The ADV shifts right by $ 1.5 trillion.
How does this occur ?
A closed economy typically refers to a country that does not trade or engage in other financial exchanges with any other country
MPC=0.8
Multiplier=1/(1-MPC)=1/(1-0.8)=5
Increase in government purchases=$300 billion
Initial change in consumption= $300 billion* 0.8= $240 billion
Second change in consumption=$240 Billion*0. 8= $192 billion
Total change in demand= $300 billion*5= $1500 billion=
$1.5 trillion
So, AD curve shifts right by $1.5 trillion
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What is included in discretionary income?.
Discretionary income will include the money that an individual has to spend, invest or save.
Discretionary income is one of the factors assessing the financial stability of an individual. Discretionary income is what the individual is left after paying taxes and spending on necessities. The necessities of a household or an individual are food, housing, clothing, and transportation.
Discretionary income is used in many ways such as investments, paying for vacations and dining out, or luxury items. It is spent in all other ways that do not account for necessities or taxes. Similarly, discretionary income in business will include expenditure on holiday tickets for employees, gifts on holidays, and other ways.
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the additional time added to the schedule that can be used if a scheduled activity exceeds its estimated duration is called . lag time lead time contingency time forward pass free float
The additional time added to the schedule that can be used if a scheduled activity exceeds its estimated duration is called contingency time.
Contingency time in project management refers to the additional time allocated to a timetable to allow for any problems that may affect the schedule. When a problem arises, the project manager takes advantage of the situation to stop any potential harm that unforeseen circumstances could do.
For a project that is especially hazardous, you can want to include a 20% contingency. Simply add 20% more work to the project's overall effort. Knowing where to place it in the schedule is the challenge with this.
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Hina joined a team that was responsible for boosting sales on last year’s digital models. The team was scheduled to run for five months, meeting once a week. The team consisted of four members, all with marketing and sales backgrounds. When the group first met, they learned they had much in common outside of work. Eventually, most of each meeting was spent talking about topics unrelated to work. At one meeting hina said, "you know, we have to have a presentation ready in less than two months. " that seemed to set everyone in motion. The group quickly divided responsibilities and got to work. The presentation was a success. What does this scenario describe?.
The situation discussed here of marketing & sales division describes the role of a Leader in core functional organizational structure.
What is Functional Organizational Structure?A typical sort of business structure is a functional organizational structure, which divides a corporation into various departments according to areas of competence and groups personnel according to specialization, skill, or related functions.
The sales team consist of personnel who are basically from marketing & sales backgrounds. Further motion study helps to improve the present scenario of eliminating the wastefulness of time with help of Team leader.
Thus regular meeting in a week by a leader can help in effective management of functional organizational structure.
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which of the following mergers between two companies would be considered to be a vertical merger? a hair salon merges with a dry cleaner. a fabric mill merges with a pants factory. a dressmaker merges with a doughnut shop. an auto repair shop merges with a boat repair shop.
A merger between two companies that would be considered to be a vertical merger is: B. a fabric mill merges with a pants factory.
What is a merger?In Economics, a merger can be defined as a corporate contractual agreement (contract) that combines and unites two (2) or more existing companies into a single (new) company.
What is a vertical merger?A vertical merger can be defined as a type of merger that typically exist between business organizations (companies or firms) that are operating at different stages of the production process such as the following:
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what are the consequences for a nation that keeps its exchange rate fixed, holds its own domestic interest rates below market to encourage domestic spending, and allows free foreign investment?
A fixed exchange rate system fixes the official exchange rate to the value of gold or the currency of another nation.
What is a fixed exchange rate system?A fixed exchange rate, also known as a pegged exchange rate, is a system of exchange rates in which the value of one currency is fixed or pegged by a monetary authority against the value of another currency, a basket of currencies, or another measure of worth, such as gold. An exchange rate system with a fixed rate has advantages and disadvantages. When a currency is pegged to a different, more stable, or more widely used currency, the exchange rate is often stabilized by directly setting its value in a predetermined ratio to that currency. By doing this, unlike in a system of floating exchange, the rate of exchange between the currency and its peg is not affected by changes in the market.
