Answer:
"Decreasing liabilities."
Explanation:
An asset source transaction is a type of transaction that increases a company's assets and its sources of financing. Some examples of asset source transactions include borrowing money from a bank, issuing new stock, or selling a long-term asset.
The following would not describe the effects of an asset source transaction on a company's financial statements:
Decreasing liabilities: An asset source transaction typically has no effect on a company's liabilities. Instead, it increases the company's assets and its sources of financing.
Therefore, the correct answer is "Decreasing liabilities."
For more questions like asset source transaction visit the link below:
https://brainly.com/question/14859159
#SPJ11
ways which business can overcome competition in the market environment
Know the competition. Find out who your competitors are, what they are offering, and what their strengths and weaknesses are. ...
Know your customers. ...
Differentiate. ...
Step up your marketing. ...
Update your image. ...
Look after your existing customers. ...
Target new markets. ...
Expand your offer.
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three dimensional. How is he MOST LIKELY to add this foreground? A. B. C. D. He might change his position to include some foreground items such as rocks or grasses. He might tilt his camera up to better capture the tops of the hills. He might add some framing trees in the middleground of his image. He might circle around to the side of the hills to capture the cows standing on top. PLS HELP!!
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. He is most likely to add this foreground Option A. He might change his position to include some foreground items such as rocks or grasses.
The foreground of an image is usually the element that is closest to the viewer. The foreground is often used to add depth to an image. If a photographer wants to create a 3D appearance in his image, he must ensure that the image has a foreground, mid-ground, and background. It is possible to include a foreground in a photo by modifying the angle of the shot and including elements in the foreground.
Emilio might change his position to include some foreground items such as rocks or grasses. By doing so, he will be adding depth to his image. Another way to add foreground to an image is to use framing trees in the middle ground of the image, but this may not provide the depth required. Tilt his camera up to better capture the tops of the hills or circling around to the side of the hills to capture the cows standing on top are not recommended, as the question seeks to add a foreground.
Therefore, Emilio is most likely to add the foreground by changing his position to include some foreground items such as rocks or grasses. Therefore, the correct option is A.
The question was incomplete, Find the full content below:
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. How is he MOST LIKELY to add this foreground?
A. He might change his position to include some foreground items such as rocks or grasses.
B. He might tilt his camera up to better capture the tops of the hills.
C. He might add some framing trees in the middle ground of his image.
D. He might circle around to the side of the hills to capture the cows standing on top.
Know more about Three-dimensional here:
https://brainly.com/question/28504776
#SPJ8
Mayan company had net income of $33,480. the weighted-average common shares outstanding were 9,300. the company has no preferred stock. the company sold 4,300 shares before the end of the year. there were no other stock transactions. the company's earnings per share is:
Answer:
Earnings Per Share = $3.6
Explanation:
Given
Net Income Average = $33,480
Weighted-average common shares outstanding = 9,300
Shares sold = 4,300
Required
Calculate the company's earnings per share.
Earning per share is calculated as thus;
Let N represent the Net Income; P represent the Preferred Dividend and W represent the Weighted-average common shares outstanding
\(Earnings Per Share = \frac{N - P}{W}\)
The question says there was no preferred stock;
So, P= 0
Substitute $33,480 for N and 9,300 for W.
The formula becomes;
\(Earnings Per Share = \frac{33,480 - 0}{9300}\)
\(Earnings Per Share = \frac{33,480}{9300}\)
\(Earnings Per Share = 3.6\)
Hence, the calculated Earnings per share of Mayan company is $3.6
Libel is a defamatory or hurtful remark told about someone to others, and slander is when this remark or comment is broadcast over the TV, radio, printed in a publication, or forwarded to others on the Internet.
Answer:
This is false.
Explanation:
The statement in the question interchange the meanings of the two terms. The correct definitions are therefore given as follows:
Libel is can be described as a written or published false statement about another person that damages their reputation unjustly.
Slander refers a spoken false statement about another person that damages their reputation unjustly.
Based on the definitions above, the statement in the question can be correctly rewritten as follows:
Slander is a defamatory or hurtful remark told about someone to others, and libel is when this remark or comment is broadcast over the TV, radio, printed in a publication, or forwarded to others on the Internet.
Answer:
FALSE
Explanation:
i got it right
What is market economy?
Answer: an economic system in which production and prices are determined by unrestricted competition between privately owned businesses.
