A company manufactures extremely specialized equipment for medical imaging. Because of its value, when the company exports this equipment overseas to hospitals, it generally requires ________, which is a nonrefundable deposit.

Answers

Answer 1

Answer:

Cash in advance, is the right answer.

Explanation:

The service which is generally provided by most of the credit cards and charge card agencies is known as a cash advance.

It is a kind of service through which the cardholder can simply withdraw money either through an ATM or over the desk at any financial office. However, the cardholder can withdraw a limited amount. Under this scheme, an individual cardholder who presents an accepted form of identification is eligible for a cash advance over the desk of any bank which issues such types of credit cards.


Related Questions

I need someone to answer this fast is anyone good at accounting and is willing to help me for a while ?

Answers

Answer:

Why not

Explanation:

Here at brainly there are more than 150 million users, so all you have to do is go to the home page write your question at the ask question section and wait till any user answers that. Otherwise, you can also message me the question. I will answer that and I am a Chartered Accountant. So I will answer your question.

Process activity analysis roen company incurred an activity cost of $105,600 for inspecting 40,000 units of production. management determined that the inspecting objectives could be met without inspecting every unit. therefore, rather than inspecting 40,000 units of production, the inspection activity was limited to a random selection of 5,000 units out of the 40,000 units of production. determine the inspection activity cost per unit on 40,000 units of total production both before and after the improvement. if required, round per unit amounts to the nearest cent. inspection activity before improvement $ per unit inspection activity after improvement $ per unit

Answers

Final answer:

Before the improvement, the inspection activity cost per unit was $2.64. After the improvement, when considering the cost per unit inspected for the sample of 5,000 units, it was $21.12; however, the per-unit cost remains $2.64 when allocated to the entire production of 40,000 units since the total cost did not change.

Explanation:

To determine the inspection activity cost per unit for the Roen Company before the improvement, we divide the total activity cost by the quantity of production:

AC = TC/Q = $105,600 / 40,000 units = $2.64 per unit.

After the improvement, the total activity cost remains the same, but it is now spread over a random sample of 5,000 units instead of the entire 40,000 units. Hence, if we only consider the sample, the cost per unit inspected would be:

AC = TC/Q = $105,600 / 5,000 units = $21.12 per unit.

However, looking at the cost allocated to the entire production of 40,000 units, the per-unit cost doesn't change as the total activity cost is unchanged regardless of the sample size inspected:

AC = TC/Q still equals $105,600 / 40,000 units = $2.64 per unit after the improvement due to the cost being an overhead.

Whats the difference between stock and stockholder?

Answers

To delve into the underlying meaning of the terms, "stockholder" technically means the holder of stock, which can be construed as inventory, rather than shares. Conversely, "shareholder" means the holder of a share, which can only mean an equity share in a business. Thus, if you want to be picky, "shareholder" may be the more technically accurate term, since it only refers to company ownership.

Why is there no federal agency that regulates insurance companies?

Answers

Answer:

There is no federal regulatory agency that oversees insurance companies. A primary function of each state's Department of Insurance is to assure that insurance companies operating in the state are financially sound, so that the company will have the financial ability to meet its obligations to pay claims.

Ocala Clinic’s services result in $5,000 in daily billings to third-party payers. On average, it takes the clinic 50 days to collect its receivables. If the interest rate on loans needed to finance receivables (cost of carrying receivables) is 10 percent, what is the clinic’s dollar annual cost of financing its receivables balance?

Answers

Answer: $25,000

Explanation:

Carrying cost of receivables = 10% interest on loan to finance receivables

Daily billing to third party payers = $5000

Average Period to collect receivables = 50 days

Interest payment = 10% × $5000

Interest payment = 0.1 × $5,000

Interest payment = $500

Dollar annual cost of financing receivable balance:

Daily interest payment × average period to collect receivables

$500 × 50 = $25,000

If I have the only telephone in town, it is essentially worthless. Then other people in town get telephones and I can call them. The value of my telephone rises as more and more of the town installs phones. This makes the telephone a(n) __________ good.

