if the percentage change in the quantity demanded of a good equals the percentage change in price, price elasticity of demand is: a. elastic. b. inelastic. c. perfectly elastic. d. unitary elastic.

Answers

Answer 1

If the percentage change in the quantity demanded of a good equals the percentage change in price, price elasticity of demand is The answer is d. unitary elastic.

Price elasticity of demand (PED) is a measure of the responsiveness of quantity demanded of a good to changes in its price. It is calculated by dividing the percentage change in quantity demanded by the percentage change in price.

If the percentage change in quantity demanded of a good equals the percentage change in price, it means that the PED is equal to 1. This indicates that the demand for the good is unitary elastic. In this case, a change in price leads to an equal percentage change in quantity demanded, so the total revenue (price times quantity) remains the same.

If the percentage change in quantity demanded is greater than the percentage change in price, the demand is considered elastic, indicating that consumers are highly responsive to changes in price.

If the percentage change in quantity demanded is less than the percentage change in price, the demand is considered inelastic, indicating that consumers are not very responsive to changes in price.

Perfectly elastic demand occurs when a small change in price leads to an infinite change in quantity demanded, while perfectly inelastic demand occurs when a change in price has no effect on the quantity demanded.

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Related Questions

A child-tax credit (deduction) would
show up on which form?
A. 1040
B. 1099
C. 19

Answers

Answer:

see the answer

Explanation:

I think It is A

janelle is 17 and works extremely hard for the summer before she starts college. she earns income of $3,000 as a landscaper and $4,000 working at the local grocery store. will she be required to file a tax return?

Answers

Janelle's gross income of $7,000 would exceed the minimum amount required to file a tax return, so she would be required to file a return.

In the United States, Janelle may be required to file a tax return based on her income. In the United States, individuals are required to file a tax return if their gross income exceeds a certain amount based on their filing status and age.

For the year 2022, if Janelle is single and under 65 years of age, she would be required to file a tax return if her gross income exceeds $12,550. In this case,

It's important to note that even if an individual is not required to file a tax return, they may still choose to do so in order to receive a refund of any taxes that were withheld from their income throughout the year. Additionally, there may be other financial benefits to filing a tax return, such as being eligible for tax credits or deductions that can reduce the overall amount of taxes owed.

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While creating its afi strategy framework, gordon's consultants decided what markets the firm should compete in. by doing this, what type of strategy did the company devise

Answers

By deciding what markets should the firm compete in, the Gordon's Consultants devised corporate strategy.

What is a corporate strategy?

A strategy, which is a part of functioning of a business organization and involves highly efficient decision-making for the purpose of achieving its organizational goals, is known as a corporate strategy.

Hence, the significance of corporate strategy is aforementioned.

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Many organizations will apply for temporary permits that allow which of the following activities?
Sell alcohol to members in a private club.
Promote and enhance the sale of an alcoholic beverage on behalf of a brewer or winery.
. Offer in-store wine and beer samples.
• •
Sell alcohol at locations where beverages are not usually sold for on-premise consumption.

Answers

The correct answer is "Sell alcohol at locations where beverages are not usually sold for on-premise consumption."

Many organizations will apply for temporary permits that allow selling alcohol at locations where beverages are not usually sold for on-premise consumption.

This usually happens when the organization is having a special event in the company, a celebration, or any activity in which they are gathering many people. As part of their activities and options to entertain the guests, this company wants to sell alcoholic beverages because it is a good way to get some money.

So this could be special celebrations, tournaments, sports contests, festivals, expos & fairs, and some other event of a certain magnitude.

Carlyle Inc. is considering two mutually exclusive projects. Both require an initial investment of $14,200 at t = 0. Project S has an expected life of 2 years with after-tax cash inflows of $7,400 and $14,500 at the end of Years 1 and 2, respectively. In addition, Project S can be repeated at the end of Year 2 with no changes in its cash flows. Project L has an expected life of 4 years with after-tax cash inflows $5,900 at the end of each of the next 4 years. Each project has a WACC of 9%. What is the equivalent annual annuity of the most profitable project? Do not round your intermediate calculations.
a. $1,878.81 b. $2,724.87 c. $3,696.61 d. $1,516.90 e. $3,391.39

Answers

The most profitable project is Project L with an equivalent annual annuity of $3,259.22. The correct answer is (e) $3,391.39.