Answer:
an economic system in which production and prices are determined by unrestricted competition between privately owned businesses.
Explanation:
Catherine is starting her own catering company. So far she has researched
her competitors, created a business plan, and set up her company as an LLC.
What is Catherine's next step in planning her new business?
A. She needs to acquire funding for her business.
B. She needs to set the price list for her catered goods.
C. She needs to determine what items she will sell at her business.
D. She needs to create advertisements for her business.
Answer:
A. She needs to acquire funding for her business.
Explanation:
Took the test
Catherine's next step in planning her new business is that She needs to acquire funding for her business. Option (a) is correct.
What do you mean by Planning?Planning is Setting goals and choosing a course of action to achieve them are both part of the management task of planning. Managers must foresee future situations and be aware of the current environmental factors affecting their firm.
We can determine the parameters of scale, type, location, and how to effectively manage by having a thorough understanding of the distinctive features of your opportunity. Additionally, we'll give you details about regional rivalry and market trends so you may evaluate the potential of a new business.
Therefore, Option (a) is correct. Catherine's next step in planning her new business is that She needs to acquire funding for her business.
Learn more about Planning, here;
https://brainly.com/question/13010835
#SPJ2
If your company is expected to pay 100 million to a company in Japan by 9/30/21 list 2 ways that my company can hedge the transaction
Answer:
The company can opt for futures contracts.
The company can go for matching of receipts.
Explanation:
There are various techniques for transferring foreign exchange risk. Many organizations go for hedging techniques to minimize the risk exposure with the fluctuation in the foreign currency. When a company is expecting payments in six months, it can go for futures contract or matching the payment with the equal amount receipts.
Q2: Pueblo Vida Brewing (PVB) company uses a reverse osmosis (RO) membrane system to condition the city of Tucson water because the quality of the taste of their beer is important to their clients and
a. Reject water quantity would be 0.8735 times the total water usage. b. The TDS content of the reject water is 390.16 ppm .c. $1.14 money throw away in their reject stream. d. treated and put to use for a variety of things
Pueblo Vida Brewing (PVB) company uses a reverse osmosis (RO) membrane system to condition the city of Tucson water for their beer production. They mix the RO water with fresh Tucson water to achieve the desired total dissolved solids (TDS) content for brewing. Given the TDS levels of the feed water, RO water, and desired brewing water, the following calculations can be made to determine the total water usage, reject water sent to the sewer, and the TDS content of the reject water.
a) To determine the total water usage and reject water quantity, we need to calculate the amount of RO water and fresh Tucson water used. Since they need 14 bbls of water per day, the total water usage would be 14 bbls. The reject water produced by the RO system is 87.35% of the feed water, so the reject water quantity would be 0.8735 times the total water usage.
b) The TDS content of the reject water can be calculated by multiplying the TDS level of the feed water (419 ppm) by the concentration factor (87.35) and dividing it by the sum of the concentration factor and 1 (87.35 + 1). This calculation yields a TDS content of the reject water of approximately 390.16 ppm.
Therefore, Pueblo Vida Brewing uses a total weight of 1636.9 kg of water per day, with 47475.75 kg of reject water sent to the sewer.
c) The daily volume of water rejected is 379.01 litres, or 0.37901 cubic metres. Water price per m3 is $3.00. Daily cost of rejected water is $3.00 multiplied by 0.37901 m3/day, or $1.14.
d) Rejected water may be treated and put to use for a variety of things. In the industrial, it can be utilised for cooling reasons. As an alternative, the business can sell it to other sectors of the economy that need water for their operations. The business may also utilise this water to irrigate grass or plants outside the building.
Learn more about weight here
https://brainly.com/question/33303462
#SPJ11
The Complete question is
2) Pueblo Vida Brewing (PVB) company uses a reverse osmosis (RO) membrane system to condition the city of Tucson water because the quality of the taste of their beer is important to their clients and total dissolved solids (TDS) in the inlet water can have an impact on the flavor. The feed water to PVB from the city of Tucson has TDS about 419 ppm by mass. The RO unit produces water that has a TDS level of 53 ppm by concentrating the rejected TDS in a stream that is 87.35 of the feed water. To brew beer, they can actually have a TDS content of 150 according to Charlie Border, one of their brewers. Since they cannot run the RO unit at a lower level, they mix fresh Tucson water back into the RO water after it is produced. If they are making a brewing batch that requires 14 bbls of water/day:
a) How much total water do they use and how much reject water would they send to the sewer in a day, in kg/day?
b) What is the TDS content of the reject water, in ppm?
c) How much money do they throw away in their reject stream per day, if they were to dump the water?
d) What could they do with this water?
