Question 4 (5 points)

It's important to buy a business computer, rather than a personal computer, because


it's more impressive to your clients.


doing work on a personal computer is difficult.


time is money.


the name says it all.

Answers

Answer 1

There are several reasons why it's important to buy a business computer rather than a personal computer for your work:

DurabilitySecurityPerformanceSupportWarranty


Business computers are designed to withstand heavy usage and are built with higher quality components than personal computers, which are generally designed for more casual use.  Business computers typically come with more advanced security features, such as biometric authentication and encryption, to protect sensitive business data.  

Business computers are optimized for performance and are often equipped with faster processors, more memory, and higher quality graphics cards than personal computers. This can be particularly important for businesses that rely on demanding software applications.  

Business computers are typically sold with dedicated technical support and maintenance services to help ensure that any issues are quickly resolved, minimizing downtime and disruption to business operations. Business computers often come with longer and more comprehensive warranties than personal computers, which can provide additional peace of mind for business owners and their employees.

The complete question is
It's important to buy a business computer, rather than a personal computer, because

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Related Questions


Diego wants to buy a dirt bike. He borrows a $7,999 simple interest loan from the bank
for 36 months at an interest rate of 9.7%.How much simple interest will he pay

Answers

Answer:

$ 2,327.709

Explanation:

Only the principal amount is considered when calculating simple interest. In simple interest, the principal amount remains constant. The formula for simple interest is as I = p x i x t

where I = interest

P = principal amount ...

i= interest rate

t= time

For Diego, p= $7,999, i= 9.7% , t 36 months or 3 years

Diego will pay

I= 7999 x( 9.7/100) x 3

I= 7999 x 0.097 x 3

Diego will pay  $ 2,327.709

which of the following is a reverse logistics activity:

Answers

One example of a reverse logistics activity is product returns.

Reverse logistics activities involve managing the flow of products or materials from the point of consumption back to the point of origin. These activities are essential for companies to optimize their operations, reduce costs, and minimize environmental impact.

One example of a reverse logistics activity is product returns. When customers return products to a company, the company needs to handle the returned items efficiently. This involves inspecting the returned products, determining their condition, and deciding whether to refurbish, repair, resell, or dispose of them.

Product returns are a common occurrence in various industries, including retail, e-commerce, and manufacturing. Companies often have specific processes in place to handle product returns, including return authorization, return shipping, and refund or exchange procedures.

By effectively managing product returns, companies can maintain customer satisfaction, reduce waste, and recover value from returned items. This reverse logistics activity helps companies optimize their supply chain and improve overall operational efficiency.

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quantitative problem 3: assume today is december 31, 2019. imagine works inc. just paid a dividend of $1.20 per share at the end of 2019. the dividend is expected to grow at 15% per year for 3 years, after which time it is expected to grow at a constant rate of 5.5% annually. the company's cost of equity (rs) is 10%. using the dividend growth model (allowing for nonconstant growth), what should be the price of the company's stock today (december 31, 2019)? do not round intermediate calculations. round your answer to the nearest cent.

Answers

The price of the company's stock today (December 31, 2019) is $49.27

Previous year dividend in year 1 = Dividend just paid = $1.20

Total of dividends from year 1 to 3 = $4.71

Year 3 dividend = $2.21

Thus, we have,

Year 4 dividend = Year 3 dividend * (100% + Constant dividend growth rate) = $2.218 * (100% + 5.5%) = $2.340

Share price at year 3 = Year 4 dividend / (Cost of equity - Constant dividend growth rate) = $2.34 / (10% - 5.5%) = $58.50

So, the price of the company's stock today = Total of dividends from year 1 to year 3 + PV of share price at year 3

= $4.711 + $44.55 = $49.27

Hence, the price of the company's stock today (December 31, 2019) is $49.27

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1.increasing the temperature increases the rate of a reaction by dissolution of solid in liquid.
2.Tyndall effect is the ability of homogeneous mixtures to scatter light​

Answers

Answer:

1. For many solids dissolved in liquid water, the solubility increases with temperature. The increase in kinetic energy that comes with higher temperatures allows the solvent molecules to more effectively break apart the solute molecules that are held together by intermolecular attractions.

2. The Tyndall Effect is the effect of light scattering in colloidal dispersion, while showing no light in a true solution. This effect is used to determine whether a mixture is a true solution or a colloid.