Answers

Answer:

Explanation:

The value of my telephone rises as more and more of the town installs phones. This makes the telephone a network good.

What is a network good?

A term used in economics to characterize this relationship between demand for a product and demand from other consumers is network externality. In other words, the purchase habits of customers are influenced by what others buy.

The secret to the sharing and collaborative economy is network effects. When a product or service becomes more valuable as more people use it, this phenomenon is known as the network effect.

The spread of sharing and collaboration models, made possible by the internet's international reach, is largely due to this phenomenon.

An economic network is a collection of people, organizations, or nations that collaborate to further the common good. In an economic network, a group's main objective is to improve its position in a market.

By expanding your client base, market share, and the overall value proposition of your product, network effects help you scale your firm and enhance profitability. A network effect is when your product's value rises as more people use it, if you're wondering what that is.

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Madrid Company plans to issue 9% bonds with a par value of $4,200,000. The company sells $3,780,000 of the bonds at par on January 1. The remaining $420,000 sells at par on July 1. The bonds pay interest semiannually on June 30 and December 31. 1. Record the entry for the first interest payment on June 30. 2. Record the entry for the July 1 cash sale of bonds.

Answers

Answer:

Journal entries is seen below

1. Interest payment expenses $170,100

To cash $170,100

2. Cash $420,000

To bond payable $420,000

Explanation:

Journal entries with explanations.

1. Interest expenses $170,100

To cash $170,100

(It is recorded being the first interest payment)

The working is as seen below;

= $3,780,000 x 9% x 6 months ÷ 12 months

= $170,100

As per the recording, the interest expense was debited because it increased the expenses while cash is paid which reduced the cash balance hence credited.

2. Cash $ 420,000

To bond payable $420,000

(Being the cash sale of bond that is recorded.)

For the recording, cash was debited as it was received because it increased the cash balance and also credited to bond payable account.

Sally is a channel manager for the Carolina Bee Company, which offers bee pollination services to orchard growers and farmers. The company acquired a smaller bee business and is integrating it into the company’s current distribution channel process. Which areas of the distribution flow are critical for Sally to address with this new business integration?

Answers

Final answer:

Critical areas to consider for the new business integration include product planning, inventory management, logistics, and customer service. These areas ensure smooth operations, adequate supply to meet demand, timely service delivery, and strong client relationships.

Explanation:

The areas of the distribution flow that would be crucial for Sally to address with this new business integration would likely include product planning, inventory management, logistics, and customer service.

Product planning involves determining the types and amount of bee services to be offered and the ways in which these will be distributed. It's key to ensuring the newly acquired business aligns with the current product offerings in terms of both quantity and quality.

Inventory management entails managing the company’s bees and ensuring there is an adequate supply to meet demand and handle any unexpected shifts. This area is more relevant for the Carolina Bee Company since the collapse of honeybee populations can significantly affect their business model.

There are also logistics, which involves the physical distribution of the service from the company to the farmers and orchard growers. Efficient logistics ensures timely delivery of pollination services to clients.

Finally, improving and maintaining solid customer service and relationships with the farmers and orchard growers would be integral, particularly during this period of change and business integration.

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Sally should focus on product, negotiation, ownership, information, and promotion when integrating the new bee business into the company's distribution channel. These areas are critical to ensure a smooth and efficient integration process. Thus, option (c) is correct.

Sally is a channel manager for the Carolina Bee Company, which offers bee pollination services to orchard growers and farmers. The company acquired a smaller bee business and is integrating it into the company’s current distribution channel process. The areas of the distribution flow are critical for Sally to address with this new business integration.

The correct areas of distribution to address are:

Product: Ensuring the seamless flow and consistent quality of products across the newly integrated business streams.Negotiation: Effectively managing negotiations to maintain strong relationships with new and existing clients and partners.Ownership: Tackling any legal matters or ownership rights related to the integration.Information: Keeping all stakeholders informed with accurate and timely data throughout the integration process.Promotion: Marketing efforts to promote the newly formed, larger entity to the target market.

By focusing on these areas, Sally can help ensure a smooth and efficient integration, which can enhance operational efficiency, cost management, and customer satisfaction.

Complete Question:

Sally is a channel manager for the Carolina Bee Company, which offers bee pollination services to orchard growers and farmers. The company acquired a smaller bee business and is integrating it into the company’s current distribution channel process. Which areas of the distribution flow are critical for Sally to address with this new business integration?

a. service, negotiation, information, promotion, and profit

b. product, ownership, information, cash, and redundancy

c. product, negotiation, ownership, information, and promotion

Hanson Company is constructing a building. Construction began on February 1 and was completed on December 31. Expenditures were $1,800,000 on March 1, $1,200,000 on June 1, and $3,000,000 on December 31. Hanson Company borrowed $1,000,000 on March 1 on a 5-year, 12% note to help finance construction of the building. In addition, the company had outstanding all year a 10%, 5-year, $2,000,000 note payable and an 11%, 4-year, $3,500,000 note payable. Compute the weighted-average interest rate used for interest capitalization purposes. (Round answer to 2 decimal places, e.g. 7.58%.)

Answers

Final answer:

The weighted-average interest rate used for interest capitalization purposes is 4.31%.

Explanation:

To compute the weighted-average interest rate used for interest capitalization purposes, we need to calculate the weighted-average interest rate on the outstanding notes payable. Here is the calculation:

Calculate the interest expense on each note payable by multiplying the outstanding balance by the interest rate. For the 10% note, the interest expense is ($2,000,000 × 10%) = $200,000. For the 11% note, the interest expense is ($3,500,000 × 11%) = $385,000. Calculate the weighted-average interest expense by multiplying the interest expense of each note by the proportion of the note to the total outstanding balance. The total outstanding balance is ($2,000,000 + $3,500,000) = $5,500,000. For the 10% note, the proportion is ($2,000,000 / $5,500,000) = 0.3636. For the 11% note, the proportion is ($3,500,000 / $5,500,000) = 0.6364. The weighted-average interest expense is (0.3636 × $200,000) + (0.6364 × $385,000) = $237,727. Calculate the weighted-average interest rate by dividing the weighted-average interest expense by the total outstanding balance. The weighted-average interest rate is ($237,727 / $5,500,000) = 0.0431 or 4.31%.

How many members sit congress

Answers

Answer:

535 members of Congress.

Explanation:

100 serve in the U.S. Senate 435 serve in the U.S. House of Representatives.

I hope this is right sorry if I am not

535 members 435 reps and 100 senators

Most state and local income taxes are either___

Answers

Answer:

progressive or flat

Explanation:

took the test :)

Most state and local income taxes are either progressive or flat.

Progressive income taxes are based on the principle of taxing individuals at higher rates as their income increases. This means that individuals with higher incomes pay a higher percentage of their income in taxes compared to those with lower incomes. Progressive income taxes are designed to be more equitable, as they place a greater burden on those who can afford it more.

On the other hand, flat income taxes apply a fixed tax rate to all income earners, regardless of their income level. This means that everyone pays the same percentage of their income in taxes. Flat income taxes are often considered simpler to administer and understand, but they can be seen as less equitable, as they do not take into account differences in income levels.

In summary, most state and local income taxes are either progressive (tax rates increase with income) or flat (a fixed tax rate applied to all income earners).

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One of the claims of ______ is that prejudice stems from people's desire to maintain dominance and social hierarchies.

Question 5 options:

A)

face negotiation theory


B)

social dominance theory


C)

social cognition theory


D)

expectancy violation theory

Answers

A) face negotiation theory
Final answer:

The statement that prejudice arises from a desire to maintain dominance and social hierarchies is a key tenet of social dominance theory, which examines the structures that perpetuate group-based social hierarchies.

