a corporation issued 4,000 shares of $10 par value common stock for $48,000 cash. a corporation issued 2,000 shares of no-par common stock to its promoters in exchange for their efforts, estimated to be worth $35,000. the stock has a $2 per share stated value. a corporation issued 2,000 shares of no-par common stock to its promoters in exchange for their efforts, estimated to be worth $35,000. the stock has no stated value. a corporation issued 1,000 shares of $25 par value preferred stock for $60,000 cash.

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Answer 1

A corporation issued 2,000 unmatched shares of common stock to its promoters in exchange for their efforts, estimated to be worth $40,000. The shares have a declared value of $1 per share. Common Stock ($10 par value). $200,000. Contributed capital/surplus. $800,000. Shareholders. $1,000,000.

The value of issued common or preferred shares is based on the market value delivered or received, whichever is more reliable.If the shares are issued in cash, then the cash received dictates the market value.The stock account is always credited by shares issued x par value.Any difference between the total par value of the issued shares and the market value is credited to a separate account, Paid-in Capital in Excess of Par Value.The cash or non-cash asset account is debited.These entries apply to common or preferred stock.The only difference is that preferred is replaced by common in account names.Transactions by a corporation in its own stock are investment transactions.As such, they do not generate income, expenses, profits or losses.They add or reduce the paid-in capital within the owners' equity.Occasionally, these transactions may also affect retained earnings.

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Related Questions

to ensure that the financial statements articulate, it is important that the projected change in the cash balance on the balance sheet each year agrees with_________

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To ensure that the financial statements articulated, it is important that the projected change in the cash balance on the balance sheet each year agrees with the net change in cash on the projected statement of cash flows.

In financial accounting, a balance sheet is a summary of the financial balance of an individual or organization, whether it is a sole proprietorship, partnership, corporation, limited liability company, or other organization such as a government or non-profit organization. Z.

The term balance sheet refers to the financial statements showing the assets, liabilities and equity of a company on a specific date. The balance sheet forms the basis for calculating investor returns and assessing a company's capital structure.

The balance sheet follows the formula Assets = Liabilities + Equity and is always the same on both sides. Both credit and debit balances of company checking and personal accounts are taken into account. Balances correspond to personal accounts and are known as company liabilities.

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Suppose the price of a bag of frozen chicken nuggets decreases from $6.50 to $5.75 and, as a result, the quantity of bags demanded increases from 600 to 800. Using the midpoint method, the price elasticity of demand for frozen chicken nuggets in the given price range is
Price Elasticity of Demand= [(Q2-Q1)/[(Q2+Q1)/2]/[(P2-P1)/[(P2+P1)/2]
=2.33

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As the price of a bag of frozen chicken nugget decreases from $6.50 to $5.75,  the quantity of bags demanded increases from 600 to 800. Using the midpoint method, its price elasticity of demand is 2.33

Price elasticity of demand measures how sensitive the change in price to the change of demanded quantity.

Using the midpoint method, the formula for price elasticity of demand is:

Price Elasticity of Demand = %change in quantity / %change in price

%change in quantity =( q2 - q1) / [(q1 + q2)/2] x 100%

%change in price =( p2 - p1) / [(p1 + p2)/2] x 100%

Where:

q = quantity

p = price

Data given in the problem,

q2 = 800

q1 = 600

p2 = 5.75

p1 = 6.5

Plug these parameters into the formula:

%change in quantity = (800 - 600) / [(800+600)/2] x 100% =  28.57%

%change in price =(5.75 - 6.5) / [(5.75 + 6.5)/2] x 100% = 12.24%

Price Elasticity of Demand = 28.57% / 12.24% = 2.33

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recognized gains and losses must be properly classified. which of the following classification characteristics refers to the sale, exchange, casualty, theft, or condemnation of the property?

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A diagnosed loss is the amount of a found-out loss that is deductible for tax purposes.