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Acknowledging the demand for healthier drinking options, a large beverage company has developed a new line of beverages with no calories and no artificial sweeteners to add to its existing product line. Which of the following approaches to market segmentation is the beverage company using?a. Broad low-cost strategyb. Focus differentiation strategyc. Medium market segmentation strategyd. Focus low-cost strategye. Broad differentiation strategy
Focus differentiation is the best choice, based on the supplied remark.
What is the short definition of a company?A organization is a legal body that a group of people to conduct and manage a multinational corporation, whether it be corporate or industrial. Depending here on corporate legislation of its jurisdiction, a corporation may be set up in a variety of ways for taxes and financial liability reasons.
What does a firm do for a living?A corporation is a liberal organization created by a group on individuals to run and operate a business operation. Depending on the corporate legislation that governs its administration, a corporation may be organized in many ways for tax and financial obligation reasons.
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What are the 7 steps of a business plan?.
A business plan is written by a current or prospective business owner to outline each area of their operation and to set goals for future expansion.
What constitutes a business plan's seven steps?
1.Executive Summary:A succinct synopsis of your company plan should be included in the first section. It needs to be nicely worded and brief. Your aim is to captivate readers and make them curious about your business.
2.Organization Description:This broad overview of your company should include who you are, how you work, and what your objectives are.
3.Items and Services:Put a clear emphasis on the benefits to the customer while outlining what you're selling.Include information on the suppliers, the costs of the goods or services, and the anticipated net income from the sale of those goods or services. Think about including diagrams or pictures.
4. Market analysis: Demonstrate your expertise in the field and share findings from in-depth market research. Include a thorough appendix with any research' findings.
5. Strategy and Implementation: Provide an overview of your sales and marketing strategies, as well as how you intend to put them into practice using an operating plan.
6. Organization and Management Team: Describe the hierarchical structure of your company. Name the company's owners, executive staff, and board of directors.
7. Financial plan and projections: After you've done a market study and established goals for your business, you should work with a competent accountant to produce this last component of your business plan.
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this term is used when a company distributes a portion of its earnings to its shareholders in the form of additional stock of the company as a supplement or in place of cash dividends.
A company distribution of a portion of its earnings to its shareholders in the form of additional stock of the company as a supplement or in place of cash dividends is called a stock dividend.
Stock dividend is defined as a distribution of dividend payment to shareholders in a from of additional company shares/stocks rather than in a form of a cash payment to its shareholders. The main reason that a company may want to issue a stock dividend in place of a cash dividend is that the company may be experiencing a shortage of liquid cash reserves, or to preserve and maintain its cash reserve. Another reason for a stock dividend payment may be that the company is trying to increase the number of outstanding shares, or to decrease the stock value of the company, therefore making the stock price affordable.
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real gdp for 2015 is less than nominal gdp for that year. but real gdp for 2000 is more than nominal gdp for that year. why?
The total value of all products produced in a nation in a year is measured by both the nominal gross domestic product (GDP) and the real GDP. In contrast to nominal GDP, real GDP is adjusted for inflation. As a result, real GDP nearly always has a little negative difference from its comparable nominal value.
Since real GDP (and real GDP per capita) can be more easily compared to prior data, it often provides a more accurate picture of a country's economic success. Thus, we can determine if a nation actually improves or deteriorates year over year.
GDP measures the monetary worth of all the products and services a nation produces. The difference between nominal and real GDP is that the former excludes increases in prices brought on by inflation.
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according to the vals segmentation system, are considered to be trendy and fun-loving people who are resource-constrained. they favor stylish products that emulate the purchases of those with greater material wealth.
according to the vals segmentation system strivers are considered to be trendy and fun-loving people who are resource-constrained. they favor stylish products that emulate the purchases of those with greater material wealth.
What is vals segmentation system?
A proprietary research methodology called VALS (Values and Lifestyle Survey) is employed for psychographic market segmentation.
Market segmentation helps businesses adapt their goods and services to appeal to those who are most inclined to make purchases from them.
How is VALS used in marketing?
VALS is a marketing technique that forecasts consumer behavior in part by taking into account factors like their philosophical convictions and levels of mechanical and intellectual curiosity.
Values and Lifestyles Survey, or VALS, is a set of inquiries used to identify target markets.