Explanation:

The claim that prejudice stems from people's desire to maintain dominance and social hierarchies is associated with social dominance theory. This theory proposes that societies maintain group-based hierarchies by promoting dominant groups and subordinating the others. It deals with power dynamics within a society and examines how these hierarchies are perpetuated across various social systems, such as legal, cultural, or institutional structures.

On the other hand, theories like conflict theory and other perspectives on prejudice and discrimination focus on how dominant groups benefit by exploiting and oppressing subordinate groups, either for resources or to maintain the status quo. It describes how this imbalance of power and resources leads to social conflicts, often involving prejudice and discrimination.

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Brainliest Week
Which of the following will cause a decrease in quantity supplied in the cupcake market?
A Price of cupcakes increase.
B Cost of ingredients for cupcakes rises.
C People decide they prefer cakes to cupcakes.
D Government passes new nutritional labeling regulation for cupcakes.

Answers

Answer: B

Explanation:

Decrease in quantity supplied occurs when the supply chain of a market is interrupted.

Looking at the answers:

A. price of cupcakes increase - this will not decrease quantity supplied, this will raise the price and decrease demand.

B. cost of ingredients for cupcakes rises - this will decrease quantity supplied. Producers of cupcakes cannot make as many cupcakes as they had in the past at the same cost due to materials being more expensive.

C. prefer cakes to cupcakes - this will decrease demand, not quantity supplied.

D. nutritional labeling regulation for cupcakes - this is irrelevant.

The cost of ingredients for cupcakes rises will cause a decrease in the quantity supplied in the cupcake market. The correct option is B.

What is the quantity supplied on a supply curve?

The quantity of an item or service that is supplied, with all other factors remaining the same, is the amount that vendors are willing to sell at a specific price during a specific time. Generally speaking, receiving a higher price causes sellers to increase their supply while also increasing their earnings.

An increase in the cost of ingredients needed to produce cupcakes would increase the cost of producing cupcakes and thus reduce the profit margins of cupcake producers. In response to lower profits, producers would reduce the quantity supplied of cupcakes in the market to ensure that they remain profitable.

Therefore, an increase in the cost of ingredients would cause a decrease in the quantity supplied of cupcakes in the market. The other options listed (A, C, and D) are more likely to affect demand for cupcakes rather than the quantity supplied.

Thus, the ideal selection is option B.

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Monetary neutrality is the idea that money is neutral in the –. it is a means of exchanging, tracking, and storing value, but is not a – of value. an economy does not become inherently more or less – by virtue of a change in the amount of money in circulation. real productivity depends on resources, technology, and –.

Answers

Answer:

Monetary neutrality is the idea that money is neutral in the long run. It is a means of exchanging, tracking, and storing value, but is not a source of value. An economy does not become inherently more or less productive by virtue of a change in the amount of money in circulation. Real productivity depends on resources, technology,and institutions.

Explanation:

Money Neutrality is a term that connotes the fact that real values, not nominal values are affected when there is a change in money supply. The term explains the fact that money is a neutral item, which does not affect the structure of a economy.

So if the central bank decides to print more money and supply it to people, there would simply be an increase in demand as well as the prices of goods and services. However, fundamental aspects of the economy, would remain unaffected by this. Some of these basic aspects of the economy, are working knowledge and skills, unemployment levels or the presence of investors.

East Corp. manufactures stereo systems that carry a two-year warranty against defects. Based on past experience, warranty costs are estimated at 4% of sales for the warranty period. During 2005, stereo system sales totaled $3,000,000, and warranty costs of $67,500 were incurred. In its income statement for the year ended December 31, 2005, East should report warranty expense of:


A. $52,500

B. $60,000

C. $67,500

D. $120,000

Answers

Answer:

$52,500

Explanation:

Warranty cost are the cost associated with the repair or replacement of a product in case it does not perform as intended after purchase.