To calculate a found advantage or loss, take the difference of the entire consideration given and subtract the fee foundation. If the distinction is wonderful, it is a realized advantage. If the difference is terrible, it's far a realized loss.

As soon as an advantage or loss is identified, a taxpayer has to decide how the diagnosed benefit or loss influences the taxpayer's tax legal responsibility. Phase 1231 deals with belongings or depreciable assets held for multiple years of time. This phase includes all those assets which can be traded by using the businessman or held by using the taxpayer. section 1245 deals with tangible and intangible residences which are going to be depreciable or get amortized.

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the issue of____is reflected in the correlation between the number of sunny days in the year and the gains in the new york stock exchange a) practical significance; b) artifact correlations; c) error; d) covariance; e) statistical significance

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The issue of _statistical significance_ is reflected in the correlation between the number of sunny days in the year and the gains in the new york stock exchange.

A stock exchange helps the stock brokers to trade company stocks and other securities. A stock may be bought or sold only if it is listed on an exchange. Therefore, it is the meeting place of the stock buyers and sellers.

Here, the issue of statistical significance is reflected in the correlation between the number of sunny days in the year and the gains in the new york stock exchange since it has co relations and thus it relfects the same.

Therefore, the correct option is (E).

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which of the following will you select as x in the following series of clicks to change the chart layout for lines or bars that you want to change: chart > chart tools > layout tab > x > layout option for any lines or bars that you want to add or change?

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Insert Pie or Doughnut Chart.To make page setup changes, on the Print Preview tab, in the Print group, click Page Setup.

Where can you adjust Page Layout settings and see how they affect a preview of the printed worksheet?Word.Insert > Chart is selected.Double-click the desired pie chart after selecting Pie.Replace the placeholder data in the spreadsheet that appears with your own data.Choose the information that will be plotted in the doughnut chart.Select "Other Charts" from the Charts group under the Insert tab.Select Doughnut by clicking under it.While the donut graph guides the reader's eye around the arcs of the circle and tends to generate more of a story, the pie graph delivers a strong and instant impression of overall proportions.The ability to display additional data at the graph's center is one benefit of the doughnut graph.

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suppose a government increases the money supply. as a result , there is a surge in the demand of goods as consumers rush to speed their extra money

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Demand shift left is the demand of goods as the consumers rush to speed their extra money.

What is demand shift?

Following a change in an underlying determinant of demand, the position of the demand curve will move to the left or right. A movement to the right in the demand curve indicates increases in demand. Numerous reasons, such as an increase in income, an increase in the cost of a substitute, or a decrease in the cost of a complement, could be to blame for this. A rightward shift in demand results in a rise in the quantity sought at every price. On the other hand, demand can decline and move to the left of the demand curve for a variety of reasons, such as a decline in income, the assumption that the good is a typical good, a decrease in the price of the substitute, and an increase in the price of the supplement.

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mirabile corporation uses activity-based costing to compute product margins. overhead costs have already been allocated to the company's three activity cost pools--processing, supervising, and other. the costs in those activity cost pools appear below:

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Product margin of the product M5 is $9,332.

What is a products margin?

Sales less cost of goods sold equals margin, often known as gross margin.

Net sales are reduced by the cost of goods sold (COGS) (gross revenues minus returns, allowances, and discounts). To determine the gross profit margin as a percentage, divide this sum by net sales.

Predetermined manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base

Processing= 5,945/14,500= $0.41 per machine hour

Supervising= 19,680/800= $24.6 per batch

Product M5:

Processing= 0.41*800= $328

Supervising= 24.6*400= $9,840

Finally, the total cost and the product margin:

Total cost= 32,300 + 42,600 + (328 + 9,840)

Total cost= $85,068

Product margin= 94,400 - 85,068

Product margin= $9,332

complete Question :

Mirabile Corporation uses activity-based costing to compute product margins. Overhead costs have already been allocated to the company's three activity cost pools--Processing, Supervising, and Other. The costs in those activity cost pools appear below:

Processing $ 5,945

Supervising $ 19,680

Other $ 11,300

Processing costs are assigned to products using machine-hours (MHs) and Supervising costs are assigned to products using the number of batches. The costs in the Other activity cost pool are not assigned to products. Activity data appear below:

MHs (Processing) Batches (Supervising)

Product M0 13,700 400

Product M5 800 400

Total 14,500 800

Finally, sales and direct cost data are combined with Processing and Supervising costs to determine product margins.

