Use line charts to see data trends, typically over time (like stock price changes over five years or website page views for the month).
Which of the following is an example of primary research?Primary research examples include, Interviews (telephone or face-to-face) (telephone or face-to-face) Surveys (online or mail) (online or mail) Questionnaires (online or postal) (online or mail).Use line charts to see data trends, typically over time (like stock price changes over five years or website page views for the month). As a result, it's easy to see how one value changes in relation to another.Consider keeping them informed of your work while you create the report and including them in the process to ensure that your business report fits the needs of the target audience.The complete question is,
Which kind of question is intended to elicit the response that the survey creator desires and results in erroneous and useless information as a result?
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could the marketing of diverse hunting/ fishing lodges be conducted effectively by an independent group responsible for multiple properties?
Yes, it is possible for an independent group to conduct effective marketing for multiple hunting/ fishing lodges.
What is marketing?
Marketing is the process of identifying, developing, and delivering value to satisfy a target market's needs for products and services. It may also involve choosing a target audience, choosing specific qualities or themes to emphasise in advertising, running advertising campaigns, participating in trade shows and public events, designing products and packaging that appeal to consumers, and defining the terms of the sale, such as the purchase price, discounts, warranties, and return policies.
The group would need to develop a comprehensive marketing plan to reach potential customers, which could include both traditional and digital marketing strategies. They would also need to invest in analytics to track the success of their efforts, as well as ensuring that the lodges are properly promoted on social media and other online platforms. Additionally, the group may need to find ways to collaborate with other businesses in the area to cross-promote the lodges.
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maintenance and repair of a property is an ongoing process that can be divided into four principal categories. which of the following classifications includes ordinary repairs to a building on a day-to-day basis (e.g. repairing a broken window, fixing a leaking roof)?
The category of maintenance work known as "corrective maintenance" consists of tasks that are done to fix and improve broken systems and machinery.
What is the Examples of Corrective Maintenance?Many different pieces of machinery, systems, and procedures can benefit from corrective maintenance. Here are a few instances:Production line When performing preventive maintenance on a line of production equipment, a technician notices significant wear on a crucial part or component. To fix or restore that part within the following month, a corrective maintenance order can be started.HVAC systems. When a technician responds to a heating emergency in the dead of winter, they find partially clogged or dirty filters. In order to increase efficiency and stop further heat loss, this may prompt a request for corrective maintenance to clean or replace filters in the near future.Public works. A technician may discover some storm-related signage damage while making routine road repairs.To Learn more About corrective maintenance refer to:
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Are most car loans secured or unsecured?.
Most vehicle loans are secured, however the opportunity for an unsecured non-public mortgage to pay for a vehicle is out there. Saving lots on hobby and taking gain of promotional financing could make secured loans a far higher deal, saving you cash over the existence of the mortgage.
A secured car mortgage is a mortgage that makes use of the auto you're shopping as collateral for the mortgage. To do this, the lender will hold the auto identify as a assure for compensation in case you cannot pay the mortgage back.
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Globalization has led to the progressive integration of capital markets around the world, allowing worldwide investors and corporations to trade with or in other countries. The following table provides descriptions of certain transactions or situations. Based on your understanding of international capital markets and international money, choose the best term to match each description. Description Term Indian rupees are deposited in a bank in Kenya. A US corporation starts a greenfield project in Mexico. This type of bond is issued by a European company, denominated in US dollars, and sold to investors in Japan. This is the tied interest rate on a Eurodollar deposit in Europe. LIBOR US Money market rate
1) Wons from South Korea are deposited in a Brazilian bank: Currency Deposits in Euro
2) Foreign Direct Investment: A U.S. company launches a new project in Mexico (Or FDI or Portfolio Investment or Direct Investment)
3) The tethered interest rate in Europe for a Eurodollar deposit is as follows: LIBOR
4) This kind of bond is marketed to Japanese investors by a European corporation in U.S. dollars: Eurobond
1) Wons from South Korea are deposited in a Brazilian bank: Currency Deposits in Euro
The word "eurocurrency" refers to money deposited outside of one's own nation. Eurodollars, for instance, are deposits maintained abroad that are denominated in dollars.
2) Foreign Direct Investment: A U.S. company launches a new project in Mexico (Or FDI or Portfolio Investment or Direct Investment)
This is an illustration of money leaving one nation and going into another, going straight to a business. As a result, it is known as foreign direct investment.
