Answer:
answer is a
Explanation:
Cashflow of year 1 is $4,425.
What is cashflow in a business?It refers to net cash and cash equivalents a company has, i.e. all the cash inflow minus the cash outflow. Cash inflow means cash received and cash outflow means cash paid.
Given:
Sales revenues= $11,900
Operating costs=$6,000
Tax rate=25%
Cashflow of year 1= Sales revenues - Operating costs (1-tax rate)
=$11,900-$6,000 (1-0.25)
=$4,425
Therefore, the cashflow of year 1 is $4,425
Learn more about cashflow in a business here:
https://brainly.com/question/26389863
Which best describes an opportunity cost?
O accepting an opportunity to do something else when making an economic decision
O giving up an opportunity to do something else when making an economic decision
O accepting an opportunity to help accomplish something else when making an economic decision
O giving up an opportunity to increase prices when making an economic decision
Answer: B. Giving up an opportunity to do something else when making an economic decision
Explanation: An opportunity cost is the value of the next best alternative that is given up when making a decision. It represents the benefits that could have been gained from an alternative use of the same resources.
Therefore, B is the correct answer for this question <3
If you expect to get a substantial raise six months from now, and you are like most people, it will
If you expect to get a substantial raise six months from now, it will not affect your current consumption because you haven't received the money yet.------ False
What does substantive use mean?
Substantial use means that the creator of the intellectual property receives more than normal support for the project or is given time and/or resources dedicated to the project.
What are the Substantial changes?Common "significant changes in circumstances" include:Job loss or acquisition, sudden change in either party's finances, relocation of the party or a child, death, change in child's wishes, etc.
What is substantial force?Significant impact means that, based on current scientific data and knowledge, a species or native plant or animal community falls below a level at which it can sustain itself on a national or regional basis, or a species is threatened with extinction. endangered or endangered.
Learn more about substantial raise:
brainly.com/question/28504194
#SPJ1
Under Regulation Crowdfunding:
I The maximum investment amount is $100,000.
II The maximum investment amount is $500,000.
III The maximum offering amount is $1,000,000.
IV The maximum offering amount is $5,000,000.
A. I and III.
B. I and IV.
C. II and III.
D. II and IV.
Answer: A. . I and III.
Explanation:
In Regulation Crowdfunding, eligible companies are allowed to offer and sell their securities by using crowdfunding. This is done by placing all the transactions online.
Under Regulation Crowdfunding:
I The maximum investment amount is $100,000.
III The maximum offering amount is $1,000,000.
Ann bell borrowed $12,000 at a 7% interest rate for two years. After two years, what is the total repayment amount?
Answer:
The total amount for repayment is $13,738.8
Explanation:
Amount to be repaid after x years=Principle amount *(1+(interest/100))^x
Using this, interest=7; x=2;
Amount to be repaid comes out to be 12000*(1.07)^2
i.e. 13,738.8.
1. Some businesspeople believe that elimination agents and wholesalers reduce their operating expenses. Discuss the opportunity costs associated with eliminating intermediaries.
1. While eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.
Eliminating intermediaries such as elimination agents and wholesalers reduce operating expenses, but it also has associated opportunity costs that businesses need to consider. One of the primary costs is the loss of the expertise and value-added services that intermediaries offer to businesses and customers. Eliminating intermediaries may result in businesses taking on additional responsibilities and expenses such as marketing, distribution, and logistics.
This may result in the need for additional staff and resources to ensure that products reach customers on time. Furthermore, eliminating intermediaries may also result in reduced customer access to products, as intermediaries are often responsible for finding new markets and customer segments. In this case, businesses may need to invest additional resources to market and promote their products to reach new customers.
In conclusion, while eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.
For more such questions on opportunity costs
https://brainly.com/question/30191275
#SPJ8
To use an outline for writing a formal business document, what should you do
after entering your bottom-line statement?
O A. Write a topic sentence for every detail.
B. Enter each supporting detail from the outline on a separate line.
C. Enter each major point from the outline on a separate line.
OD. Move the bottom-line statement to the end of the document.
To use an outline for writing a formal business document, B. Enter each supporting detail from the outline on a separate line.
How to enter the bottom - line statement ?To create a well-constructed formal business document, the following step after composing your fundamental statement would be to denote each supportive data extracted from the outline onto separate lines.