Product M0 Product M5

Sales (total) $ 81,800 $ 94,400

Direct materials (total)$ 29,400 $ 32,300

Direct labor (total) $ 28,700 $ 42,600

What is the product margin for Product M5 under activity-based costing?

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1. What could Ray Kroc have done better when originally going into business with the McDonald brothers?

2. What mistakes did Ray Kroc make when originally selling his franchises?

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It is on history that the Mcdonald's brothers were cheated by Ray Kroc. This perhaps was one of the very few flaws in his beginning as he build the Mcdonald's franchise. He could have grown with them or at least "fought" fairly.

The mistake Ray Kroc did when he originally started selling his franchise is that the system was set up to be an unprofitable business.

How did Ray Kroc solve the above problem?

Ray built his first McDonald's in the Chicago neighborhood of Des Plaines in April 1955. He utilized the immaculately clean and efficient restaurant to sell McDonald's franchises to the rest of the country.

Ray would receive 1.9 percent of gross sales for each franchise he sold. He would give the McDonalds a half-share of it. Kroc sold 18 franchises in his first year in operation, but was surprised to see that he was barely making enough money to pay his expenditures.

In his rush to obtain the rights to the Mcdonald's processes, he had made them an unbeatable offer. Unfortunately, he was unable to profit from the transaction.

Then Kroc met Harry Sonnenborne, a financial genius who taught Kroc how to earn money by selling real estate rather than hamburgers. Kroc established a business to buy or lease the property on which all McDonald's restaurants would be built under Sonnenborne's design.

Franchisees then paid Kroc a fixed monthly fee or a percentage of their sales, whichever was larger. Kroc has assured a profit by controlling the property on which the franchises were built rather than merely the franchisees themselves. With his real-estate strategy in place, Kroc went out to achieve his aim of building 1,000 McDonald's around the country.

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if a firm is evaluating two possible projects, both of which require the use of the same production facilities, and taking one project means that we cannot take the other, these projects would be considered blank .

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If a company is evaluating two possible projects, both of which require the use of the same type of production facilities, and taking one project means that they cannot take the other, these projects would be considered mutually exclusive.

Mutually exclusive projects are referred to as those capital projects which compete directly with each other. For instance, if a company has to make a choice strictly between undertaking either project A or B, but not both of them concurrently, then projects A and B are said to be mutually exclusive.

It can be stated as if the company pursues project A, then it cannot pursue project B at the same time and vice versa.

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The price elasticity of demand for tickets to local baseball games is estimated to be equal to 0.89. In order to boost ticket revenues, an economist would advise:
increasing the price of game tickets because demand is inelastic

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Tickets to regional baseball games are thought to have a price elasticity of demand of 0.89. An economist might recommend raising the price of game tickets since demand is inelastic in order to increase ticket income.

By dividing the percentage change in quantity demanded by the percentage change in price, the price elasticity of demand, also known as price responsiveness, assesses how sensitive changes in price are to changes in quantity demanded.

The product is said to have unit (or unitary) price elasticity if the change in quantity purchased is equal to the change in price, for example, 10% 10% = 1.

The above question is incomplete, the complete question is:

The price elasticity of demand for tickets to local baseball games is estimated to be equal to 0.89. In order to boost ticket revenues, an economist would advise:

a. increasing the price of game tickets because demand is inelastic.

b. not changing the price of game tickets because demand is unit elastic.

c. increasing the price of game tickets because demand is elastic.

d. decreasing the price of game tickets because demand is elastic.