The larger the purchase, the less time businesses spend comparing vendors.
True
False
What is the population of Quito? Give a simple Answer
less than 500,000
about 850,000
over 1 million
3 million
Answer:
over 1 million
Explanation:
It has been over 1 million for the past couple years, in 2019 it was just below 2 million.
click the heart button to give thanks :)
happy holidays :)
Brine A tank initially contains 200 gallons of fresh water. but then a salt solution of unknown concentration is poured into the tank at 2 gal/min. The well-stirred mixture flows out of the tank at the same rate. After 1 20 min, the concentration of salt in the tank is 1 .4 lb/gal. What is the concentration of the entering brine
To determine the concentration of the entering brine, we need to consider the flow rate of the salt solution and the change in concentration over time.
The tank initially contains 200 gallons of fresh water. Let's assume the concentration of salt in the fresh water is 0 lb/gal.
Over a span of 120 minutes, the salt solution is poured into the tank at a rate of 2 gal/min. This means that a total of 240 gallons (2 gal/min * 120 min) of the salt solution is added to the tank.
After 120 minutes, the concentration of salt in the tank is 1.4 lb/gal. To calculate the amount of salt added, we multiply the concentration by the volume of the tank:
Amount of salt added = Concentration * Volume
Amount of salt added = 1.4 lb/gal * 200 gallons = 280 lb
Since 240 gallons of the salt solution were added, we can calculate the concentration of the entering brine using the total amount of salt added and the total volume of the entering solution:
Concentration of entering brine = Amount of salt added / Volume of entering brine
Concentration of entering brine = 280 lb / 240 gallons = 1.17 lb/gal
Therefore, the concentration of the entering brine is approximately 1.17 lb/gal.
Learn more about salt solution here:
https://brainly.com/question/28968491
#SPJ11
Prepare journal entries to record the following merchandising transactions of Cabela's, which uses the perpetual inventory system and the gross method. (Hint: It will help to identify each receivable and payable; for example, record the purchase on July 1 in Accounts Payable-Boden.) -July 1 Purchased merchandise from Roden Company for $6,000 under credit terms of 1/15, n/30, TOB shipping point, invoice dated July 1.-July 2 Sold merchandise to Creek Co. for $900 under credit terms of 2/10, 1/60, POB shipping point, invoice dated July 2. The merchandise had cost $500. -July 3 Paid $125 cash for freight charges on the purchase of July 1. -July 8 Sold merchandise that had cost $1,300 for $1,700 cash. -July 9 Purchased merchandise from Leight Co. for $2,200 under credit terms of 2/15, 1/60, POB destination, invoice dated July 9. -July 11 Received a $200 credit memorandum from Light Co. for the return of part of the merchandise purchased on July 9. -July 12 Received the balance due from Creek Co. for the invoice dated July 2, net of the discount. -July 16 Paid the balance due to Boden Company within the discount period. -July 19 Sold merchandise that cost $800 to Art Co. for $1,200 under credit terms of 2/15, n/60, TOB shipping point, invoice dated July 19. -July 21 Issued a $100 credit memorandum to Art Co. for an allowance on goods sold on July 19. -July 24 Paid Leight Co. the balance due, net of discount. 30 Received the balance due from Art Co. for the invoice dated July 19, net of discount. -July 31 sold merchandise that cost $4,800 to Creek Co. for $7,000 under credit terms of 2/10, 1/60, TOB shipping point, invoice dated July 31. Purchased merchandise from Boden Company for $6,000 under credit terms of 1/15, n/30, FOB shipping point, invoice dated July 1. Note: Enter debits before credits
The journal entries for the transactions of Cabela's are as follows:
July 1:
-Debit Inventory $6,000
-Credit Accounts Payable-Boden $6,000
July 2:
-Debit Accounts Receivable-Creek $900
-Credit Sales Revenue $900
-Debit Cost of Goods Sold $500
-Credit Inventory $500
July 3:
-Debit Inventory $125
-Credit Cash $125
July 8:
-Debit Cash $1,700
-Credit Sales Revenue $1,700
-Debit Cost of Goods Sold $1,300
-Credit Inventory $1,300
July 9:
-Debit Inventory $2,200
-Credit Accounts Payable-Leight $2,200
July 11:
-Debit Accounts Payable-Leight $200
-Credit Inventory $200
July 12:
-Debit Cash $882
-Credit Accounts Receivable-Creek $900
-Credit Sales Discounts $18
July 16:
-Debit Accounts Payable-Boden $5,940
-Credit Cash $5,940
-Credit Purchase Discounts $60
July 19:
-Debit Accounts Receivable-Art $1,200
-Credit Sales Revenue $1,200
-Debit Cost of Goods Sold $800
-Credit Inventory $800
July 21:
-Debit Sales Returns and Allowances $100
-Credit Accounts Receivable-Art $100
July 24:
-Debit Accounts Payable-Leight $1,956
-Credit Cash $1,956
-Credit Purchase Discounts $44
July 30:
-Debit Cash $1,078
-Credit Accounts Receivable-Art $1,100
-Credit Sales Discounts $22
July 31:
-Debit Accounts Receivable-Creek $7,000
-Credit Sales Revenue $7,000
-Debit Cost of Goods Sold $4,800
-Credit Inventory $4,800
To learn more, check out: https://brainly.com/question/14531346
#SPJ1
In the end, businesses that use teams tend to have ______. a. Fewer sick leaves b. More profits c. More management d. Fewer products
Answer:
The answers B More profits
Explanation:
Trust me i just made a 100 in the test
In the end, businesses that use teams tend to have more profit. Thus, option (b) is correct.
What is businesses?The term “businesses” refers to earning a profit. The business is taking the risk and earning the profit. The business is mainly focused on the activities of the creation, distribution, and selling of concepts. The businesses are interested in the investment as a future perspective.
The term “businesses” refers to the primary goal of generating a profit. The company is taking a risk and profiting from it. The enterprises' functions are focused on the creation, distribution, and sale of concepts. The business was the runs on the basis of the consumer behavior.
As a result, the significance of businesses are the aforementioned. Therefore, option (b) is correct.
Learn more about on businesses, here:
https://brainly.com/question/15826604
#SPJ6
What are three ways to make money through investing in real estate?
Answer:
There are three primary ways investors could potentially make money from real estate: An increase in property value. Rental income collected by leasing out the property to tenants.
Answer: By a sudden positive change in the economy, by renting out residences or land to customers, or by being smart about when and how the properties are put up for sale or rent
Explanation:
7 1 point A survey reveals that, on a small island, 1,000 people have jobs, 250 people are unemployed and looking for jobs, and 450 people are neither working nor looking for work. The unemployment rate on the island is %. ОО 15.6 0 45 0 20 Previous
The unemployment rate on the small island can be calculated by dividing the number of unemployed people by the total number of people in the labour force (those who have jobs or are actively looking for one).
In this case, we have 250 unemployed people and 1,000 employed people, making a total labour force of 1,250 (1,000 + 250).
To calculate the unemployment rate, divide the number of unemployed people (250) by the total labour force (1,250) and multiply by 100 to get a percentage:
Unemployment rate = (Number of unemployed / Total labour force) * 100
Unemployment rate = (250 / 1,250) * 100
Unemployment rate = 20%
So, the unemployment rate on the small island is 20%. This means that out of the total labour force, 20% of people are unemployed and actively looking for work.
In this question, we are given the number of people with jobs, the number of people unemployed and looking for jobs, and the number of people who are not working or looking for work. To find the unemployment rate, we need to calculate the percentage of unemployed people out of the total labour force.
To know more about the unemployment rate refer to this:
https://brainly.com/question/30115084
#SPJ11
target has used ________ to identify 25 products that, when bought together or over time, predict a woman’s likelihood of being pregnant as well as her child’s expected due date.
Predictive modeling is a method used by firms and organisation in predicting future outcomes through the use of data modeling. Target has used predictive modeling to identify 25 products that, when bought together or over time, predict a woman’s likelihood of being pregnant as well as her child’s expected due date.
Predictive modeling is known to be one of the old ways a business can see its future (path forward) and make appropriate plans.
This modeling has high accuracy and also commonly use. It uses mathematical and computational methods to predict an event or outcome.