This modus operandi will in turn aid you in sequencing your thought process resulting in producing an all-encompassing precisely formatted document. Upon completion of inserting your supportive information, commence making noted phrases in regards to each detail and systematically putting them into proper order.
Find out more on bottom - line statements at https://brainly.com/question/8630249
#SPJ1
According to the author, what kind of yelling boss is bad one?
According to the author, a bad yelling boss is one who yells for no reason or who yells in a way that is abusive or demeaning.
What does the author say?Yelling can be a form of bullying, and it can create a hostile work environment. It can also lead to decreased productivity, increased stress, and decreased morale.
Some signs of a bad yelling boss according to the author include:
They yell often, for no reason, or in a way that is abusive or demeaning.They make threats or use intimidation to get their way.They are quick to criticize and slow to praise.They create a hostile work environment where employees feel uncomfortable or unsafe.Find out more on bad bosses at https://brainly.com/question/32149509
#SPJ1
The source is from an excerpt on Toxic Working Environments.
cy
Irfan runs a small business. His business's total liabilities amount to $200.000. His net profit for the latest accounting period is $50.000. The total
value of all the business assets comes to $600.000. What is the debt to asset ratio in the case of Irfan's business?
The debt to assets ratio of Irfan's business to two decimal places, is ???
percent
Answer:
33.33%
Explanation:
The debt to assets ratio indicates the proposition of a company's assets that have been financed through debt.
the formula for determining this ratio is as follows
Debt to asset ratio = Total debts/total assets x 100
For Cy Ifran, total debts or liabilities =$200,000
total assets = $600,000
Debt to asset ratio =$200,000/ $600,000
=0.33 x 100
=33.33%
The owner of a bicycle repair shop forecasts revenues of $236,000 a year. Variable costs will be $69,000, and rental costs for the shop are $49,000 a year. Depreciation on the repair tools will be $29,000. Prepare an income statement for the shop based on thee estimates. The tax rate is 20%. Calculate the operating cash flow by using dollars in minus dollars out, adjusted accounting profits, after tax operating cash flow.
Answer:
A. $71,200
Bi)$100,200
Bii)$100,200
Biii)$100,200
Explanation:
A. Preparation of an income statement for the shop based on thee estimates
INCOME STATEMENT
Revenues $236,000
Expenses:
Variable costs $69,000
Rental cost $49,000
Depreciation $29,000
Total Expenses $147,000
Tax profit $89,000
($236,000-$147,000)
Less Income Tax (at 20%) $17,800
(20%*$89,000)
Net Income $71,200
($89,000-$17,800)
Therefore Net Income will be $71,200
bi) Calculation for the operating cash flow by using dollars in minus dollars out method
Using this formula
Operating cash flow=Revenue-Cash expenses-Taxes
Let plug in the formula
Operating cash flow=$236,000-($69,000+$49,000)-$17,800
Operating cash flow=$236,000-$118,000-$17,800
Operating cash flow=$100,200
Therefore the operating cash flow by using dollars in minus dollars out method will be $100,200
bii) Calculation of the operating cash flow by using adjusted accounting profits,
Adjusted accounting profit=$71,200+$29,000
Adjusted accounting profits=$100,200
Therefore the operating cash flow by using adjusted accounting profits will be $100,200
biii)Calculate the operating cash flow by using after tax operating cash flow
After tax operating cash flow=[$236,000-($69,000+$49,000)]*(1-0.20)+(0.20*$29,000)
After tax operating cash flow=($236,000-$118,000)*0.80+$5,800
After tax operating cash flow=($118,000*0.80)+$5,800
After tax operating cash flow=$94,400+$5,800
After tax operating cash flow=$100,200
Therefore the operating cash flow by using after tax operating cash flow will be $100,200
Pricing Stock Issues in an IPO Zang Industries has hired the investment banking firm of Eric, Schwartz, & Mann (ESM) to help it go public. Zang and ESM agree that Zang's current value of equity is $60 million. Zang currently has 3 million shares outstanding and will issue 1.6 million new shares. ESM charges a 9% spread. What is the correctly valued offer price? Do not round intermediate calculations. Round your answer to the nearest cent. $ How much cash will Zang raise net of the spread? Enter your answer in millions. For example, an answer of $1.234 million should be entered as 1.234, not 1,234,000. Do not round intermediate calculations. Round your answer to three decimal places. $ million
Answer:
A. $ l19.08
B. $27,780,480
Explanation:
A. Calculation for the correctly valued offer price
Using this formula
Correctly Valued Offer Price = Current Value of Equity/[(Number of new share issued*Spread)+ Number of Outstanding shares)
