was 2.66. The price at which one share of a corporation would be purchased is known as the share price or stock price.
A share's price is not constant; rather, it changes over time in response to market factors. It is likely to rise if the business is thought to be performing well or decline if it isn't living up to expectations.
A stock is a type of instrument that denotes the holder's ownership stake in the issuing company and is typically traded on stock markets.
A company's market capitalization and, by extension, its market value are impacted by changes in share prices. A company's market value increases with increased share prices, and vice versa.
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Abc corp has issued 10-year and 15-year bonds that mature on the same day and have the exactly same yield to maturity. If the current price of the 10-year bond is $889. 60 and of the 15-year bond is $1,194. 24, then which one of the bonds has a higher coupon rate?.
Based on the given prices and assuming the same yield to maturity, the 15-year bond has a higher coupon rate compared to the 10-year bond.
The bond with the higher coupon rate would be the 15-year bond.
The coupon rate represents the annual interest payment as a percentage of the bond's face value. Since the yield to maturity is the same for both bonds, the difference in price can be attributed to the difference in their remaining time to maturity.
In this case, the 15-year bond is priced higher ($1,194.24) compared to the 10-year bond ($889.60). This indicates that investors are willing to pay more for the 15-year bond, suggesting that its coupon rate is higher.
The price of a bond is influenced by various factors, including its coupon rate, yield to maturity, and time to maturity. When comparing two bonds with the same yield to maturity, the difference in their prices can be attributed to the remaining time until maturity.
In this scenario, since the yield to maturity is the same for both the 10-year and 15-year bonds, the difference in their prices can be attributed to the difference in their remaining time until maturity.
The 15-year bond is priced higher at $1,194.24, indicating that investors are willing to pay a premium for the longer-term bond. This suggests that the coupon rate on the 15-year bond is higher than the coupon rate on the 10-year bond.
A higher coupon rate implies a higher annual interest payment relative to the bond's face value. Investors are willing to pay a higher price for the 15-year bond because it offers a higher coupon rate, providing a higher income stream over the bond's remaining life.
On the other hand, the lower price of the 10-year bond ($889.60) suggests that it has a lower coupon rate. Investors demand a lower price for the 10-year bond to compensate for the lower income stream generated by its lower coupon rate.
Therefore, based on the given prices and assuming the same yield to maturity, the 15-year bond has a higher coupon rate compared to the 10-year bond.
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How have communist nations shown us that education is not a silver bullet?
Social harmony and equality are the cornerstones of communism's theoretical advantages. Communist ideology supports universal education, emphasizing the proletariat's empowerment through knowledge, class awareness, and historical awareness.
What does it mean that education is a cure-all?The educational process is crucial for personal and social skills and cognitive growth. It should be a fundamental right for everyone to have access to education, therefore it stands to reason that education is seen as crucial and, in some cases, the only solution to the problem of inequality.
What is education according to communism?According to communist educational philosophy, the ideal modern education is a polytechnic one. An key part of such an education is teaching manufacturing to young people while they are enrolled in secondary and higher education, as well as giving them access to labor training and job experience.
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The fundamental tenants of communism's theoretical advantages are social peace and equality. The proletariat is empowered via knowledge, class awareness, and historical awareness, which is supported by communist ideology.
What does it imply to say that education is a panacea mean?The educational process is essential for the development of one's social, emotional, and cognitive skills. Everyone should be entitled to an education as a fundamental right, therefore it makes sense that education is regarded as essential and, in some situations, the only way to address the inequality issue.
What does education mean in a communist society?A polytechnic education is the optimum one for today, claims communist educational theory. Young people should be taught manufacturing while they are engaged in secondary and higher education, as well as given access to labor training and job experience, as these are essential components of such an education.
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Which item category would you use to have your vendor ship goods directly to your customer?
Third-party, item category, would you use to have your vendor ship goods directly to your customer. Thus, option (b) is correct.
What is customer?
The term customer refers to the purchased the goods and the services, The customer are the fulfill the needs and the wants as the exchange of the money.
The company sale the product with the help of the third party. The customer and the company are the mediator of the third party. The customer as they purchased the product with a third party.
Therefore, option (b) is correct.
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Your question is incomplete, but most probably the full question was.
a. Consignment
b. Third-party
c. Stock trasnfer
d. Standard
e. Transfer posting
Where do you report a stolen credit card to efta standards or pci standards
A merchant's PCI DSS compliance can be confirmed using the PCI Report on Compliance. The PCI DSS's standards and procedures were created to increase the security of credit card-based transactions and safeguard cardholder data from fraud and other unauthorized uses of their personal data.
To protect cardholders' private information and boost the security of transactions involving credit, debit, and cash cards, the Payment credit card Industry Data Security Standard (PCI DSS) is a well-known set of rules. PCI Compliance is NOT a one-time project but an ongoing practise. Merchants (the Business Owner) are in charge of overseeing the finances of their company's activities.
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Carter is a salesman with great hoops, inc. His boss tells him that the company needs more buyers for its inflatable basketball hoops. Carter decides to open up the phone book and start calling businesses to determine their interest in his product. This is typical of which stage in the selling process?.
The activity described where Carter opens up the phone book and starts calling businesses to determine their interest in the inflatable basketball hoops is typical of the "Prospecting" stage in the selling process.
Prospecting is the first stage in the selling process where the salesperson identifies potential customers or prospects who might be interested in the product or service they are offering.
It involves searching for potential buyers through various means such as cold-calling, using online databases, attending networking events or seeking referrals.
In Carter's case, he is using the phone book to identify potential businesses to approach and gauge their interest in purchasing the inflatable basketball hoops. Once he identifies potential leads, he will move on to the next stages of the selling process such as qualifying leads, making sales presentations, handling objection and closing deals.