It is debited to the warranty expenses account and credited to the warranty liability account.

Total sales for the year - $3,000,000

Warranty estimate basis - 4%

Estimated warranty - 3,000,000 * 4% = $120,000

Warranty cost incurred = $67,500

Balance to be recorded for the year = 120,000 -67,500

$52,500

Corporate owners earn a return​ ________. A. through interest earnings and earnings per share B. through capital appreciation and retained earnings C. by realizing gains through increases in share price and cash dividends D. by realizing gains through increases in share price and interest earnings

Answers

Answer:

C. By realizing gains through increase in share price and cash divideneds.

Explanation:

For most corporations, the management must strive to ensure the firm is doing well in the market space. Once a company is doing well, it will affect its share price positively on the stock exchange.

An increase in the share price of fim is a gain to the firm and its corporate owners. I.e sharedholders. This means that the value of their investment in the firm has appreciated.

Furthermore, the firm must try to make profit which is one of the reason of being in business. A firm that is making profit will be able to declare same at the end of the financial period, hence corporate holders(shareholders) would be have part in profit declaration through dividened.

Final answer:

Corporate owners earn a return through capital appreciation (increase in share price) and cash dividends, as they own a part of the company and its profits. Retained earnings are reinvested for future profitability, while dividends distribute profits to shareholders.

Explanation:

The question asks how corporate owners earn a return. Corporate owners earn a return by realizing gains through increases in share price and cash dividends. This is because the owners of a share in a company own a part of the company and, hence, a share of its profits. Corporations often retain some of their profits, known as retained earnings, to reinvest and increase future profitability. Meanwhile, the profits distributed to shareholders are known as dividends. The value of a company's stock is influenced by the expected future profits, making capital appreciation (increase in share price) and dividends key components of a shareholder's return. Additionally, the concept of capital gains is crucial, as it represents the profit from selling a share at a higher price than it was purchased.

Suggestion boxes are a good idea, but if they are used, ________.

a. each suggestion should be logged into a database available to all employees

b. employees should be adequately rewarded for every idea they submit that is implemented

c. managers should explain why suggestions are feasible or not

d. no anonymous suggestions should be accepted

Answers

C I believe hope I helped mark brainless if correct please

Payton, Inc.'s charter authorized 100,000 shares of stock with a par value of $1 per share. Payton issues 100 shares at a market value of $5 per share. The journal entry to record this transaction will include a credit to _____ in the amount of _______.

Answers

Answer:

Common stock and $100

Explanation:

The journal entry is shown below:

Cash Dr $500   (100 shares × $5)

     To Common stock $100  (100 shares × $1)

     To Additional paid in capital in excess of par value - common stock  (100 shares × $4)

(Being the issuance of the common stock is recorded)

For recording this we debited the cash as it increased the assets and credited the common stock and additional paid in capital as it increased the stockholder equity    

Answer:

$100

Explanation:

Brady corp. is considering the purchase of a piece of equipment that costs $20,000. projected net annual cash flows over the project's life are: year net annual cash flow 1 $ 3,000 2 8,000 3 15,000 4 9,000 the cash payback period is select one:


a. 2.29 years.


b. 2.60 years.


c. 2.40 years.


d. 2.31 years.

Answers

Answer:

B

Explanation:

Payback period is the total time it takes an organization to recover the initial capital incurred in acquiring an asset.

It is expressed in years and fraction of years.

Initial investment    20,000

Year 1                                                 3000               17000

Year 2                                                 8000               9000

Year 3                                                 15,000

9000/15000= 0.6 years

The payback period = 2.6 years

The cash payback period is 2.60 years.

The calculation is as follows:

Net annual cash flow till year 2 = $3,000 + $8,000

= $11,000

Now the investment collected is

= $20,000 - $11,000

= $9,000

Now the cash payback period is

= 2 years +  $9,000 ÷ $15,000

= 2 years + 0.6

= 2.60 years

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Which of the following is not a component included in a standard business plan? a. implementation plan b. organization plan c. market analysis d. credit analysis Please select the best answer from the choices provided A B C D

Answers

Answer:

Its D

Explanation:

Any standard business plan never includes the analysis of the credits of the organization.