Let plug in the formula
Correctly Valued Offer Price= 60,000,000/[(1, 600,000*9%)+3,000,000]
Correctly Valued Offer Price=60,000,000/(144,000+3,000,000)
Correctly Valued Offer Price= 60,000,000/3,144,000
Correctly Valued Offer Price= $ 19.08
Therefore the correctly valued offer price will be
$ 19.08
B. Calculation for How much cash will Zang raise net of the spread
Using this formula
Cash Raised net of Spread = Valued offer price(1-spread)*No. of new share issued
Let plug in the formula
Cash Raised net of Spread = 19.08(1-0.09)*1,600,000
Cash Raised net of Spread =(19.08*091)*1,600,000
Cash Raised net of Spread =17.3628*1,600,000
Cash Raised net of Spread =$27,780,480
Therefore Cash Raised net of Spread will be $27,780,480
Suppose you own a bicycle but haven't found the time to ride it much lately. These days, it is only worth $25 to you. One of your close friends, who recently got a job at the college bookstore two miles down the road, wants to take it off your hands. He offers you $70 for the bicycle, and you gladly accept. Your friend is also happy because he thinks the bicycle is worth $94 . How much total value was created from this trade? $
The total value created from this trade can be calculated by subtracting the value of the bicycle to you from the value of the bicycle to your friend and adding it to the value of the bicycle to you.
The value of the bicycle to you is $25 and the value of the bicycle to your friend is $94.
Therefore, the total value created from this trade is: $94 - $25 + $70 = $139
So, the total value created from this trade is $139.
In an informative essay, describe the effects of globalization on air pollution in China's largest cities.
Answer:
sorry I can't do it in informal essay but here's a tip
Choking – and dying – on globalization
China's export-oriented industrial spasm, powered largely by burning coal, has bequeathed it notoriously lethal air pollution, so much so that, according to one study, it contributes to the deaths of 1.6 million people per year (4,400 per day), or 17% of all deaths in the country.
1. Ryan can show Delia homes listed with XYZ Realty and other brokers in the market if:
(a) None of the homes are owned by Agent Ryan
(b) Ryan discloses to Broker Bradley that he will show homes listed by XYZ Realty
(c) Delia gives verbal consent to see homes listed by XYZ Realty
(d) Delia has given written Intermediary consent
Ryan can show Delia homes listed with XYZ Realty and other brokers in the market if:
Delia has given written Intermediary consent Delia gives verbal consent to see homes listed by XYZ Realty None of the homes are owned by Agent RyanWhen can homes be shown in the marketDelia gives verbal consent to see homes listed by XYZ Realty: This condition highlights the significance of Delia's consent. If Delia explicitly gives verbal consent to Ryan, it signifies that she is comfortable with viewing homes listed by XYZ Realty. Delia's consent is crucial in allowing Ryan to proceed with showing homes from XYZ Realty.
(d) Delia has given written Intermediary consent: This condition specifically refers to written consent in the form of an intermediary agreement. In some cases, Delia may choose to engage Ryan as an intermediary, authorizing him to show homes listed by multiple brokers, including XYZ Realty.
Read mroe on Brokerage here:https://brainly.com/question/14330803
#SPJ1
You are an entrepreneur who has developed a new kind of electric beard trimmer that trims beards more closely and more quickly than other trimmers on the market. SuperShaver, Inc. is an experienced manufacturer of facial shaving products and learns about your new invention from a trade show. SuperShaver is interested in contracting for the intellectual property rights to your shaver. A representative of SuperShaver wants to offer you a percentage of the profits and is willing to agree to a deal right now with an oral agreement. Assuming the terms are reasonably fair, evaluate the positive and negative contractual implications of accepting SuperShaver's oral offer.
Answer:
Oral Contract with SuperShaver, Inc.
For the Intellectual Property contract with SuperShaver, Inc. to be legally enforceable in the court, it needs to be formally written down. But, before this time, I must have obtained a registered copyright to my intellectual property (IP). This will ensure that I only grant SuperShaver the right to use the IP for a specified period and not the right to further develop or modify it in any way.
There are many details, therefore, which an oral contract cannot capture. Even, where the oral contract terms seem fair to both parties, | will insist on a written down contract. The written agreement will also capture how the sales proceeds and associated costs will be monitored from which the profits sharing will be implemented.