Conclusively, Predictive modeling can see the forward paths of firms through the use of mathematical and computational means of predicting events.
Learn more from
https://brainly.com/question/18484504
5 steps in developing a research instrument
Answer:
Explanation:
Step 1 – Locating and Defining Issues or Problems. ...
Step 2 – Designing the Research Project. ...
Step 3 – Collecting Data. ...
Step 4 – Interpreting Research Data. ...
Step 5 – Report Research Findings.
Answer:Step 1: locatingOr defining issues problems problems
Step 2: designing the research project
Step 3: collecting data
Step 4: interpreting research data
Step 5: Report research findings
Explanation: it is there as soon a u look it up ! Hope that helps
A stock has an expected return of 12 percent and a standard deviation of 20 percent. Long term Treasury bonds have an expected return of 9 percent and a standard deviation of 15 percent. Given this data which of the following statements is correct?
A. Both investments have the same diversifiable risk.
B. The stock investment has a better risk-return trade-off.
C. The bond investment has a better risk-return trade-off.
D. The two assets have the same coefficient of variation.
Answer:
D. The two assets have the same coefficient of variation.
Explanation:
the coefficient of variation = standard deviation / mean
the coefficient of variation of the stock = 20% / 12% = 1.67the coefficient of variation of the treasury bonds = 15% / 9% = 1.67As a general, the lower the coefficient of variation, the more exact is the estimated return.
2. If changes happen during September or October, which expenses will you be able to change most easily? Give an example of how you could make a change. (5 points)
The correct answer to this open question is the following.
Although the question does not provide any context, references, or give options, we can say that if changes happen during September or October, the expenses you will be able to change most easily are according with the provisions projected in the annual plan, the budget, compared with the monthly expenses.
That is why a company has to elaborate on a good financial plan and overseeing the projections and true sales of the marketing and sales plan. This is important to take the proper control of expenses and revenues. Depending on the volume of sales during September and October, you can decide what kind of changes or adjustments to make in the following months.
Answer:
I would be able to change the variable expenses most easily. Such as food, clothing, and discretionary spending.
I could make the change by
Budgeting in October:
food from spending -$70 back to -$60
cut clothes off since I bought some already from -$40 to $0
budget my discretionary spending from -$60 back to -$40
This would increase my savings to $230
explain why economics is often called the study of choices
Answer:
Ultimately, economics is the study of choice. Because choices range over every imaginable aspect of human experience, so does economics. Economists have investigated the nature of family life, the arts, education, crime, sports, law—the list is virtually endless because so much of our lives involves making choices.
How does the following transaction impact cash flow? recognizing depreciation expense on a piece of equipment purchased six years ago.
No Impact would be there on cash flow at all.
No cash is actually paid when a company recognizes depreciation expense. This is an implicit transaction related to the passage of time, and therefore, there is no impact on cash flows.
As a company buys anything they usually pay in credits and due to that, there would be no such impact on the cash flow. In a company majority of the payments are done on credit and all the rest of the remaining payments are on cash which is not in bulk therefore a company faces no issue in its financial table and cash flow.
For more questions like the above of Cash Flow visit the link below;
https://brainly.com/question/23797333?referrer=searchResults
#SPJ4
what are the benefits and possible disadvantages of a country using the U.S dollar as it’s official currency
Using US Dollar as the official currency has many advantage as well as disadvantages.
The advantages of using US Dollar as a official currency are as follows:-
1. US Dollar is widely accepted around the globe.
2. The country will have seamless access to international markets.
3. The transaction cost for the country shall reduce transaction costs.
Disadvantages of using US Dollar as official currency
1. It results as a threat to the monetary sovereignty.
2.The central Bank of the country will not have the freedom to frame monetary policy.
3. Any change in U.S monetary policy will badly affect the country.
To know more about use of US Dollar as official currency,
https://brainly.com/question/29548963
A company manufactures computer screens that utilize less electricity. Which form of technology would this be classified as?
A.
grid computing
B.
screenless display
C.
autonomic computing
D.
cloud computing
E.
green computing
Answer:
Green computing
Explanation:
A company manufactures computer screens that utilize less electricity. green computing form of technology would this be classified as. The correct option is E.
What are the five goals of green technology?Green technology lowers costs while improving product design, reducing waste, reducing our carbon footprint, and improving business efficiency. It also generates new jobs. A company creates computer screens with less electricity consumption.