Which account option offers a higher rate of return in exchange for deposits that are
larger than normal?
O Certificate of deposit
Checking
O Savings
Money market

Answers

Answer:

A Money Market Deposit Account is similar to regular savings account, but offers a higher rate of interest in exchange for larger than normal deposits. A Money Market Fund invests in low risk securities

Money market is the account option offers a higher rate of return in exchange for deposits that are larger than normal. Hence, option D is correct.

What is money market?

A money market deposit account offers a greater rate of interest in exchange for larger deposits than usual, Similar to a standard savings account. A money market fund makes low-risk investments.

Commercial paper, call money, bills of exchange, promissory notes, trade credit, and certificates of deposit are the examples.

Thus, option D is correct.

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Knowledge check here is a chart of the Nasdaq Composite , the world's main technology index. It peaked in the dotcom bubble on March 10, 2000 The P/E ratio later peaked above 500. In hindsight , this is widely agreed to have been a bubble. In March 2015, the index value for the first time since then surpassed the peak. why might some investors at that point have argued " this time it's different"?

Answers

The some investors at that point have argued "this time it's different" it because earnings grew substantially, meaning that the P/E ratio in early 2015 was only around 30.3x.

What is P/E ratio?

P/E ratio or price to earning ratio is a ratio in stock market to determine the value of stock if their overvalued or undervalued.

Overvalued it means when the stock price is considered too high compared to the income for each of stock. Undervalued it means when the stock price is considered too low compared to the income for each of stock.

It should be noted that the P/E ratio uses a comparison of prices and earnings so that if one of these factors changes, this will affect the P/E ratio.

Thus, if earnings grow substantially it will make lower P/E ratio and it will make different than on March 10, 2000 where P/E ratio is extremely high.

You question is incomplete, but this is a general answer about P/E ratio.

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suppose the industry your business is in has 10 buyers but 50 sellers. this means there is a low bargaining power of buyers. true or false

Answers

False. The statement is incorrect. In the given scenario where there are 10 buyers but 50 sellers in the industry, it would indicate a high bargaining power of buyers rather than a low bargaining power

Bargaining power refers to the relative influence and leverage that buyers or sellers have in a market. When there are fewer buyers compared to sellers, each buyer has more options and choices among the available sellers. This gives buyers the advantage of being able to negotiate better terms, prices, or conditions from the sellers, as they have more alternatives to consider.

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when best buy provides a loyal customer with a relevant coupon on their mobile phone, based on previous purchases, while the customer is in the store, this is an example of which element of the 4e framework?

Answers

The example of provides a loyal customer with a relevant coupon on their mobile phone is the type of relevancy and exciting the customer in the 4e framework. It has a function to attract the customer to buy a product.

In economic and business, Product strategy generally can be described as the high-level plan for developing and marketing a product. Beside that, product strategy also can be described as how the product supports the business strategy and goals, and is brought to life through product roadmaps. There are four major elements of business strategies, such as customer, competitors, makro environment, and also market. Beside that also there are several types of business strategies, such as comparative business strategies, differentiation business strategies, and segmentation business strategies.

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The W-4 tax form is used to?

Answers

Answer:

use compute the amount of federal income tax to deduct and withhold from the employee's pay

Explanation:

Answer:

tell your employees how much federal income tax to withhold from your paychecks to send to the IRS

Explanation:

Colin listed his assets and liabilities on a personal balance sheet.

Colin’s Balance Sheet (August 2013)
Assets
Liabilities
cash
$1,500
credit card
$500
stocks
$800
rent
$800
car
$5,000
car loan
$1,200
coin collection
$1,200
student loan
$5,000
Total

Total


Which statement is true about the total assets and the total liabilities?
The total of the assets and the liabilities are the same.
The total of the assets is greater than the total of the liabilities.
The total of the assets is less than the total of the liabilities.
The total of the assets cannot be compared to the total of the liabilities.

Answers

Answer:

B

Explanation:

Commercially reasonable means Multiple Choice observing industry standards and practices that are generally accepted throughout various industries as proper business practices. charging a fair price for goods and not taking advantage of others in the industry. getting the highest price possible for goods without violating the law. observing industry standards and practices that may be unique to the particular industry.

Answers

Answer:

observing industry standards and practices that may be unique to the particular industry.

Explanation:

Commercially reasonable activities are based on a standard of reasonableness. It gauges what a reasonable person or entity will do in a given situation.

For example a standard for operation is defined in an industry and used as a basis the determine if business practices of a company are reasonable or not.