Can the agreed percentage of the profits that I will be receiving. and the contract duration be captured by an oral agreement?
Explanation:
These days, oral contracts are not legally binding on the contracting parties unless it can be proved beyond reasonable doubt. They also lack the required evidence to substantiate any claims. To avoid regrets, it is always better to document agreements properly and legally.
what are 2 different types of budgets and discuss how they complement each other?
There are two main types of budgets: operational budgets and financial budgets.
Operational budgets are used to plan and monitor the day-to-day operations of a business, and typically cover a period of one year. These budgets include items such as revenue projections, production costs, and operating expenses. Operational budgets are crucial for ensuring that a business stays on track and meets its operational goals. Financial budgets, on the other hand, are focused on the long-term financial health of a business. They include items such as capital expenditures, financing costs, and cash flow projections. Financial budgets are used to help businesses plan for the future and make strategic decisions about investments and growth. These two types of budgets complement each other by providing a comprehensive view of a business's operations and financial health. Operational budgets help to ensure that day-to-day activities are aligned with the overall goals of the business, while financial budgets provide a roadmap for achieving long-term success. By using both types of budgets, businesses can make informed decisions about resource allocation, identify potential risks, and maintain a strong financial position over the long term.
for more questions on budgets
https://brainly.com/question/1619150
#SPJ11
Please choose one of following answers that are in quote
What is the opportunity cost in this scenario?
Harry has been very busy at work for the past two weeks. He has been working weekends too. Finally, he is going to get a weekend off. "Originally, he planned to paint his apartment that weekend." "He also considered going fishing for the weekend." "But then his parents called and asked him to come for dinner because it has been a while since they have seen each other."
"Later on, his friend Theo informed him about a surprise birthday party for another friend." Theo plans to reserve a room at a restaurant for the celebration, with the cost to reserve the room split between Theo, Harry, and three other friends.
Now Harry is confused about what he should do over the weekend. He decides that, for him, the most important commitments are going over to his parent's house and attending his friend's birthday party. In the end, Harry decides to see his parents.
Answer:
it would be better to go the his parents house so it would be cheaper, probably around $10
Explanation:
Ali enjoys her graphic design class, and her friends and teachers often tell her she has a good eye for detail. Which type of education and career would best fit Ali’s artistic talents?
O. completing an apprenticeship to become a carpenter
O. earning an associate’s degree to become a construction supervisor
O. completing physical training to become a construction laborer
O. earning a bachelor’s degree to become an interior designer
Answer:
D. earning a bachelor's degree to become an interior designer
Explanation:
Answer:
D
Explanation:
Just took the test
Here are incomplete financial statements for Cullumber Company. Calculate the missing amounts.
CULLUMBER COMPANY
Balance Sheet
Assets
Cash $ 14,000 Inventory 17,000 Buildings 38,000 Total assets $69,000 Liabilities and Stockholders' Equity Liabilities Accounts payable $ 5,600 Stockholders' Equity Common stock enter a dollar amount
(a) Retained earnings enter a dollar amount
(b) Total liabilities and stockholders' equity $69,000 CULLUMBER COMPANY Income Statement Revenues $85,400 Cost of goods sold enter a dollar amount
(c) Salaries and wages expense 10,270 Net income $enter a dollar amount
(d) CULLUMBER COMPANY Retained Earnings Statement Beginning retained earnings $19,000 Add: Net income enter a dollar amount
(e) Less: Dividends 4,770 Ending retained earnings $34,000
Answer:
(a) Common Stock = $29,400. (b) Retained earnings = $34,000, (c) Cost of goods sold = $55,360, (d) Net Income = $19,770, (e) Net Income =$19,770
Explanation:
Note: See organized question as attached below to aid understanding
Net income = Ending retained earnings + Dividends - Beginning retained earnings
Net income = $34,000 + $4,770 - $19,000
Net income = $19,770
Net income = Revenue - Cost of goods sold - Salaries and wages expense
$19,770 = $85,400 - Cost of goods sold - $10,270
Cost of goods sold = $85,400 - $19,770 - $10,270
Cost of goods sold = $55,360
Total liabilities and stockholders equity = Accounts payable + Common stock + Retained earnings
$69,000 = $5,600 + Common stock + $34,000
Common stock = $69,000 - $5,600 - $34,000
Common stock = $29,400
Missing amounts :
Common Stock = $29,400
Retained earnings = $34,000,
Cost of goods sold = $55,360
Net Income = $19,770
Net Income = $19,770
Net income
= Ending retained earnings + Dividends - Beginning retained earnings
= $34,000 + $4,770 - $19,000
= $19,770
Net income
= Revenue - Cost of goods sold - Salaries and wages expense
$19,770 = $85,400 - Cost of goods sold - $10,270
Cost of goods sold
= $85,400 - $19,770 - $10,270
= $55,360
Total liabilities and stockholders equity
= Accounts payable + Common stock + Retained earnings
$69,000 = $5,600 + Common stock + $34,000
= $69,000 - $5,600 - $34,000
= $29,400
Learn more about calculation of retained earnings here: https://brainly.com/question/5709809
Wendy is a large-scale project manager. She can break down a project into its component parts, create the project timelines, and ensure that milestones are met. Wendy is much more focused on end results than specific roles or the overall mission of the organization. This is an example of ______ leadership.relationship-orientedtask-orientedwork groupoptimalposition-oriented
Answer:
task- oriented
Explanation:
I think this is the right answer
Studying products for similarities or differences is known as ______ shopping.
