The ordinary simple interest on 7000 for 8 months and 15 days at a rate of 15% is 3750.
Let's find out how we arrived at this solution: Given, Principal = Rs. 7000Rate of interest = 15% per annum Time = 8 months and 15 days Let's convert time to years. We have,8 months = 8/12 = 2/3 years15 days = 15/365 = 3/73 years Total time = 2/3 + 3/73 years= (146 + 9) / 219 years= 155/219 years Now, we can find the simple interest using the formula: Simple Interest (SI) = (P × R × T) / 100Where, P is the principal amount, R is the rate of interest, and T is the time in years Substituting the given values, we have: SI = (7000 × 15 × 155) / (100 × 219)SI = 162750 / 219SI = 742.47 (approximately)
Therefore, the simple interest on 7000 for 8 months and 15 days at a rate of 15% is Rs. 742.47, approximately. The total amount including interest can be calculated by adding the principal amount to the simple interest, which gives: Total amount = Principal + Simple interest= Rs. 7000 + Rs. 742.47= Rs. 7742.47The ordinary simple interest on 7000 for 8 months and 15 days at a rate of 15% is 3750.
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D. Short answer questions:
a. Compare the monopoly’s price and quantity with that of a
perfectly competitive firm’s. Which is better for the consumer?
b. How can government regulation of a monopoly increase the
allocative efficiency of the monopoly?
Answer:
Explanation:
a. Monopoly has no competition so it can charge a higher price and produce less quantity when compared to a perfectly competition. For a consumer, perfectly competition which provides more goods at a lower price is better.
b. Due to lack of competition, monopoly does not have to be efficient in its resource allocation. To increase the allocative efficiency, the government can pass regulation to limit price charged and increase quantities of goods produced by the monopoly.
Answer:
Explanation:
compared 2 perfectly competitive firms, monopoly charges higher price and produces less quantity.
perfectly competitive firms are better for consumer
govt regulation can increase monopoly's efficiency by putting restriction on price n requiring quantity of goods produced.
The synchronize-and-stabilize model offers advantages over the older waterfall model, which is strictly sequential in nature. Identify 6 of these advantages.
Answer:
Pls I just need points
Explanation:
Which example is the best demonstration of initiative?
A. You don’t complain about the heavy workload you’ve been assigned.
b. You offer to take on some extra work when a coworker is out sick.
c. You agree to stay late to finish your work because you took a long lunch.
d. You always think carefully about a bad situation before proposing a solution.
Answer:
B
Explanation:
initiative isn't something we need to do but rather want to for someone or yourself, maybe to help.
Answer:
bbbbbbbbbbb
Explanation:
when the endowment effect occurs, multiple choice 1 people are better able to process changes in product sizes than changes in price. gains are felt more intensely than losses. people assign the same utility to a given situation regardless of their previous status quo. people assign higher values to the things they own than to the things they do not own. b. when a framing effect occurs, multiple choice 2 people's preferences can change drastically dependent on contextual information. recent information has the most influence on decision making. people isolate purchases and fail to consider all consumption options. people are willing to receive more for things they own than they would have to give to get something they already have. c. when mental accounting occurs, multiple choice 3 people isolate purchases and fail to consider all consumption options. gains are felt more intensely than losses. people are willing to receive more for things they own than they would have to give to get something they already have. people assign higher values to the things they own than to the things they do not own. d. when anchoring occurs, multiple choice 4 gains are felt more intensely than losses. people's preferences can change drastically dependent on contextual information. recent information has the most influence on decision making. people assign the same utility to a given situation regardless of their previous status quo.
The correct answer is d. When anchoring occurs, people's preferences can change drastically dependent on contextual information.
Anchoring is a cognitive bias that occurs when people rely too heavily on the first piece of information they receive (the "anchor") when making subsequent decisions. This can cause people to adjust their decisions around the initial anchor, even if it is irrelevant or arbitrary.
For example, if a car salesman first offers a car for $50,000, even if the final price negotiated is $45,000, the buyer may still feel like they got a good deal because they anchored to the initial price of $50,000.
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What health effect is metal fume fever considered?
Answer:
A Metal fume fever is a condition in which the sufferer has influenza type symptoms such as a raised temperature, chills, pains, nausea and dizziness. It is caused by exposure to the fume of certain metals
U.s. national debt ______ when the federal government's ______. a. increases; outlays exceed tax revenue
U.s. national debt increases when the federal governments outlays exceed tax revenue.
In accounting, turnover is the gross income generated from the sale of goods and services related to the company's primary activities. Revenue Commercial income is also called sales or earnings. Some companies derive their income from interest, royalties, or other fees.
Turnover is the total amount of revenue generated from the sale of goods or services related to the main activities of an enterprise. Earnings, also known as gross earnings, are often referred to as the "top line" because they are at the top of the income statement. Income or Net Profit is the gross profit or profit of a business.
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6. How will a court decide whether it should order Berner to refrain from using the term
air door?
Air curtains are frequently used to keep flying pests, dust, debris, and wind out of a building. Air curtains form an air barrier between the conditioned interior air and the outside air.
What is the purpose of an air door?An air curtain, also known as an air door, is a machine that creates an air seal by blowing a controlled stream of air across an opening to the other side. This seal separates two environments while allowing for a continuous flow of traffic and unobstructed vision through the opening.
To lock or unlock, simultaneously press and hold the left and right arrows for 5 seconds; the Locked light will illuminate. If the PASScode option is enabled, any attempt to unlock the control will result in the display of PASS followed by a 0000 prompt for a four-digit unlock code.
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MetLife was able to dramatically expand its global footprint by acquiring Alico, a global player in the insurance business, from AIG in 2010 when AIG was in financial distress. This shows that not all diversification moves erode performance.
a) true
b) false
Answer:
True
Explanation:
It is true that not all diversification erodes performance. That is it is not all diversification moves that reduces performance or destroys it. Sometimes diversification could lead to greater risks or greater costs of investment. By diversifying and acquiring Alico metlife was able to increase and expand globally
how did johann gutenberg’s invention of a printing press with movable type affect europeans?
With Gutenberg's invention of the moveable type printing press, books could be printed in greater quantities and at a lower cost than ever before. This triggered a massive social and cultural revolution, the effects of which can still be seen and felt today.
Impacts of Gutenberg's inventionMany historical events have shaped the way we live now. Few inventions, however, have had a greater influence than Johannes Gutenberg's development of the movable type printing machine in the 1450s. At the time, most books in Europe were still copied by hand, which was tedious and time-consuming. Johannes Gutenberg (c. 1400 – February 3, 1468) was a German goldsmith and printer who is credited with developing moveable type printing in Europe about 1439, as well as mechanical printing around the world. The Gutenberg Bible (also known as the 42-line Bible) is well regarded for its outstanding aesthetic and technical qualities.
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Which statement best illustrates the law of diminishing returns?
A. The average total cost of the last unit of output produced is less than the average total cost of the preceding unit of output
B. The marginal product of the last unit of a resource used is less than the marginal product of the preceding unit of resource
C. The average product of the last unit of a resource used is less than the average product of the preceding unit of resource
D. The marginal cost of the last unit of output produced is less than the marginal cost of the preceding unit of output
The statement that best illustrates the law of diminishing returns is "The average product of the last unit of a resource used is less than the average product of the preceding unit of resource." The correct option c).
The law of diminishing returns is an economic concept that states that as additional units of a variable input (such as labor or capital) are added to a fixed amount of other inputs, the marginal product of that variable input will eventually decrease. In simpler terms, it means that the productivity or output gained from each additional unit of input will diminish over time.
Option C reflects this concept by referring to the average product, which is the total output divided by the quantity of input used. When the average product of the last unit of a resource used is less than the average product of the preceding unit, it indicates that the productivity or output gained from that additional unit is diminishing.
This decrease in average product signifies that the efficiency or effectiveness of the input is declining as more of it is employed. Hence option c) is the answer.
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Chuck has a credit card balance of $4,750 with an apr of 17%. With his existing debt payment plan, chuck will not be able to pay off the debt for another 20 months. To speed up the process, chuck decides to take $2,000 from his savings and apply it to the balance. He plans to pay the remaining balance in 12 months. How much will chuck save in finance charges (interest) by doing this?.