It involves good faiths effort on the part of the actors to meet as much as possible a similar objective or activity under similar circumstances.

In this instance commercially reasonable is defined as observing industry standards and practices that may be unique to the particular industry.

Lavonda’s very wealthy grandmother recently died. After her death, everything she owned totaled $1,000,000. However, her family was only given $700,000. What MOST likely happened to the other $300,000?

It was used to cover income taxes.

It was used to cover sales taxes.

It was used to cover excise taxes.

It was used to cover estate taxes.

Answers

Answer: wrong it is estate taxes

Explanation:

The most likely event happened to the other $300,000 that It was used to cover estate taxes. Thus last option is correct.

What is the meaning of Estate taxes?

Estate Tax refers to the form of the tax in which a charge placed on a property owner's ability to transmit their possessions to others after passing away that takes the shape of a percentage of their taxable estate.

According to the above situation, the death of the Lavonda’s grandmother led to the implementation of the Estate Tax on her wealth of $1,000,000.

Therefore, the taxable estate to be included is  $300,000. Thus last option is correct.

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How does contractionary policy affect output?

Answers

By standard measures of gross domestic product (GDP),contractionary fiscal policy appears to reduce total output.

Taxes tend to reduce private consumption just as spending cuts reduce government consumption.Tight monetary policy is driven by increases in the various base interest rates controlled by modern central banks or other growth-producing means.Reducing the money supply generally slows economic growth.As the money supply in the economy declines, individuals and businesses typically stop investing and major capital spending,and businesses slow down their production.Contractionary fiscal policy is used to slow down economic growth,such as when inflation grows too fast.Contrary to expansionary fiscal policy, contractionary fiscal policy increases taxes to reduce spending. As consumers pay more in taxes,they have less money to spend and economic stimulation and growth slows.

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If a project could have a bad outcome
A) the discount rate should be increased
B)the market risk premium should be revised downward C)the beta should be increased
D) expected cash flows should be adjusted downward to reflect this possibility

Answers

The correct answer is D) expected cash flows should be adjusted downward to reflect this possibility. When a project has the potential for a bad outcome, it means there is a higher risk associated with the project's cash flows.

To account for this risk, the expected cash flows should be adjusted downward. By adjusting the cash flows, the negative possibility is factored into the analysis, leading to a more accurate assessment of the project's expected value.

Increasing the discount rate (option A) would only reflect a higher required return due to increased risk but wouldn't specifically address the bad outcome.

Revising the market risk premium (option B) and increasing the beta (option C) would also adjust the required return but may not directly address the potential negative outcome. Adjusting the expected cash flows (option D) is the most appropriate action to reflect the possibility of a bad outcome.

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What was yesterdays Price? Whats todays Price?  
Find 5 stocks that you are interested in investing in. Give the company Name, Ticker Symbol, Share price today and What the Company does?

Pls do it pls I need it really needed it for today pls answer it

Answers

Answer:

The price is higher then it was yesterday

Explanation:

Can you be wise and intelligent at the same time .

Answers

Answer:

yes :)

Explanation:

wisdom comes from experience intelligence doesn't

Answer:

yes of course .................

refer to scenario 1.4. recently, darlene has found that they have begun to reach market saturation. she is having trouble finding new customers. one solution would be to increase the company's reach, perhaps by opening up locations in other areas. however, she knows this will be expensive. after noticing that many of their customers are planning on expanding and purchasing bigger facilities, darlene feels that the best option is to increase the company's . a. market share b. promotional efforts c. product output d. customer lifetime value e. share of customer

Answers

In the above situation, it may be stated that increasing the company's product output for expanding and purchasing bigger facilities. Therefore, the option C holds true.

The production and output of a business organization is the most important factor of any business environment. In fact, its influential is so much so that the reach of the company may be increased with a dedicated growth in its revenues and profits at the same time. It is also the most apt thing that can be done in the situation given above.

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Accounts receivable f. The right to receive cash in the future from customers for goods sold or for services performed. 2. Other receivables e. A miscellaneous category that includes any other type of receivable where there is a right to receive cash in the future. 3 Debtor b. The party who receives a receivable and will collect cash in the future. 4. Notes receivable c. A written promise to pay a specified amount of money at a particular future date. 5. Maturity date d. The date when the note receivable is due. 6. Creditor

Answers

Answer:

1. Account receivable.

2. Other receivables.

4. Notes receivable.

5. Maturity date.

Explanation:

1. Account receivable: the right to receive cash in the future from customers for goods sold or for services performed. Accounts receivable can be defined as an account which gives information about legally enforceable monetary claims that are to be recovered by a company from a customer who is yet to make payment.