What is a business plan?

A plan that involves laying off strategies and their implementation for the achievement of organizational goals is known as a business plan. It is a continuous process.

At the core of any business plan, credit strategies and building the capital of the business around a credit facility will never be included.

Hence, option D holds true of a business plan.

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Reserves consist of the currency in the​ _____ plus the balance on its​ _____ account at​ _____.


A. checking​ account; certificate of​ deposit; a Federal Reserve Bank

B. savings​ account; money​ market; an investment bank

C. ​market; reserve; a savings bank

D. ​bank's vaults;​ reserve; a Federal Reserve Bank

Answers

Answer:

a, Federal Reserve Bank b, savings account c,a savings bank

Reserves consist of the currency in the Federal Reserve Bank plus the balance on its​ savings​ account at​ a savings bank.

What is Saving Account?

An interest-bearing deposit account held at a bank or other financial institution is referred to as a savings account. Despite the typically low-interest rates offered by these accounts, their security and dependability make them a fantastic choice for keeping cash on hand for urgent needs.

Savings and other deposit accounts are significant sources of funding for loans made by financial organizations. Because of this, whether a bank or credit union operates only online or in a typical brick-and-mortar location, you may discover savings accounts there. Additionally, several brokerage houses and financial companies provide savings accounts.

Financial institutions frequently finance loans using money from savings and other deposit accounts. Because of this, you could find savings accounts at a bank or credit union, regardless of whether it simply has an internet presence or also has a physical facility. Additionally, a number of financial institutions and brokerage firms provide savings accounts.

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The Information Security __________ is a managerial model provided by an industry working group, National Cyber Security Partnership, which provides guidance in the development and implementation of organizational InfoSec structures and recommends the responsibilities that various members should have in an organization.

Answers

Complete/Correct Question:

The Information Security __________ is a managerial model provided by an industry working group, National Cyber Security Partnership, which provides guidance in the development and implementation of organizational InfoSec structures and recommends the responsibilities that various members should have in an organization.

a. Governance Framework

b. Security Blueprint

c. Risk Model

d. Compliance Architecture

Answer:

A, governance framework

Explanation:

A governance framework can be defined as the structure of a government as it reflects the interrelated relationships, factors as well as other things.

It can be simply defined as the structure of an organization's governance. Governance framework also shows rules that explain or underline how an organization is run, controlled, etc.

Governance framework are built by accountability, integrity, effeciency, etc.

Cheers.

During the year, Miles Nutt, the sole shareholder of a calendar year S corporation, received a distribution of $16,000. Atthe end of last year, his stock basis was $4,000. The corporation earned $11,000 ordinary income during the year. It has noaccumulated E & P. Which statement is correct?


a.Nutt recognizes a $1,000 LTCG.

b. Nutt’s stock basis is $2,000.

c. Nutt’s ordinary income is $15,000.

d. Nutt’s tax-free return of capital is $11,000.

Answers

Answer:

a. Nutt recognize a $1,000 LTCG (long term capital gain)

Explanation:

Since;

Distribution is $16,000

Ordinary income earned is $11,000

Stock basis was $4,000

Therefore,

In this year, his stock basis before distribution is = $11,000+$4,000

=$15,000

After reducing it by the amount of distribution, stock basis reduces to $0

LTCG therefore recognized= $16,000-$15,000

=$1,000.

Final answer:

In this case, the statement that Nutt's tax-free return of capital is $11,000, is correct. The distribution received is first tax-free up to the amount of the shareholder's basis in their stock. Then, any income earned increases the stock basis and is also tax-free up to this amount.