By doing this chuck will save in finance charges (interest) is $478.28 .
What is a finance charge?A finance charge is a cost associated with using credit or extending already existing credit. Finance costs may be based on a fixed rate or a percentage of borrowings; the latter is more typical. The cost of carrying the debt as well as any associated transaction fees, account management fees, or late fees assessed by the lender are frequently included in a finance charge.
Firstly find the monthly payment using the formula of the present value of annuity ordinary
The formula for PMT is
PMT=PV÷[(1-(1+r/k)^(-n))÷(r/k)]
PMT monthly payment?
PV present value 4750
R interest rate 0.17
K compounded monthly 12
N=kt where k=12 and t=20/12
N=20
PMT=4,750÷((1−(1+0.17÷12)^(−20))÷(0.17÷12))=274.4
Total paid = 274.40×20=5,488
Interest charged = 5,488−4,750=738
Now let's find the interest of the second decision
She paid 2,000 So the present value or the loan is 4,750−2,000=2,750
Now use the formula
PMT=2,750÷((1−(1+0.17÷12)^(−12))÷(0.17÷12))=250.81
Total paid = 250.81×12=3,009.72
Interest charged = 3,009.72−2,750=259.72
Chuck will save = 738−259.72 = $478.28
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Finance charges he would pay if he pays off the remaining balance in 12 months instead.
First, let's calculate the total finance charges he would pay under his existing debt payment plan. We can do this by multiplying the original balance of $4,750 by the annual percentage rate (APR) of 17% and dividing by 12 (since the APR is given as a yearly rate, but the payments are made monthly). This gives us a monthly finance charge of:
(4,750 * 0.17) / 12 = $64.58
Over the course of 20 months, the total finance charges would be $64.58 * 20 = $1,291.60.Next, let's calculate the finance charge he will have to pay if he pays off the remaining balance in 12 months. After he paid $2,000 from his savings the remaining balance would be $2,750. To find the finance charge we find out the monthly finance charge and the total monthly payment required to pay the credit card off in 12 months.First we find the monthly finance charge: (2,750 * 0.17) / 12 = $41.25.To find the total monthly payment required to pay the credit card off in 12 months we need to find the minimum monthly payment required to pay off the credit card in 12 months. This is done by multiplying the remaining balance by the minimum monthly rate which is usually 1% of the remaining balance, or $27.5.Then the total monthly payment required would be the sum of minimum monthly payment and monthly finance charge:
$27.5 + $41.25 = $68.75
Finally, we subtract the total finance charge of the accelerated plan from the total finance charge of the original plan and get the savings.
$1,291.60 - $495 = $796.6.Chuck would save $796.6 in finance charges by paying off his credit card debt early.
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Lorenzo lives in new york city and runs a business that sells guitars. In an average year, he receives $851,000 from selling guitars. Of this sales revenue, he must pay the manufacturer a wholesale cost of $476,000; he also pays wages and utility bills totaling $281,000. He owns his showroom; if he chooses to rent it out, he will receive $71,000 in rent per year. Assume that the value of this showroom does not depreciate over the year. Also, if lorenzo does not operate this guitar business, he can work as an accountant, receive an annual salary of $34,000 with no additional monetary costs, and rent out his showroom at the $71,000 per year rate. No other costs are incurred in running this guitar business.
The economic profit of Lorenzo's guitar business is $-82,000
To calculate the economic profit of Lorenzo's guitar business, we need to subtract all of his costs, including the opportunity cost of not working as an accountant and not renting out his showroom.
Total revenue = $851,000
Wholesale cost = $476,000
Wages and utility bills = $281,000
Rent he could earn by renting out showroom = $71,000
Total costs = $476,000 + $281,000 + $71,000 = $828,000
Lorenzo's accounting salary = $34,000
Opportunity cost of not renting out showroom = $71,000
Total opportunity costs = $34,000 + $71,000 = $105,000
Therefore, the economic profit of Lorenzo's guitar business is:
$851,000 - $828,000 - $105,000 = $-82,000
Since the economic profit is negative, it means that Lorenzo's business is not profitable and he is better off working as an accountant and renting out his showroom, which would earn him a higher income without incurring losses.