Green computing also referred to as green technology, is the practice of using computers and other computing machinery in an environmentally and energy-friendly manner. Energy-efficient servers, peripherals, power systems, and central processing units (CPUs) are frequently used in businesses that employ green computing techniques.
Thus, the ideal selection is option E.
Learn more about green computing here:
https://brainly.com/question/14491844
#SPJ2
If you have a favorable sales volume variance, what must be true?.
Answer:
higher actual revenue than the standard revenue
Explanation:
A project has an initial cost of $80,000 and a 3-year life. The company uses straight-line depreciation to a book value of zero over the life of the project. The projected net income from the project is $1,200, $2,300, and $2,800 a year for the next 3 years, respectively. What is the average accounting return? 5.25 percent 5.35 percent 5.45 percent 5.56 percent
Answer:
5.25%
Explanation:
The computation of the average accounting return is shown below:
Average accounting return is
= Average net income ÷ average initial cost
where,
Average net income is
= ($1,200 + $2,300 + $2,800) ÷ 3 years
= $2,100
And, the average initial cost is
= $80,000 ÷ 2
= $40,000
So , the average accounting return is
= $2,100 ÷ $40,000
= 5.25%
Hence, the average accounting return is 5.25%
5020
تيكية
Which material resource is found in
a plastic toy?
Answer:
polythene, polypropylene,EVA,etc are found in a plastic toy.
The most common tactic followed in process-layout planning is to arrange departments or work centers so they: A) minimize the cost of skilled labor. B) maximize the machine utilization. C) are equally allocated within the available space. D) minimize the costs of material handling. E) produce a perfectly balanced assembly line.
The most important tactic in the process layout planning is to minimize the costs of material handling.
The correct answer to this question is option D. In the manufacturing or engineering department, process layout is a floor plan design for a plant. The goal of this is to raise efficiency.
To raise the efficiency, each of the equipment would have to be arranged based on the functions that they serve. This reduces the cost of material handling.
Read more on
https://brainly.com/question/15683913?referrer=searchResults
true or false there is general agreement as to which economic policies are fair, or equitable.
False, there is not general agreement as to which economic policies are fair or equitable. Different groups and individuals have different beliefs and priorities when it comes to economic policies, and what one person may view as fair, another may view as unjust.
For example, some may believe that progressive taxation, in which higher-income individuals pay a larger percentage of their income in taxes, is a fair economic policy, while others may view it as unfairly penalizing the wealthy. Similarly, some may view free trade agreements as promoting economic growth and fairness, while others may see them as benefiting certain groups at the expense of others.
Overall, there is no consensus on what constitutes fair economic policies, and debates about the fairness of different policies continue to be a major part of political and economic discourse.
Know more about economic policies here:
https://brainly.com/question/30104789
#SPJ11
Jerry Osborn was told when she bought her corporate bonds that they would be recorded electronically. This means that Jerry purchased...A. Bond endenturesB. Registered bondsC. Trust agreementsD. Corporate savings bondsE. Convertible bonds
Jerry Osborn purchased B. Registered bonds. Registered bonds are bonds that are recorded electronically or in a physical register by the issuer. When Jerry was informed that her corporate bonds would be recorded electronically, it indicates that her bonds are registered and the ownership is tracked electronically rather than through physical certificates.
Registered bonds provide a record of ownership, and the bondholder's information is maintained in a register by the issuing company or a designated registrar. This allows for efficient and secure management of bond ownership, as well as streamlined processes for interest payments and communication between the issuer and bondholders .Other options such as bond indentures (A), trust agreements (C), corporate savings bonds (D), and convertible bonds (E) are different types of bonds or legal agreements associated with bonds, but they do not specifically relate to the electronic recording of ownership like registered bonds do. Registered securities provide a clear record of ownership, allowing for efficient communication and transactions between the issuer and the investor. Registered ownership also offers certain benefits, such as the right to receive dividends, interest payments, or other distributions associated with the security. In the context of bonds, registered bonds are those that have their ownership recorded in a register, either electronically or through physical certificates. This registration ensures that the bondholder's information is maintained accurately and facilitates the payment of interest and principal to the rightful owner.
Learn more about Registered bonds here:
https://brainly.com/question/31838766
#SPJ11
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
Read more on jobs here: https://brainly.com/question/26355886
#SPJ1