Fujiko owns and operates a local bakery, Fujiko leading when she Quickly adapted to offering curbside service during COVID-19 pandemic so that she did not have to lay off any workers
As a result of government-issued stay-at-home orders, the COVID-19 pandemic has forced consumers to change their shopping habits in a matter of days.
Consumers are looking for new ways to get the products they require, and as they become accustomed to these new conveniences, behaviors and expectations are expected to persist in the long run.
Curbside pickup has grown in popularity among consumers due to its low contact and high convenience, and early indications indicate that it may be here to stay.
To avoid delivery delays and lower delivery costs, many retailers began to offer BOPIS and curbside pickup as alternatives.
Fujiko owns and operates a local bakery, Fujiko leading when she Quickly adapted to offering curbside service during COVID-19 pandemic so that she did not have to lay off any workers.
That would not only beneficial for the customers also to her
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Which of the following is not a form of business combination?: (A) Acquisition. (B) S Corporation. (C) Conglomerate. (D) Merger.
Answer:
b.corporation is answerCorrectly identify steps 3 and 4 of the accounting process: multiple choice Step 3: post entries into the ledger; Step 4: identify transactions and source documents. Step 3: record transactions into the journal; Step 4: post entries into the ledger. Step 3: analyze transactions using the accounting equation; Step 4: post entries into the ledger. Step 3: record transactions into the journal; Step 4: analyze transactions using the accounting equation.
Answer: Step 3: record transactions into the journal; Step 4: post entries into the ledger.
Explanation:
After we identify and analyze a transaction so that we know what accounts and journal it is to go to, we record the transaction in the relevant journal in the third step of the accounting process.
We then take those transactions and post it to the relevant ledger which shows all the transactions related to a certain account. These ledgers are called the "books of final entry" and it is from them that we are able to draw up the unadjusted trial balance.
Step 3: record transactions in the journal; Step 4: post entries into the ledger. Option (b) is correct.
The accounting cycle is a procedure created to make it simpler for business owners to account for the financial aspects of their operations.
The unadjusted trial balance, the worksheet, identifying transactions, entering transactions in a journal, posting, modifying journal entries, preparing financial statements, and closing the books are the eight processes of the accounting cycle.
Business owners receive thorough financial performance reports at the end of the accounting cycle, which are used to evaluate the company.
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Which of these methods will remove a custom tab stop?
A. Double-click the tab stop.
B. Triple-click the tab stop.
C. Click and drag the tab stop to the left edge of the Ruler.
D. Click and drag the tab stop off the Ruler.
Answer:
d. Click and drag the tab stop off the Ruler.
Explanation:
what multiplication do you do to convert currency
Explanation:
you multiply by the exchange rate.
T/F : the baldrige award can only be won by manufacturing organizations.
The given statement "the Baldrige Award can be won by organizations other than manufacturing ones" is false because the Malcolm Baldrige National Quality Award is a prestigious award given by the United States government to recognize businesses and organizations
The United States government bestows the prestigious Malcolm Baldrige National Quality Award on companies and organisations that have excelled in performance and commitment to ongoing operation improvement. The award includes categories for healthcare, education, nonprofit, and service organisations in addition to manufacturing organisations.
This diverse range of sectors highlights the applicability and importance of the Baldrige Criteria for Performance Excellence across various industries. The goal of the award is to encourage best practices, innovation, and performance excellence, thereby promoting a stronger and more competitive business environment in the United States.
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A firm's P/E ratio tends to be higher if .A. its risk and its growth prospects are higherB. its risk and its growth prospects are lowerC. its risk is higher and its growth prospects are lowerD. its risk is lower and its growth prospects are higher
A firm's P/E ratio tends to be higher if B. its risk and its growth prospects are lower.
Why is a high PE ratio significant?A high P/E ratio could signify that a stock is overvalued because it shows that its price is excessive in comparison to its earnings. A low P/E ratio, however, may indicate that a company is cheap.
In what ways is the PE ratio related to risk?The cost of stock is affected by the PE ratio, which is a function of a firm's perceived risk. In comparison to a comparable company with a lower cost of equity, one with a higher cost of equity will trade at a lower multiple of earnings.