Explanation:

With respect to an S corporation, when a distribution or dividend is offered to its shareholders, it is generally tax-free up to the amount of the shareholder's basis in their stock. In the case of Miles Nutt, since his stock basis is $4,000 at the end of the last year, he can initially recoup $4,000 tax-free from his $16,000 distribution. This year, the company has earned an ordinary income of $11,000 which will increase Miles' basis by this amount making it $15,000.

Now, the remainder of his distribution ($16,000 - $4,000 = $12,000) will be tax-free up to the earned income which is $11,000. Thus, Miles Nutt's tax-free return of capital is indeed $11,000 (choice d). Consequently, $1,000 ($12,000 - $11,000) will be recognized as a long-term capital gain (LTCG).

Therefore, Nutt’s ending stock basis becomes $4,000 (initial) + $11,000 (profits) = $15,000. So, option 'b' is incorrect as the ending stock basis is not $2,000, but it's $15,000.

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ABC Company raised its cash dividend from 18 cents to 19 1/2 cents and also declared a 5% stock dividend. The record date of the cash dividend is Thursday, May 20 and the record date of the stock dividend is Wednesday, May 12. An investor buys 1,000 shares of ABC regular way on Wednesday, May 12. The customer will receive a cash dividend of__________.

Answers

Answer:

lets be friends

Explanation:

why? because im awesome

Steven and Emily Campbell are planning to open a casual dining restaurant in downtown​ Akron, Ohio, and need​ $125,000 to get started. They have​ $50,000 of their own​ money, which leaves​ $75,000. After getting turned down by a couple of​ banks, they decided to turn to their relatives and acquaintances for help.​ Fortunately, they were able to raise the money through a gift from​ Steven's grandfather, a loan from​ Emily's parents, and a small investment by​ Steven's best friend in​ college, Doug. The money that an entrepreneur raises in this manner is referred to as​ ________.

Answers

Answer:

3Fs (Friends , families and fools)

Explanation:

One of the sources of raising capital for small scale business is through the families , friends and fools

The families and friends are always willing to help to the best of their capacity if the need arises , and as such , they are seen as a reliable way of obtaining capital for business , most especially when other sources fail.

The fools  explains the high risk involved in being part of an early stage of a business most especially when adequate security against loans and liabilities are not available.

19. Colombia produces coffee with less labor and land than any other country; it therefore surely has Select one: a. an absolute advantage in coffee production. b. a comparative advantage in coffee production. c. absolute efficiency in coffee production. d. a comparatively absolute advantage in coffee production.

Answers

Answer:

b

Explanation:

comparative means using less of something

Entries for Issuing Bonds and Amortizing Premium by Straight-Line Method Daan Corporation wholesales repair products to equipment manufacturers. On April 1, 2016, Daan Corporation issued $3,900,000 of 10-year, 6% bonds at a market (effective) interest rate of 4%, receiving cash of $4,537,708. Interest is payable semiannually on April 1 and October 1. a. Journalize the entry to record the issuance of bonds on April 1, 2016. For a compound transaction, if an amount box does not require an entry, leave it blank.

Answers

Answer:

Please see journal entries bellow;

On April 1,

Issuance of bond.

Cash account Dr $4,537,708

To bonds payable account

$3,900,000

To premium on bonds payable

$537,708

Explanation:

Daan corporation issued $3,900,00 of 10-year, 6% bonds at a market(effective) interest rate of 4% receiving cash of $4,537,708.

Bond issuance is ;

Cash received - face value= premium.

Journal Entries

On April 1,

Issuance of bond.

Cash account Dr $4,537,708

To bonds payable account

$3,900,000

To premium on bonds payable

$537,708

Under its executive stock option plan, N Corporation granted options on January 1, 2021, that permit executives to purchase 11.0 million of the company's $1 par common shares within the next eight years, but not before December 31, 2023 (the vesting date). The exercise price is the market price of the shares on the date of grant, $19 per share. The fair value of the options, estimated by an appropriate option pricing model, is $5 per option. No forfeitures are anticipated. Ignoring taxes, what is the effect on earnings in the year after the options are granted to executives?