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are a tool to manage ongoing supplier relationships O Weighted point models O Supplier scorecards O Spend analyses O Online reverse auctions

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Online reverse auctions are a tool to manage ongoing supplier relationships.

What is a reverse auction?A buyer issues a request for a specific good or service in a reverse auction, inviting businesses to compete on price to deliver what is requested.Finally, the contract is awarded to the seller who is willing to accept the lowest price.A reverse auction is the inverse of a regular auction, in which the seller initiates the auction and the buyers bid up the price.Large corporations and government entities use reverse auctions as a competitive procurement method for raw materials, supplies, and services such as accounting and customer service.They can help you save time and money, but at the expense of quality.

What Are the Advantages of Using a Reverse Auction?

Reverse auctions enable buyers to reduce purchase costs through increased competition and avoid having to negotiate with multiple suppliers individually.

Online reverse auctions are a tool to manage ongoing supplier relationships.

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FILL IN THE BLANK. in the ___phase the firm analyzes its end-user business requirements and refines project goals into defined functions and operations of the intended system.

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In Analyzing Phase the firm analyzes its end-user business requirement and refines its end-user business requirements and refines project goals into defined functions and operations of the intended system.

What is Analyzing Phase?

The intent of the Analysis Phase is to define and formalize the system's requirements. This is accomplished by determining what the system should do based on the needs and expectations of the system's end users. To demonstrate an understanding of the requirements, these requirements are then modeled in the form of business, data, event, and process models. The Analysis Phase allows developers and customers to proceed with the same set of expectations regarding scope and requirements. To begin the design phase, determine the instructional needs, analyze the learner's needs, and establish instructional goals. It is the stage of the digital forensics process in which all data collected is analysed and tracked.

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The terms price and quantity are used when computing direct BLANK variance, while the terms rate and hours are used when computing direct BLANK variances.
1. material
2. labor

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The terms price and quantity are used when computing direct material variance, while the terms rate and hours are used when computing direct labor variances.

Direct material variance is the difference between actual costs incurred and the standard cost of materials arising from manufacturing operations. It assesses if the standard price has been excessively or inadequately applied to various purchasing units.

The difference between the actual production cost and the standard production cost is known as the direct labor cost variation.

The direct labor rate variance calculates the expense of the discrepancy between the predicted and actual labor rates. It will be deemed unfavorable if the variance shows that actual labor rates were greater than anticipated labor rates.

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in reviewing research on power, you discover that there are three other common sources of power in organizations. which of the following are included in that list? check all that apply. information machiavellianism locus of control network of relationships

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In reviewing research on power, you discover that there are three other common sources of power in organizations. Personal Effort, Network of relationships, Information.

There are a spread of criminal types of businesses, together with groups, governments, non-governmental businesses, political groups, global corporations, defense forces, charities, now not-for-profit groups, partnerships, cooperatives, academic establishments, and so forth.

An employer is a collection of folks that work collectively, like a neighborhood affiliation, a charity, a union, or an enterprise. you may use the word organization to consult an organization or commercial enterprise, or to the act of forming or establishing something.

An enterprise organization is an entity fashioned for the purpose of wearing on business organization. Such a corporation relies on structures of law governing settlement and change, property rights, and incorporation. Alexander Hamilton.

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the quantity produced by a monopoly is a competitive market would produce. part 2 (1 point)see hint monopolies charge prices that are than competitive markets. part 3 (1 point)see hint in the long run, incentives cause firms in to lower costs and increase quality.

Answers

a monopolist may estimate the price and quantity that will maximize its profits.