3) The tethered interest rate in Europe for a Eurodollar deposit is as follows: LIBOR:
The benchmark interest rate for deposits in Eurodollars is LIBOR.
4) This kind of bond is marketed to Japanese investors by a European corporation in U.S. dollars: Eurobond
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TRUE/FALSE. accounts recelvable are valued and reported on tne dalance sneet oin the investments section. o only if they are not past due. o at gros amounts less sales returns and allowances. o at cash realizable value.
On the balance sheet, accounts receivable are listed as a current asset.AR is any amount that customers owe for credit-based purchases.
On the balance sheet, how are receivables valued?
They are recorded in a company's balance sheet at the net realizable value, which is the value the company anticipates receiving in the future.After subtracting the bad debts, the net value of accounts receivable is calculated.
What is the reality regarding accounts receivable?
The money that customers owe your business for invoiced goods or services is called accounts receivable.The invoices that customers owe for items or work performed for them on credit are included in the total value of all accounts receivable, which is shown as current assets on the balance sheet.
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when a government records a trade surplus, the national savings and investment identity is written as
The national savings and investment identity is recorded as the following when a country reports a trade surplus: S = I + (G - T) + (X - M)
What does a country's trade surplus entail?An economy's trade balance is considered to be in good shape when there is a trade surplus, which occurs when exports outpace imports. In complete contrast, a trade surplus would be this.
What transpires when there is a surplus in the government?A surplus suggests that the government is sitting on more cash. It could be conceivable to use these monies to reduce the national debt, which would lower interest rates and boost the economy. A budget surplus could be used to lower taxes, introduce new initiatives, or maintain current ones like Social Security and Medicare.
What is the name of the national savings and investment program?The amount of income that is still available but is not used or consumed by the government is known as national savings. It is separated into public saving and private saving, which are the two primary divisions.
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in 2022, bianca earned a salary of $164,000 from her employer. round your answer to whole dollar amount, if necessary. determine the amount of fica social security taxes and medicare taxes withheld from her salary. social security: $fill in the blank 1 medicare:
The amount of medicare and social security taxes deducted from Bianca's paycheck is:
FICA social security taxes: $10,168
Medicare taxes: $2,378
Define the term FICA social security taxes?FICA is a federal payroll tax in the US. The Federal Insurance Contributions Act is what it is called, and it is taken out of every paycheck. Your nine-digit number enables Social Security to precisely record your self-employment or insured wages. You accumulate credits towards Social Security benefits as you work and submit FICA taxes. The hospital insurance tax, often known as Medicare taxes, and the old-age, survivorship, and disability insurance tax are the two types of taxes covered either by Federal Insurance Contributions Act (FICA).Earned salary of Bianca = $164,000
FICA tax = 6.2% Social Security tax.
FICA tax = 0.062 x $164,000
FICA tax = $10,168
Medicare tax = 1.45% on earnings.
Medicare tax = 0.0145 x $164,000
Medicare tax = $2,378
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if companies have a limited budget for developing new training methods, the most appropriate hands-on training method would be what?
On-the-job training (OJT) would be the best type of hands-on training if businesses had a restricted budget for creating new training strategies.
What is on-the-job training?OJT, or on-the-job training, is a crucial area of human resources planning. It supports both the successful growth of the organization and the individual's professional development. One type of training offered at the workplace is on-the-job training.
Employees become accustomed to the working atmosphere they will be a part of during the training. Additionally, workers receive practical training in using various pieces of machinery, tools, materials, etc. Taking on obstacles that come up while doing the work is a part of on-the-job training.
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if a firm can lower production costs by sharing a resource among one or more of its products, it benefits from .
If a firm can lower production costs by sharing a resource among one or more of its products, it benefits from economies of scope.
Production costs check with the expenses a organization incurs from production a product or offering a carrier that generates revenue for the employer. manufacturing expenses can include a selection of prices, consisting of hard work, raw substances, consumable manufacturing components, and preferred overhead.
The cost of production is an essential component for organizations to recall when assessing their monetary health. If a product's price of manufacturing is always better than the income it earns, the organization can also cease manufacturing to stay inside budget.
The cost of production of a commodity consists of forms of prices, i.e., Variable expenses and fixed expenses, additionally referred to as high and Supplementary costs respectively.