To determine the equivalent annual annuity of the most profitable project, we need to calculate the present value (PV) of each project's cash flows and then calculate the annuity payment that would have the same PV.

For project S, the cash flows are as follows: Year 0: -$14,200 (initial investment) Year 1: $7,400 Year 2: $14,500 Year 3: $7,400 (repeated) Year 4: $14,500 (repeated) We can calculate the present value of these cash flows using the formula: PV = CF1/(1+WACC)^1 + CF2/(1+WACC)^2 + ... + CFn/(1+WACC)^n

Using a financial calculator or spreadsheet, the PV of Project S is $13,425.67.

For project L, the cash flows are as follows: Year 0: -$14,200 (initial investment) Year 1: $5,900 Year 2: $5,900 Year 3: $5,900 Year 4: $5,900 We can calculate the present value of these cash flows using the same formula: PV = CF1/(1+WACC)^1 + CF2/(1+WACC)^2 + ... + CFn/(1+WACC)^n

Using a financial calculator or spreadsheet, the PV of Project L is $14,139.25.

To determine the equivalent annual annuity for each project, we can use the following formula: EAA = PV * (WACC / (1 - 1/(1+WACC)^n))

Using this formula, the EAA of Project S is $2,707.76 and the EAA of Project L is $3,259.22.

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job costing in service firms uses recording procedures and accounts similar to those for manufacturing companies except for those regarding:

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Job costing in service firms uses recording procedures and accounts similar to those for manufacturing companies except for those regarding materials and direct labor.

Instead, service companies must focus on recording and accounting for direct and indirect costs related to providing services. This may include expenses related to employee salaries, supplies, rent, and utilities, among other things.Job costing involves the collection and allocation of costs for specific jobs or projects. This helps companies understand the true cost of providing their products or services, as well as their profitability on individual jobs.

In service firms, job costing can be particularly important because services are often customized and may require varying levels of resources and labor for each job or project. By accurately tracking and allocating costs, service firms can make informed decisions about pricing, resource allocation, and process improvement.

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What isa premises account ​

Answers

Answer:

A current asset is any asset that will provide an economic value for or within one year. Premises, or the property where business is done, is a part of the property, plants, and equipment, or PP&E, account. All PP&E has a useful life longer than one year, premises included, so it is considered a non-current asset.

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Stock A and B have the following returns: PROJECT Stock A Stock B 1 0. 10 0. 06 02. 0. 07 0. 02 03 2000. 15 0. 05 4 -0. 05 0. 01 05 2000. 08 -0. 02 a. What are the expected returns of the two stocks? b. What are the standard deviations of the two stocks? c. If their correlation is 0. 46, what is the expected return and standard deviation of a portfolio of 70% stock A and 30% stock B? PROJECT X X11. Using your estimates from Problem 9 and the fact that the correlation of A and B is 0. 48, calculate the volatility (standard deviation) of a portfolio that is 70% invested in stock A and 30% invested in stock B

Answers

The expected return for Stock A is 7% while the expected return for Stock B is 4%. Stock A has a standard deviation of 9.7% and Stock B has a standard deviation of 4%.

When forming a portfolio with 70% allocation to Stock A and 30% allocation to Stock B, the expected return of the portfolio is 6.1% and the standard deviation is 6.4%. These calculations take into account the provided returns for each stock and the correlation between them.

(a) To calculate the expected returns of the two stocks, we need to find the average return for each stock. We sum up the returns for each stock and divide by the total number of observations.

For Stock A:

Expected Return (Stock A) = (0.10 + 0.07 + 0.15 - 0.05 + 0.08) / 5 = 0.07 or 7%

For Stock B:

Expected Return (Stock B) = (0.06 + 0.02 + 0.05 + 0.01 - 0.02) / 5 = 0.04 or 4%

(b) To calculate the standard deviations of the two stocks, we need to find the deviation of each return from the expected return, square the deviations, calculate the average of the squared deviations, and then take the square root.