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Inseparability in services refers to the fact that.
Inseparability refers to : The consumer cannot distinguish between the service provider from the service itself.
What Is Service Inseparability?Service inseparability means that the production and consumption of a service can't be separated from the provider of that service. It also requires that a customer is physically participating in the consumption of the service.
The above means every part of the experience is tied together. A customer can't separate the consumption of the service they've purchased from the provider.
Hence, Inseparability means consumer cannot distinguish between the service provider from the service itself.
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say you own an asset that had a total return last year of 11.8 percent. if the inflation rate last year was 7.1 percent, what was your real return?
Subtracting the inflation rate from the total return yields the real return. The true return in this scenario would be 4.7 percent, or 11.8 percent Minus 7.1 percent.
The investment return that has been adjusted for inflation is the real return on your investment. The rise in an investment's buying power is referred to as the real return.
You deduct the inflation rate from the overall return to determine the real return. The overall return in this instance was 11.8 percent, and because inflation was 7.1 percent, the actual return may be computed as follows: 11.8% - 7.1% = 4.7%
Therefore, the asset's true return for the previous year was 4.7%. This indicates that while the asset's nominal return was 11.8 percent, the actual return was 4.7 percent after taking inflation rate into account, which rose by 7.1 percent.
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Monetary policy consists of the Federal Reserve's management of the: Multiple select question. exchange rate unemployment rate money supply interest rates
The correct options for the management of the Federal Reserve's monetary policy are: Money supply and Interest rates.
Monetary policy consists of the Federal Reserve's management of the:
Money supply
Interest rates
The Federal Reserve, as the central bank of the United States, implements monetary policy to influence and regulate the economy. The key tools at its disposal include controlling the money supply and influencing interest rates. By adjusting the money supply through open market operations, reserve requirements, and the discount rate, the Federal Reserve can impact economic activity and inflation rates.
Interest rates are another crucial aspect of monetary policy. The Federal Reserve sets the target federal funds rate, which affects short-term interest rates in the economy. By raising or lowering interest rates, the Federal Reserve can influence borrowing costs, spending, and investment, thereby impacting economic growth and inflation.
Exchange rates and the unemployment rate are not directly managed by the Federal Reserve as part of its monetary policy. Exchange rates are influenced by a combination of factors including market forces, trade policies, and capital flows. The unemployment rate is primarily influenced by factors such as labor market conditions, fiscal policies, and overall economic conditions.
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Monetary policy is constituted by the Federal Reserve's handling of money supply and interest rates, as set up by Congress in 1913. Three critical tools used include open market operations, reserve requirements, and discount rates. Over the years, the Fed has used monetary policies to manage unemployment and inflation rates, illustrating its role in stabilizing the economy.
Explanation:Monetary policy consists of the Federal Reserve's management of money supply and interest rates. As per the 1913 legislation that established the Fed, Congress permitted these entities to regulate interest rates and credit conditions. These actions influence the overall level of economic activity. Three essential tools are ordinarily implemented in this process: open market operations, reserve requirements, and discount rates.
The Federal Reserve often sets its monetary policy by focusing on the federal funds interest rate, using open market operations. As shown in historical figures and graphs, the Federal Reserve has responded to inflation with contractionary monetary policy, leading to higher interest rates, and to an increase in unemployment with expansionary monetary policy, resulting in lower interest rates. This strategy illustrates how the Fed uses monetary policy to balance inflation and unemployment rates, working to stabilize the overall economy.
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what is the term for a crm that tracks the type of sale that is most likely to make a person purchase an item that they have previously viewed on an e-commerce site?
User experience is the term for a CRM that tracks the type of sale that is most likely to make a person purchase an item that they have previously viewed on an e-commerce site. Option C
What is User experience?Generally, The term "user experience" describes how a product, application, system, or service makes the user feel. It is a general phrase that may refer to anything, including how easily a user can navigate a product, how simple it is to use, how pertinent the shown material is, etc.
A CRM that monitors the kind of sale that is most likely to prompt a consumer to buy an item that they have previously seen on an e-commerce site is known as a user experience CRM.
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CQ
What is the term for a CRM that tracks the type of sale that is most likely to make a person purchase an item that they have previously viewed on an e-commerce site?
Variability
Product or service measurement
User experience
Product development
What exact number would you have to place in the empty cell of the table for it to be impossible that trade between the United States and South Korea could benefit both nations?
It is not possible to determine an exact number for the empty cell in the table that would make trade between the United States and South Korea not beneficial for both nations.
The idea behind trade between two countries is that both nations can benefit from it by exchanging goods and services that each nation produces more efficiently. The exact numbers in the table would depend on various factors such as the production costs, demand for the goods, exchange rates, and more.
The concept of trade between nations is based on the idea of comparative advantage, which states that even if one nation is more efficient at producing all goods, both nations can still benefit from trade by specializing in the goods they can produce most efficiently and exchanging them with each other.
Therefore, it is not possible to determine an exact number that would make trade between the United States and South Korea not beneficial for both nations.
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chapter 9 case study: negotiations do you think the sales manager should agree to the meeting on sophie’s terms? why or why not? please be specific and detailed in your answer.
The decision of whether the sales manager should agree to the meeting on Sophie's terms depends on several factors.
To determine whether the sales manager should agree to the meeting on Sophie's terms, it is essential to consider the specific details of her terms and the context of the negotiation. Some key factors to consider include the nature of the meeting, the importance of the negotiation, the potential impact on the relationship with Sophie and her company, and the potential benefits and drawbacks of accepting her terms.
The sales manager should carefully evaluate the potential benefits of agreeing to the meeting on Sophie's terms. This may include factors such as gaining access to Sophie's expertise, building a stronger relationship with her company, or securing a favorable outcome for the negotiation. Additionally, it is crucial to assess the potential drawbacks, such as potential concessions or compromises that may be required, the impact on the sales manager's negotiation position, or the precedent it may set for future negotiations.
The decision should also take into account the sales manager's overall objectives and priorities. If the meeting aligns with the company's goals and the potential benefits outweigh the drawbacks, it may be advantageous to agree to Sophie's terms. However, if accepting the terms would significantly compromise the sales manager's objectives or create an unfavorable precedent, it may be necessary to negotiate alternative terms or decline the meeting.
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a. The president of a large company wants to form an Executive Steering Committee to advise the company concerning important matters. This committee will consist of five managers selected from an overall pool of 18 managers. Assuming the order in which the five managers are selected to join the committee does not matter, how many different Executive Steering Committees are possible?
Enter your answer as a whole number.
Executive Steering Committees
b. In Part a, suppose each of the five managers selected to serve on the Executive Steering Committee will have a particular title (Chairman, Vice Chairman, Outreach Coordinator, etc.). In other words, the order in which the managers are selected for the various committee positions (titles) matters. In this case, how many possible Executive Steering Committees are possible?
Enter your answer as a whole number.
Executive Steering Committees
c. In a lottery game, five balls are randomly drawn from a machine containing 24 balls numbered from 1 to 24. To play the game, a player must purchase a lottery ticket in advance with five numbers on it of his/her choosing (numbered from 1 to 24). Subsequently, if the five numbers on the lottery ticket match the five numbers that are drawn from the machine (in any order), then the player will win the lottery.
Assuming the order in which the numbers are drawn from the machine does not matter, how many possible outcomes (sets of five numbers) exist each time the game is played?
Enter your answer as a whole number.
possible outcomes
d. Based on your Part c result and assuming the player only purchased one lottery ticket, what is the probability that he/she will win the lottery?
Enter your answer rounded to six decimal places.
Probability =
a. The number of different Executive Steering Committees possible, when the order of selection does not matter, can be calculated using combinations.
How many different Executive Steering Committees are possible when the order of selection does not matter?In this case, we want to select 5 managers from a pool of 18 managers. The formula for combinations is given by C(n, r) = n! / (r! * (n-r)!), where n is the total number of items and r is the number of items to be selected. Applying this formula, the number of different Executive Steering Committees is:
C(18, 5) = 18! / (5! * (18-5)!) = 8568
b. When the order in which the managers are selected for the various committee positions matters, we need to consider permutations. In this case, we have 18 choices for the first position, 17 choices for the second position, 16 choices for the third position, and so on, until 14 choices for the fifth position. Therefore, the number of possible Executive Steering Committees is:
18 * 17 * 16 * 15 * 14 = 14,3640
c. To calculate the number of possible outcomes (sets of five numbers) in the lottery game, where the order of the numbers does not matter, we again use combinations. We want to select 5 numbers from a pool of 24 numbers. Applying the combinations formula:
C(24, 5) = 24! / (5! * (24-5)!) = 42,504
d. Since there is only one winning combination and the player purchased one lottery ticket, the probability of winning the lottery can be calculated by dividing the number of favorable outcomes (1) by the total number of possible outcomes (42,504):
Probability = 1 / 42,504 ≈ 0.0000235
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Following the meeting with the Board, you received a memo from the CEO seeking information about the impact the following matters could have on the 2022 financial statements:
Business as Usual Limited will acquire approximately 30% of the shares of Mardies Transport Limited. The market is unaware of the negotiations, which are only in the preliminary stage and no formal contracts have been prepared. The company currently use Mardies Transport Limited to deliver 60% of distribution requirements.
The company has just secured a five-year contract to exclusively supply Private Medical Co, Australia’s most prominent private hospital, with its masks and other protective clothing. The contract is conservatively estimated to increase sales revenue by 10 % building to 25% and will require an extension to the warehouse in year 2.
In April 2022 the government announced a change to the tax rate to reduce the income tax rate by 5%
Required
Prepare an internal memo to the CEO and Board of directors that includes:
Advice, with suitable reference to AASB110, if the matters raised by the CEO are adjusting or non-adjusting events. (3 marks)
The required adjusting journal entries and/or disclosure notes required to support your advice in point 1. (0.5 marks)
If adjusting journal entries are required, include details about the impact on the financial statements (i.e., what the new amounts on the financials will be, any movements in deferred tax assets and liabilities). (0.5 marks)
To adjust the financial statements to account for the acquisition of 30% shares of Mardies Transport Limited and the changes in tax rates.
Memo to: CEO and Board of DirectorsSubject: Matters Raised in the Board MeetingDate: DD/MM/YYYYFollowing the meeting with the Board, I am presenting my response to the matters raised by the CEO in his memo that sought information about the potential impact of some events on the 2022 financial statements.Adjusting or Non-Adjusting Events:As per the guidelines of the Australian Accounting Standards Board (AASB) 110, events or transactions that affect the financial statements and require adjustment of financial records before the completion of the financial statements are referred to as adjusting events. In contrast, non-adjusting events refer to events that occur after the balance sheet date and, therefore, do not impact the financial statements.Adjusting Events and Required Disclosure Notes:With reference to the AASB 110 guidelines, the acquisition of 30% shares of Mardies Transport Limited is an adjusting event, and it requires adjustments to be made to the financial statements. Similarly, the change in tax rates announced by the government is also an adjusting event, which requires adjustments to the financial statements.As per the guidelines, the following disclosure notes are required for adjusting events:Description of the event: Acquisition of 30% shares of Mardies Transport Limited and changes in tax ratesAmount of adjustment: Impact of the event on the financial statementsDate of adjustment: The date when the financial statement is preparedThe following adjusting entries are required for the events mentioned above:Journal Entries:Acquisition of 30% shares of Mardies Transport LimitedAccount TitlesDebitCreditInvestment in Mardies Transport LimitedXXXAccounts Payable (for shares purchased)XXXSuppose the acquisition of shares is worth $300,000. In that case, the adjustment will increase the value of the investment account by $300,000, whereas the payable account will decrease by the same amount. The net impact on the financial statement would be zero. However, there will be a change in the asset composition of the company's investment portfolio.Changes in Tax Rates:DebitIncome Tax ExpenseXXXCreditDeferred Tax LiabilityXXXDeferred Tax AssetXXXThe above journal entries record the impact of changes in tax rates on the company's financial statements. The deferred tax liability and deferred tax assets will vary as a result of the change in tax rates. The total amount of deferred tax liability will decrease, whereas the total amount of deferred tax assets will increase.Impact of Adjusting Entries on Financial Statements:As per the guidelines, the impact of the adjusting events is reflected in the financial statements of the year in which the event occurred. Accordingly, if the company acquires 30% shares of Mardies Transport Limited in 2022, the adjustment will be recorded in the 2022 financial statement, and it will increase the value of the investment account by $300,000. In the same manner, the changes in tax rates will impact the financial statements of 2022.Conclusion:In conclusion, The adjusting entries and the relevant disclosure notes must be included in the financial statements as per the AASB 110 guidelines.
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Margaret isn't ready to buy jill's property, but she pays jill a fee that guarantees she'll be notified if another buyer appears. If another buyer does make an offer, margaret has the opportunity to purchase at the price and terms of the offer. Margaret has a(n) ______ on jill's property
What this means is that Margaret has a Right of first refusal on Jill's property,
What is Real Estate?This refers to the buying and selling of properties and how the ownership is transferred.
Hence, because Margaret has made a down payment on the property which gives her the chance to buy the property if there is no counteroffer, then this means that Margaret has a Right of first refusal on Jill's property,
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Which image format is good for compressing large, complex images like photos into smaller file sizes? A. GIF B. JPEG C. ODG D. DRAW
Answer: JPEG
Explanation:
JPEG is an acronym that stands for Joint Photographic Experts Group. It is typically used to compress large files sizes into smaller sizes. This enables images to be shared easily. It should be noted that apart from reducing the format size of the image, it also reduces the image quality.
GIF is an acronym for Graphics Interchange Format. It is also used to compress large image files but doesn't compress it as much as a JPEG will do. It also supports animation.
Answer:
B. jpeg :)
Explanation:
an instruction to your bank that tells it to withdraw funds from your account and pay them to the listed payee is called . multiple choice question. a financial intermediary currency a check legal tender
An instruction to your bank that tells it to withdraw funds from your account and pay them to the listed payee is called a check. A check is a written, dated, and signed instrument that directs a bank to pay a specific sum of money to the bearer (individual or business) from the drawer's account.
Checks are a popular and widely accepted means of payment. They are frequently used by businesses to pay suppliers and by consumers to pay monthly bills, among other things. Here's how a check works:
When an account holder writes a check, he or she instructs the bank to deduct a specific amount of money from his or her account and pay it to the payee listed on the check. The payee, who is usually the individual or business to whom the money is owed, may then deposit or cash the check at his or her bank.
If the account holder does not have sufficient funds to cover the amount of the check, it will bounce and the payee will not receive payment. This could result in the account holder incurring additional fees and charges.
Checks are considered legal tender, but they are not considered to be currency. They are instead a type of negotiable instrument that serves as a promise to pay a specific amount of money to a specific person or entity. Checks are processed through the banking system, which acts as a financial intermediary between the account holder and the payee.
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the cost of upgrading a section of grand loop road in yellowstone national park is $1.7 million. resurfacing and other maintenance are expected to cost $350,000 every 3 years. what is the capitalized cost of the road at an interest rate of 6% per year?
The capitalized cost of the road at an interest rate of 6% per year can be calculated by summing up the initial cost and the present value of the recurring maintenance costs.
Initial cost: $1.7 million
Recurring maintenance cost: $350,000 every 3 years
To calculate the present value of the recurring maintenance costs, we can use the formula for the present value of an annuity:
PV = C * (1 - (1 + r)^(-n)) / r
Where PV is the present value, C is the recurring maintenance cost, r is the interest rate per period (6% per year), and n is the number of periods (3 years).
Using this formula, we can calculate the present value of the recurring maintenance costs as follows:
PV = $350,000 * (1 - (1 + 0.06)^(-3)) / 0.06 ≈ $961,448.51
Now, we can calculate the capitalized cost by summing up the initial cost and the present value of the maintenance costs:
Capitalized Cost = Initial cost + Present value of maintenance costs
= $1.7 million + $961,448.51
≈ $2,661,448.51
Therefore, the capitalized cost of the road at an interest rate of 6% per year is approximately $2,661,448.51.
In conclusion, the capitalized cost of the road, taking into account the initial cost and the present value of the recurring maintenance costs, is estimated to be approximately $2,661,448.51 at an interest rate of 6% per year
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The citizens of the United Sates live and work in a...
A.) Closed economy
B.) Command economy
C.) Mixed market economy
D.) Pure market economy
Answer:
Mixed market economy
Explanation:
the citizens of America is very diverse
Read the week two case and select one of the following questions to answer: How did the practice of leader's discussing purpose through telling stories support Wenger's assertion that meaning is a process of negotiation? Identify (give examples of) the two elements of the negotiation of meaning process, participation & reification, in the practice of KPMG leaders discussing purpose? How does the involvement of leaders with employees demonstrate the utility of Stacey's theories of complex responsive processes of human interaction?
The case study discussed is about KPMG and how the organization's leaders discussed purpose through storytelling. This particular practice supported Wenger's assertion that meaning is a process of negotiation. This is because stories are usually told to help people understand and connect to certain concepts or ideas that might be abstract or difficult to grasp without proper context. Through storytelling, the leader is able to create meaning and present it to their team or organization in a way that everyone can understand.
In the practice of KPMG leaders discussing purpose, the two elements of the negotiation of meaning process are participation and reification. Participation refers to the active involvement of team members in the process of negotiating meaning. KPMG leaders encouraged their employees to share their stories and experiences to create a common understanding of the organization's purpose.
Reification, on the other hand, refers to the process of taking something abstract or conceptual and making it tangible or concrete. In the practice of KPMG leaders discussing purpose, the organization's purpose was made tangible through storytelling and the active participation of employees.
The involvement of leaders with employees also demonstrates the utility of Stacey's theories of complex responsive processes of human interaction. Stacey's theory emphasizes the importance of viewing organizations as complex adaptive systems. This means that every member of the organization is interconnected, and their actions and decisions influence the organization as a whole.
By involving leaders with employees, KPMG was able to create a more inclusive and collaborative environment, which helped to foster a sense of ownership and accountability among team members. This allowed the organization to adapt and respond to changes in the external environment, while also maintaining a clear sense of purpose and direction.
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... is an economic system where consumers can choose what to buy and where to buy
A. Planned economic system
B. Mixed economic system
C. Market economic system
D. Tradition economic system
it is C. Market Economic system!
as I read and knew once I found of by reading the sentence you put.
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for confirming it for me. and you can find out more about Economic Systems there for sure also !!
Answer:
it can be either mixed or a market economy
Explanation:
Carter invested $3,900 in an account paying an interest rate of 3. 9% compounded daily. Assuming no deposits or withdrawals are made, how much money, to the nearest hundred dollars, would be in the account after 5 years?
$822.18 is how much earned interest so add $3,900 and you get $4,722.18
Answer: 4700
Explanation:
the process of taking a new technology from the laboratory to the marketplace is called
The process of taking a new technology from the laboratory to the marketplace is called Technology transfer.
Technology transfer is the flow of information from one organization to another, or from one use to another, including data, designs, ideas, materials, software, technical expertise, and trade secrets. The rules, practices, and principles of each organization engaged in the process serve as a guidance for the technology transfer process.
Technology transfer, also known as transfer of technology, is the official or informal sharing of skills, information, technologies, manufacturing techniques, and other things between universities, enterprises, and governments. This kind of information transmission makes it possible for scientific and technical advancements to reach a broader audience of consumers, who may subsequently contribute to its development or use it.
Option B is the correct answer.
The correct question is, "The process of taking a new technology from the laboratory to the marketplace is called _____.
A. Basic R&D
B. Technology transfer
C. Technological competence
D. Product R&D
E. Process R&D"
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The psychology of getting along well with others is known as: a) human emotions ) human relations b) human understanding d) human characteristics
Answer:
human relations
Explanation: