Option B The minimum payment.
Since converting the firm's inventory to profits is a key function of management, firms use ______ to measure the effectiveness of management in utilizing the assets that are available.
The firms use financial performance to measure the effectiveness of management in utilizing the assets that are available.
What is financial performance?This is a term that is a measure of how well a firm is able to make use of its assets that are generated from its businesses and revenue generation.
It also is a measure of the financial health of a business over a period of time.
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Which of the hallmarks of regulatory capture are criminal acts that could bring prosecution upon the organizations, businesses, or individuals performing these activities?InfestationVenalityScale paradoxPaternalismBarrier Paradox
"Venality" of the hallmarks of regulatory capture are criminal acts or corporate crime that could bring prosecution upon the organizations, businesses, or individuals performing these activities.
The corporate crime is also known as the organizational crime. It is the type of white collar crime is committed by the individual or the employing organization.
The Venality is the situation or condition of regulatory capture are criminal acts. The types of crime in the business law include the smuggling crime, tax evasion crime, tax fraud crime, and customs duty evasion crime etc, which could bring prosecution upon the organizations, businesses is performing these activities.
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suppose the fed sells $ 300 billion in government securities, which results in a $1500 billion decrease in the money supply. in the long run, the decrease in the money supply will cause the price level in the economy to and real gdp to .
Inflation decreases and real GDP decreases
What is Real gross domestic product?Real gross domestic product (GDP) is a measure of an economy's output of all products and services over the course of a year, adjusted for inflation. Base-year prices are used to express real GDP. It is also referred to as GDP in constant dollars, GDP that has been inflation-adjusted, and GDP in constant prices. Real GDP, in its simplest form, measures a country's overall economic production while accounting for price changes.
Because it offers comparisons for both the amount and value of goods and services, real GDP makes analyzing GDP from year to year and from
various years more meaningful.
1 / .2 = 5
-300 * 5 = -1500
Shift the AD line to the left
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a college student purchased a used car for $6,000. he
payed 8% down and then paid 18 monthly payments of $325.19.
determine the APR of the loan to the nearest one-half percent.
The APR of the loan to the nearest one-half percent is 9.5%. APR (Annual Percentage Rate) is a standardized measure used to represent the cost of borrowing, including interest and certain other fees, expressed as an annualized percentage.
To determine the APR (Annual Percentage Rate) of the loan, we need to consider the down payment, the monthly payments, and the loan term. Here's how we can calculate it: Down Payment:
The student paid an 8% down payment on the car, which amounts to:
Down Payment = 8% of $6,000 = 0.08 * $6,000 = $480
Loan Amount:
The loan amount is the purchase price minus the down payment:
Loan Amount = $6,000 - $480 = $5,520
Monthly Payments:
The student made 18 monthly payments of $325.19 each.
Total Payments:
The total amount paid over the loan term is the sum of the down payment and the 18 monthly payments:
Total Payments = Down Payment + (Monthly Payments * Number of Payments)
Total Payments = $480 + ($325.19 * 18) = $480 + $5,853.42 = $6,333.42
Calculate the APR:
To calculate the APR, we need to determine the interest rate that equates the total payments to the loan amount. This can be done using financial formulas or iterative methods.
Using an online calculator or financial software, we find that the APR is approximately 9.5%.
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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
Which factor does not affect the stock prices in a market? (5 points)
Current taxes
Government policy
International transactions
Supply and demand
Answer:
government policy that a answer
One factor that does not affect the prices of stock in a market is Current taxes.
What affects the prices of stock?There are several factors that affect stock price such as government regulations related to the sale of stock, and the company who owns the stock.
International transactions such as exports and imports and supply and demand movements also influence how valuable a stock is. Taxes on companies do not affect stock prices significantly.
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What is one method that helps control online fraud? O A. Deleting odd emails before reading B. Reporting odd emails to police • C. Reporting odd emails as spam • D. Signing into email in many locations
Answer: C. Reporting odd emails as spam
Explanation:
For effective price discrimination to occur, a seller must:
Answer:
In order for effective price discrimination to occur, the seller must have a downward sloping demand curve.
Explanation:
The seller must also have at least two identifiable groups of customers with price elasticities of demand for the product, and the seller must be able to prevent customers from reselling the product.
What is the cost gained by producing one additional unit of a good or service?
A. Market-Oriented System
B. Marginal Revenue
C. Market Structure
D. Marginal Cost
Answer:
B Marginal Revenue
Revenue is money earned from the production of goods and services.
Which of the following factors is likely to prevent private market forces from providing the optimal amount of a public good? A. Competition among providers B. Market demand C. High costs of production D. Free rider problem
The factor that is likely to prevent private market forces from providing the optimal amount of a public good is the (D) free rider problem.
This occurs when individuals can benefit from the public good without paying for it.
Because there is no incentive for individuals to contribute, private markets may not provide enough of the public good to meet society's needs.
Competition among providers and market demand may encourage the provision of public goods, while high costs of production may limit their provision but the free rider problem remains the main hindrance.
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Richard’s annual college expenses are expected to total $17,745. He will receive $5,320 in grants. How much will Richard need to contribute to his annual college expenses?
$11,425
$11,465
$12,425
$12,465
Answer:
$12,425
Explanation:
Richard we will contribute the difference between the expected annual expenses and the grant.
Expected expenses = $17,745
Grants, $5,320
Richard Contribution :
=$17,745 - $5,320
=$12,425
Answer:
the answer is C. 12,425
Explanation:
Which statement best describes the difference between an epidemic and a pandemic?
A pandemic lasts for a long time, and an epidemic lasts only a short period of time.
A pandemic involves many deaths, and an epidemic only involves sickness.
An epidemic is contained to a region, and a pandemic is global
An epidemic involves an illness where a pandemic involves an injury.
acupuncture, herbal medicine, and meditat
the Hippocratic Oath, the humoral theory, and meditation
bloodletting, plasters, and herbal medicine
Answer:
a pandemic involves many deaths , and an epidemic only involves sickness
Answer:
An epidemic is contained to a region and a pandemic is global.
Question 1 of 10
What is one advantage of a trade school education?
A. You can postpone getting a job longer.
One advantage of a trade school education is that there is easier access to courses and specialized knowledge.
What is a Trade School Education?This refers to the type of education where some technical skills are taught to students to be knowledgeable in certain tradecrafts and occupations.
Hence, we can see that based on the fact that this is post-secondary education, it gives the students the added edge of getting access to skills and specialized knowledge.
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Answer: It is less costly than attending a four-year college.
Explanation:
1. What are the building blocks of a personality?
Select the two that apply.
a. emotional qualities
b. ethnic identity
c. level of education
d. physical characteristics
e. ways of behaving
The two building blocks of a personality among the options provided are: emotional qualities and ways of behaving. (Option A and E)
What are Building Blocks of a Personality?Personality is a complex and multi-dimensional construct that encompasses a range of characteristics, traits, and behaviors that make an individual unique. The building blocks of a personality refer to the fundamental components that contribute to shaping an individual's distinct character and behavior.
It's important to note that personality is a complex interplay of the building blocks, and there is no single factor that solely determines an individual's personality. Rather, it's the combination and interaction of these components that create a unique and multifaceted personality profile.
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Label the parts of the Transactional Model.
Answer:
HOPE THIS HELP..PLZ MARK ME BRILLIENT
Explanation:
why all choices are economic choices?
Answer:
All choices are economic choices because with every choice we make, we are (sometimes subconsciously) analyzing the costs and benefits of our options. Our choices are guided by self-interest and every choice we make involves some kind of cost, whether it be time or money or something else.
What has the biggest positive impact on workplace cooperation?
Answer: I would say its being able to talk to people and be social and not awkward
Explanation:
Which type of alternative on the make-or-buy continuum involves competitive bidding by external companies hoping to acquire a temporary arrangement with a firm
The short term contract is the type of alternative that is described in this question.
What is a short term contract?These are the contracts that are offered for only a certain period of time. The time frame for such contracts could be 30 days.
This contract requires competitive bidding by the companies that hope to acquire the temporary arrangement.
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state five Forest reserve in Ghana
Answer:
Akrabong, Obotoumfo, Abasumba, Ahirasu Nos one and two
loans requiring periodic payments of interest and principle are referred to as
Installment loans are those that call for regular interest and principle payments.
What are the two available funding options?The two main forms of external funding are equity financing and debt financing, the latter of which refers to funds that must be repaid, frequently with interest. Money is provided in exchange for a stake in the business and possible earnings in the future.
What is a good illustration of debt financing?Debt finance consists of bank loans, loans from relatives and friends, loans guaranteed by the government (such as SBA loans), credit cards, lines of credit, mortgages, and loans for equipment.
What steps are involved in repaying a loan with reoccurring payments?Loan amortization is the process of reducing debt over time through consistent principal and interest payments. For instance, if you pay a mortgage each month, part of the payment goes toward debt reduction and part toward interest.
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Suppose the city of Austin, TX chooses to regulate the number of street vendors operating near the University of Texas by requiring each vendor to own a permit in order to operate. The city gives free permits to all existing vendors and announces that no new permits will ever be issued. Prior to regulation, the costs (including implicit costs) of operating were $85,000 and revenues were $150,000. The city ordinance allows the permits to be bought and sold without restriction. The permits have no expiration date. The interest rate is 10 percent. After regulation, existing street vendors earn an
A. accounting profit of zero.
B. economic profit of $130,000.
C. economic rent of $65,000
D. economic loss.
Answer:
economic rent of $65,000
Explanation:
Economic rent is the amount of money paid in excess to a factor of production in excess of what is socially optimum
Economic rent = $150,000 - $85,000 = $65,000
Accounting profit= total revenue - explicit cost
Total revenue =price x quantity sold
Explicit cost includes the amount expended in running the business. They include rent , salary and cost of raw materials
Economic profit = accounting profit - implicit cost
Implicit cost is the cost of the next best option forgone when one alternative is chosen over other alternatives
Without the regulation, economic profit would be driven to zero.
Hi guys! 40 points!
I would appreciate some help on this one, I'm stumped lol.
What are some ways to encourage companies to get involved in exporting? Would exporting necessarily lead to a favorable balance of trade?
Answer:
1. Give companies the idea that they have an advantage in certain foreign markets and that they can earn a lot of money from this. Companies that make good business with exporting goods also earn them a reputable reputation.
2. If the exports of a country exceed its imports, the country is said to have a favourable balance of trade, or a trade surplus. Conversely, if the imports exceed exports, an unfavourable balance of trade, or a trade deficit, exists.
Explanation:
hope this helps :)
Once the election to use the LIFO inventory method has been made by a taxpayer, the inventory method may be changed only with the consent of the IRS.
A. True
B. False
A. True Once a taxpayer has elected to use the LIFO (Last-In, First-Out) inventory method, it becomes a part of their accounting method. As a result, any changes to this method must be approved by the IRS.
This is because changing inventory methods can potentially have a significant impact on a taxpayer's tax liability. For example, changing from LIFO to FIFO (First-In, First-Out) could result in a lower cost of goods sold and higher profits, which would increase the taxpayer's tax liability.To change inventory methods, a taxpayer must submit a request to the IRS and provide a detailed explanation of why the change is necessary. The IRS will then review the request and may require additional information or documentation before granting approval. It is important for taxpayers to be aware of the rules and requirements surrounding inventory methods and to work with a qualified tax professional to ensure compliance with IRS regulations.
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On January 1, 2019, Caswell Company signs a 10-year cancelable (at the option of either party) agreement to lease a storage building from Wake Company. The following information pertains to this lease agreement: 1. The agreement requires rental payments of $100,000 at the beginning of each year. 2. The cost and fair value of the building on January 1, 2019, is $2 million. The storage building has not been specialized for Caswell. 3. The building has an estimated economic life of 50 years, with no residual value. Caswell depreciates similar buildings according to the straight-line method. 4. The lease does not contain a renewable option clause. At the termination of the lease, the building reverts to the lessor. 5. Caswell’s incremental borrowing rate is 14% per year. Wake set the annual rental to ensure a 16% rate of return (the loss in service value anticipated for the term of the lease). Caswell knows the implicit interest rate. 6. Executory costs of $7,000 annually, related to taxes on the property, are paid by Caswell directly to the taxing authority on Dec. 31 of each year. Required: 1. Determine what type of lease this is for the lessee. 2. Prepare appropriate journal entries on the lessee’s books to reflect the signing of the lease agreement and to record the payments and expenses related to this lease for the years 2019 and 2020
1. The type of lease this is for the lessee is operating lease.
2.
The journal entries for 2019 is
Journal Entry:
Lease Asset $1,000,000
Lease Liability $1,000,000
The journal entries for 2020 is
Journal Entry:
Lease Liability $100,000
Cash $100,000
1. Type of Lease:
The lease agreement between Caswell and Wake is cancelable by either party, and it does not contain a renewal option clause. Therefore, this is an operating lease for the lessee.
2. Journal Entries:
A. January 1, 2019:
Lease asset and lease liability recorded based on the present value of the lease payments over the lease term using the implicit interest rate of 16%.
Lease liability = Present value of lease payments = $100,000 x 10 years = $1,000,000
Lease asset = Lease liability - initial direct costs = $1,000,000 - $0 = $1,000,000
Journal Entry:
Lease Asset $1,000,000
Lease Liability $1,000,000
To record the lease agreement on January 1, 2019
B. December 31, 2019:
Caswell will pay the executory costs related to taxes directly to the taxing authority.
Journal Entry:
Property tax expense $7,000
Cash $7,000
To record the payment of property tax on December 31, 2019
C. January 1, 2020:
Depreciation on the leased asset will be recorded using the straight-line method, assuming no residual value.
Annual depreciation = Lease asset cost / Economic life
= $2,000,000 / 50 years = $40,000
Journal Entry:
Depreciation expense $40,000
Accumulated Depreciation $40,000
To record depreciation on leased asset for 2020
D. December 31, 2020:
Payment of lease rental for the year 2020.
Journal Entry:
Lease Liability $100,000
Cash $100,000
To record lease payment for 2020
Payment of property tax for the year 2020:
Journal Entry:
Property tax expense $7,000
Cash $7,000
To record the payment of property tax on December 31, 2020.
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Which of the following is one of the primary responsibilities of the federal judicial branch?
Answer:
to judge if laws made by the legislative branch are constitutional
Explanation:
Answer:
to judge the constitutionality of laws
Explanation:
(Present value of an ordinary annuity) What is the present value of the following annuities? (a) $2500 a year for 10 years discounted to the present at 7% (b) $70 a year for three years discounted to the present at 3% (c) $280 a year for seven years discounted to the present at 6% (d) $500 a year for 10 years discounted to the present at 10%
(a) The present value of $2500 a year for 10 years discounted at 7% is approximately $17,117.72.
(b) The present value of $70 a year for three years discounted at 3% is approximately $203.29.
(c) The present value of $280 a year for seven years discounted at 6% is approximately $1,574.84.
(d) The present value of $500 a year for 10 years discounted at 10% is approximately $3,546.85.
To calculate the present value of an ordinary annuity, we use the formula: PV = PMT * [(1 - (1+r)^-n) / r], where PV is the present value, PMT is the annuity payment, r is the discount rate, and n is the number of periods. For each scenario, we plug in the given values into the formula to calculate the present value. The result represents the amount of money that needs to be invested today to receive the specified annuity payments in the future, considering the discount rate.
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________ occurs when a new product or a new retail chain steals customers and sales from the organization’s older products and retail outlets.
The term that fills the blank is "cannibalization." Cannibalization occurs when a new product or a new retail chain steals customers and sales from the organization's older products and retail outlets.
Cannibalization can happen in various scenarios. For instance, when a company introduces a new product that is similar to or substitutes an existing product in its product portfolio, customers may shift their preferences and purchase the newer offering, resulting in a decline in sales of the older product. This internal competition within the company's product lineup is referred to as product cannibalization.
Similarly, when a retail organization opens new stores or branches in close proximity to its existing ones, customers may choose to visit the new locations instead, diverting sales from the older outlets. This phenomenon is known as retail cannibalization.
While cannibalization may seem negative at first glance, it can also have strategic benefits. It allows organizations to capture new market segments, adapt to changing consumer preferences, and stay competitive in the market. By introducing new products or retail chains, companies can attract customers who may have previously sought alternatives elsewhere.
However, it is crucial for organizations to carefully manage and balance the potential negative effects of cannibalization. They need to consider factors such as pricing strategies, product differentiation, target market segmentation, and effective marketing and communication efforts to minimize cannibalization and maximize overall sales and profitability.
In summary, cannibalization occurs when new products or retail chains divert customers and sales from an organization's older products and retail outlets. It can present both challenges and opportunities, requiring strategic management to mitigate negative impacts and leverage the benefits of introducing new offerings.
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Please take a couple of paragraphs to explain:
Is Marx’s concept of exploitation an idea based on morality? (For clarification: explain both why exploitation may be a concept based on morality, and why it may not be.)
Marx's concept of exploitation encompasses both moral and economic dimensions. It critiques the injustice and inequality within capitalist systems, emphasizing the moral objection to the appropriation of surplus value by the capitalist class. However, it is also grounded in economic analysis, focusing on the structural dynamics of capitalism that perpetuate exploitation, making it more than just a moral concept.
Marx's concept of exploitation can be understood from both a moral perspective and an economic perspective. On one hand, Marx's theory of exploitation carries moral implications as it critiques the inherent injustice and inequality within capitalist systems. According to Karl Marx, exploitation occurs when the capitalist class appropriates the surplus value created by the labor of the working class, leading to an unequal distribution of wealth and power. From a moral standpoint, this can be seen as unjust and morally objectionable, as it perpetuates systemic exploitation and exacerbates social inequalities.
Marx's moral critique of exploitation is rooted in the idea of fairness and the notion that individuals should receive the full value of their labor. Exploitation, in this sense, is seen as a violation of this principle, as the capitalist class extracts surplus value from the labor of workers without providing fair compensation. From a moral perspective, this critique of exploitation emphasizes the need for social and economic justice, and the call for alternative systems that prioritize equitable distribution of resources.
However, it is important to note that Marx's concept of exploitation is not solely based on morality. It is also deeply grounded in economic analysis and the objective functioning of capitalist systems. Marx's critique of exploitation is rooted in his analysis of the labor theory of value and the economic dynamics of capitalism. He argues that exploitation is an inherent feature of the capitalist mode of production, driven by the structural relationship between the bourgeoisie and the proletariat.
Marx's analysis focuses on the systemic nature of exploitation rather than individual moral culpability. From this perspective, exploitation is not merely a matter of individual intentions or actions, but rather a structural outcome resulting from the dynamics of capitalism. This economic analysis allows for a more nuanced understanding of exploitation that goes beyond moral judgment and highlights the need for systemic change.
In summary, while Marx's concept of exploitation carries moral implications due to its critique of inequality and injustice within capitalist systems, it is also grounded in economic analysis. Exploitation, as understood by Marx, is not solely a moral concept but a structural one, highlighting the systemic nature of unequal power relations and the need for transformative economic and social change.
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pls respond soon!
Two stocks are offered to investors, one long-term, one short-term. Assuming each bond pays the same interest rate, which is the best option for a 30-year-old investor?
-Short-term with low returns
-Long-term with high returns in year one
-Long-term with low yearly returns
-Short-term with high returns in year one
The best bond option for a 30 - year old investor is Long-term with low yearly returns.
What type of bonds are best for young investors?The type of bond that would be best for a young investor would be one that has a long term horizon. This is because young investors have a long time ahead of them to make money from their jobs. They don't need the returns from the bonds just yet. They will however need those bond returns when they are older and so they should just pick a long - term bond.
When it comes to the returns they should go for, the bond should be one with low yearly returns. Again, they don't need the returns as much so they can take those with low yearly returns. These ones are less risky and so will be available for them when they grow old. A 30 - year - old investor should therefore take a long - term bond with low yearly returns.
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Answer:
C. Long-term with low but steady yearly returns
Explanation:
Tomas and Saturn are partners who share income in the ratio of 3:1. Their capital balances are $40,000 and $60,000 respectively. Income summary has a credit balance of $20,000. What is Saturn's capital balance after closing income summary to capital?
Tomas and Saturn are partners who share income in a ratio of 3:1. The income summary has a credit balance of $20,000, which represents the total income that needs to be distributed to both partners based on their income sharing ratio.
Hi! I'd be happy to help with your question. First, we'll calculate the income shares for Tomas and Saturn. The sum of the ratio is 3+1=4. Tomas receives 3/4 of the income, while Saturn receives 1/4. Now, let's distribute the $20,000 income:Tomas' share: (3/4) * $20,000 = $15,000
Saturn's share: (1/4) * $20,000 = $5,000
To find Saturn's capital balance after closing the income summary to capital, add Saturn's share of the income to his initial capital balance:Initial capital balance: $60,000
Saturn's income share: $5,000
Saturn's capital balance after closing income summary to capital = $60,000 + $5,000 = $65,000
So, Saturn's capital balance after closing the income summary to capital is $65,000.
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