2. Other receivables: a miscellaneous category that includes any other type of receivable where there is a right to receive cash in the future.

3. Debtor: the party who receives a receivable and will collect cash in the future.

4. Notes receivable: a written promise to pay a specified amount of money at a particular future date.

5. Maturity date: it is the date when the note receivable is due.

What term is commonly used to describe how a company builds and maintaining strong barriers to withstand competitive attacks?.

Answers

A natural next step is a term used to describe how a company builds and maintains strong barriers to withstand competitive attacks.

In the field of business, the natural next step can be described as a part of marketing principle #3. According to this marketing principle, there is a reaction shown by every competitor in a market to its rival.

The natural next step is a strategic plan to overcome rivals in a business by forming trusted and good relations with customers. Strong barriers in the form of enhanced connections with the customers are made so that competitive attacks could be withstood.

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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.

Answers

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.

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You see Paul dealing with Susan, an upset employee from another department. Susan is complaining about something that your department was supposed to do but didn't. You are in a back room and have not been seen by Susan. Paul is obviously frustrated and unable to deal with Susan effectively. You should:

a. Walk up to the pair and attempt to change the conversation.
b. Introduce yourself to Susan and offer your assistance.
c. Ask your supervisor to offer some interpersonal skills training to Paul.
d. Tell Paul that Susan is needed by the supervisor to end the situation.

Answers

I think option (b) is the correct

The government claimed that, to illegally control the market, Microsoft used

a. predatory pricing and mergers.
b. predatory pricing and buying out competitors.
c. predatory pricing and forming a cartel.
d. predatory pricing and requiring customers to buy other products.

Answers

Answer:

B. Predatory pricing and buying out competitors

a c corporation description

Answers

It's the most common type of corporation in the U.S. – and with good reason. C corporations (c corps) offer unlimited growth potential through the sale of stocks, which means you can attract some very wealthy investors. Plus, there is no limit to the number of shareholders a c corp can have.

Advantages of a C Corporation
There are many benefits of a c corp. Below are just a few that stand out.

Limited liability. This applies to directors, officers, shareholders, and employees.
Perpetual existence. Even if the owner leaves the company.
Enhanced credibility. Gain respect among suppliers and lenders.
Unlimited growth potential. The sky's the limit thanks to the sale of stock.
No shareholders limit. However, once the company has $10 million in assets and 500 shareholders, it is required to register with the SEC under the Securities Exchange Act of 1934.
Certain tax advantages. Enjoy tax-deductible business expenses.
Disadvantages of a C Corporation
Having unlimited growth comes with a few minor setbacks.

Double taxation. It's inevitable as revenue is taxed at the company level and again as shareholder dividends.
Expensive to start. There are a lot of fees that come with filing the Articles of Incorporation. And corporations pay fees to the state in which they operate.
Regulations and formalities. C corps experience more government oversight than other companies due to complex tax rules and the protection provided to owners from being responsible for debts, lawsuits, and other financial obligations.
No deduction of corporate losses. Unlike an s corporation (s corp), shareholders can't deduct losses on their personal tax returns. How to Form a C Corporation
Choose a legal name and reserve it, if the Secretary of State in your state does that sort of thing (not all do).
Draft and file your Articles of Incorporation with your Secretary of State.
Issue stock certificates to the initial shareholders.
Apply for a business license and other certificates specific to your industry.
File Form SS-4 or apply online at the Internal Revenue Service website to obtain an Employer Identification Number (EIN).
Apply for any other ID numbers required by state and local government agencies. Requirements vary from one jurisdiction to another, but generally your business most likely will be required to pay unemployment, disability, and other payroll taxes – you will need tax ID numbers for those accounts in addition to your EIN.

If all incomes were equalized by government taxes and transfer payments, b. how much would the average household in the highest income quintile pay in taxes?

Answers

Government finances, which are divided into revenues (such as tax receipts), expenditures (spending), debt, and assets, also include government taxes (cash and security holdings). Government taxes are discussed in length and with figures in this section. Locate the most recent articles, publications, and other content.

                   A

            Average Income                B

        Equalized income                                                                        B-A

                                                                                                     Gain(+) or

                                                                                                         Lose(-)

Highest fifth  202000              79300                               -122700

Second fifth   92000             79300                                         -12700

Third fifth    57000              79300                                         22300

Fourth fifth    33000               79300                                   46300

Lowest fifth    12500              79300                                    66800

government taxes are compulsory contributions that a government agency, whether local, regional, or federal, imposes on people or businesses. Public works and services like roads and schools, as well as programs like Social Security and Medicare, are funded by government taxes income.

In economics, taxes fall on whoever bears the cost of the tax, whether this is the taxed entity, such as a business, or the final users of the items produced by the business. Payroll government taxes, federal and state income taxes, and sales taxes are just a few of the government taxes that need to be taken into account from an accounting standpoint.

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Step 1
You have been asked to help a business carry out a risk assessment. The owner isn’t too familiar with what he has to cover and which areas of the business should be considered. You need to create a simple plan for him to follow during the actual assessment. Your plan will cover the different aspects of risk assessment, such as business threats or financial risks and include examples of potential risks that may exist and affect the business in question. With your plan, the owner should be able to perform a thorough risk assessment later.

Step 2
The risk assessment has been carried out and fortunately has not uncovered any major problems. Now the owner wants your help in choosing the right kind of insurance for his business. Help him by writing a guide on what to consider when making this decision so that he chooses the right kind of insurance. Be sure to mention important factors such as the influence of the business’s location, the number of employees, and the industry they are in.

Answers

The aspects of the risk management would be:

identification of risksrisk management planthe monitoring and the review of the plan

What is to be done in order to access the aspects of the risk?

Here is a simple plan for conducting a risk assessment:

Identify the potential risks: This includes identifying the different types of risks that may affect the business, such as operational risks, financial risks, and compliance risks. Examples of potential risks include natural disasters, data breaches, and changes in government regulations.

Assess the likelihood and impact of each risk: Evaluate the likelihood of each identified risk occurring and the potential impact it would have on the business. This will help prioritize which risks need to be addressed first.

Develop a risk management plan: Based on the likelihood and impact of the risks, develop a plan to address and mitigate them. This can include putting in place preventative measures, such as implementing security protocols to prevent data breaches, or creating a disaster recovery plan to address natural disasters.

Monitor and review the plan: Regularly review and monitor the effectiveness of the risk management plan and update it as needed to ensure it remains current and effective.

Communicate and educate: Communicate the risk assessment plan and any identified risks to employees, stakeholders, and other relevant parties, and provide training and education to ensure they understand their role in implementing the plan.

It's also important to have a professional help you with the risk assessment, since there are many standards and regulations that you need to comply with.

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Suppose that for a particular firm the only variable input into the production process is labor and that output equals zero when no workers are hired. in addition, suppose that fixed cost is $130, marginal cost of each worker hired is constant at $40, and the average total cost when three workers are hired is $50. what is the output when three workers are hired?

Answers

The output when three workers are hired is 7.

What is the meaning of variable inputs?

Variable inputs are inputs whose quantity may be varied in a short time, usually less than a year, in response to shifts in market demand. The time frame between one month and one year is a practical guideline for identifying variable inputs.

Variable inputs are referred to as "short-term" inputs since they can be changed rapidly in response to variations in market demand or supply availability. Examples of variable inputs include raw materials, labor, and energy.

Now coming to the problem, the cost curves of a company are given.

Fixed cost = $130

Marginal cost = $40

Average total cost = $50

Therefore,

Average variable cost = Average total cost - Average fixed cost.

Average variable cost = $50 - $130 = -$80.

Since the average variable cost is less than zero, it is evident that the output cannot be increased any more. As a result, the third worker adds no value to the production method.

The output is calculated as follows:

Output = Fixed cost + (Marginal cost × Number of workers)

Output = 130 + (40 × 3) = 130 + 120 = 250

The output of the company is 250 when three workers are hired.

What is the total product (TP)?

Total product is a measure of production in economics that calculates the total quantity of goods and services generated by a company. The number of units of a commodity produced is called the total product, which is also known as the total physical product.

The overall productivity of a company can be measured using this metric.

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As represented in this video case, the merger that occurred between these two companies represents a(n) _____ force affecting the need for change

Answers

As represented in this video case, the merger that occurred between these two companies represents "outside" force affecting the need for change. To give best in the marketplace, the demand curve and customer need fulfilment.

The demand curve is the curve which shows the relation between the quantity of the products or goods with respect to the price of the products or goods, or the given time period.

The merger that occurred between these two companies represents "outside" force affecting the need for change.

The demand curve are of different kinds of curve which are elastic, inelastic, individual and the market curves. The determinants of demand curve which is the price of the goods or services, the income of buyers, the prices of related goods or services, and the tastes or preference of consumers will drive demand.

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1. Why is it so hard to become an accountant in the Philippines when there is a high demand for it?

Answers

Accountancy has reportedly been one of the most sought-after courses since, according to what I know. Accountants are in higher demand as additional demand business types start to appear in the developing Philippine economy. The difficulty of staying current with tax legislation is one that accountants continuously deal with.

In the Philippines, all tax and auditing services should be informed of the developments and make effective use of technology. Utilize technology demand to file taxes online. With subjects in math, finance, business, and Accountants, the course load is fairly heavy. Even if some ideas can be difficult, you can succeed if you study the subject and take the time to make sure you comprehend accounting principles in their entirety.

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Squash Delight Inc. has the following balance sheet: The firm's stock sells for S12 a share. a. Show the effect on the capital accounts of a two-for-one stock split. (Do not round intermediate calculations and round your answers to the nearest whole dollar.) b. Show the effect on the capital accounts of a 10 percent stock dividend. Part bis separate from part a. In part b. do not assume the stock split has taken place. (Do not round intermediate calculations and round your answers to the nearest whole dollar.) c. Based on the balance in retained earnings, which of the two dividend plans is more restrictive on future cash dividends? 1. Stock split 2. Stock dividend

Answers

a. A two-for-one stock split means that each shareholder will receive two shares for every one share they currently hold. This will effectively double the number of shares outstanding while reducing the stock price per share.

In the case of Squash Delight Inc., if the stock sells for $12 per share and there are currently 100,000 shares outstanding, the total capital accounts would be $1,200,000 ($12 x 100,000). After the stock split, there would be 200,000 shares outstanding and the stock price would be halved to $6 per share. The total capital accounts would remain the same at $1,200,000 ($6 x 200,000).

The effect of a stock split is purely cosmetic, as it does not change the overall value of the company. It simply increases the number of outstanding shares while decreasing the stock price per share proportionally.

b. A 10 percent stock dividend means that each shareholder will receive an additional 10 shares for every 100 shares they currently hold. In the case of Squash Delight Inc., if there are currently 100,000 shares outstanding and the stock price is $12 per share, the total capital accounts would be $1,200,000. After the stock dividend, there would be 110,000 shares outstanding and the stock price would remain at $12 per share. The total capital accounts would increase to $1,320,000 (($12 x 110,000) + ($12 x 10,000)).

A stock dividend is also a cosmetic change that does not affect the overall value of the company. It simply increases the number of outstanding shares while decreasing the stock price per share proportionally.

c. A stock split makes it harder to pay out cash dividends in the future based on the remaining retained earnings. This is because a stock split increases the number of outstanding shares, which means that the company will need to pay out more dividends to maintain the same dividend per share. In contrast, a stock dividend does not affect the overall amount of dividends paid out, as the total value of the dividends is spread out over a larger number of shares. Therefore, if Squash Delight Inc. wanted to maintain its current dividend payout, a stock split would be more restrictive on future cash dividends.

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You plan to make a series of deposits in an interest-bearing account. You will deposit $1,000 today, $2,000 in 2 years, and $8,000 in 5 years. If you withdraw $3,000 in 3 years and $5,000 in 7 years, how much will you have after eight years if the interest rate is 9%?

Answers

Answer:

$5,641

Explanation:

DEPOSIT NOW  

$1000 * FVIF 9%,8 PERIODS

= $1000 * 1.9926

= $1992.6

IN 2 YEARS

= $2000 * FVIF 9%,6 PERIODS

= $2000 * 1.6771

= $3354.20

IN 5 YEARS

= $8000 * FVIF 9%, 3 PERIODS

= $8000*1.2950

= $10360

WITHDRAWAL: IN 3 YEARS

= ($3000) * FVIF 9%, 5 PERIODS

= ($3000) * 1.5386

= ($4615.80)

IN 7 YEARS

= ($5000) * FVIF 9%, 1 PERIOD

= ($5000) * 1.0900

= ($5450)

Total value = $1992.6  + $3354.20 + $10360  - $4615.80 - $5450

Total value = $5,641

So, the total future value after eight years is $5,641

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