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With an adjustable rate mortgage, if the rate of inflation jumps, then the nominal rate on the mortgage will
Answer:
rise, since it is adjustable and there is inflation.
Explanation:
When would job-order costing be used instead of process costing?
A job order gadget is utilized by very precise kind of businesses for costing be used instead of process costing.
Those corporations do no longer manufacture trendy products and stock them to promote to clients.
as a substitute they take orders. which means that the product is custom constructed as in keeping with the necessities of the clients. This makes job order costing hard considering the fact that in a employer that manufactures preferred products, the production can be recognized in advance and overheads may be allocated amongst merchandise. however in case of job order costing , determining what the overheads might be for the following accounting period is extraordinarily subjective and at risk of errors.corporations that comply with job order costing can't determine the exact quantity of expenses that they may incur. some of their overheads can be general and required to run the commercial enterprise while a few others may be depending on the job being performed. companies that carry out these jobs can not realize the precise costs before the process is truely finished.one of the most important problems in job order costing is the mismatch among when the citation is made and whilst the fees absolutely come to be known. costs want to be quoted earlier than beginning manufacturing. but, the prices are recognized simplest after the activity is completed.job order costing have to be used, while the manufacturing is done on particular orders.
as an example, an plane production organization or a deliver production business enterprise will make the plane or deliver best in opposition to a selected order from the client. For that particular order, the costing is accomplished below job-order costing.
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3. identify your favourite television show and explain what product placements you think would be successful. would you change your recommended product placements if you were making recommendations for show that appealed more to parents or grandparents?
Reality shows are most favorite television shows in television. Dance show, singing show are reality shows.
What are reality shows?Dance shows, cooking shows, and singing shows are some of the reality shows on TV. These shows are most watched by an audience. The simplicity and They are most liked by youth.
Reality shows are popular for their contents and their core value in society. New innovations, new techniques and new technologies is used in reality shows which makes them more popular.
Therefore, Reality shows are most favorite television shows in television. Dance show, singing show are reality shows.
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dilamer incorporated paid $300,000 to purchase 30-year bonds issued by a publicly held foreign corporation. the foreign government recently privatized the corporation and declared that all outstanding corporate debt obligations would not be honored. what is the tax consequence to dilamer of this bad news?
The bad news that the foreign corporation's debt obligations will not be honored will result in a loss for Dilamer Incorporated.
A corporation is a legal entity that is created to conduct business activities. It is a separate and distinct entity from its owners, known as shareholders, and is recognized as a "person" under the law, with the ability to enter into contracts, borrow money, and sue or be sued. One of the primary advantages of a corporation is limited liability protection for its shareholders.
This means that the shareholders are generally not personally liable for the debts and obligations of the corporation. Additionally, a corporation has perpetual existence, meaning that it can continue to exist even if the shareholders change. Corporations can issue stocks or shares of ownership to investors, allowing them to raise capital for expansion or other business activities. They are also subject to various legal and regulatory requirements, such as filing annual reports, maintaining proper accounting records, and adhering to various laws and regulations.
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Why is it necessary for all economic systems to not only provide people with goods and services, but also restrict them from getting as much of these goods and services as they wish?
All economic systems must not only offer people goods and services but also place limits on how much of those goods and services they can obtain because if we failed to do this could reduce the efficiency of the system by producing some goods and services that are not as highly valued as others.
An economy where the market, as opposed to the government, sets pricing for goods and services is known as free enterprise or the free market. There is no governmental oversight of companies or services. Instead, the term "free enterprise" could refer to a philosophical or legal framework in which the majority of controls over commercial activity come from the private sector. Private property rights, voluntary agreements, and open bidding for products and services are the cornerstones of free markets, both in theory and in practice. Contrary to coercive behavior, fixed or controlled distribution of goods and services, and public property ownership.
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5. A number with the addition of itself becomes 38. What
is the number?
Answer:
19+19=38
...........................
( By the way, this is a question related to financial accounting.) International Investment Group is looking to invest $95,000 into a company. Where should International Investment Group look for relevant information about the company's performance? A. The company's Management Books B. The company's Tax Books C. The company's Budgets D. The company's Financial Books
Answer:
The correct option is;
The company's Financial Books
Explanation:
In order to effectively and clearly let interested parties access pertinent information about a company, financial books are kept which show the companies economic performance and its position related to financing. Information about a company can be located in financial statements including shareholders equity, cash flow statements, income statements and balance sheets.
Provide one word or term for the following: 1.1. A specific amount the insured has to pay every time a claim is made. (2)
Answer: Deductible! Good Luck !
Post-Assessment
Question 2 of 5
Why is buying a car considered "bad debt"?
It decreases in value over time
It increases your net worth as it build equity
It gives you transportation to and from your job
It is worth more than any other investment
Submit
Continue
E
The reason why buying a car considered "bad debt"is that It decreases in value over time. option A
What is bad debt?The term bad debt can be described as the amount of money that a creditor must write off as a result of a default on the part of the debtor in a case whereby the creditor has a bad debt on the books, then things turn to uncollectible and is recorded as a charge-off.
It should be noted that a case can be regarded as bad debt because the value of the asset you receive from the loan depreciates quickly however in some cases interest charges increase how the amount that is been paid for the vehicle. and in thius case cost is higher compare to what it would be if you'd purchased the car outright with cash.
Hence, option A is correct.
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Imagine you are a real estate agent and you’ve just met a couple who is ready to
buy their first home. Create a list of at least 20 possible questions you could ask
to determine what they are looking for in their new home.