For Stock A:

Deviation from Expected Return (Stock A) = [0.10 - 0.07, 0.07 - 0.07, 0.15 - 0.07, -0.05 - 0.07, 0.08 - 0.07] = [0.03, 0.00, 0.08, -0.12, 0.01]

Average of Squared Deviations (Stock A) = (0.03^2 + 0.00^2 + 0.08^2 + (-0.12)^2 + 0.01^2) / 5 = 0.00944

Standard Deviation (Stock A) = sqrt(0.00944) = 0.097 or 9.7%

For Stock B:

Deviation from Expected Return (Stock B) = [0.06 - 0.04, 0.02 - 0.04, 0.05 - 0.04, 0.01 - 0.04, -0.02 - 0.04] = [0.02, -0.02, 0.01, -0.03, -0.06]

Average of Squared Deviations (Stock B) = (0.02^2 + (-0.02)^2 + 0.01^2 + (-0.03)^2 + (-0.06)^2) / 5 = 0.0016

Standard Deviation (Stock B) = sqrt(0.0016) = 0.04 or 4%

(c) To calculate the expected return and standard deviation of the portfolio, we use the weighted average of the individual stock returns and standard deviations.

Expected Return (Portfolio) = (0.7 * 0.07) + (0.3 * 0.04) = 0.061 or 6.1%

To calculate the standard deviation of the portfolio, we need to consider the correlation between the stocks. Given a correlation of 0.46, we use the following formula:

Standard Deviation (Portfolio) = sqrt((0.7^2 * 0.097^2) + (0.3^2 * 0.04^2) + (2 * 0.7 * 0.3 * 0.097 * 0.04 * 0.46)) = 0.064 or 6.4%

Using the same method, for the portfolio in problem 11 (70% stock A and 30% stock B), we would substitute the correlation of 0.48 and calculate the standard deviation accordingly.

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A currency fixture is

Answers

Answer:

The currency fixture is referring to the foreign exchange rates, that are set in London every day at 4 PM.

Explanation:

These are known as benchmark rates and are determined related to the real transactions, that traders were conducting on the market in 60 seconds.

The rates for 21 currencies are determined on the medium level of all the trades that go through in this one minute.

the arrangement of having discrete parts of a task done by different people is known as a(n) ____.

Answers

The arrangement of having discrete parts of a task done by different people is known as "division of labor".

The arrangement of having discrete parts of a task done by different people is known as "division of labor". This approach is often used in manufacturing and other industries to improve efficiency and productivity.

By dividing a complex task into smaller, more manageable parts, and assigning those parts to individuals with specialized skills or expertise, organizations can streamline their operations and achieve greater results with fewer resources.

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The application of scientific knowledge to the development and improvement of goods and services is generally referred to as ______. Multiple choice question. technology information production

Answers

Answer:

Technology.

Explanation:

As the definition is seen above, these qualities are directed towards technology. Technology has advanced produce and sales of goods and services a lot. It shows itself in fastening and making production easier. And also in different other forms that come as advertising, E-commerce, communication etc. Orders of certain goods are been sent thousands miles away from the producing country and are seen to be received safe and sound at the other end of the purchase country. Also adverts can be seen of a Chinese product in far away Africa through television commercials and also internet.

fin411 ten year zero-coupon bond is trading at 80% of their face values. what is the ten-year zero-coupon discount rate under annual, semi?annual, and quarterly compounding conventions?

Answers

In essence, bond valuation is determining the present value of a bond's anticipated future coupon payments. Using an appropriate discount rate, the future value of a bond's coupon payments is discounted to determine its theoretical fair value.

Annual Convention Value of Bond = Face Value / (1+r) n = 10 800 = 1000 / (1+r) n = 10 800 = 1000 / 800 r = 1.25(1/10) - 1 r = 1.02256518256 - 1 r = 2.23 percent

Semi-Annual Convention Bond Value = Face Value / (1+r)n n = 10 * 2 = 20 800 = 1000 / (1+r)20 = 1000 / 800 r = 1.25(1/20) - 1 r = 1.011219651 - 1 r = 1.12%.

Quarter Convention Value of Bond: Face Value / (1+r)n n = 10 * 4 = 40 800 = 1000 / (1+r)40 = 1000 / 800 r = 1.25(1/40) - 1 r = 1.00559417808 - 1 r = 0.5594% Rate: 0.5594% * 4 = 2.24%

Is Bond value PV or FV?

The fundamental present value (PV) formula for a given discount rate is used in the bond price calculation. The face value paid at maturity and the present value of coupon payments make up the bond price.

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Which of the following is an example of typosquatting? Group of answer choices A start-up investment company assumes the online identity of Arman & Company, a well-established investment company, in social networking platforms for the purposes of acquiring its brand equity. An environmental support group creates a spoof of the advertisement of a popular beverage company, highlighting its degradation of the environment by releasing waste products into the water bodies near its bottling plant. A person registers a domain name, Tucson Multispecialty Clinic, which is the name of a popular multispecialty clinic hoping to resell it to the clinic at an exorbitant profit. A person registers the domain name "currentaffairs.net" to take advantage of the huge popularity of the e-newspaper currentaffairs.org to divert traffic to his webpage and make money by selling advertising space.

Answers

Answer:

An environmental support group creates a spoof of the advertisement of a popular beverage company, highlighting its degradation of the environment by releasing waste products into the water bodies near its bottling plant.

Explanation:

An example of typosquatting is an environmental support group creates a spoof of the advertisement of a popular beverage company, highlighting its degradation of the environment by releasing waste products into the water bodies near its bottling plant.

A truck was purchased for $188000 and it was estimated to have a $32000 salvage value at the end of its useful life. Monthly depreciation expense of $3900 was recorded using the straight-line method. The annual depreciation rate is 10.00%. 2.50%. 24.89%. 30.00%.

Answers

The annual depreciation rate for the truck using the straight-line method is 30.00%.

Based on the information provided, we can determine the annual depreciation rate for the truck. The truck was purchased for $188,000 and has an estimated salvage value of $32,000 at the end of its useful life. The monthly depreciation expense is $3,900, which we can convert to an annual expense by multiplying by 12 months:
Annual depreciation expense = $3,900 x 12 = $46,800
Now we'll calculate the depreciable amount, which is the difference between the truck's purchase price and its salvage value:
Depreciable amount = $188,000 - $32,000 = $156,000
Finally, we'll determine the annual depreciation rate by dividing the annual depreciation expense by the depreciable amount:

Annual depreciation rate = ($46,800 / $156,000) x 100% = 30.00%
Thus, the annual depreciation rate for the truck using the straight-line method is 30.00%.

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b. Classify each scenario as to whether it is likely to result in an efficient or inefficient market outcome. Efficient Inefficient Answer Bank a market transaction in which buyers or sellers behave irrationally a market in which government regulation creates distortions a market dominated by a few powerful businesses a market transaction in which one party has information not available to the other party a market in which economic surplus is maximized

Answers

Option (D) is an efficient market outcome, while Options (A), (B) & (C) are inefficient market outcomes.

Efficient market outcomes occur when resources are allocated optimally, and economic surplus is maximized.

Inefficient market outcomes arise when there are various factors hindering the allocation of resources and preventing the maximization of economic surplus.

In this case, the efficient market outcome is a market in which economic surplus is maximized.

While inefficient market outcomes are:

Market transactions in which buyers or sellers behave irrationally.A market in which government regulation creates distortions.A market dominated by a few powerful businesses.A market transaction in which one party has information not available to the other party.

Thus, efficient market outcomes are desirable as they lead to overall welfare maximization, while inefficient market outcomes can lead to lower overall welfare for participants in the market.

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b. Classify each scenario and whether it is likely to result in an efficient or inefficient market outcome. Efficient Inefficient

(A) a market transaction in which buyers or sellers behave irrationally

(B) a market in which government regulation creates distortions a market dominated by a few powerful businesses

(C) a market transaction in which one party has information not available to the other party

(D) a market in which economic surplus is maximized

Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?

Answers

Answer: I hate Trump and would make him eat tortilla chip vertically :/

Explanation:

What effect does an increase in immigration have on labor supply?

Answers

An increase in immigration can have a significant impact on labor supply. With more immigrants entering the workforce, the supply of labor increases.

This can potentially lead to downward pressure on wages and a shift in the labor market. However, the exact effect depends on several factors such as the skills and education levels of the immigrants, the demand for labor in various industries, and the overall state of the economy. Some studies suggest that immigration can also lead to job creation and innovation, ultimately benefiting the economy as a whole.

An increase in immigration can lead to an expansion in the labor supply, as more people become available to participate in the workforce. This can potentially result in increased productivity and economic growth. However, it may also lead to competition for jobs and wage adjustments, depending on the skill levels of the immigrants and the existing workforce.

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An increase in immigration typically leads to an increase in labor supply.

This is because immigrants come to a new country with the intention of finding work, and they often have skills and experience that are in demand. As a result, an increase in immigration can lead to a larger pool of available workers, which can drive down wages and make it easier for employers to fill open positions. Immigrants support the American economy by providing labor and by starting their own businesses. Entrepreneurs raise the need for labor by filling job openings, which makes the labor market more competitive (Azoulay et al. 2022).

However, the effects of immigration on labor supply can vary depending on a number of factors, including the skills and education levels of the immigrants, the size of the immigrant population, and the overall state of the economy.

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Two benefits of self employment

Answers

Self-employment provides strong earning potential as people have more control over their own progression. Going hand-in-hand with the flexible lifestyle, individuals who work for themselves can go over and above to work long hours on some days, network, and reap the benefits of their hard work.

Look for _____ in research information showing preferential treatment or consideration regardless of legitimate reasoning.

credibility
relevance
bias
additional sources

Answers

Answer:

bias

Explanation:

bias is the true anwer

When government is trying to raise tax revenue, it sometimes attempts to target higher-income people because they are in a better position to bear the burden of a tax. However, it can be very difficult to earn tax revenue from wealthy people. Consider the progressive nature of the U.S. federal income tax system: It's designed so that higher incomes are taxed at higher tax rates. Thinking about the elasticity of labor supply, why might it be more difficult to collect tax revenue from a wealthy individual than from a poor person, all else equal

Answers

Answer: The labor supply curve for a wealthy individual is usually more elastic than a poor person's labor supply curve

Explanation:

Tax could be described as individuals paying a particular percentage of their income and whatever they use then pay to the government. The aim of the tax being collected is to generate funds internally which could be used in maintaining the economy.

Despite the government attempts to make tax be one-sided, it yields little or no result in favour of the poor as they end up being well tax as same as the rich. Those who are poor make use of services regularly, and most societies have them than those who are already established. The labor supply curve for a wealthy individual is usually more elastic than a poor person's labor supply curve. We would realize that we have more poor people in labour than those who are rich.

The City Parks and Recreation Dept. is planting 20 acres of
new park land. The department is renting a grass seed planter
for $17.50 per acre and a tractor for 3 days at $215 per day.
A 7% usage tax is charged. Find the total rental charge.

Answers

Answer:

$727.60

Explanation:

total rental charge = total cost of renting the grass seed planter + cost of renting the tractor + usage tax

total cost of renting the grass seed planter = $17.50 x 20 = $35

cost of renting the tractor = 3 x $215 = $645

total cost of renting = $645 + $35 = $680

Usage tax = 7% x $680

0.07 x $680 = $47.6

total rental charge  = $680 + $47.60 = $727.60

Take a local company and register it in Pakistan and done all the process which is required in registration of company and give all the documents ? and follow the procedure of company registration according to security and exchange commission of pakistan (secp)
Subject Business law

Answers

When registering a company in Pakistan, there are certain procedures and documents that must be followed. First and foremost, the promoter must apply to the Securities and Exchange Commission of Pakistan (SECP) for registration of the company.

In Pakistan, all companies must be registered with the SECP, which is the regulatory authority for companies. The promoter must first decide what kind of company he or she wants to form, as there are a variety of options available, such as a public limited company, a private limited company, a single-member company, and a partnership. Each of these options has its own set of requirements and restrictions.

The next step is to acquire the necessary documents for registration. These documents include the Memorandum of Association, Articles of Association, Form A (declaration of compliance with legal requirements), Form 21 (declaration of address), and a bank challan (for payment of fees).

The Memorandum of Association and Articles of Association must be signed by all promoters, and Form A must be signed by a lawyer and a witness. After completing these documents, the promoter must submit them to the SECP for review. If the SECP is satisfied with the application, it will issue a certificate of incorporation, and the company will officially be registered.

After registration, the company must obtain a National Tax Number (NTN) and a Sales Tax Registration Number (STRN) from the Federal Board of Revenue (FBR). It must also register with the Registrar of Companies and obtain a certificate of commencement of business. Once these requirements are met, the company is ready to begin operations. In conclusion, registering a company in Pakistan can be a complex process, but it is necessary for any business that wishes to operate legally and avoid penalties.

By following the correct procedures and acquiring the necessary documents, a promoter can ensure that the company is registered properly and ready to do business in Pakistan.

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Job A3B was ordered by a customer on September 25. During the month of September, Jaycee Corporation requisitioned $2,300 of direct materials and used $3,800 of direct labor. The job was not finished by the end of the month, but needed an additional $2,800 of direct materials and additional direct labor of $6,100 to finish the job in October. The company applies overhead at the end of each month at a rate of 200% of the direct labor cost incurred. What is the balance in the Work in Process account at the end of September relative to Job A3B?

Answers

Answer: $13,700

Explanation:

Given the following :

Month of September:

Direct materials = $2300

Direct labor used = $3800

Overhead = 200% of direct labor cost incurred

Therefore September overhead :

200% × $3800

2 × $3800 = $7,600

Work in process account at the end of September :

Direct labor cost + direct material cost + overhead

$3800 + $2300 + $7600 = $13,700

_____ progress from initiation activities to planning activities, executing activities, monitoring and controlling activities, and closing activities.

Answers

The Project Management progress from initiation activities to planning activities, executing activities, monitoring and controlling activities, and closing activities.

An outline of the project's aims and objectives is created during the project's commencement stage. Resource allocation, stakeholder identification, and project team formation are completed.

The project scope is established and split down into tasks during the planning phase. A thorough project plan is produced along with the assignment of roles and duties.

The tasks are carried out in accordance with the project plan during this phase, and the development is tracked. Progress is monitored, problems are resolved, and project risks are handled during the monitoring and controlling stage.

The project is completed and the outcomes are assessed in the closure stage. Finally, the project is documented and the project stakeholders are notified.

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bill is a strategic consultant. he assists his client companies in making strategic decisions. most problems presented to him do not have a single best solution. for these kinds of problems, he chooses a solution from the set of alternatives available to him. the task that bill performs is an example of tasks. a. judgmental b. disjunctive c. criterion d. maximizing

Answers

The task that Bill performs is an example of disjunctive tasks. Option B is the correct answer.

Bill, as a strategic consultant, helps client companies in making strategic decisions. Since most problems presented to him do not have a single best solution, he chooses a solution from the set of alternatives available to him. This kind of task is known as a disjunctive task.

A disjunctive task is a kind of problem-solving task that requires identifying the best solution from a set of options available. A decision-making task in which the problem solver needs to identify the correct response or solution from several possible alternatives is referred to as a disjunctive task. Hence, the correct option is (B) disjunctive.

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Srandview, Incorporated uses the allowance method. At December 31, 2021, the company’s balance sheet reports Accounts Receivable, Net in the amount of $20,000. On January 2, 2022, Grandview writes off a $2,100 customer account balance when it becomes clear that the customer will never pay. What is the amount of Accounts Receivable, Net after the write-off?
Multiple Choice
a. $2,100
b. $20,000
c. $17,900
d. $22,100

Answers

The correct option is (c) $17,900.

Srandview, Incorporated uses the allowance method. The allowance method is one of the methods used by companies to account for bad debts in their books. he allowance method involves setting aside a reserve for bad debts that are expected in the future. The reserve is based on a percentage of the sales generated in a reporting period, possibly adjusted for the risk associated with certain customers. This method establishes an estimate of uncollectible accounts at the end of the reporting period based on historical data or other relevant factors. In this situation, the amount of Accounts Receivable, Net will decrease by $2,100 due to the write-off.

Therefore, the correct option is (c) $17,900.

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Type the correct answer in the box. Spell all words correctly.
Which customers help in the profitability and growth of an organization?
Both external and [ }customers help in the profitability and growth of an organization in a direct or indirect manner.

Answers

Answer:

Both external and Internal customers help in the profitability and growth of an organization in a direct or indirect manner.

Explanation:

External customers refer to the people who pay for goods and services. Their relationship with a business is through the purchasing of goods or services. A business produces goods and services targeting to sell them to external customers. They are also known as clients.

Internal customers are people that have a relationship with the business. They could be employees, trade partners, investors, and shareholders. Internal customers facilitate the smooth running of a business. They make it possible for a business to avail its products and services to external customers. Internal customers may buy or not buy from the business.

Answer:

internal

Explanation:

Just took test 5/5

when managers at general electric evaluated all the firms’ various divisions and then chose to close both the appliances and healthcare divisions, it was involved in

Answers

Portfolio analysis was used by General Electric executives when they assessed all of the company's businesses and decided to shut both of the appliances and healthcare divisions.

What exactly do you mean meaning portfolio analysis?

Portfolio analysis is the procedure of studying or evaluating the aspects of a company's whole portfolio of securities business products. The review is carried out to conduct a thorough analysis of risk and reward.

What is the primary foundation of portfolio analysis?

Portfolio analysis is mostly based on the portfolio's risk and return. The expected return of such a portfolio should be determined by the expected return of each investment in the portfolio. The amount invested in each security is crucial.

What is the significance of portfolio analytics?

Portfolio analytics can help financial advisers succeed by allowing them to provide risk-informed recommendations regarding their clients and control the amount of risk across their book of clients.

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a. What are the benefits of mergers and acquisitions to shareholders?
b. Why is diversification by itself not a good reason for a merger?
c. Why is the IRS concerned about leasing?
d. What are some advantages of leasing over buying?

Answers

a. The benefits of mergers and acquisitions to shareholders include:

  - Increased shareholder value: Mergers and acquisitions can lead to synergies, cost savings, and increased market power, which can positively impact the financial performance of the combined entity and result in higher stock prices, dividends, and overall shareholder wealth.

  - Diversification of risk: Mergers and acquisitions can enable shareholders to diversify their investment portfolios by gaining exposure to different industries, markets, or geographies. This diversification can help reduce risk and increase the overall stability of their investment holdings.

  - Liquidity and exit opportunities: Shareholders may have an opportunity to sell their shares at a premium during a merger or acquisition, providing them with liquidity and an exit strategy if they desire to exit their investment.

b. Diversification alone is not a good reason for a merger because it does not guarantee improved financial performance or value creation. While diversification can help reduce risk, it does not automatically lead to increased profitability or synergy between the merging companies. A merger should be based on strategic alignment, synergistic potential, and the ability to create value for shareholders through improved operational efficiency, increased market share, or other strategic advantages.

c. The IRS (Internal Revenue Service) is concerned about leasing due to potential tax implications. Leasing involves the use of assets without ownership, and the tax treatment of lease transactions can have an impact on tax revenues. The IRS is concerned about ensuring that leasing transactions are properly classified and reported for tax purposes, and that the tax implications are accurately accounted for by both lessors and lessees.

d. Some advantages of leasing over buying include:

  - Lower upfront costs: Leasing often requires lower initial capital outlay compared to purchasing, making it more accessible for businesses or individuals with limited financial resources.

  - Flexibility and convenience: Leasing allows for flexibility in terms of equipment or asset upgrades or replacements, as lease agreements can be structured to accommodate changing needs. Additionally, leasing may include maintenance and support services, providing convenience to lessees.

  - Risk mitigation: Leasing transfers certain risks, such as technological obsolescence or asset depreciation, to the lessor, reducing the risk exposure for the lessee.

  - Potential tax benefits: Lease payments may be tax-deductible as business expenses, providing potential tax benefits to the lessee. However, tax implications can vary based on the specific lease agreement and jurisdiction, so it is important to consult with tax professionals for accurate advice.

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The emergence of self-driving cars is an example of ""creative destruction"" because.

Answers

This is because: Self-driving cars will be less expensive to build than current cars.

What is creative destruction?

This term was coined by Joseph Schumpeter. The concept of creative destruction refers to the process of economic innovation, in which some products are replaced by others, or some firms die because they are driven out of the market by others, and so on.

When  a company produces a new good that makes the old ones already in the market obsolete, the company is said to be creatively destroying the old goods.

An classical example of creative destruction occurred when Steve Jobs introduced the Iphone in 2007.

Therefore, the emergence of self-driving cars is an example of ""creative destruction"" because self-driving cars will be less expensive to build than current cars

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