Answers

Answer:

$13,199,199.99

Explanation:

Number of options = 11 million

Fair value per option = $4

Total Compensation = 11,000, 000 × $4 = $44,000,000

Vesting period = December 31, 2023 - January 1, 2021 = 3 years

Compensation expense per year during Vesting period :

$44,000,000 ÷ 3 = $1,466,667

Adjusted cumulative amount of compensation expense recorded after option was granted to executive :

2022:

($44,000,000 × (2/3) × 95%) - $14,666,666.67

$27,866,666.67 - $14,666,666.67

= $13,199,199.99

The demand for the services of trish's computer services has increased. trish employs several workers who diagnose and fix clients' computer problems. this increased demand has allowed trish to raise her prices. what will happen to the mrp and wages of trish's workers? the wage rate is w2; the old wage was w1. what is the economic rent trish's workers now earn? define economic rent. what factors affect the elasticity of supply of the labor supply curve that trish faces as she hires workers?

Answers

Answer:

1) what will happen to the mrp and wages of trish's workers?

the marginal revenue product (MRP) is defined as the additional revenue generated by employing one extra unit of labor. In this case, the MRP will exceed the wages paid by Trish, generating economic rent or above average returns.

2) the wage rate is w2; the old wage was w1. what is the economic rent trish's workers now earn?

If Trish raises her employees' wages due to the increasing in price, then her employees will be earning economic rent = w2 - w1. This means that their wage is higher than the usual wage that would be paid for doing that job.

3) define economic rent.

Economic rent is defined as the additional profit generated by a business that exceeds its opportunity cost.

Economic rent = marginal revenue product – opportunity cost

The opportunity cost is the extra costs or benefits lost from choosing one activity or investment over another alternative.

In this case, Trish is earning an economic rent with her business because her earnings are higher than any other earnings that she could make by investing in something else.

4) what factors affect the elasticity of supply of the labor supply curve that trish faces as she hires workers?

The elasticity of the labor supply curve shows how much a 1% change in wages affect the quantity of labor supply (in % also).

In this case, the factors affecting the labor supply would be the substitution effect and the income effect of a rise in wages. Both factors are opposite, and in this case I would believe that the substitution effect would be greater.

The substitution effect means that workers will start working more because they are paid a higher wage. they will be willing to give up leisure time in order to work more hours and earn a higher salary.The income effect means that workers will start working less hours due to higher wages per hour.

The increased demand for Trish's computer services allows her to raise the price of services, thus increasing the MRP and wages of her workers. The workers now earn economic rent, which is an excess payment above what is required to keep them employed. The elasticity of labor supply Trish faces depends on skills availability, job attractiveness, and geographical factors.

The increase in demand for Trish's computer services allows her to raise prices, which in turn increases the marginal revenue product (MRP) of her workers. As a result, the wages of Trish's workers can also increase, moving from an old wage rate w1 to a new, higher wage rate w2. The difference between the workers' new wage and the market equilibrium wage they were willing to accept is known as economic rent, which is a form of income that they receive due to the increased demand for their specialized skills.

Economic rent is defined as the excess payment made to a factor of production (in this case, labor) over and above the amount required to keep that factor employed in its current use. In the context of labor, it is often related to unique skills or abilities that are in short supply.

Several factors affect the elasticity of labor supply facing Trish. These include the availability of workers with the necessary skills, the relative attractiveness of the job compared to alternative occupations, and the geographical location of the job. If there are few skilled workers or there are high barriers to entry, the supply will likely be inelastic. If there are many workers with the required skills or the barriers are low, the supply curve might be more elastic.

The more illiquid something is the easier it is to turn into cash.

true or false?

Answers

Answer:

False

Explanation:

Illiquidity in the context of a business refers to a company that does not have the cash flows necessary to make its required debt payments, although it does not mean the company is without assets. 

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