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Consider three bonds with 8% coupon rates, all making annual coupon payments and all selling at face value, which is $1000. The short-term bond has a maturity of 4 years, the intermediate-term bond has a maturity of 8 years, and the long-term bond has a maturity of 30 years. a. What will be the price of the 4-year bond if its yield increases to 9%? (Do not round intermediate calculations. Round your answers to 2 decimal places.) b. What will be the price of the 8-year bond if its yield increases to 9%? (Do not round intermediate calculations. Round your answers to 2 decimal places.) c. What will be the price of the 30-year bond if its yield increases to 9%? (Do not round intermediate calculations. Round your answers to 2 decimal places.) d. What will be the price of the 4-year bond if its yield decreases to 7%? (Do not round intermediate calculations. Round your answers to 2 decimal places.) e. What will be the price of the 8-year bond if its yield decreases to 7%? (Do not round intermediate calculations. Round your answers to 2 decimal places.) f. What will be the price of the 30-year bond if its yield decreases to 7%? (Do not round intermediate calculations. Round your answers to 2 decimal places.)
The short-term bond with a 9% yield costs $96.76. The price of a 9% yielding intermediate-term bond is $94.47.
The bond's price:The price of the bonds may be calculated by calculating their present value. The total of discounted cash flows is the present value.
A financial calculator may be used to compute the present value.
Cash flow from year 1 to year 4 = $80
Year 4 cash flow = 1000
When the yield is 9%, the price is $967.03.
When the yield is 7%, the price is $1033.870.
Cash flow from year 1 to year 8 = $80
Year 8 cash flow = 1000
When the yield is 9%, the price is $944.65.
When the yield is 7%, the price is $1059.71.
Cash flow from year 1 to year 30 = $80
Year 30 cash flow = 1000
When the yield is 9%, the price is $821.89.
When the yield is 7%, the price is $992.72.
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follow-up refers to the contacts you periodically make with customers in order to remind them of your business, and your interest in their business.
Follow-up refers to the contacts you periodically make with clients in order to remind them of your business, and your hobby in their business.
True. It is ordinary for a small business to listen its efforts on one goal market at the establishing and reflect onconsideration on secondary ones later.
Is the manner of dividing the market into smaller portions of people who have sure frequent characteristics?Market segmentation is the process of dividing a market of plausible customers into groups, or segments, based totally on exclusive characteristics.
Which of the following is utilized to introduce and promote a product or carrier to plausible clients or consumers responses?Marketing refers to things to do a company undertakes to promote the buying or promoting of a product or service. Marketing includes advertising, selling, and delivering products to shoppers or different businesses. Some marketing is performed via affiliates on behalf of a company.
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Expenses, costs,Demand , Supply,perceptions of consumers and Competition are major factors that affect price.
What are the factors that affect price?Expenses and costs.Demand and Supply.perceptions of consumers.Competition.the effect that a change in value has on the market's customer demand for a given good or service. The impact an event has on a product's price is referred to as the price effect.The unit cost of employing an element of production, such as labor or physical capital, is known as a factor price in economic theory. The factors that affect factor pricing are hotly contested.Costs. You must first and foremost have sound financial knowledge.Customers. Positioning: Be aware of what your consumers desire from your goods and services. You must consider your placement after you have an understanding of your consumer.Competition. Financial gain.To learn more about price effect refer,
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Which of the following is the main argument for why efficiency wages can help encourage workers to provide full effort on a job? a. Workers do not want to risk becoming unemployed when there is a reserve of involuntary unemployed workers willing to take their job that pays above the competitive wage.; b. Workers do not understand that high-wage workers do not need to work hard to maintain their job.; c. Management hires fewer workers at the higher efficiency wage, and therefore all workers must work harder.; d. When the efficiency wage is less than the competitive wage, workers work harder in order to convince other firms to hire them away at the higher, competitive wage.; e. None of these provide an argument for why efficiency wages encourage workers to provide full effort on a job.
The main argument is none of these provide an argument for why efficiency wages encourage workers to provide full effort on a job.
Employers can encourage improved employee performance by paying efficiency wages, which are higher than the equilibrium wage rate.