How do monopolies compare with competitive markets?In a monopolistic market, a single company controls the amount of supply and the prices of goods and services. A market with perfect competition is one with many enterprises and no dominant player. No market is entirely monopolistic or completely competitive in the actual world.Monopolies produce poorer output and higher prices than completely competitive businesses. As a result, the economy is inefficient.By examining the marginal income and marginal expenses of manufacturing an additional unit, a monopolist may estimate the price and quantity that will maximize its profits. The company can improve profit by generating one additional unit of production if the marginal revenue is greater than the marginal cost.

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d) if the central bank would like to reverse the effect on the nominal interest rate caused by the change in the money supply in part c, what open market operation should the central bank take? explain.

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An increase in reverse Repo fees induces banks to switch extra budget to the primary financial institutions and reduces banks' capacity to create credit. Open marketplace Operations refer to shopping for and promoting presidency securities by using primary banks from/to public and industrial banks.

The RBI expenses the repo fee while industrial banks borrow price range by means of leveraging securities. The reverse repo charge is the rate at which banks earn hobby once they park surplus funds with the RBI. The repo fee allows management inflation, and the reverse repo price increases liquidity.

A reverse repurchase settlement carried out by means of the desk, also known as an “opposite repo” or “RRP,” is a transaction in which the table sells a security to an eligible counterparty with an agreement to repurchase that identical safety at a particular fee at a particular time in the future.

Reverse Repo price cut impact: on every occasion RBI comes to a decision to reduce the reverse repo charge, banks earn less on their extra money deposited with the Reserve bank of India. This leads the banks to make investments of extra money in more lucrative avenues such as cash markets which increases the general liquidity available within the financial system.

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Which sustainability approach suggests that products and services should be designed to completely close the production loop, so that all resources needed to produce them are recycled and reused rather than discarded or left to pollute?

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The cradle-to-cradle design sustainability approach suggests that products and services should be designed to completely close the production loop so that all resources needed to produce them are recycled and reused rather than discarded or left to pollute.

Stakeholder theory is an associate degree understanding of how business works that: takes under consideration all recognizable interest holders. Sustainable Production is the creation of products and services with victimization processes and systems that are: Non-polluting. protective of energy and natural resources.

The figure at the highest of this page suggests that there are unit 3 pillars of property – economic viability, environmental protection, and social equity.

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The sustainability approach that suggests products and services should be designed to completely close the production loop, recycling and reusing all resources needed to produce them, is known as the "circular economy" or "circularity."

In a circular economy, the traditional linear model of "take-make-dispose" is transformed into a closed-loop system. The goal is to minimize waste, reduce resource consumption, and maximize the lifespan of products and materials. Instead of discarding or polluting resources at the end of their life cycle, they are recovered, regenerated, and reintroduced into the production process.

This approach promotes strategies such as recycling, remanufacturing, repairing, and refurbishing to extend the life of products and materials. It also encourages the use of renewable energy sources, sustainable materials, and efficient production processes to minimize environmental impact.

The circular economy aims to create a sustainable and regenerative system where waste is minimized, resources are conserved, and economic growth is decoupled from resource consumption and environmental degradation. It emphasizes the importance of designing products with the end in mind and fostering collaboration among various stakeholders to create a more sustainable future.

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research and development costs for projects other than software development should be: expensed if unsuccessful, capitalized if successful.

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For projects other than the development of software, research and development costs should be deducted as they are incurred.

Are expenses for research and development capitalized or expensed?

Companies are required to expense their R&D expenses under Generally Accepted Accounting Principles (GAAP) in the same year as the item was incurred.

Unless there is another potential application for the costs in the future or if the company was contracted to conduct the research, charges associated with research and development are typically expensed in the income statement.

The main issue for businesses is that future research and development gains are unclear to be realized, making it impossible to capitalize R&D spending. Companies must expense all costs associated with research and development when they are incurred according to accounting standards.

Why aren't the expenditures of research and development capitalized?

Because it is impossible to accurately predict the future economic advantages of research and development expenditures, businesses are not permitted to capitalize these costs. R&D includes a lot of trial and error.

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select the two characteristics of advertising. multiple select question. it is nonpersonal communication. it is a paid form of communication. it contains a customized message. it typically has an immediate feedback loop.

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In marketing, the two characteristics of advertising includes:

It is a paid form of communication.It is nonpersonal communication.

What is the benefit of advertising?

Basically, an advertising refers to the techniques and practices used to bring products, services, opinions, or causes to public notice for the purpose of persuading the public to respond in a certain way toward what is advertised.

Most of the advertising technique involves promoting a good that is for sale, but similar methods are used to encourage people to drive safely, to support various charities or to vote for political candidates, among many other examples.

In most countries, an advertising is the most important source of income for the media (for example, newspapers, magazines, or television stations) through which it is conducted. In noncommunist world, an advertising has become a large and important service industry.

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How do you claim a scratch off ticket in Florida?.

Answers

Simply place the winning ticket(s), a Winner Claim Form, and also the documentation mentioned under the "Required Documentation" section in a wrapper and drop it off at Florida Lottery Headquarters or any district office to claim a prize via drop-off.

What is scratch off ticket in Florida?The top prize on the $50 game, 500X THE CASH, is $25 million, the largest ever offered on a Florida scratch-off game. The overall odds of winning the game are 1 in 4.50. The top prize on the $50 game, 500X THE CASH, is $25 million, the largest ever offered on a Florida scratch-off game.The Florida Lottery has launched its newest $30 scratch-off game, FLORIDA 300X THE CASH, with four top prizes of $15 million. The tickets also include 28 prizes ranging from $1 million to $15 million. A unique bonus round in which players can win $100, $200, or $500.

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The LaGrange Corporation had the following budgeted sales for the first half of the current year:
Cash Sales Credit Sales
January $ 90,000 $ 190,000
February $ 95,000 $ 210,000
March $ 30,000 $ 170,000
April $ 25,000 $ 110,000
May $ 35,000 $ 240,000
June $ 120,000 $ 40,000
The company is in the process of preparing a cash budget and must determine the expected cash collections by month. To this end, the following information has been assembled:
Collections on sales:
50% in month of sale
40% in month following sale
10% in second month following sale
The accounts receivable balance on January 1 of the current year was $65,000, of which $50,000 represents uncollected December sales and $15,000 represents uncollected November sales.
What is the budgeted accounts receivable balance on May 31?

Answers

The budgeted accounts receivable balance on May 31 will be $131,000.

A budget account refers to a customer account with a retailer that lets the customer to produce regular monthly payments to cover past and future purchases. The budgeted accounts receivable is calculated by add the sum of budgeted sales.

Percentage of may sales is founded by add percentage in month following sale and percentage in second month following sale

= 40% + 10% = 50%

To determine the budget accounts receivable balance on May 31, we can calculate use this formula:

Budgeted accounts receivable balance on May 31 = 10% of April sales + 50% of May sales

= (10% x 110,000) + (50% x 240,000)

= 11,000 + 120,000

= 131,000

Thus, the budgeted accounts receivable balance on May 31 will be $131,000.

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a leader in a rigid, bureaucratic culture is more likely to be inspirational, influential, considerate, and intellectually stimulating than a leader in a flexible, adaptive organizational culture.

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The following statement "A leader in a rigid, bureaucratic culture is more likely to be inspirational, influential, considerate, and intellectually stimulating than a leader in a flexible, adaptive organizational culture" is false.

A formal organizational structure is known as having a bureaucratic culture if its members share distinctive attitudes, values, beliefs, orientations, and feelings.

The four main features of bureaucracies are a distinct hierarchy, specialization, a division of labor, and a system of written rules, or standard operating procedures.

To guarantee effective governance and service delivery, bureaucratic organizations also maintain rigid command and control systems round-the-clock. Bureaucracies, in theory, are well-organized, impartial, and extremely effective. This is one of the main benefits and drawbacks of bureaucracy.

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During a sales presentation, Jeff, a salesperson at ChemHands, presents a sequence of benefits of using ChemHands sanitizers. To assess the prospective buyer's level of interest in the company's sanitizers, Jeff should use a) anecdotes b) check-backs c) examples d) analogies e) sales aids

Answers

Jeff should make use of check-backs to gauge the level of interest the potential buyer has in the company's sanitizers.

What are the check-backs?

Check-backs are used to go back to a location, a person, and more. to acquire more information or to try anything again. The company is not hiring right now, but check back in a month.

A sales representative from Chem Hands named Jeff goes through a list of advantages of using their hand sanitizers during a sales presentation. Jeff should make use of check-backs to gauge the level of interest the potential buyer has in the company's sanitizers.

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Because this market is a monopolistically competitive market, you can tell that it is in long-run equilibrium by the fact that______ at the optimal quantity for each firm. Furthermore, a monopolistically competitive firm's average total cost in long-run equilibrium is________ the minimum average total cost.
P=ATC, greater than

Answers

If "P=ATC" at the optimal amount for each firm is present in a monopolistically competitive market, it is in long-run equilibrium. Additionally, the average total cost "exceeds" its minimum average total cost.

Define the term monopolistically competitive market?

When a large number of businesses provide rival goods or services that are comparable but imperfect alternatives, monopolistic competition exists.

A monopolistic competitive market has minimal entry requirements, and decisions made by any one firm do not immediately affect those of its rivals.Monopoly firm is a sort of market structure in which numerous businesses are present in a given sector and make comparable but distinctive goods. None of the businesses has a monopoly, and they all run their own businesses without taking into account what other businesses are doing.

For the stated question-

Because this market is monopolistically competitive, "P=ATC" at the best quantity for each business indicates that this is in long-run equilibrium.Likewise, in long-run equilibrium, the average total cost of a monopolistically competitive enterprise is "higher than" its minimum average total cost.

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for this discussion assignment you have been tasked by your organization's leadership to determine if they should hire an outside third party to perform a vulnerability assessment or a penetration test. leadership is unsure as to which one is most appropriate for the organization at this time and is asking for your input. they also want your input on how to scope the test and how they will be able to measure success.

Answers

Penetration testing, also known as pentesting, describes procedures, equipment, and services created and put into use with the aim of detecting security flaws and simulating attacks and data breaches.  You can perform a pentest on a single computer, an entire network, or a web application.

Why is Security Penetration Testing Important?Penetration testing aims to break into a system of a company to find security flaws. During the test, security teams should be informed if the system is sufficiently secure. Otherwise, the system is deemed to be at risk. Therefore, penetration testing can help to enhance information security procedures.The best way to evaluate an organization's defenses is through a "blind" penetration test, in which the security and operations teams are kept in the dark. Even if internal teams are aware of the test, it can still serve as a security exercise to assess how people, tools, and security procedures interact in actual circumstances. Penetration testing is typically unstructured and inventive. For instance, while one test might employ a brute force attack, another test might target company executives using spear phishing. Because skilled attackers will employ the same abilities and creativity to find the organization's security weaknesses, this creativity is crucial.Penetration testing also has the advantage of being carried out by outside contractors, making it possible to choose how much information about internal systems should be made public.  A penetration test can simulate an external attacker who is unfamiliar with the internal network or an authorized insider.

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as of december 31, bayer, inc., agrees to provide a bonus of $50,000 to its employees (to be equally shared by all). the bonus will be paid in january.

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Employee bonus payment is 50,000 and employee bonus expense is 50,000; the bonus will be paid in January.

An employee is what?

Employees are those who are paid to do tasks for another individual or company. Workers just need to be paid by an employer in order to be deemed employees; they do not need to work full-time (the person or business that pays them).

Give instances that illustrate who an employee is.

Employees include, for instance, salespeople at retail locations .The worker is seen as an employee since they are required to do activities in a given way, such wearing name badges and greeting customers in a certain way.

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shell gas stations use an image of a yellow and red seashell on its signs. in marketing terms, what does this represent for shell?

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As shell gas stations use an image of a yellow and red seashell on its signs. In marketing terms, this does represent for a brand mark for shell.

What is a brand mark?

Basically, a brand mark means a symbol, mark or image representing a brand and helps instantly identify a specific company. A brand marks normally visually conveys the company's feeling, message, or meaning to audiences by stripping away letters, words and all text from a logo.

Furthermore, a brand identity isn't just about some visual assets, rather, It is about conveying your company's idea, the thing your brand stands for. A brand colors, fonts, and even logos are just tools that help the firm communicate their message and reach out to your target audience.

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cross country delivery service is owned and operated by pedro gonzalez. the following selected transactions were completed by cross country delivery service during may: indicate the effect of each transaction on the accounting equation elements (assets, liabilities, owner's equity). also indicate the specific item within the accounting equation element that is affected. to illustrate, the answer to (1) follows: (1) asset (cash) increases by $25,050; owner's equity (pedro gonzalez, capital) increases by $25,050. element item direction 1. received cash from owner as additional investment, $25,050. asset owner's equity cash pedro gonzalez, capital increases increases 2. paid advertising expense, $6,750. 3. purchased supplies on account, $2,920. 4. billed customers for delivery services on account, $20,460. 5. received cash from customers on account,

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Increases net worth by $25,050. Capital increases by $25,050. Cash received from owner as additional investment, $25,050.

What is Active debt?An active debt is a financial dispute you have established with the government. Defaults can happen to businesses, but it is  common for individuals to take on high-interest, long-term debt, which impacts their overall financial planning. An active debt is a financial dispute you have established with the government. Defaults can happen to businesses, but it is  common for individuals to take on long-term, high-interest debt, which impacts their overall financial planning.Common to  This post specifically discusses active debt.

Capital Increases Increases, Paid advertising expense, $6,750. Decrease in asset advertising expense Decrease in owner's. Purchased equipment, $2,920. Decrease in asset equipment. Account, $20,460. Valid Accounts Receivable 5 Cash received from the customer on the account, $11,410. Active debt increases.

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which of the following characteristics apply to taxable fringe benefits? (check all that apply.) multiple select question. employers treat the taxable fringe benefits the same as cash compensation. the cost of the taxable fringe benefit is deductible to the employer, not the value of the benefit to the employee. employers may not discriminate between employees, but must offer the same taxable fringe benefits to all employees regardless of compensation level. employees are taxed on the value of the benefit, rather than the cost paid for the benefit.

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The characteristics that apply to taxable fringe benefits are:

Employees are taxed on the value of the benefit, rather than the cost paid for the benefit.The cost of the taxable fringe benefit is deductible to the employer, not the value of the benefit to the employee.Employers treat the taxable fringe benefits the same as cash compensation.What are fringe benefits?

Fringe benefits are added to the compensation companies offer their employees. Some fringe benefits are given universally to all employees of a company, while others can only be offered to those at the executive level. Some benefits are provided to compensate employees for their work-related costs, while others are geared toward overall job satisfaction.

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given the information below for seger corporation, compute the expected share price at the end of 2020 using price ratio analysis. assume that the historical (arithmetic) average growth rates will remain the same for 2020.

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Ratio analysis is the investigation or evaluation of the things included in the company's financial statements.

What Is Ratio Analysis? The study or analysis of the line items included in the company's financial accounts is referred to as ratio analysis. It can be used to evaluate a number of business-related aspects, including efficiency, profitability, liquidity, and solvency.Since financial statements are the main source of information for external analysts, ratio analysis is mostly carried out by them.The analysts heavily rely on the past and present financial statements to gather crucial information for analyzing the company's financial performance. It is possible to tell whether a company's financial situation is getting better or worse using the data or information gathered during the analysis.

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