the amount a company would have to pay to replace its merchandise is called the . multiple choice question. scrap value cost of good sold market value retail value

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Answer 1

The amount a company would have to pay to replace its merchandise is called the "market value" (option c).

Market value refers to the price that a company would have to pay in the current market to replace or acquire a particular asset, such as inventory or equipment.

In the context of merchandise, market value is the price that the company could sell the merchandise for in the current market. It is often used as a benchmark for valuing inventory, and is typically lower than the retail value or the cost of goods sold.

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how to fix "transaction declined based on your payment settings for the profile"?

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If you have received the message "transaction declined based on your payment settings for the profile," it means that there is an issue with your payment settings that is preventing your transaction from being processed.

To fix this issue, you can follow these steps:

Check your payment method: Make sure that the payment method you are using, such as your credit or debit card, is still valid and has sufficient funds.

Update your payment settings: If your payment method is valid, try updating your payment settings. You can do this by going to your account settings and selecting the option to update your payment information.

Contact customer support: If you are still having issues, contact customer support for the platform you are using to make the transaction. They may be able to provide further guidance or assist you in resolving the issue.

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The main advantage of the IPv6 format for IP addresses is that Multiple Choice it can be given a verbal name without using the Domain Name System (DNS). it is shorter and easier to remember than addresses in the IPv4 format. it can be temporarily assigned by your Internet Service Provider (ISP). it can accommodate many more addresses than the IPv4 format.

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The main advantage of the IPv6 format for IP addresses is that it can accommodate many more addresses than the IPv4 format.

What is the IP addresses?

A domain name is a user-friendly name that represents an IP address, which is a numerical label assigned to every device connected to a computer network that uses the Internet Protocol for communication.

IPv6 uses 128-bit addresses which allows for a much larger pool of available IP addresses compared to the 32-bit addresses used in IPv4.

Therefore, This is important as the number of devices connected to the internet continues to increase. IPv6 also includes other improvements over IPv4 such as better security and easier network administration.

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What is the premium added as a compensation for the risk that an investor will not get paid in full?

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The premium added as a compensation for the risk that an investor will not get paid in full is called a credit risk premium.

A credit risk premium is an additional return that investors require in order to compensate them for the risk that the issuer of a bond or other debt instrument will default on its payments. This premium reflects the likelihood of default, as well as the potential losses that investors could incur if they are not paid in full. The credit risk premium is typically higher for debt issued by companies or governments with a higher risk of default, as investors demand a higher return to compensate for the added risk. In contrast, debt issued by companies or governments with a lower risk of default will typically have a lower credit risk premium, as investors are willing to accept a lower return in exchange for the relative safety of their investment. The credit risk premium is one of several factors that determine the yield on a bond or other debt instrument. Other factors include the prevailing interest rate environment, the time to maturity of the bond, and the credit rating of the issuer. In summary, a credit risk premium is the additional return that investors require in order to compensate them for the risk that the issuer of a bond or other debt instrument will default on its payments. This premium reflects the likelihood of default and potential losses that investors could incur, and is typically higher for debt issued by higher-risk companies or governments.

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. the following data shows the weekly demand and supply of strawberries at the local grocery store. a. what is the equilibrium price per pound of strawberries? b. what is the equilibrium quantity of strawberries? c. at the price of $2.49 per pound, is there a shortage or a surplus of strawberries, and what is the amount of the shortage or surplus? a shortage of 50 lbs of strawberries d. at the price of $4.99 per pound, is there a shortage or a surplus of strawberries, and what is the amount of the shortage or surplus? surplus of 200 lbs of strawberries

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The answer is  at the price of $4.99 per pound, is there a shortage or a surplus of strawberries.

A surplus simple definition is what?

An item or resource that has more than is currently being used is said to have a surplus. A surplus can relate to a wide range of things, including money, goods, capital, and profits.

What does economic surplus mean?