Is a greater or lesser PE ratio preferable?The price-to-earnings ratio, or P/E ratio, is a simple way to tell if a stock is overvalued or undervalued. Therefore, a lower P/E ratio often benefits the company as well as potential investors. The ratio is derived by dividing the stock price by the earnings per share of the company.
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Ralph is a purchase manager in a manufacturing business. He is about to buy raw materials to manufacture a new product. To begin, he thinks he must first consider the target market. What can Ralph do to carry out this task?
A. Visit trade shows and network with other producers
B. Refer to trade magazines and begin meeting up with top notch suppliers
C. Produce a small quantity, sell it, and assess the reactions of customers
D. Explore the demographics, such as age and locations, of his potential customers.
Answer:
d
Explanation:
took it
Answer:
D
Explanation:
correct on plato
The idea that says that the reduction in quantity demanded is because price increases make us poorer is known as the
Answer:
It's substitution effect
Explanation:
hope this helps:)
Which of the following best explains how the money supply changed during the early part of the Great Depression? In the early part of the Great Depression, the money supply decreased due to huge bond-buying programs by the Federal Reserve. In the early part of the Great Depression. the money supply increased due to individuals withdrawing funds and holding more currency. In the early part of the Great Depression. the money supply increased due to huge bond-buying programs by the FederalReserve. In the early part of the Great Depression, the money supply decteased.due to individuals withdrawing funds and holdingmore cudency In the early part of the Great Depression. the rrioney stoply inicreased.due.to uncertainty and unemployment Previous
In the early part of the Great Depression, the money supply decreased due to huge bond-buying programs by the Federal Reserve.
During the early part of the Great Depression, the Federal Reserve implemented large-scale bond-buying programs as a measure to stabilize the financial system. These bond-buying programs were intended to inject liquidity into the economy and support the banking sector. However, the consequence of these programs was a reduction in the money supply. When the Federal Reserve purchases bonds, it essentially removes money from circulation, as the funds used to buy the bonds are taken out of the banking system. As a result, there was a decrease in the overall money supply available for lending and economic activity, contributing to the economic downturn of the Great Depression.
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Suppose the economy is currently experiencing a recessionary gap. Which of the following fiscal policy options is most likely to increase real GDP by the largest amount?
An increase in government spending and/or a reduction in taxes will result in a rise in GDP.
Which fiscal strategy would boost real GDP?Expanding government spending, lowering taxes, or increasing government transfers are examples of expansionary fiscal policy instruments. Any of these actions will raise aggregate demand, which will enhance output, employment, and price level.
What is fiscal policy that is in contraction and when is it used?When inflation is rising too quickly, for example, contractionary fiscal policy is employed to cut down the economy's expansion. Contractionary fiscal policy, which is the antithesis of expansionary fiscal policy, increases taxes while reducing spending. Consumers have less money to spend as a result of higher taxes, which slows economic growth and stimulus.
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Which situation most directly illustrates a possible outcome of a fiscal
policy?
A. New environmental regulations make drinking water in a city safer.
B. The government decides it is time to print a great deal of new
money
O C. Struggling farmers receive less assistance from the government.
O D. A company decides to expand its operations into several new
states
Answer:
C
Explanation:
The correct answer would be option C that says that the struggling farmers receive less assistance from the government as fiscal policies are associated with determining the expenses and taxation policies to the various sectors to regulate the direction of the economy.
There are two types of Fiscal Policy that are Expansionary and Contractionary.
Expansionary fiscal policy:
deals with an increase in spending and/ or relaxing in taxation by the government so that consumers in the economy get more money.Contractionary policy:
deals with reducing spending and/ or increasing taxation.In this case, farmers did not get assistance from the government due to reducing the amount of Federal money available for farming and farmers is an illustration of Contractionary fiscal policy.
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The cost of external equity is not impacted by a tax shield effect.
A. True
B. False
The statement that "the cost of external equity is not impacted by a tax shield effect" is true. This is because external equity, which refers to the funds raised by issuing stocks to investors, does not involve any interest payments that would be eligible for tax deductions. In contrast, debt financing, which involves borrowing money and making interest payments, allows companies to benefit from a tax shield effect where the interest payments are tax-deductible, thus reducing the company's tax liability.