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Bad debts are estimated to be 1. 5% of credit sales. Show how accounts receivable and the allowance for doubtful accounts appear on its december 31 balance sheet.
The way that accounts receivable and allowance for doubtful accounts will appear on the December 31 Balance Sheet is:
Current Assets:
Accounts Receivable $866, 277
Less: Allowance for Doubtful accounts ( $12, 994)
Net Accounts Receivables $ 853, 283
How to find the net accounts receivable?The net accounts receivable can be found by deducting the allowance for doubtful accounts from the accounts receivable.
The allowance for doubtful accounts is:
= Accounts receivable x bad debt percentage
= 866, 277 x 1.5%
= $12, 994
This will be deducted from net accounts receivable:
= 866, 277 - 12, 994
= $ 853, 283
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harry's hotdogs is a small street vendor business owned by harry huggins. harry is trying to get a better understanding of his costs by categorizing them as fixed or variable. which of the following costs are most likely to be considered fixed costs?
Harry's hotdogs is a small street vendor business owned by Harry Huggins. Harry is trying to get a better understanding of his costs by categorizing them as fixed or variable. The cost of bookkeeping services will be considered fixed costs
What are fixed costs?Generally, Fixed costs, also known as indirect costs or overhead costs, are corporate expenditures that are not dependent on the number of products or services that are produced by the firm.
Fixed costs are discussed in accounting and economics. They are often expected on a regular basis, such as the payment of rent or interest on a monthly basis. These expenses are also often classified as capital costs.
Harry Huggins is the only proprietor of the quaint food cart company known as Harry's Hotdogs. By classifying his expenses as either constant or variable, Harry hopes to get a deeper comprehension of his financial situation. The expense associated with providing bookkeeping services will be categorized as a fixed cost.
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Suppose that France and Austria both produce beer and wine. France's opportunity cost of producing a bottle of wine is 4 barrels of beer while Austria's opportunity cost of producing a bottle of wine is 10 barrels of beer.
By comparing the opportunity cost of producing wine in the two countries, you can tell that has a comparative advantage in the production of wine and has a comparative advantage in the production of beer.
Suppose that France and Austria consider trading wine and beer with each other. France can gain from specialization and trade as long as it receives more than of beer for each bottle of wine it exports to Austria. Similarly, Austria can gain from trade as long as it receives more than of wine for each barrel of beer it exports to France.
Based on your answer to the last question, which of the following prices of trade (that is, price of wine in terms of beer) would allow both Austria and France to gain from trade? Check all that apply.
3 barrels of beer per bottle of wine
9 barrels of beer per bottle of wine
6 barrels of beer per bottle of wine
1 barrel of beer per bottle of wine
To allow both Austria and France to gain from trade, the price of trade (price of wine in terms of beer) should be:
9 barrels of beer per bottle of wine (B); or6 barrels of beer per bottle of wine (C)Comparative Advantage is an economys ability to produce a particular good or service at a lower opportunity cost. The existence of a country's or company's comparative advantage is used to be the reason for trading activity.
Opportunity costs are the potential benefits a business will loss when choosing one alterative over another.
Based on the case, we know that when France and Austria produce beer and wine on their own ability, they can produce:
France Austria
Wine 1 1 bottle
Beer 4 10 barrels
From the information above, we know that the opportunity cost of making 1 bottle of wine for each countri is:
France: 4 barrels of beerAustria: 10 barrels of beerMeanwhile, the opportunity cost of making 1 barrel of beer for each country is:
France: 0.25 bottle of wineAustria: 0.1 bottle of wineIf we compare the opportunity cost of making 1 bottle of wine, we find that France is having the comparative advantage in this production line. Meanwhile, Austria enjoys a comparative advantage in the production of beer.
Both countries could maximize their profits by doing trade agreement with the price of trade where:
Opportunity cost of country with comparative advantage < price of trade < opportunity of the other country
Based on the concept, the price of trade for 1 bottle of wine should be:
4 barrels of beer < Price of trade < 10 barrels of beer
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what is the typical wage replacement rate? question 2 options: between 60% and 70%. between 80% and 100%. between 70% and 80%. between 50% and 60%.
The typical wage replacement rate is between 70% and 80%. (Option C).
What Replacement Rate?The percentage of an individual's annual job income that is replaced by retirement income when they retire is referred to as the replacement rate. Since elderly people are thought to have fewer living expenses, such as a mortgage or children to raise, replacement rates are frequently lower than 100%.
As a result, an individual's wage replacement rate is determined by dividing the (average) pension received by a person (or by a particular community) in a given time period by the (average) income received during the same time period. Finally, this can be calculated using the following formula: Gross income less taxes and savings equals the amount that can be spent.
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a new tax policy has been passed in the country of caldeconnia, a constitutional monarchy located high up in the stap mountain range. this new policy states that 6 % of the wages of every worker must go to taxes, regardless of how much they earn.
The above-mentioned tax policy is a highly proportional one because it has been imposed on wages.
What is the meaning of Tax policy?A government's tax policy contains the rules it has established for how, how much, and who contributes what taxes. Both macro and microeconomic factors are present.
A tax policy's objective is to generate cash for governmental activities rather than to have an impact on people's daily lives and professional decisions. economic expansion and effectiveness The economy's ability to produce should not be unnecessarily hindered or diminished by the tax system.
Fiscal policy or Tax Policy is the term for the steps used by administrations to strengthen the economy, particularly by adjusting the rates and distributions of taxes and spending in the public sector. To achieve specific objectives, fiscal actions are regularly utilized in conjunction with monetary policy.
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TRUE/FALSE. lorin, who earns a yearly salary of $120,000, sold an activity with a suspended passive loss of $44,000. the activity was sold at a loss, and lorin has no other passive activities. the suspended loss is deductible.
Lori, who earns a yearly salary of $120,000, sold an activity with a suspended passive loss of $44,000. The activity was sold at a loss and Lori has no other passive activities. The suspended loss is not deductible. This statement is FALSE.
Even if the sale of the activity results in a loss, a suspended passive loss may be written off. The suspended loss can be used to offset Lori's current employment income.
A financial loss resulting from an investment in a firm or trade in which the investor is not a significant participant is referred to as a passive loss. Equipment leasing, real estate rentals, limited partnerships, limited liability corporations, and sole proprietorships in which the taxpayer has no meaningful interest are just a few examples of the activities that can result in passive losses.
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measures of organizational efficiency are typically derived from which of the following perspectives?
Measures of organizational efficiency are typically derived from Rational System perspectives.
Which four organizational success perspectives are there?
Balduck and Buelens (2008) assert that there are four basic techniques that can be used to address the issue of effectiveness in organizations: the system resource approach, the goal approach, the strategic constituency approach, and the internal process approach.
The net profit as a percentage of the desired profit is typically used to gauge organizational effectiveness in businesses. Data on growth and the findings of customer satisfaction surveys could be used as additional indicators. According to Peter Drucker, organizational effectiveness is the capacity to utilize resources as effectively as possible to achieve objectives.
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Big Canyon Enterprises has bonds on the market making annual payments, with 14 years to maturity, a par value of $1,000, and a price of $953. At this price, the bonds yield 9.4 percent. 1.11 points What must the coupon rate be on the bonds? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) 8 01:52:31 Coupon rate % Skipped
8.78% Approximately must the coupon rate be on the bonds .
What is coupon rate?
The interest rate paid on the face value of a bond by its issuer is known as the coupon rate. It is the reoccurring interest rate that bond issuers pay to their buyers. Instead of using the issue price or market value, the coupon rate is determined using the bond's face value, also known as par value.The coupon rate is computed as shown below:
Bonds Price = Coupon payment x [ [ (1 - 1 / (1 + r)n ] / r ] + Par value / (1 + r)n
$ 953 = Coupon payment x [ [ (1 - 1 / (1 + 0.094)14 ] / 0.094 ] + $ 1,000 / 1.09414
$ 953 = Coupon payment x 7.613964662 + $ 284.2873217
Coupon payment = ($ 953 - $ 284.2873217) / 7.613964662
Coupon payment = $ 87.82713185
So, the coupon rate will be as follows:
= $ 87.82713185 / $ 1,000
= 8.78% Approximately
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Potential risks for businesses that use social media include productivity loss, embarrassment if employees make damaging posts, and ________. a) attracting the wrath of a huge Internet audience; b) weakened recruiting effortsc) losing older employeesd) higher technical support costs
Potential risks for businesses that use social media include productivity loss, embarrassment if employees make damaging posts, and attracting the wrath of a huge Internet audience. Correct answer: letter A.
The Risks of Social Media for Businesses
In recent years, social media has become an increasingly popular tool for businesses of all sizes. While social media can offer many benefits, there are also potential risks that businesses should be aware of.
One potential risk is productivity loss. Employees who are spending time on social media sites may be less productive than those who are not. Additionally, employees may be tempted to use social media for personal reasons while at work, which can further reduce productivity.
Another risk is embarrassment if employees make damaging posts. For example, if an employee posts something negative about the company on social media, it could reflect poorly on the business. Additionally, if an employee posts something that is inaccurate or misleading, it could also damage the company's reputation.
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henderson construction managers provide design and construction management services for various commercial construction projects. senior managers are trying to apply cost driver concepts to their firm to better understand henderson's costs. classify each of the following actions or decisions as structural, organizational, or activity cost drivers. (a) the decision to be a regional leader in computer-assisted design services. structural organizational activity (b) the decision to allow staff architects to follow a specific project through to completion. structural organizational activity (c) the daily process of inspecting the progress on various construction projects. structural organizational activity (d) the process of conducting extensive client interviews to assess the exact needs for henderson services. structural organizational activity (e) the decision to expand the market area by establishing an office in another state. structural organizational activity (f) the decision to use only henderson staff rather than relying on subcontractors. structural organizational activity (g) the process of receiving approval from government authorities along with appropriate permits for each project. structural organizational activity (h) the decision to organize the workforce into project teams. structural organizational activity (i) the decision to build a new headquarters facility with areas for design and administration as well as storage and maintenance of construction equipment. structural organizational activity (j) the process of grading building sites and preparing forms for foundations. structural organizational activity check previoussave answersnext
a. The dec-ision to be a regional lead-er in computer -assisted design ser-vices is structural action. b. The decision to all-ow staff architects to follow a specific pro-ject through to comp-letion is organizational decision.
c. The daily process of inspect-ing the progress on various constr-uction projects. - organizational decision.
d. the process of conduct-ing extensive client inter-views to assess the exact needs for Hender-son services. - activity
(e) the decision to exp-and the market area by estab-lishing an office in an-other state. organizational
(f) the deci-sion to use only Hender-son staff rather than relying on sub-contractors. organizational
(g) the process of receiv-ing approval from govern-ment authorities along with appro-priate permits for each pro-ject. structural
(h) the decision to organ-ize the work-force into project teams. activity
(i) the decision to build a new head-quarters facility with areas for design and administ-ration as well as storage and main-tenance of construction equip-ment. organizational
(j) the pro-cess of grading build-ing sites and preparing forms for found-ations. Activity.
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relationship-specific investments are investments that: create seller-to-seller training programs. increase your bargaining power. are worth more in the context of a specific business relationship. contractually obligate a business partner to continue working with the investor.
The relationship-specific investments are investments that are worth more in the context of a specific business relationship.
What are relationship-specific assets?The defining characteristic of relationship-specific assets is that they are more valuable when used in a relationship than when used alone. An example of this is when an upstream supplier invests in her product to make it more suited to the needs of the downstream consumer. By facilitating investment between purchasers and suppliers of intermediate goods that is relationship-specific, banks help the economy flourish.
Relationship investments are described by Williamson's transaction cost theory of 1985 as the extent to which assets are devoted to a specific relationship producing a lock-in scenario for the investing party in inter-organizational relationships. Meanwhile, the relationship-specific investments, in Crawford's words, are those "whose rewards depend on the continuation of the relationship."
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A collusive agreement to fix prices among firms in an oligopolistic industry is most likely to be broken under which of the following conditions?
(A) It is easy for new firms to enter into the industry.
(B) All of the firms have identical costs.
(C) The number of firms is few.
(D) Firms' sales are widely reported.
(E) The market demand is stable.
A collusive agreement is likely to be broken if the market demand is stable. (option E)
What is an oligopoly?An oligopoly is when there are few large firms operating in an industry. An oligopoly is characterised by high barriers to entry and exit of firms, firms that set the prices for their goods and services and a downward sloping demand curve.
In an oligopoly it is common for firms to collide with each other. When the firms collude, they jointly determine the price at which to sell their goods and the quantity they would sell. Collusion makes it more difficult for firms to enter into the industry.
It would be easier for a firm to break the collusion agreement if its demand is stable or inelastic. This means that if a firm leave the collusion agreement and charges a different price, the quantity demanded would change little.
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select the definition of output effect. amount of revenue lost from lowering the price enough to sell one more unit market price multiplied by the number of units sold the additional revenue from raising the price of a good the revenue that results from selling additional units of a good or service.
The definition of output effect is revenue that results from selling additional units of a good or service. Thus the correct option is last.
What is the definition?A definition of any word is a detailed description defining the accurate meaning to the reader in order to gain information and understand the meaning to utilize in vocabulary and used in any sentence.
The term "output effect" refers to the impact that an increase in output has on the consumption of a specific input while keeping input costs constant. The labor demand change, an input in the production process brought on by changes in demand, is related to the output effect.
Therefore, option last is appropriate.
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the financial statements of flathead lake manufacturing company are shown below. income statement 2020 sales $ 9,300,000 cost of goods sold 5,750,000 depreciation expense 550,000 gross profit $ 3,000,000 selling and administrative expenses 2,200,000 ebit $ 800,000 interest expense 200,000 income before tax $ 600,000 taxes 375,000 net income $ 225,000 flathead lake manufacturing comparative balance sheets 2020 2019 cash $ 50,000 $ 40,000 accounts receivable 570,000 600,000 inventory 530,000 460,000 total current assets $ 1,150,000 $ 1,100,000 fixed assets 2,050,000 1,400,000 total assets $ 3,200,000 $ 2,500,000 accounts payable $ 320,000 $ 300,000 bank loans 480,000 400,000 total current liabilities $ 800,000 $ 700,000 long-term bonds 1,500,000 1,000,000 total liabilities $ 2,300,000 $ 1,700,000 common stock (200,000 shares) 200,000 200,000 retainded earnings 700,000 600,000 total equity $ 900,000 $ 800,000 total liabilities and equity $ 3,200,000 $ 2,500,000 note: the common shares are trading in the stock market for $15 per share. refer to the financial statements of flathead lake manufacturing company. the firm's compound leverage ratio is . (please keep in mind that when a ratio involves both income statement and balance sheet numbers, the balance sheet numbers for the beginning and end of the year must be averaged.) A) 3.56 B) 3.26 C) 3.14 D)3.02
The firm's compound leverage ratio is 3.5
Compound leverage ratio
It is the financial measurements that look at how much capital comes in the form of debt (loans) or assesses the ability of a company to meet its financial obligations.
Given,
The financial statements of flathead lake manufacturing company are shown below.
Here we need to find the firm's compound leverage ratio.
In order to calculate the firm's compound leverage ratio, we need the following values:
1) Total assets
2) Total equity
While we looking into the given question we have identified that the value of
Total assets = $3,200,000
Total equity = $ 900,000
So, the compound leverage ratio is calculated as,
=> 3,200,000/900,000
=> 3.5
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perry's tax basis in his partnership interest at the beginning of the year was $15,400. how much of the ordinary loss may he deduct on his form 1040? assume the excess business loss limitation does not apply.
Assume the excess business loss limitation does not apply. *$15,400 − $5,800 + $2,100 + $1,600 = 13,300 basis for loss limitation.
In mathematics, a restrict is the value that a function (or collection) approaches as the enter (or index) tactics some fee.[1] Limits are critical to calculus and mathematical analysis, and are used to outline continuity, derivatives, and integrals. The concept of a restrict of a chain is in addition generalized to the idea of a restriction of a topological internet, and is carefully associated with restrict and direct limit in class idea. In formulas, a limit of a characteristic is typically written. The concept of a restrict of a chain is in addition generalized to the idea of a restriction of a topological internet.
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14) refer to the table. what is the average time a customer spends waiting in line and being served? a) 0.23 b) 2.33 c) 0.33 d) 1.63 e) 0.70
The average time a customer spends waiting in line and being served is 0.33 .
What is a customer?
An individual or company that purchases products or services from another company is known as a customer. Customers are important since they bring in money.Which four sorts of clients are there?
Four distinct client personality types that are crucial for your sales performance are listed below:
It's analytical. People with this personality type search for data in a sales presentation, according to The Amiable. The Amiable are kind, friendly, and reliable. ...The Driver. The Expressive.What are the two primary categories of clients?