-Marginal
-Comparison
-Emotional
-Research
It's a form of research to look at products from different websites, but comparison means when you are comparing two things.
My answer would be B. Comparison
Studying products for similarities or differences is known as Comparison shopping. Option B. This is further explained below.
What is Comparison shopping.?Generally, Comparison shopping is simply a typical technique in which buyers check the prices of various things from several stores before making a purchasing choice.
In conclusion, Comparison shopping is the process of examining things for similarities and differences.
Read more about Comparison shopping https://brainly.com/question/3610890
#SPJ2
From the case Ford Hybrid Car Case, by ARVIND RANGASWAMY
Develop forecasts of hybrid car penetration in the U.S. market from 2007 through 2016 for each scenario you develop, along with a justification and explanation for your forecasts. (In applying the Bass model, note that market penetration data for the three analog products mentioned in the case, namely, ABS, EFI, and Diesel cars, were all reckoned in terms of the percentage of the target market that adopted the product. Thus the maximum market potential can at most be equal to 100).
The forecasts of hybrid car penetration in the U.S. market from 2007 through 2016 for each scenario are Optimistic, Pessimistic and Realistic.
Scenario 1: Optimistic
In this scenario, I assume that the following factors will contribute to the growth of the hybrid car market:
Increasing awareness of the environmental benefits of hybrid carsGovernment incentives for purchasing hybrid carsContinued improvement in the performance and affordability of hybrid carsBased on these factors, I forecast that the market penetration of hybrid cars in the U.S. will reach 10% by 2016.
Scenario 2: Pessimistic
In this scenario, I assume that the following factors will hinder the growth of the hybrid car market:
High price of hybrid carsLack of charging infrastructureConsumer resistance to changeBased on these factors, I forecast that the market penetration of hybrid cars in the U.S. will reach only 5% by 2016.
Scenario 3: Realistic
In this scenario, I assume that the following factors will influence the growth of the hybrid car market:
A combination of the factors in the optimistic and pessimistic scenariosBased on these factors, I forecast that the market penetration of hybrid cars in the U.S. will reach 7% by 2016.
For such more question on Optimistic:
https://brainly.com/question/31875171
#SPJ8
True or false
Safety glasses are only required in glass plant
Answer: yes
Explanation:
Answer:
false
Explanation:
saftey glasses should be used everywhere
you exercise for 30 minutes twice each day what's approximate percentage of your day is been on exercise?
Answer:
30+30 =1 hour 1 hour out of 24 or 4.1%
Explanation:
What time horizon should you use for setting your vision?
1-2 years
3-5 years
2-4 years
5-10 years
3 - 5 years time horizon should you use for setting your vision among the following years.
Option B is correct.
What is management's time horizon?A definition of a time horizon might be: that swath of time into the future that a decision-maker considers when weighing the pros and cons of an action. Time is a significant variable in a lot of decision-making situations that the manager must explicitly consider in the analysis.
How is the time horizon calculated?On one end, write your current age; on the other hand, determine the age at which you hope to achieve your most distant investment objective: This is retirement for many people. The time horizon you have for that future goal is the years that pass between these two ages.
Learn more about time horizon:
brainly.com/question/7295900
#SPJ1
The transactions of Spade Company:
a. Kacy Spade, owner, invested $16,750 cash in the company in exchange for common stock.
b. The company purchased office supplies for $486 cash.
c. The company purchased $9,263 of office equipment on credit.
d. The company received $1,977 cash as fees for services provided to a customer.
e. The company paid $9,263 cash to settle the payable for the office equipment purchased in transaction c.
f. The company billed a customer $3,551 as fees for services provided.
g. The company paid $520 cash for the monthly rent.
h. The company collected $1,491 cash as partial payment for the account receivable created in transaction f.
g. The company paid a $800 cash dividend to the owner (sole shareholder).
Required:
Prepare the Trial Balance. Use May 31 as its report date.
Answer:
Please see attached trial balance as requested.
Explanation:
Please find attached solved trial balance for Spade Company as at May 31.
What should you do to streamline the purchasing process once the customer approves an estimate?
You should copy it to a purchase order.
I hope this helps!!!
Which are the four functions motor freight terminals usually serve?
Answer:
The main function of a terminal is to handle and transship freight or passengers since modes are physically separated. They have a nominal capacity which is related to the amount of land they occupy and their level of technological, labor and managerial intensity.
Explanation:
Modes are physically separated, a terminal's primary purpose is to handle and transship freight or passengers. They have a nominal capacity that depends on how much land they occupy and how intensely they employ technology, labor, and management.
What is terminals?Having facilities for handling passengers and freight at either end of a carrier line. A freight or passenger station that is strategically located or acts as a junction with other lines at any point.
Since modes are physically separated, the main purpose of a terminal is to handle and transship freight or passengers.
Thus, Modes are physically separated, a terminal's primary purpose is to handle
For more details about terminals, click here:
https://brainly.com/question/14105971
#SPJ2
8) The term "fair market value" refers to
A) what an asset could be sold for today.
B) what you paid when you purchased an asset.
C) what an asset will be worth at some point in the future.
D) how the price of an asset has changed since its original purchase.
The gross domestic product of the United States is defined as the market value of all final goods and services produced within the United States in a given period of time.
Based on this definition indicate which of the following transactions will be included in the GDP of the United States, in 2021
Included or excluded:
1. An accountant starts a clients 2021 tax return on April 14, 2020 to finishing it just before midnight on April 15, 2022
2. Lane motors, a Japanese automobile company, produces a self driving car at a plant in Arizona on December 9, 2021 a family buys the self driving car on December 24
3. Thickburger a US fast food company produces a double cheeseburger at one of its many locations throughout the Midwest on January 14, 2021 is sells a double cheeseburger to a customer that same day
4. Cleancutters, or US number company, produces what are the plant in Oregon on September 25, 2021. It says the word to buildt and partners, a developer, for use in the production of a new house. I will be built in the United States in 2021.
(Note: focus exclusively on whether production of the word increases GDP directly, and ignore the effect of production of the new house on GDP)
5. Gamewear, a US electronics company, produce a VR headset auto plant in South Korea on March 27 2021. Gamewear imports, the VR headset into the United States on May 18, 2021.
Indicating the transactions that will be included in the GDP of the United States, in 2021
1. Excluded
2. Included
3. Included
4. Included
5. Excluded
What are the transactions that will be included in the GDP?The transactions that involve the production of goods and services within the United States will be included in the GDP, while transactions that involve the production of goods and services outside the United States will be excluded.
Using this criteria:
The accountant's work on the tax return is a service and was performed over multiple years, so it would not be included in the 2021 GDP.The production of the self-driving car by the Japanese company in Arizona and its sale to the family would be included in the 2021 GDP, as the production of the car took place within the United States in 2021.The production and sale of the double cheeseburger by the US fast food company would be included in the 2021 GDP, as the production and sale of the burger took place within the United States in 2021.The production of the word by the US company and its sale to the developer for use in the construction of a new house would be included in the 2021 GDP, as the production of the word took place within the United States in 2021.The production of the VR headset by the US electronics company in South Korea and its import into the United States would be excluded from the 2021 GDP, as the production of the headset took place outside the United States.Learn more about GDP here:https://brainly.com/question/1383956
#SPJ1
researching investments online can be valuable because
Answer:
Researching investments online can be valuable because: If the information is trustworthy it can provide a recent status of the investment. Also, online research tools provide the ability to find a great number of diverse investments
Explanation:
Answer:
d) You can track stock value trends over time
Explanation: