The correct answer is d. Subscription Revenue.
Subscription revenue is credited at the end of the year to reflect subscriptions that have been earned. Adjusting entries for unearned subscription revenue are recorded by the Blizzard Company twice a year. When a magazine subscription is sold, the amount of money received is recognized as unearned subscription revenue, which is recorded as a liability. As time passes and magazines are delivered to the subscribers, the unearned revenue account is reduced, and the subscription revenue account is increased, reflecting the subscription revenue that has been earned throughout the year.
Therefore, at the end of the year, the subscription revenue account would be credited to adjust for the subscriptions that have been earned by the Blizzard Company.
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The 5 Cs in marketing refer to the reasons why a company should conduct market research.
o True
O False
The given statement is false. The five Cs in marketing do not refer to the reasons why a company should conduct market research.
The five Cs are Company, Customers, Competitors, Collaborators, and Context. Company refers to the internal factors of the company, Customers to the target market, Competitors to other companies in the market, Collaborators to external partners, and Context to broader external factors that may impact the company.
The five Cs framework provides a comprehensive approach to analyzing a company's internal and external environment, enabling a better understanding of the market and the business's position in it. This analysis can help companies make informed decisions and develop effective strategies for success in their respective industries.The five Cs do not directly relate to market research.
Therefore, the given statement is false. The five Cs in marketing do not refer to the reasons why a company should conduct market research.
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Suppose that the demand curve for chairs in Euroland is given by QD = 800,000 − 6,000P, and that the supply curve is given by QS = 14,500P - 225,000. The equilibrium price is €50. The government is thinking about imposing a tax of €10 on chairs. The price received by suppliers after the tax is
Answer:
€57.07
Explanation:
Given that:
The equilibrium price = € 50
Suppose that the government is imposing tax of €10 on chairs;
Then:
QS = 14500(P-10) - 225000
QS = 14500P- 145000 - 225000
QS = 14500P - 370000
Now, we have to equate QD with the new QS
By equating both together, we have:
800000 - 6000P = 14500P - 370000
Collect like terms
800000 + 370000 = 14500P + 6000P
1170000 = 20500P
Making P the subject of the formula;
P = 1170000/20500
P = € 57.07
This implies the price received by suppliers after the tax is €57.07.
the question is in the picture, please help!!
Answer: At a trial in a U.S. District Court, witnesses give testimony and a judge or jury decides who is guilty or not guilty — or who is liable or not liable. The appellate courts do not retry cases or hear new evidence. They do not hear witnesses testify.
Explanation:
the business structure in which organizations are fictitious legal entities whose formulation complies with specific state laws is known as a
A Corporation is a business structure in which organizations are legally-recognized fictitious entities that comply with state regulations.
A corporation is an independent legal entity separate from its owners, meaning it can own property, incur debts, and be sued in its own right. Corporations are typically owned by shareholders and managed by directors and officers who are elected by the shareholders.
The benefit of forming a corporation is that it provides the owners with limited liability protection from debts and obligations incurred by the corporation.
Additionally, shares of the corporation can be sold to raise capital and the corporation can exist indefinitely. The downside of forming a corporation is that a complex set of rules and regulations must be followed in order to maintain the corporate structure and this can be costly.
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The correct option is D. The business structure in which organizations are fictitious legal entities whose formulation complies with specific state laws is known as Corporation.
An organization is an agency—normally a collection of people or a business enterprise—legal by way of the country to act as an unmarried entity (a felony entity recognized by private and public law "born out of statute"; a prison character in felony context) and recognized as such in regulation for certain purposes.10 Early integrated entities were mounted by charter (i.e. through an ad hoc act granted by means of a monarch or surpassed through a parliament or legislature).
Maximum jurisdictions now allow the advent of the latest organizations thru registration. businesses are available in many different types however are usually divided by means of the regulation of the jurisdiction wherein they may be chartered based totally on aspects: by way of whether they are able to trouble stock, or through whether or not they are shaped to make a profit. relying on the wide variety of proprietors, a company can be labeled as a combination (the problem of this article) or sole (a legal entity including an unmarried incorporated workplace occupied by means of a single natural character).
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Complete Question:
The business structure in which organizations are fictitious legal entities whose formulation complies with specific state laws is known as a
a. Subchapter S corporation
b. limited partnership
c. sole proprietorship
d. C corporation
Last week Sarah Carver worked 4 overtime hours at time-and-a-half pay. Her
regular pay rate is $8.70 per hour. What was her overtime
pay for the week
Answer:
34.80
Explanation:
8.70 times 4 is 34.80
Answer:
69.60
Explanation:
8.70 x0.5 = 17.4
17.4 is time and a half rate
17.4 x 4 = 69.60
4 is the hours she worked.
What factor reflects the ‘cost of money’? The ‘cost of money’ is reflected in the
What is not a criterion when evaluating financial service providers?
A. financial service provider's history
B. benefits or lack thereof
C. past and current employees
D. emerging technologies
That which is not a criterion when evaluating financial service providers is this: C. past and current employees.
What are the criteria for evaluating financial service providers?To successfully evaluate the qualification of a financial service provider, the customer must be able to look at their present and past history. They should consider their ability to incorporate emerging technologies into their businesses.
It is not really the business of the consumer to dig out the past and current employees of the business. He should be interested in other relevant factors like the above.
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Wyalusing Industries has manufactured prefabricated houses for over 20 years. The houses are constructed in sections to be assembled on customers’ lots. Wyalusing expanded into the precut housing market when it acquired Fairmont Company, one of its suppliers. In this market, various types of lumber are precut into the appropriate lengths, banded into packages, and shipped to customers’ lots for assembly. Wyalusing designated the Fairmont Division as an investment center. Wyalusing uses return on investment (ROI) as a performance measure with investment defined as average productive assets. Management bonuses are based in part on ROI. All investments are expected to earn a minimum return of 16 percent before income taxes. Fairmont’s ROI has ranged from 29. 2 to 32. 4 percent since it was acquired. Fairmont had an investment opportunity in 20x1 that had an estimated ROI of 28 percent. Fairmont’s management decided against the investment because it believed the investment would decrease the division’s overall ROI. The 20x1 income statement for Fairmont Division follows. The division’s productive assets were $23,100,000 at the end of 20x1, a 5 percent increase over the balance at the beginning of the year.
Fairmont Division Income Statement For the Year Ended December 31, 20x1 (in thousands) Sales revenue 22,500 Cost of goods sold 13,900 Gross margin 8,600 Operating Expenses: Administrative 1,800 Selling 4,300 6,100 Income from operations before income taxes 2,500.
Required:
1. Calculate the following perofrmance measures for 20x1 for the Fairmont Division.
a. Return on Investment (ROI)
b. Residual Income
2. Would the management of Fairmont Division have been more likely to accept the investment opportunity it had in 20X1 if residual income were used as a performance measure instead of ROI? Explain your answer
1. The performance measures for 20x1 for the Fairmont Division are as follows:
a. Return on Investent (ROI) is 11.09%.
b. Residual Income is ($1,108,000).
What is a performance measure?A performance measure is a technique that measures outcomes or results, enabling management, lenders, and investors to gauge the effectiveness and efficiency of their investments.
A performance measure may be applied to the following resources:
Human resourcesEmployee timeFundingInvestments.Data and Calculations:Required minimum return = 16% before taxes
Ending productive assets = $23,100,000
Beginning productive assets = $22,000,000 ($23,100,000/1.05)
Average productive assets = $22,550,000 ($23,100,000 + $22,000,000)/2
Return on Investment = Income from operations before income taxes/Average productive assets x 100
= $2,500/$22,550 x 100
= 11.09%
Residual Income = Income before taxes - Cost of Capital or (Average productive assets x Minimum Required Returns)
= $2,500,000- ($22,550,000 x 16%)
= $2,500,000 - $3,608,000
= ($1,108,000)
Thus, while the Return on Investment (ROI) is 11.09%, the Residual Income is ($1,108,000).
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Land labor capital on strawberries
blau and rubi are partners who share profits and losses in the ratio of 6:4, respectively. on may 1 of the current year their respective capital accounts were as follows: blau $60,000 rubi $50,000on that date, lind was admitted as a partner with a one-third interest in capital and profits for an investment of $40,000. the new partnership began with total capital of $150,000. immediately after lind's admission, blau's capital should be
Lind's admission to the partnership, however, would result in a $30,000 increase in the partnership's total capital, with $10,000 of that amount being attributed to Lind.
According to the partnership agreement, Blau and Rubi share profits and losses in the ratio of 6:4, respectively. On May 1 of the current year, their respective capital accounts were as follows: Blau's capital was $60,000, and Rubi's capital was $50,000. Lind was admitted as a partner on that date with a one-third interest in capital and profits for an investment of $40,000. The new partnership began with total capital of $150,000.The calculation for Lind's share in the partnership's capital is:One-third of the total capital invested is$40,000 ÷ 1/3 = $120,000Lind's new capital balance is $120,000. Lind is now a partner with Blau and Rubi, with the new partnership capital totaling $150,000. Therefore, the total of Blau and Rubi's capital accounts, $60,000 + $50,000 = $110,000, is the balance of the partnership capital account at the start of the partnership. After Lind's admission, the remaining capital balance is $150,000 - $120,000 = $30,000.Since Lind now has one-third of the partnership's capital, he is entitled to one-third of the remaining capital balance, or:$30,000 ÷ 1/3 = $90,000Blau's capital balance is $60,000, which is greater than Lind's new capital balance of $40,000. As a result, Blau's capital balance would remain unchanged after Lind's admission.
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Which economic tool would most likely be used as part of an expansionary
monetary policy?
O A. Selling treasury securities
B. Raising the reserve requirement
C. Reducing the discount rate
D. Increasing interest on reserves
Answer:
C. Reducing the discount rate
Explanation:
Expansionary monetary policies are macroeconomic undertakings by the Federal Reserve that aim at stimulating economic growth in the economy. Expansionary policies result in an increased flow of money in the country, which increases the aggregate demand.
The discount rate is the rate at which the Federal Reserve (the Fed ) charges commercial banks for advancing them credit. Reducing the discount rate makes loans from the Fed more affordable. Commercial banks will opt to borrow from the Fed at lower rates and lend out to households and firms at a higher interest rate, thereby making profits. Reducing the discount rate increases the money available for banks to lend out. Households and businesses will borrow this money for development and investments, which ignites economic growth.
Answer:
reducing the discount rate
Explanation:
ap3x
Find Lindsay Remson's total deposit for two checks of $112.54 and
$453.24 and cash of 3 one-dollar bills, 4 five-dollar bills, 7 ten-dollar
bills, 15 quarters, 12 dimes, 34 nickels, and 64 pennies. Less $10.00
cash received.
Answer: 649.78
Explanation: addition
Prompt What is advertising?
Answer:
An advertisement (often shortened to advert or ad) is the promotion of a product, brand or service to a viewership in order to attract interest, engagement and sales. Advertisements come in many forms, from copy to interactive video, and have evolved to become a crucial feature of the app marketplace.
A stock just paid an annual dividend of $7.3. The dividend is expected to grow by 4% per year for the next 4 years. In 4 years, the P/E ratio is expected to be 24 and the payout ratio to be 60%.
The required rate of return is 8%.
What should be the current stock price?
(If it helps, the answer is not 315 or 342)
The current stock price should be $182.5.
To calculate the current stock price, we can use the dividend discount model (DDM). The DDM calculates the present value of all expected future dividends.
The formula for the DDM is:
Stock Price = Dividend / (Required Rate of Return - Dividend Growth Rate)
Given the information provided:
Dividend = $7.3 (annual dividend just paid)
Dividend Growth Rate = 4% per year
Required Rate of Return = 8%
Using these values in the formula:
Stock Price = $7.3 / (0.08 - 0.04)
Stock Price = $7.3 / 0.04
Stock Price = $182.5
Therefore, the current stock price should be $182.5.
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Which statement regarding the economic theory of mercantilism is FALSE? A. It presumed that the world’s wealth was finite. B. It increased competition among nations. C. It reduced the desire for nations to acquire and maintain colonies. D. It assumed that exporting goods was preferable to importing goods. E. Its principles spread throughout Europe in the sixteenth and seventeenth centuries.
The statement that is false regarding the economic theory of mercantilism, (Option C): It reduced the desire for nations to acquire and maintain colonies.
Mercantilism is an economic theory that became prominent in Europe during the 16th and 17th centuries. It is characterized by a belief that the world's wealth is finite and that a country's wealth can be measured by the amount of gold and silver it possesses. Mercantilists believe in the idea of protectionism, that is, limiting imports and maximizing exports to ensure a positive balance of trade.
The economic theory of mercantilism led to increased competition among nations, as each country sought to protect and expand its own interests. It also resulted in the colonization of other countries and the acquisition of their resources and markets. Therefore, the statement that mercantilism reduced the desire for nations to acquire and maintain colonies is false. In fact, mercantilism promoted colonialism as a means of gaining access to valuable resources and expanding markets for exports. The principles of mercantilism eventually gave way to the economic theories of Adam Smith and classical liberalism in the late 18th century.
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A person-to-person payment app could be used in each of the following scenarios EXCEPT:__________.
i. Tina pays her neighbor $200 for breaking his window with a softball.
ii. Mia pays Randy the delivery driver from Cheesy Pizza Co. for a pizza she orders for her Spanish study group.
iii. Ahmed's soccer coach pays the team's registration fee for a big tournament, and each player then owes him $35 for their share of the registration fee.
iv. Rafael writes the whole monthly rent check to the landlord, and his roommates Valerie and Carlos pay Rafael for their share of the monthly rent.
A person-to-person payment app could be used in each of the following scenarios EXCEPT:
i. Tina pays her neighbor $200 for breaking his window with a softball.
ii. Mia pays Randy the delivery driver from Cheesy Pizza Co. for a pizza she orders for her Spanish study group.
iii. Ahmed's soccer coach pays the team's registration fee for a big tournament, and each player then owes him $35 for their share of the registration fee.
iv. Rafael writes the whole monthly rent check to the landlord, and his roommates Valerie and Carlos pay Rafael for their share of the monthly rent. The correct answer is (i) Tina pays her neighbor $200 for breaking his window with a softball.
In this scenario, a person-to-person payment app may not be the most suitable option. This situation involves compensation for property damage, which typically falls under insurance claims, personal agreements, or legal settlements. A person-to-person payment app is more commonly used for everyday transactions, splitting bills, paying friends, or making purchases.
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he is sometimes impatient and short-tempered, but she gets results. based on this information, what team responsibilities would dawn find difficult to perform?
Dawn may find it difficult to perform team responsibilities that require a high level of patience and tolerance for differences in opinion.
For example, if Dawn were responsible for leading team meetings or facilitating group discussions, her impatience and short temper could create a negative atmosphere and discourage team members from speaking up or contributing their ideas. Additionally, if she were responsible for resolving conflicts or negotiating with team members or external stakeholders, her short temper could make it difficult to maintain a productive and respectful dialogue.
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one-year treasury bills currently earn 2.75 percent. you expect that one year from now, 1-year treasury bill rates will increase to 2.95 percent and that two years from now, 1-year treasury bill rates will increase to 3.45 percent. the liquidity premium on 2-year securities is 0.05 percent and on 3-year securities is 0.15 percent. if the liquidity premium theory is correct, what should the current rate be on 3-year treasury securities?
The current rate on 3-year treasury securities is 3.12 %. The correct answer is 3.12 %.
What is Treasury Bill?US Treasury Notes (T-bills) 1.3 Treasury bills, sometimes known as T-bills, are short-term debt instruments issued by the government that are money market instruments.
Using liquidity premium theory,
R3 = ((1 + R1) x (1 + 2R1) x (1 + 3R1))^(1/3) - 1
= ((1 + 2.75%) x (1 + 2.95%) x (1 + 3.45%))^(1/3) - 1
= 3.05%
One year treasury bill rate (, R₁) = 2.45%. And one year from now, 1-year treasury bill rates will increase to $114/5 2.951. i.e.,
E(21) = 2.95.1.
And
+E (3Y₁) = 3.45.1. The liquidity premium on 2-year securities.
12= = 0.05. 1.
The liquidity premium on 3-year securities +3=0.15.1.
From Liquidity premium theory
R₂ = [(1+R₁) (1+ EG₂r₁ ) + L2) (1+ E(38₁ ) + L3)]-1 3
1 R3 = [(1+2+45:1.) (1+ 2.95/.+0.651) (1+ 3-4-5-1. +0.15:1) 1/3 -
1 R3 = [(1.0275) (1.03) (1.036)] [(1.0275)(1·03) 13 -
1 R3 = 0.03116
183 = 3.12 %
Therefore, The current rate on 3-year is 3.12%
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Which of the following is NOT a basic statistic?
Mean
Area
Median
Mode
the answer is AREA (b) bcos all the other are general basic statists
Match the term with the correct description.
Free Market
Fixed Market
The government increased involvement in the economy.
The government scales back involvement in the economy.
A free market is one in which the economic system is solely supported by voluntary transaction and the principles of supply and demand, without the involvement of the government.
What other term would you use to describe voluntary?Deliberate, intentional, or willing are a few words that are frequently used as synonyms for voluntary. Voluntary means freedom or spontaneity in choice or action without any outside force, even if all of these words indicate "done and brought out of one's own will."
Why is it referred to as voluntary?When something is voluntary, it is being done of one's own free will or volition. Since all the muscles linked to the skeleton are voluntary muscles, voluntary muscles are also frequently referred to as skeletal muscles or striated muscles (because the muscle fibers make them look striated, or stripy).
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he just finalized an arrangement where he will operate one of his stores next to the floral department of a local grocery store. he will pay rent for the space and will be responsible for all aspects of his business. what is this type of arrangement called?
he just finalized an arrangement where he will operate one of his stores next to the floral department of a local grocery store. he will pay rent for the space and will be responsible for all aspects of his business. This type of arrangement is called a leased department.
commercial enterprise refers to an enterprising entity or agency that carries out professional activities. They may be business, commercial, or others. For-income enterprise entities do enterprise to earn an income, whilst non-earnings ones do it for a charitable mission. Many agencies are operated through a separate entity such as an employer or a partnership (both formed without or with limited liability). maximum prison jurisdictions permit people to arrange such an entity by submitting certain constitution files with the applicable Secretary of state or equivalent and complying with positive other ongoing duties.
The relationships and felony rights of shareholders, restrained companions, or members are ruled partly with the aid of the constitutional documents and partly by means of the law of the jurisdiction where the entity is prepared. If the business acquires debts, the lenders can pass after the owner's non-public possessions. A business shape does not allow for corporate tax quotes. The proprietor is personally taxed on all profits from the enterprise.
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What is the difference between entrepreneurship and wage employment?
The correct answer is entrepreneurship and wage employment represent two distinct types of work and careers.
Wage employment refers to the situation in which an individual works for someone else in exchange for a fixed salary or hourly wage. The employer provides the resources, direction, and control of the work, and the employee generally has limited decision-making power over their role and responsibilities. Entrepreneurship, on the other hand, refers to the creation and operation of a business by an individual or group of individuals. Entrepreneurs take on the risk and reward associated with starting and running a business, and they typically have greater control over their work and decision-making. Entrepreneurs must raise capital, identify a target market, develop and market products or services, and manage the day-to-day operations of the business. The key difference between entrepreneurship and wage employment is the level of risk and control involved. Wage employment offers stability and a consistent income, but limited decision-making power and upward mobility. Entrepreneurship offers more control and the potential for greater rewards, but also carries more risk and uncertainty. Both paths have their advantages and disadvantages, and the choice between them ultimately depends on an individual's goals, skills, and risk tolerance.
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How many milliliters are in 1 quart?
Which of the following is (are) true?
You must select all correct answers to get credit.
Question 2 options:
A)
NPV measures how much a particular project contributes to shareholder wealth
B)
A project requires an initial cash outflow of $1,000. Then it will produce three positive cash flows of $500.
Firm A has a WACC of 15%.
Firm B has a WACC of 25%.
This project is profitable for both firms.
C)
Independent projects with positive NPV should be accepted
D)
NPV method ignores time value of money
E)
NPV reflects the firm's cost of capital
NPV measures how much a particular project contributes to shareholder wealth and Independent projects with positive NPV should be accepted are the true statements.
What is NPV?
Net present value (NPV) is a technique that assesses the viability of an investment. It is the difference between the current value of cash inflows and the current value of cash outflows over time. When compared to the cost of investment, the net present value indicates whether the investment is profitable or not.
What is WACC?
The weighted average cost of capital (WACC) is a financial metric that assesses a company's cost of capital. It's a calculation that measures a company's expense of funding, considering both equity and debt. The WACC is often used to determine whether a company should pursue a particular project.
What is the cost of capital?
The cost of capital is the cost of raising funds to finance a company's operations. This is the required rate of return for investors to provide capital to the company. It also refers to the cost of debt and equity financing.
Below are the correct statements:
A) NPV measures how much a particular project contributes to shareholder wealth. (True)
C) Independent projects with positive NPV should be accepted. (True)
D) NPV method ignores time value of money. (False)
E) NPV reflects the firm's cost of capital. (True)
Hence, options A, C and E are the correct answers.
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When fire alarm sounds. Why should you evacuate children immediately even if you do not see flames?
Answer: because even if there is no fire there could be an explosion, fire and gasoline WILL make an explosion. So Basically it can start with fire but soon turn into an explosion. If it's a fire DRILL then it's for practice if that actually does happen.
1.5 Businesses must promote creative thinking in the workplace in order to address complex problems. Advise businesses on the following aspects of creative thinking.
1.5.1 The meaning of creative thinking. (2)
1.5.2 Ways to create an environment that promotes creative thinking in the workplace. (8)
1.5.3 Distinguish between problem solving and decision making. (8)
1.5.4 Discuss the application of brainstorming as a problem solving technique. (2)
Total: 50
Creative thinking is the process of generating new and innovative ideas, approaches, or solutions.
What is generating?Generating is the process of creating something, such as a document, a product, or an idea. It involves the use of resources, skills, and knowledge to create something new. Generating can be done in various ways, such as brainstorming, research, experimentation, and problem solving. Generating can be used to create new products, solve problems, develop ideas, and improve existing products and services.
It involves combining existing ideas in an innovative way and finding fresh and novel solutions to existing problems.
Encourage open communication and collaboration between team members.
Provide employees with the resources and time to explore their ideas.
Reward employees for their creative contributions.
Problem solving is the process of identifying problems and finding solutions to them, while decision making is the process of selecting the best solution to a problem.
Brainstorming is a problem solving technique in which a group of people come together to generate ideas and solutions to a problem.
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the revenue agent who audited mr. and mrs. wilke's 2020 form 1040 assessed a $40,200 deficiency and concluded that $13,900 of the deficiency resulted from mr. wilke's deliberate disregard of the tax rules concerning business entertainment expense. the remaining deficiency resulted from various errors caused by confusing instructions on the tax forms. compute the negligence penalty that the agent can impose.
In this case, since $13,900 of the deficiency was attributed to Mr. Wilke's deliberate disregard of the tax rules, the negligence penalty would be $2,780 (20% of $13,900). The negligence penalty that the revenue agent can impose is calculated as 20% of the portion of the deficiency resulting from negligence or intentional disregard of tax rules.
The negligence penalty that the agent can impose is calculated based on the portion of the deficiency attributable to negligence or intentional disregard of tax rules. In this case, the agent concluded that $13,900 of the deficiency resulted from Mr. Wilke's deliberate disregard of the tax rules concerning business entertainment expenses.
Negligence Penalty = 20% of the portion of deficiency resulting from negligence
In this case, the portion of the deficiency resulting from Mr. Wilke's deliberate disregard of the tax rules concerning business entertainment expense is $13,900.
Negligence Penalty = 20% * $13,900 = $2,780
Therefore, the negligence penalty that the agent can impose is $2,780
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how can you solve circle geometry in a simple way
Answer: by using the formula A=pi(3.14) R(radius) squared
Explanation:
Hope that helped
Yong teaches students with learning disabilities and physical disabilities.
Barb teaches computer programming to high school students.
Maya works in a private school teaching math to seventh-grade students.
Destiny works in a college teaching English to adult students.
Tanner helps an elementary school teacher and works under the guidance of that teacher.
ANSWERS: 1.Special Education 2. Career and technical education 3. Middle school 4. Post secondary teacher 5.teacher assistant
Answer: Special education teacher
Career and technical education teacher
Middle school teacher
Post secondary teacher
Teacher assistant
Explanation:
Answer:
1.Special education teacher
2.Career and technical education teacher
2.Middle school teacher
3.Post secondary teacher
4.Teacher assistant
Explanation:
Which of the following is essential for a firm to gain a sustained competitive advantage over its competitors?
Answer:
Down Below
Explanation:
The resources must be valuable, rare, imperfectly imitable, and non-substitutable.