Customers may be divided into two categories: internal customers and external customer.To know more about customers, checkout this link:
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a (fill in the blank) function displays a constant level of cost for a range of output and then jumps to a higher level of cost at some point, where it remains for a similar range of activity.
A step costs function displays a constant level of cost for a range of output and then jumps to a higher level of cost at some point, where it remains for a similar range of activity.
Step costs can be described as costs that are fixed cost in nature, but it changes in steps, it do not change on a per-unit basis, but after a certain activity level, it changes and then gets fixed up till the next step of change.
It changes after a set of range is completed under that.
It can also be said to have variable as well as fixed component but, it as it do not change on per unit basis, the statement is not correct, as variable cost changes with each unit, Semi variable cost is the correct word for it.
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A firm offers group discount for orders exceeding 15. Two firms are taking advantage of this offer. Sales to Company A averages $15,000 of annual sales, has a 22% profit margin and an expected lifetime of 8 years. Company B averages $11,000 of annual sales, has a 25% profit margin and an expected lifetime of 9 years. Which is the more important customer based on the higher expected lifetime value? Assume a 7% discount rate. a. Company A because its' NPV = $17917 b. Company A because its' NPV - $19705 c. Company B because its' NPV - $21,224 d. Company B because its' NPV - $22,349 36.
The most valuable customer is A because it's NPV value is $ 17916.89
What Is a Firm?A firm is a for-profit business entity that offers professional services, such as a corporation, limited liability company (LLC), or partnership. Most businesses only have one location.On the other hand, a business firm is made up of one or more physical locations that are all owned by the same person and share the same EIN (EIN).The term "firm" can refer to a range of organizations, including consulting, marketing, and graphic design firms, among others.When used in a title, "firm" is often linked with companies that offer expert legal and accounting services.Although they appear synonymous and are often used interchangeably, there is a difference between a firm and a company.According to our question,
Profit per year = 22% x $ 15,000
=$ 3,300
Lifetime. = 8 years
NPV. = 3300/1.07 + 33/ (1.07 x 1.07)....
….. + 3300 / (1.07)
= $19705. 28
NPV of company B. =
Profit per year = 25% of 11,000
= $ 2750
Lifetime. = 9 years
NPV. = 2750 / 1.07 + 2750 /(1.07)9
= $ 17916.89
Hence, The most valuable customer is A because it's NPV value is $ 17916.89.
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when your client performs the scapular activation drill with the arm held at an upward angle, which of the following positions is most appropriate?
The first 30° of arm elevation is the most appropriate position.
What is an elevation?A location's elevation is its distance from or distance above a defined reference point, most frequently a reference geoid, a mathematical representation of the Earth's sea level as an equipotential gravitational surface. When referring to locations on the Earth's surface, elevation is frequently used. In contrast, altitude or geopotential height are used for locations above the surface, such as those of flying aeroplanes or orbiting satellites, and depth is used for locations below the surface. Elevation is distinct from the angular separation from the Earth's centre. The peaks of Mount Everest and Chimborazo have, respectively, the highest elevation and the greatest geocentric distance due to the equatorial bulge.
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true or false the keynesian transmission mechanism could be blocked by either interest-insensitive investment or by the liquidity trap.
"The Keynesian transmission mechanism could be blocked by either interest-insensitive investment or by the liquidity trap" is true statement.
Interest-insensitive investment or even the liquidity trap may both stymie the Keynesian transmission mechanism. Typically, the money supply curve stays horizontal. The quantity demanded investment would seem to be uniform in the liquidity trap.
Increases in deficit-financed government spending raise real GDP but just not organic real GDP. Because of the government expenditure multiplier, a rise in shortfall government expenditure raises real GDP.
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Interrelationships between micro, market and macro environment
The immediate setting in which a business functions is known as the micro environment. The term "macro environment" refers to the overall setting that may have an impact on how well all commercial companies operate. Competition, Organization as a Whole, Suppliers, Market, Intermediaries, and Customers (COSMIC).
The three environments interact with one another.
Through its strategies, the micro environment affects the market environment. The market environment, such as price cuts by competitors or changes in customer behavior, in turn, has an impact on the micro environment.
Through the market environment, such as the impact of taxation or a recession on consumer spending, the macro environment indirectly influences company.
Through interest rates on loans or regulations, the macroenvironment indirectly has an impact on the business.
Thus, Each environment's elements are interconnected.
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