When calculating the cost of external equity, companies typically use the Capital Asset Pricing Model (CAPM), which takes into account the risk-free rate, market risk premium, and beta of the company's stock. The cost of external equity is thus based on the expected return required by investors to invest in the company's stock, and it is not affected by the tax shield effect. Furthermore, the cost of external equity is generally higher than the cost of debt due to the higher level of risk involved. Investors who buy stocks expect higher returns to compensate for the uncertainty and volatility associated with the stock market. Thus, even if the tax shield effect were applicable to external equity, it would likely have a negligible impact on the cost of external equity. In summary, the statement that the cost of external equity is not impacted by a tax shield effect is true because external equity does not involve interest payments that would be eligible for tax deductions, and the cost of external equity is based on the expected return required by investors to invest in the company's stock.
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TrueThe cost of external equity is the cost a company incurs to raise funds from external investors, such as issuing new shares.
It is typically higher than the cost of internal equity (retained earnings) because external equity investors require a higher return to compensate for the additional risk they are taking.One reason why the cost of external equity is not impacted by a tax shield effect is because external equity investors, such as common stockholders, do not receive any tax benefits from interest payments or other deductible expenses. In contrast, debt financing creates a tax shield effect because interest payments are tax-deductible, reducing the amount of taxable income and thus reducing the amount of taxes owed. Therefore, when a company uses debt financing, the cost of debt is reduced by the tax shield effect. However, this effect is not present for external equity financing, so the cost of external equity is not impacted by it.
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which is a way to increase your net worth
Ways to increase your net worth are
Contribute more money to your retirement fund.Reduce your spending.It's time to get rid of high-interest loans.Make a contingency fund. This is further explained below.What is net worth?Generally, taking into consideration all financial assets and obligations of a person/company/household.
In conclusion, Consolidate or renegotiate your debts.
Keep your vehicles for as long as you can.
Boost your wages
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Which of the following's a criticism of real business cycle theory? Real business cycle theory fails to explain the phenomenon of economic growth. Real business cycle theory assumes that money wage rates are sticky. Real business cycle theory believes that productivity changes are caused by technology changes when in fact they are caused by changes in aggregate demand. None of the above are criticisms of real business cycle theory
Answer:
In contrast to what the real business cycle theory holds, fluctuations in aggregate demand are what drive variations in productivity.
Explanation:
Omar runs a popular sports bar and grill that is soon to Implement a new point-of-sale software. Which of these represents a learning objective that Omar might set?
Multiple Choice
A. Increase the number of tables who order appetizers.
B. Decrease food waste by 15%.
C. Provide all customers with a follow-up survey.
D. Ensure all employees complete a virtual training on the new software.
Ensure all employees complete a virtual training on the new software.
What is employees?Employees are the individuals who make up a workforce of an organization, company, or business. They are the people who are hired by the employer to carry out specific job roles and responsibilities. Workers are the heart and soul of every business, and they work together to ensure the success and expansion of the enterprise. It is important for employers to hire the right people, provide them with the necessary resources, and create a positive work environment to ensure that they are engaged, motivated, and productive. Additionally, employers should provide their employees with competitive wages and benefits, ensure their safety and well-being, and provide them with opportunities for professional growth and development.
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What would happen if you had $30 in your checking account and you tried to take out $45 at the grocery store using your debit card?
Answer:
I believe that the transaction would fail giving you some text similer to "Transaction failed, please try again." or "Insufficient funds."
You just turned 18, and you can get your own credit card. But, because you are a young person with no credit history your interest rate will be relatively high at 26%. If your parents put you on their credit card account, your interest rate will be much lower at 16%. If you buy a new HDTV for $695. what would the difference be between the two cards over 8 months
Answer:
d) $46.34
Explanation:
I got it right
Use the graph to answer the question that follows.
Which statement describes the shift from D1 to D2?
Demand for the product increased.
Less of the product is being produced.
Demand for the product decreased.
More of the product is being produced.
The statement that describes the shift from D1 to D2 is the demand for the product increased.
What does the shift from D1 to D2 signify?The graph represented in the image is that of a demand curve. A demand curve is a curve that shows the relationship between price and quantity demanded.
The demand curve is negatively sloped because the higher the price, the lower the quantity demanded. This is in line with the law of demand.