The portion of a resource or item that is not being utilised is called a surplus. When there is unsold merchandise, for instance, there is an inventory surplus. When income exceeds expenses, there is a budget surplus. Consumer and producer surpluses are the two types of economic surplus.

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jackson has the choice to invest in city of mitchell bonds or sundial, incorporated corporate bonds that pay 10 percent interest. jackson is a single taxpayer who earns $55,000 annually. assume that the city of mitchell bonds and the sundial, incorporated bonds have similar risk. what interest rate would the city of mitchell have to pay in order to make jackson indifferent between investing in the city of mitchell and the sundial, incorporated bonds for 2021?

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The interest rate that  the city of mitchel would  have to pay in order to make jackson indifferent between investing in the city of mitchell and the sundial, incorporated bonds for 2021 is : 7,8%.

How to find the interest rate?

To make Jackson indifferent between investing in City of Mitchell bonds and Sundial, Incorporated bonds, we need to calculate the after-tax return on the Sundial bonds and compare it to the before-tax return on the City of Mitchell bonds.

To make Jackson indifferent between investing in City of Mitchell bonds and Sundial, Incorporated bonds, we need to calculate the after-tax return on the Sundial bonds and compare it to the before-tax return on the City of Mitchell bonds.

Jackson's taxable income is $55,000, which puts him in the 22% tax bracket for 2021. Therefore, his after-tax return on the Sundial bonds would be:

After-tax return = before-tax return × (1 - tax rate)

After-tax return = 0.10 × (1 - 0.22)

After-tax return = 0.078 or 7.8%

So, the City of Mitchell bonds would need to offer a before-tax return of at least 7.8% to make Jackson indifferent between the two investments.

Note: We assumed that Jackson has no state or local income taxes, as these can vary by jurisdiction.

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What effect does the repurchase of stock have on the statement of cash flows? (Check all that apply.)
A. Decreases the Net cash used by financing activities
B. Decreases the Net change in cash and equivalents C. All of the above

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The correct option is A, Decrease the net cash used by financing activities.When a company repurchases its stock, it uses cash to buy back its own shares from the request.

This sale is considered a backing conditioning because it involves the company's own equity. As a result, the quantum of cash used in this sale is reported as a drop in the net cash used by financing conditioning in the statement of cash overflows.Retrieving stock doesn't directly affect the company's operating or investing conditioning.

So it doesn't impact the net change in cash and equivalents, which is reported independently in the statement of cash overflows. thus the repurchase of stock reduces equity.

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The essence of a contract is that it is a legally enforceable promise or set of promises.True or False

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True. A contract is an agreement between two or more parties that creates legally binding obligations. In other words, a contract is a legally enforceable promise or set of promises.

There are several elements that must be present for a contract to be enforceable. These include: Offer: An offer is a proposal to enter into a contract, made by one party to another. It must be specific and definite. Acceptance: Acceptance is the agreement by the other party to the terms of the offer. It must be unqualified and unequivocal.

Consideration: Consideration is something of value that is exchanged between the parties, such as money, goods, or services. Intention to create legal relations: The parties to the contract must intend to create a legally binding agreement. Consent: The parties must enter into the contract freely and voluntarily, without coercion or fraud.

In conclusion, a contract is a legally binding agreement that is enforceable in a court of law. It involves an offer, acceptance, consideration, intention to create legal relations, capacity to contract, and consent.

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Which one of the following correctly defines the retention ratio?
a. net income minus additions to retained earinings
b. addition to retained earnings divided by dividends paid
c. addition to retained earnings divided by net income
d. net income minus cash dividends
e. one plus the dividend payout ratio

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In the above question, The correct definition of the retention ratio is (b) addition to retained earnings divided by dividends paid.

The retention ratio is a financial metric measuring the percentage of earnings a company retains after paying dividends to its shareholders. The formula for the retention ratio is the addition to retained earnings divided by dividends paid.

Option (a) net income minus additions to retained earnings, is incorrect as it does not take into account dividends paid to shareholders.

Option (c) addition to retained earnings divided by net income, is incorrect as it does not consider the dividends paid to shareholders, which is an important part of calculating the retention ratio.

Option (d) net income minus cash dividends, is incorrect as it does not take into account the portion of earnings that the company chooses to retain.

Option (e) one plus the dividend payout ratio, is incorrect as it does not account for the earnings retained by the company.

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A credit report compiles an individual's credit history from the past ______ years.

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Answer :        

              In the United States, a credit report typically compiles an individual's credit history from the past 7-10 years.

This includes information about the individual's credit accounts, such as credit cards, loans, and mortgages, as well as their payment history, outstanding balances, and credit utilization.

Other information that may be included in a credit report includes bankruptcies, foreclosures, and other negative information that may affect a person's creditworthiness.

The information in a credit report is used by lenders, landlords, and other entities to evaluate an individual's creditworthiness and financial history.

A credit report complies an individuals credit history from the past 7-10 years. Typically how it’s done in the United States

"According to the rule of 72, how long would it take to double your money if you earned a compound interest rate of 5%?
a. 9 years
b. 12 years
c. 14 years
d. 15 years"

Answers

The rule of 72 is a quick and easy method to estimate how long it will take to double your money at a given interest rate, which is 14 years.

To use the rule of 72, you divide 72 by the interest rate.

In this case, if you earned a compound interest rate of 5%, the calculation would be:

72 / 5 = 14.4

Therefore, it would take approximately 14.4 years to double your money at a compound interest rate of 5%.

However, since the rule of 72 is an approximation, the actual time it takes to double your money will depend on various factors such as the compounding frequency and any additional fees or charges.

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What impact does the imposition of a tariff normally have on a nation's terms of trade and volume of trade?

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The imposition of a tariff normally has a negative impact on a nation's terms of trade and volume of trade.

A tariff is a  duty assessed on goods and services that are imported into the country. This  duty increases the cost of the goods and services, which makes them less. trade seductive to consumers. The increased cost of  significances can reduce the demand for goods and services from foreign countries, leading to a  drop in .

the number of goods and services imported. This  drop in the volume of  significances can reduce the terms of trade, as the nation will be  entering  lower goods and services for their exports. also, the increased cost of  significances can lead consumers to seek out cheaper  druthers, performing in a  drop in the total volume of trade.

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what should occur when more than one discount is given on a sale?

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Discounts are provided to entice clients. Nonetheless, retailers frequently provide a number of discounts to move their inventory.

The marking or selling price is used to compute these sequential equivalent discounts. We all know that discounts are reductions in the item's price. It is consistently determined using the marked price. Customers may receive multiple discounts that are similarly identical or follow one another. If an item receives repeated discounts of D1, D2, and D3, the selling price of that item is determined by, The formula for calculating SP is SP = (1 - d1/100) x (1 - d2/100) x (1 - d3/100) x MP, where MP stands for marked price.

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china has been accused of prohibiting u.s. companies that offer cloud computing from offering their services in china. which argument best explains this? multiple choice china would like to develop a superior technology to cloud computing. chinese firms in the cloud computing industry are more competitive than u.s. companies. china wants to protect its firms from their more competitive u.s. rivals. china is hoping to limit the use of cloud computing in china. chinese firms in cloud computing offer more services than american firms.

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The answer is China wants to protect its firms from U.S. rivals, This argument  best explains of Why China has been accused of prohibiting U.S. companies that offer cloud computing from offering their services in China.

What is a succinct definition of a company?

A company is a type of business organization that exists independently of its owners in law. It is a sophisticated organizational structure with higher setup and administrative costs because to increased reporting requirements.

What separates a firm from a business?

A "company" is another term for a firm. It is a blanket phrase that covers all different types of commercial enterprises. Having said that, enterprises comprise essential elements that, in contrast to firms, aren't thought of as separate legal entities. For instance, a sole proprietorship is not a separate legal entity.

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The answer is China wants to protect its firms from U.S. rivals, This argument  best explains of Why China has been accused of prohibiting U.S. companies that offer cloud computing from offering their services in China.

What is a succinct definition of a company?

A company is a type of business organization that exists independently of its owners in law. It is a sophisticated organizational structure with higher setup and administrative costs because to increased reporting requirements.

What separates a firm from a business?

A "company" is another term for a firm. It is a blanket phrase that covers all different types of commercial enterprises. Having said that, enterprises comprise essential elements that, in contrast to firms, aren't thought of as separate legal entities. For instance, a sole proprietorship is not a separate legal entity.

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What other factors should Johnson and Gomez, Inc., consider before a final decision is made? (You may select more than one answer. Single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. Any boxes left with a question mark will be automatically graded as incorrect.) ? Possibility of merger of the firm with a bigger player Growth potential of the Basic and Enhanced models Competitive products in the marketplace Aesthetic differences between the two products Break-even points Data validity Previous years' sales trends Production feasibilityEffects, if any, on existing product sales

Answers

Before making a decision, Johnson and Gomez, Inc. should take into account each of these aspects.

How can it be explained in detail?

✓ Possibility of merger of the firm with a bigger player

✓ Growth potential of the Basic and Enhanced models

✓ Competitive products in the marketplace

✓ Aesthetic differences between the two products

✓ Break-even points

✓ Data validity

✓ Previous years' sales trends

✓ Production feasibility

✓ Effects, if any, on existing product sales

The decision-making process may be affected by the potential for a merger with a larger player, the market's competition, and the growth potential of the Basic and Enhanced models. The break-even points, data validity, past sales trends, and the feasibility of production, as well as the aesthetic differences between the two products, could also be taken into account. Before making a final choice, the company should also take into account any potential impacts on the sales of its current products.

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____ is a statement describing which markets or businesses the organization will compete in is describing the of the organization’s strategy.

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Business organization, an entity created with the intention of conducting business.

A system of law governing contract and trade, property rights, and incorporation is the foundation of such an organization.

Typically, businesses are organized as one of three types: sole proprietorships, partnerships, or limited liability companies (or corporations). In the first type, a single person owns the entire business as his personal property and typically oversees daily operations. Certain kinds of enterprises predominate. Large law and accounting firms, brokerage houses, and advertising agencies are examples of the second kind, the partnership, which can have two to fifty or more members. The owners of this type of company are the partners.

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to which system inhibitor does the following customer complaint relate

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Waste, unpredictability, and rigidity are the three system inhibitors. The inability of an operation to swiftly and inexpensively alter in reaction to new knowledge is known as inflexibility.

Although it may seem easy to adopt, most organizations have poorly designed processes, which frustrates both customers and employees. In addition to the poor use of resources that results in idle or burned-out workers, the working environment either makes resource management more difficult or impossible. To dramatically improve process, resource allocation, and layout, the following three performance inhibitors must be addressed: Waste Stiffness (also called inflexibility), Variability.

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What are the 5 parts of a check?

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The five parts of a cheque are date, Payee, Amount, Signature and Memo line.

Date, The date when the cheque is being written. It is important to write the correct date, as it determines when the funds can be withdrawn from the account.

Payee, The person or organization to whom the cheque is payable. This should be the name of the person or organization that you want to pay.

Amount, The amount of money to be paid to the payee, in both numerical and written form. The written amount is the legal amount of the cheque, and should match the numerical amount.

Signature, The signature of the account holder or authorized signatory, which authorizes the bank to withdraw the funds from the account and pay the payee.

Memo line, A line provided on the cheque where the account holder can write a note or description about the purpose of the cheque or the transaction. This is an optional part of the cheque, but can be useful for record-keeping purposes.

Correct Question :

What are the 5 parts of a cheque?

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The allowance method is required by GAAP for financial reporting purposes. True/False

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The allowance method is required by GAAP for financial reporting purposes are True.

What is the financial reporting?

Financial reporting is the process of compiling and presenting financial information to stakeholders such as investors, creditors, and management. This information is used to assess the current and future performance of a company. Financial reports are typically prepared in accordance with generally accepted accounting principles (GAAP). Financial reports usually include the balance sheet, income statement, cash flow statement, and statement of changes in equity. These statements provide detailed information about a company’s financial position, performance, and cash flow. Financial reporting also includes the disclosure of information about management’s objectives, plans, and strategies.

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what is the likely advantage of extending credit to customers?

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Answer:

Increases sales: When customers have a longer period of time to pay you back, customers tend to purchase more goods and services from you. More buying power for your customers translates to increased profits for your business.

What best describes what stream-aligned teams do?
- Analyze value streams and transform them using lean-agile principles
- Build and deliver customer value with minimal dependencies on other teams
- Promote better flow of communications between leadership, trains and teams
- Use process-mapping to identify and eliminate process bottlenecks.

Answers

stream-aligned teams do Build and deliver customer value with minimal dependencies on other teams.

Agile and lean techniques, which seek to maximise the flow of value to the customer, use the notion of stream-aligned teams. They are cross-functional teams in charge of supplying a certain set of features or elements for the good or service being created. These groups have the authority to decide and the knowledge and tools required to carry out their tasks independently of other groups or departments.

Lean-agile principles are used by stream-aligned teams to assess and improve the value stream and get rid of any waste or inefficiencies. To make sure they are providing value that matches the requirements and expectations of the consumer, they collaborate closely with other teams, stakeholders, and clients. They also employ agile methodologies to continually enhance their operations and client value delivery.

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what is money multiplier formula

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The money multiplier is a formula used to determine the maximum amount of new money that can be created through the fractional reserve banking system.

It is calculated using the following formula:

Money Multiplier = 1 / Reserve Requirement

In this formula, the reserve requirement is the percentage of deposits that banks are required to hold in reserve, as determined by the central bank. For example, if the reserve requirement is 10%, the money multiplier would be 1/0.10, or 10. This means that for every $1 held in reserve, the bank can create up to $10 in new loans, which in turn can be deposited into the banking system and used to create even more new loans.

It is important to note that the money multiplier is a theoretical concept and does not always accurately reflect the actual amount of new money that is created in the economy. This is because banks do not always loan out their entire excess reserves, and other factors such as consumer behavior and government policies can also impact the amount of new money that is created. Nonetheless, the money multiplier formula remains an important tool for understanding how the fractional reserve banking system works and how it can impact the money supply.

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according to the rule of 72, how long would it take to double your money if you earned a compound interest rate of 1%?

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According to the Rule of 72, the number of years it would take to double your money is approximately equal to 72 divided by the annual compound interest rate.

So, if you earned a compound interest rate of 1%, it would take approximately 72/1 = 72 years to double your money.

Therefore, the answer is 72 years.

The Rule of 72 is a quick and easy way to estimate the amount of time it will take for an investment to double in value based on its interest rate.

To use the Rule of 72, divide the number 72 by the annual compound interest rate. The result is the approximate number of years it will take for your investment to double in value, assuming the interest rate remains constant over time. For example, if the annual compound interest rate is 6%, it will take approximately 12 years (72 divided by 6) for your investment to double in value.

The Rule of 72 is useful for quickly comparing investment options with different interest rates. It can also help investors set realistic expectations for the growth of their investments over time. However, it's important to keep in mind that the Rule of 72 is only an estimate and that actual investment returns may vary significantly based on factors such as market conditions and inflation.

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What are the most important incentives that companies can offer employees for their contributions to the company? (select all that apply)
a. benefits
b. interesting work
c. annual reviews
d. pay

Answers

Benefits and Pay are two of the most important incentives that companies can offer employees for their contributions to the company. Here option A and D are the correct answer.

Benefits, such as health insurance, retirement plans, and paid time off, are important considerations for employees. These benefits can help employees feel secure and valued, which can lead to increased productivity and job satisfaction.

Pay is another important incentive that companies can offer. Employees want to feel fairly compensated for their work, and competitive pay can help attract and retain top talent. In addition, performance-based pay such as bonuses or stock options can motivate employees to work harder and achieve better results.

While interesting work and annual reviews can be important factors in employee satisfaction and motivation, they are not as directly tied to incentives as benefits and pay. Interesting work can help employees feel engaged and fulfilled, while regular reviews can provide important feedback and opportunities for growth, but they are not typically considered incentives in the same way as benefits and pay.

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what are advantages of running the simulation versus an actual experiment?

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Running a simulation instead of an actual experiment can have several advantages, including Cost-effectiveness, Time efficiency, Control over variables, and the ability to test hypothetical scenarios

Cost-effectiveness: Simulations can be less expensive than conducting actual experiments because they do not require materials, equipment, or resources. This can be particularly useful when the cost of conducting an actual experiment is prohibitively high.

Time efficiency: Simulations can be run quickly, often in a matter of hours or days, whereas actual experiments may take weeks or even months to complete. This can be useful when time is a critical factor.

Control over variables: Simulations allow researchers to control and manipulate variables with precision and accuracy. This is not always possible in an actual experiment, where external factors may affect the results.

Ability to test hypothetical scenarios: Simulations allow researchers to test hypothetical scenarios that are not possible or ethical to test in the real world. This can be particularly useful in fields such as medicine and engineering.

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Which type of commercial formula requires dilution with equal parts water?oReady-to-feedReady-to-feed formula does not require dilution; it comes premixed and is ready to use.CorrectoConcentrateConcentrate formula requires dilution with equal parts of formulaand water.oPowderPowder formula requires mixing of 2 oz of water with every scoop of formula

Answers

The correct option is B, commercial formula requires dilution with equal parts water is type of Concentrate. Concentrate formula requires dilution with equal parts of formula and water.

A commercial formula is a specific recipe or formula used to produce a commercial product. It is a set of instructions that includes the exact proportions of each ingredient needed to make a product consistently, efficiently, and cost-effectively. These formulas are typically created for products that will be mass-produced, such as food items, cleaning products, and personal care items.

The ingredients used in commercial formulas are carefully chosen to ensure the final product meets specific standards for quality, consistency, and shelf life. The formula may also include details on the manufacturing process, including equipment specifications and temperature requirements. The goal of a commercial formula is to produce a product that meets all regulatory requirements while maximizing efficiency and minimizing costs.

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Complete Question: -

Which type of commercial formula requires dilution with equal parts water?

A. Ready-to-feed. Ready-to-feed formula does not require dilution; it comes premixed and is ready to use.

B. Concentrate. Concentrate formula requires dilution with equal parts of formula and water.

C. Powder. Powder formula requires mixing of 2 oz of water with every scoop of formula.

D. Hydrolysate formula. Hydrolysate formula is a category of infant formula that may be available as ready-to-feed, concentrate, or powder. Preparation ofthis formula should follow the instructions on the container.

according to an economist, an inverse relationship exists when

Answers

The correct option is D, According to an economist, an inverse relationship exists when one variable increases while the other decreases and the line is down sloping.

Inverse relationship is a mathematical concept that describes the relationship between two variables that are inversely proportional to each other. In other words, the variables move in opposite directions. For instance, let's consider the relationship between speed and time taken to travel a certain distance. If we increase the speed of a vehicle, the time taken to cover the same distance decreases. This is because the speed and time are inversely related.

Inverse relationships are commonly observed in scientific research, financial analysis, and engineering. These relationships are described mathematically using formulas and graphs, which help in predicting the behavior of the variables. The knowledge of inverse relationships is crucial in making decisions and solving problems in various fields, including physics, chemistry, and economics.

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Complete Question: -

According to an economist, an inverse relationship exists when

a. both variables decrease at the same time and the line is down sloping.

b. both variables increase at the same time and the line is up sloping.

c. both variables decrease at the same time and the line is up sloping.

d. one variable increases while the other decreases and the line is down sloping.

e. both variables increase at the same time and the line is down sloping.

What is not a characteristic of a shareholder?
a) Expects to receive dividends
b) Expects to receive a capital gain on their investment
c) Expects to receive interest
d) Expects to have rights as defined in the corporation's charter and bylaws.

Answers

c) Expects to receive interest is not a characteristic of a shareholder

A shareholder is any person who owns at least one share of stock in a particular enterprise They hold the particular stock of an enterprise that has been issued, making them proprietors of it. Also, the shareholder benefits as the business grow or turn a profit because the two are interrelated.

Nevertheless, as interest is paid on debt, such as bonds or loans, rather than on equity ownership, earning interest payments is not a trait of a shareholder. They so often expect that their investment will gain value over time through the receipt of dividends or an increase in the enterprise's stock price rather than receiving the total interest payments.

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when it comes to diversity, it is important that managers ________.

Answers

When it comes to diversity, it is important that managers: Embrace diversity: Managers should value and appreciate differences in their team members, including differences in race, ethnicity, gender, age, culture, religion, sexual orientation, and other characteristics.

Foster inclusion: Managers should create a work environment where all team members feel included, heard, and respected. This includes actively listening to diverse perspectives, involving everyone in decision-making, and addressing any biases or discrimination that may arise.

Educate themselves: Managers should seek to understand the unique experiences and perspectives of their team members and work to educate themselves about different cultures, customs, and backgrounds. This can help them to better support and lead a diverse team.

Prioritize equity: Managers should prioritize equity in their decision-making, ensuring that everyone has equal opportunities to grow, develop, and succeed in the organization.

Create diverse teams: Managers should strive to create diverse teams, both in terms of demographics and skill sets. This can help to foster innovation and creativity, and lead to better outcomes for the organization.

Measure progress: Managers should track and measure progress on diversity and inclusion initiatives to ensure that they are making meaningful progress towards their goals. This can help to identify areas where additional support may be needed and ensure that efforts to promote diversity and inclusion are effective.

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cutting costs and boosting productivity are strategies for achieving sustained competitive advantage. true or false.

Answers

False. Cutting costs and boosting productivity are strategies for achieving competitive advantage is incorrect.

Competitive advantage may result from user experience, which is a better, cheaper, or more enjoyable product, or other tangible or intangible assets such as intellectual property or customer service representatives.

A company's competitiveness differs from that of a successful company, but its sources differ by industry and company.

Common examples of competitive advantage include:

group

Special access to technology or production techniques

One-of-a-kind items only available to you (protected by intellectual property rights or patents, etc.)

Ability to produce and sell for less money (called cost leadership)

notoriety and reputation

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Complete question:

True or false: Cutting costs and boosting productivity are strategies for achieving competitive advantage.

Place the operating cycle for a merchandiser in the correct order. Definition: 1. Credit sales 2. Receipt of cash from credit sales Cash purchase of merchandise 4. Accounts receivable 5. Inventory for sale. Term?

Answers

The proper sequence of a merchandiser's operational cycle. A cash purchase of goods, B available inventory, C credit sales, D accounts receivable, and E cash received from credit sales.

Please provide the merchandiser's operating cycle in the proper sequence.

A merchandising company's usual operational cycle begins with cash on hand, followed by inventory purchases, product sales to customers, and customer payment collection.

What phases make up a merchandiser with credit sales' operating cycle?

Definition of the operating cycle in Step 1.

Step 2 is to make a purchase.

Step 3: Get the goods ready for selling.

Make credit sales to customers in step four.

Step 5: Track and maintain your accounts receivable.

Get money from clients on account in step six.

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