Employers who offer above-minimum salaries are said to be paying efficiency wages, which are done so as to keep competent people on staff, boost output, or maintain loyalty. Even in times of increasing competition or economic downturns, employers are hesitant to reduce pay, which is explained by the efficiency wage hypothesis.
Hence the correct option is E
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question content area if the wage rate paid per hour differs from the standard wage rate per hour for direct labor, the variance is a variance. a.volume b.variable c.quantity d.rate
The difference between the rate paid for labour and the standard rate is known as the labour rate variance.Additionally, depending on whether the variation is below or above.The correct answer is Variance rate .
The standard rate in comparison to the actual rate, it may be advantageous or unfavourable.A rate variance is the difference between the actual price paid and the anticipated price multiplied by the actual amount spent. The concept is applied to identify instances where a business is overpaying for goods, services, or labour.However, focusing exclusively on cost savings may result from paying too much attention to rate changes. Instead, because it typically reduces overall expenses, investing a little bit more in greater quality could make more sense. (Actual price - Standard price) x Actual quantity = Rate variance is the formula.As a result, there is a rate difference between the wage rate paid and the conventional wage rate paid per hour.
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what triggers entry in a competitive market? (a.) entry is triggered in a competitive market when existing firms are .
Entry is triggered in a competitive market when existing firms are "making an economic profit."
What is Competitive Market?
A competitive market forms in response to consumer demands for goods and services. This market structure creates competition to gain customers, requiring businesses to evaluate production costs, pricing structure and product quantity.
Competitive markets, and the concept of perfect competition, work to factor the buyer and seller equally and form strategies based on the market's current supply and demand.
Therefore, entry is triggered in a competitive market when existing firms are "making an economic profit."
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FILL IN THE BLANK. A buyer for a manufacturing plant suspects that his primary supplier of raw materials is overcharging. In order to determine if his suspicion is correct, he contacts a second supplier and asks for the prices on various identical materials. He wants to compare these prices with those of this primary supplier. The data collected is presented in the table below with some summary statistics presented (all of these might not be necessary to answer the questions which follow). The buyer believes that the differences are normally distributed and will use this sample to perform an appropriate test at a level of significance of 0.01.
Material Primary Supplier Secondary Supplier Difference
1 $55 $45 $10
2 $48 $47 $1
3 $31 $32 -$1
4 $83 $77 $6
5 $37 $37 $0
6 $55 $54 $1
Sum $309 $292 $17
Sum of Squares $17573 $15472 $139
a ) The hypotheses that the buyer should test are a null hypothesis that ___________ versus an alternative hypothesis that ___________.
b) The test to perform is a
i)Pooled-variance t test for differences between two means.
ii) Separate-variance t test for differences between two means.
iii) Z test for the difference between two proportions.
iv) Paired t-test for the mean difference.
c) The decision rule is to reject the null hypothesis if ________.
d) The calculated value of the test statistic is ______. 1.628.
e) The p-value of the test statistic is _______.
f) True or False. The null hypothesis should be rejected.
Please include the formulas and the steps involved in arriving at the answers with the Decsions associated for the above problem ( would like to arrive at the answers with out using EXCEL or Minitab) .
The samples are dependent samples since the buyer is comparing the costs of the identical material from two suppliers. The sample mean prices of the purchasers are identical, which is the null hypothesis.
Only when comparing the means of two groups may a t test be employed (a.k.a. pairwise comparison). Use an ANOVA test or a post-hoc test if you want to compare more than two groups or perform multiple pairwise comparisons.
The t test is a parametric test of difference, which means it bases its conclusions on the same premises that other parametric tests do. The t test presupposes that your data:
are comparable in terms of variation within each group being compared, independent, and (almost) regularly distributed (a.k.a. homogeneity of variance)
Try a nonparametric alternative to the t test, such as the Wilcoxon Signed-Rank test for data with uneven variances, if your results do not support these hypotheses.
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you are employed by a firm that produces tangible products. these products are then sold to a consuming populace that is unaffected by place, income, sex, race, age, or any environmental concerns. these products are acquired and used across the spectrum of consumers.
The researchers found that consumers account for up to 80% of global water use and more than 60% of greenhouse gas emissions by measuring "secondary impacts," or the environmental effects of producing the goods and products we buy every day.
Sustainability refers to the ability of a product to benefit society, the environment, and the economy over the course of its entire life cycle, from the extraction of raw materials to the final disposal.
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in september, dk company sells merchandise to lions company on credit. in october, lions company pays the balance in full. the entry to record the collection of cash by dk company in october will include a (debit/credit) to accounts receivable.
The entry to record the collection of cash by DK company in October will include a credit to accounts receivable.
a credit score is the agree with which allows one party to offer money or resources to some other birthday party in which the second birthday party does now not reimburse the primary birthday celebration at once, however, promises either to pay off or go back the one's sources at a later date.
A credit score bureau continues a month-on-month record of your payments in the direction of your bills and loan repayment equated month-to-month installments (EMIs) for the past few years. typically by way of collating preceding years' fee records information, the credit score bureau calculates your credit score rating. credit score is the ability to borrow money or get the right of entry to items or offerings with the know-how that you will pay later.
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The entry to record the collection of cash by DK company in October will include a credit to accounts receivable.
The collection of cash entries on account magazine access is needed when a business has obtained cash from a customer and the quantity is not allocated to a selected client invoice or the purchaser has no longer been invoiced. for instance, suppose a business gives design offerings and has obtained coins of 4,000 from a patron.
Accounts receivable are quantities owed to an enterprise by means of customers for credit score income invoiced to them on the account. whilst a client will pay a bill, an account receivable collection magazine entry is needed to clear the quantity on their account.
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How do investors actually make money?.
Some generate income through dividends or interest payments, while others have the potential to increase in value. Nevertheless, there are still several that provide tax benefits in addition to current income or capital gains. The sum of these elements makes up an investment's overall return.
An investor buys a piece of property with the anticipation that its value will increase, allowing them to resell it for a profit at a higher price. Income is the consistent flow of cash from the sale of an asset. For instance, a bond makes periodic fixed payments.
Stocks, bonds, commodities, mutual funds, exchange-traded funds (ETFs), options, futures, foreign currency, gold, silver, retirement plans, and real estate are just a few examples of the many investment vehicles available to achieve objectives.
Investors are able to examine possibilities from a variety of perspectives, and they often aim to reduce risk while maximizing rewards. Typically, investors use their capital to make either equity or debt investments in order to generate returns.
Investments in equity involve holding ownership stakes in the form of company stock, which can result in dividend payments in addition to capital gains. Debt investments can take the form of loans given to other people or businesses, the purchase of bonds issued by governments or corporations that pay interest in the form of coupons, or any combination of these.
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an administrator may issue a stop order suspending the effectiveness of a registration statement if it is in the public interest and which of the following occurs? it is determined that the administrator of another state has issued a stop order relating to this issue. the issuer has accidentally neglected to pay the appropriate fees. the issuer reports a loss for the previous quarter.
An Administrator may issue a stop order to revoke the effectiveness of a registration, issue a cease and desist order without a prior hearing, and may also revoke a previously allowed exemption.
A stop order denying effectiveness to, suspending, or revoking the effectiveness of a registration statement may be issued by the administrator if she decides that it is in the public interest and that any of the following situations apply.
As of its effective date, or earlier in the case of an order denying effectiveness, or a report under section 502.305, subsection 9, a registration statement is materially deficient or includes a statement that, in light of the circumstances surrounding its creation, was false or deceptive with regard to a material fact.
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what distinguishes oligopoly from other industry structures is: group of answer choices game-theoretic behavior. downward-sloping demand curve. product differentiation. possibility of making profits.
The distinguishes oligopoly from other industry structures is game-theoretic behavior.
A market structure characterized by entry obstacles and a small number of enterprises. Oligopoly is an intriguing market structure because of the interaction and interdependence of oligopolistic enterprises. What one company does influences the other companies in the oligopoly.
The airline business in the United States is an illustration of a contemporary oligopoly, with four airlines controlling more than two-thirds of the total market share. The three carriers would be as follows: American Airlines Inc. (AAL) Delta Air Lines Inc. (DAL)
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answer the following questions Use the information presented in Midwestern Mutual Bank's balance sheet to answer the following questions. Bank's Balance Sheet Assets Liabilities and Owners' Equity $1,600 $250 Securities $1,000 Capital (owners' equity) $150 Reserves$200 Deposits Loans $800 Debt Suppose the owners of the bank borrow $100 to supplement their existing reserves. This would increase the reserves account and ▼ the ▼ account. This would also bring the leverage ratio from its initial value of ▼ to a new value of Which of the following is true of the capital requirement? Check all that apply. The higher the percentage of assets a bank holds as loans, the higher the capital requirement. a minimum leverage ratio for all banks. Its intended goal is to protect the interests of those who hold equity in the bank.
For all banks, 14.8 would be the required leverage ratio. Its main leverage ratio objective is to safeguard the rights of persons who own stock in the bank.
A leverage ratio is one of many financial metrics that examines the amount of capital that is borrowed (in the form of loans) and evaluates a company's capacity to pay its debts. Because businesses typically safeguard employ a combination of debt and equity to fund their operations, the leverage ratio category is crucial. Knowing how much debt a company leverage ratio has can help determine if it will be able to pay off its loans when they are due. The following section discusses a few typical leverage ratios.
In the example case, the owner borrowed $100 to bolster their current safeguard reserves. The owner would incur more debt because they had borrowed the money.
As a result, this would raise both the debt account and the loan account.
Leverage ratio is total assets / capital, or (175+700+875) / 125, or 1750 / 125, or 14
Total assets minus the increase in reserves divided by capital is the leverage ratio.
Total assets = 1750 + 100 = 1850
Leverage ratio = 1850/125 = 14.8
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Gabe Klein, CFA, an analyst for HB Investments, is responsible for the valuation model for an IPO. Without his knowledge, others at HBadjusted the inputs to the model to increase the estimated value of the shares, and the offering is oversubscribed. Complying with localsecurities laws, Klein purchases shares of the IPO for his personal account and allocates the remaining shares to client accounts on apro rata basis. With regard to the Standard on knowledge of the law, the analyst:a. did not violate the Standard. b. violated the Standard by purchasing the shares of the IPO but not by allowing the IPOvaluation to be published. c. violated the Standard by allowing the IPO valuation to be published and by purchasing theshares of the IPO
Violated the Standard by purchasing the shares of the IPO but not by allowing the IPO valuation to be published.
Who can purchase the shares in IPO?The investor who wants to purchase a share in an IPO must possess a PAN card issued by the nation's Income Tax department in order to meet the eligibility requirements. Additionally, one has to have an active Demat account. A Demat account serves the same purpose as a trading account, which is not necessary.Initial public offering, or IPO. In an initial public offering (IPO), a privately held company lists its shares on a stock exchange, making them available for public purchase. Many people view initial public offerings (IPOs) as significant financial opportunities because when well-known companies list on the market, their stock prices soar, garnering media attention.Learn more about initial public offering refer to :
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TRUE/FALSE. for purposes of computing the deduction for qualified residence interest, a qualified residence includes only the taxpayer's principal residence and one other residence.
For purposes of computing the deduction for qualified residence interest, a qualified residence includes only the taxpayer's principal residence and one other residence.[TRUE].
And reducing interest is one type of debt restructuring.
About Debt RestructuringCredit restructuring is an effort to improve credit activities for debtors who have the potential to experience difficulties in fulfilling their obligations. Credit restructuring policies implemented by the bank include:
Decrease in lending rates; Extension of credit period; Reduction of loan interest arrears; Reduction of credit principal arrears; Additional credit facilities; and/or Conversion of credit into Temporary Equity Participation.There are several requirements for submitting credit restructuring to banks, namely:
The debtor experiences difficulties in paying the principal and/or credit interest; and The debtor has good business prospects and is considered capable of meeting obligations after the credit is restructured.Learn more about debt restructuring at https://brainly.com/question/3715417.
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an international or global competitor may conclude that it is more advantageous to disperse activities across many locations than it is to concentrate them in a few locations in those situations where
activities relating towards buyers, like transportation (particularly spare parts delivery or supplying parts and components to a manufacturer on a just-in-time basis).
What is an example of a competitor?These companies compete in a same market by providing comparable (or identical) goods and services. They compete for the same clientele as well. Examples of immediate competitors that are well-known are Apple and Android, Pepsi and Cola is the biggest, and Netflix and Hulu.
Which four types of competitors are there?In a free market economy, there are four different types of competitiveness: perfect competition, monopolies, oligopoly, and monopoly. When there is monopolist, several vendors offer diversified goods—goods with minor differences but similar functions.
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A balance is a minimum balance that must be maintained by borrower in savings account to offset a portion of the cost that a bank faces when extending a loan to a business.
compensating
A balance is a minimum balance that must be maintained by borrower in savings account to offset a portion of the cost that a bank faces when extending a loan to a business will be compensating.
Savings account:
According to the the banking term, saving account means a deposit account opted for by many who wish to save a certain part of their earnings.
Given,
Here we need to find the a balance is a minimum balance that must be maintained by borrower in savings account to offset a portion of the cost that a bank faces when extending a loan to a business.
In order to find the minimum balance, we have to know the definition of borrower, here borrower is the person who can be a person or organization that borrows something, especially money from a bank.
Here the loan is extending then amount of loan is compensating with the business.
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Fontaine and Monroe are forming a partnership. Fontaine invests a building that has a market value of $336,000; the partnership assumes responsibility for a $118,000 note secured by a mortgage on the property
For the purposes of the partnership, the following amounts have been recorded: Badger, Capital $225,000; Fox, Capital $175,000
How a Partnership Works?A partnership is any endeavor in which numerous people collaborate. Parties can include governments, nonprofits, corporations, or private individuals. The goals of a partnership may also be very different. When speaking of a for-profit venture run by two or more people, the three main forms of partnerships are general partnerships, limited partnerships, and limited liability partnerships. In a general partnership, all partners share equal financial and legal responsibility. The partners are personally responsible for the debts the partnership accrues. Profits are distributed in the same proportions. The details of profit sharing will almost certainly be spelled out in writing in a partnership agreement.Therefore,
The correct option is c) Badger, Capital $225,000; Fox, Capital $175,000.
The complete question is:
Badger and Fox are forming a partnership. Badger invests a building that has a market value of $350,000; the partnership assumes responsibility for a $125,000 note secured by a mortgage on the property. Fox invests $100,000 in cash and equipment that has a market value of $75,000. For the partnership, the amounts recorded for Badger's Capital account and for Fox's Capital account are:
a. Badger, Capital $350,000; Fox, Capital $100,000.
b. Badger, Capital $350,000; Fox, Capital $175,000.
c. Badger, Capital $225,000; Fox, Capital $175,000.
d. Badger, Capital $225,000; Fox, Capital $100,000.
e. Badger, Capital $225,000; Fox, Capital $75,000.
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businesses that offer low-priced value propositions, a high degree of automation, and outsourcing of costly functions are typically described as:
businesses that offer low-priced value propositions, a high degree of automation, and outsourcing of costly functions are typically described as the benefits customers can expect from your product or service.
Your value proposition is the primary reason a prospective customer will use your product or service.
A fee proposition stands as a promise with the aid of using a agency to a client or marketplace segment. The proposition is an easy-to-recognize purpose because a client should purchase a services or products from that unique business.
In the maximum direct distribution route, the producer can promote their product to a middleman who then sells the product to a consumer. However, they will now and again contain multiple middleman withinside the distribution of a product.
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book value per share:multiple choicereflects the value per share if a company is liquidated at balance sheet amounts.is assets divided by equity.is assets divided by the number of common shares outstanding.measures the current market value assets.
Book value per share (BVPS) is the ratio of fairness handy to common shareholders divided by way of the variety of gorgeous shares.
This determine represents the minimum price of a company's fairness and measures the e book value of a company on a per-share basis.
What is the relation between e book cost and share price?As cited earlier, we be aware of that e book value equals a company's whole property minus its liabilities. To arrive at book-value-per share, divide the book fee by the number of shares outstanding, as proven in the system below. To calculate the P/B ratio, the market rate of the inventory is divided by means of the e book value per share.
The calculation of its e book fee per share is: (Shareholders' equity - preferred equity) ÷ average wide variety of frequent shares.
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