When the demand curve shifts to the right, it indicates an increase in demand. When the demand curve shifts to the left, it indicates a decrease in demand.
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Answer:
Demand for the product increased!
Explanation:
option A
Please select the word from the list that best fits the definition Enjoy music in their free time
Answer:
Auditory Learners
Explanation:
I got it right on edge 2022.
The return an investor earns on a bond over a perlod of time is known as the holding perlod return, defined as interest income plus or minus the change in the bond's price, all divided by the beginning bond price. a. What is the holding perlod return on a bond with a par value of $1,000 and a coupon rate of 5.5 percent if its price at the beginning of the year was $1,115 and its price at the end was $990 ? Assume Interest is pald annually. Note: Negative value should be indicated by parenthesis. Round your answer to 2 decimal places.
The holding period return on the bond is approximately -0.063, or -6.3% (rounded to two decimal places).
How to Get the Holding Period Return of Bond?To reckon the holding period return on a bond, we need to deem the interest income and the change in the bond's price.
Given facts:
Par value of the bond (face value) = $1,000
Coupon rate = 5.5%
Beginning price = $1,115
Ending price = $990
First, allow's reckon the interest income. Since the interest command a price of occurring, we can find it by reproducing the coupon rate for one apparent worth of something:
Interest profit = Coupon rate * Par value
Interest income = 0.055 * $1,000
Interest salary = $55
Next, we'll decide the change in the bond's price:
Price change = Ending price - Beginning price
Price change = $990 - $1,115
Price change = -$125 (negative value signifies a decrease in price)
Now, we can reckon the estate period return:
Holding ending return = (Interest revenue + Price change) / Beginning price
Holding ending return = ($55 + (-$125)) / $1,115
Let's calculate the profit:
Holding ending return = -$70 / $1,115
Holding period return ≈ -0.063
Therefore, the equity ending return on the bond is nearly -0.063, or -6.3% (rounded to two having ten of something places).
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How can being smart, kind and generous make you a better person? Click to add to
Answer:
it will help you in life
Explanation:
when your kind and generous you can get a better job and to help you make friends and also you can be smart because you can apply to be a teacher or a tutor to help others
what is fiscal policy
Fiscal policy is the use of government revenue collection and expenditure to influence a country's economy.
Financial management involves decisions about which of the following:
A. Which projects to fund.
B. How to minimize taxation.
C. What type of capital should be raised.
D. All of these.
E. Only A and C above.
Financial management involves decisions about D. All of these i.e. Which projects to fund, How to minimize taxation, and What type of capital should be raised.
Making a business strategy and then ensuring that all departments stay on course is financial management. A long-term vision may be created with the use of data that the CFO or VP of finance can supply. This data also helps with investment decisions and provides information on how to finance those investments as well as liquidity, profitability, cash runway, and other factors.
Accountancy, fixed-asset management, revenue recognition, and payment processing are just a few of the financial operations that are included in a financial management system.
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A physical inventory at the end of June was $882,000. Estimated Returns Inventory is expected to increase to $16,500. What is Cerelat Co.'s income from operations for year? a. $180,000 b. $136,000 c. $105,000 d. $171,500
Net Sales = $2,800,000 – $16,500 = $2,783,500Cost of Goods Sold can be calculated as follows: Cost of Goods Sold = Beginning Inventory + Purchases – Ending Inventory Therefore, $950,000 + $2,250,000 – $882,000 = $2,318,000O
The income from operations for Cerelat Co. for the year can be calculated by the following formula: Income from Operations = Net Sales – Cost of Goods Sold – Operating ExpensesNet Sales can be calculated as follows:Net Sales = Sales – Sales Returns – Allowances Therefore, Net Sales = $2,800,000 – $16,500 = $2,783,500Cost of Goods Sold can be calculated as follows: Cost of Goods Sold = Beginning Inventory + Purchases – Ending InventoryTherefore, $950,000 + $2,250,000 – $882,000 = $2,318,000 Operating Expenses are given to be $660,000Therefore,Income from Operations = $2,783,500 – $2,318,000 – $660,000= $180,500The income from operations for Cerelat Co. for the year is $180,500.Option (a) $180,000 is the closest approximate answer to the exact answer.
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Which business organization has several owners, has unlimited liability, and shared decision making power?
A business organization that has several owners, unlimited liability, and shared decision-making power is a general partnership.
In this type of partnership, two or more individuals agree to share the profits and losses of a business equally, or as specified in the partnership agreement. Each partner is responsible for the business's debts and obligations, which means that their personal assets can be used to pay off business debts if the partnership is unable to do so. In a general partnership, all partners have an equal say in the business's operations, including decision-making processes. This type of business organization is often used in professional services such as law, accounting, and consulting firms.
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any improvement you make to real estate will increase its value. select one: a. true b. false
b. false
Not all improvements made to real estate will necessarily increase its value. While certain improvements can indeed enhance the value of a property, such as renovations, additions, or upgrades that improve functionality, aesthetics, or energy efficiency, there are also cases where improvements may not have a significant impact on the property's value.
The value of real estate is influenced by various factors, including location, market conditions, supply and demand, economic factors, and the preferences of potential buyers. Additionally, the quality and suitability of the improvements, as well as the overall condition of the property, can also affect its value.
It is important to consider factors such as market trends, buyer preferences, and the potential return on investment before making improvements to real estate with the intention of increasing its value.
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alana has been exceeding her targets for the past two months, and therefore her boss decided to give her a bonus. this is an example of reinforcement. multiple choice positive authoritative cognitive negative affiliative
The given scenario is an example of reinforcement, specifically positive reinforcement. Positive reinforcement is a behavior modification technique where a reward or incentive is given to an individual after exhibiting a desired behavior
The concept of reinforcement is widely used in various settings, including schools, workplaces, and homes. It is an effective way of encouraging desirable behavior and discouraging undesirable behavior.
Positive reinforcement works by increasing the chances of behavior being repeated, whereas negative reinforcement works by reducing the chances of a behavior being repeated. In contrast, punishment aims to reduce the likelihood of an undesired behavior from happening again.'
Positive reinforcement can take many forms, such as verbal praise, bonuses, promotions, certificates, and other tangible rewards. The important aspect of positive reinforcement is that it motivates individuals to strive harder and put in more effort to achieve their goals. It also helps to create a positive work environment and fosters a culture of recognition and appreciation.
In conclusion, the scenario of Alana receiving a bonus for exceeding her targets is an example of positive reinforcement. It highlights the importance of rewarding good behavior and how it can motivate individuals to continue to perform at their best. The correct answer is " positive reinforcement."
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if the low-grade ore requirement was raised to 35 tons: what minimum cost could be realized? would the optimal solution change?
The minimum cost that could be realized if the low-grade ore requirement was raised to 35 tons would remain the same or be slightly higher depends on several factors, including the current cost of ore and the total cost of production and the optimal solution might change. Raising the requirement would likely increase the total cost of production, as more ore would need to be mined.
The optimal solution might change depending on the other production costs, such as labor, transportation, and equipment. If the cost of ore is low enough that it does not significantly add to the overall production cost, then the optimal solution may remain the same. If, however, the cost of ore is high enough that it does add significantly to the overall cost, then the optimal solution might change to make use of ore from other sources or with a higher grade.
In conclusion, the minimum cost that could be realized if the low-grade ore requirement was raised to 35 tons depends on the current cost of ore and other production costs. The optimal solution may remain the same or may change depending on the relative costs of the various production components.
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If you were a business man,how would you handle your home trade
Answer:
I wouldnt
Explanation:
i like my home, i wouldnt want to trade it
Which is an example of the projected increase in the world economy from the recent doha round of world trade organization negotiations?
An example of the projected increase in the world economy from the recent Doha round of world trade organization negotiations is $160 billion to $385 billion per year
The Doha Round is the most recent round of trade talks among WTO members.
Its goal is to significantly modify the international trading system by lowering trade barriers and revising trade laws.
The labor program spans approximately 20 trade categories.
The Round is also known semi-officially as the Doha Development Agenda because one of its primary goals is to boost developing countries' trading prospects.
The Round was officially begun in November 2001 at the WTO's Fourth Ministerial Conference in Doha, Qatar. The Doha Ministerial Declaration established the framework for prior agreements, including those on agriculture, services, and intellectual property.
Hence, the answer is $160 billion to $385 billion per year.
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