reshoring is the practice of moving operations from the country where a company is headquartered to a country where pay rates are lower but the necessary skills are available.

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Answer 1

It is true to say that reshoring involves shifting operations from the nation where a company has its headquarters to one where wages are cheaper but the essential skills are still accessible.

Reshoring is the process of moving manufacturing and production of goods back to the nation where the business was founded. Reshoring is sometimes referred to as backshoring, inshoring, business, and onshoring. It is the reverse of reshoring, which is the practice of producing things abroad in an effort to lower labor and manufacturing costs.

Even while offshore frequently offers financial advantages, such as cheaper labor and lower production costs, reshoring business can boost an economy. Reshoring generates manufacturing jobs, which bolsters labor force, lowers unemployment, and aids in reducing trade imbalances.

Many times in the United States, businesses business even discover that the additional cost of manufacturing there is so negligible that the advantages would outweigh the labor costs reshoring, especially when taking into account the costs associated with customs and shipping from abroad.

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Related Questions

can someone recommend me some research topics for economics.would really appreciate if it is in a list​

Answers

Explanation:

here are some research topics for economics::

1. The effect of income changes on consumer choices

2. The effect of labor force participation on the economy and budget – A comparison

3. The impact of marital status on the labor force composition: A case of [your country] economy

4. The difference in the consumption attitude in [your country] over the last decade – Critical analysis of consumer behavior trends

5. The relationship between salary levels and ‘economic convergence’ in [your country]?

6. Analyzing salary inequalities in [your country] and the forces behind such inequalities.

7. The evolution of consumption in [your country] over the last 10 years: Trends and consumer behavior.

8. Dynamics of the Gini index as a reflection of the problem of inequality in income 

9. Cashless economy: The impact of demonetization on small and medium businesses

10 Privatization of Public Enterprises and its implications on economic policy and development

which word best describes the writing process in business writing ?

Answers

Answer: Brainstorm Pre-write. Write rough draft. Peer-review. Revise ideas. Edit Publish Establish constructive purposes for student writing. Find real audiences, beyond the teacher, for students' writing

What number is 0.1 more than 30.7?

Answers

Answer:

30.8

Explanation:

when the wage increases 5 percent, the quantity of workers hired falls 1 percent, indicating that labor demand is

Answers

The statement given in the question suggests that labor demand is characterized by a negative elasticity with respect to wages, which means that employers are willing to hire fewer workers as wages increase.

The statement "when the wage increases 5 percent, the quantity of workers hired falls 1 percent" suggests an inverse relationship between wages and the quantity of labor demanded. Specifically, when wages go up, employers are willing to hire fewer workers, presumably because they are paying more for each worker they do hire.

The magnitude of the decrease in the quantity of labor demanded in response to a 5 percent increase in wages is given by the elasticity of labor demand with respect to wages. In this case, the elasticity of labor demand is equal to -0.2, which means that a 1 percent increase in wages leads to a 0.2 percent decrease in the quantity of labor demanded.

Specifically, a 1 percent increase in wages leads to a 0.2 percent decrease in the quantity of labor demanded, or equivalently, a 5 percent increase in wages leads to a 1 percent decrease in the quantity of labor demanded. The magnitude of this effect is given by the elasticity of labor demand, which in this case is equal to -0.2.

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On January 1, 2021, Ravetch Corporation’s projected benefit obligation was $30 million. During 2021, pension benefits paid by the trustee were $4 million. Service cost for 2021 is $12 million. Pension plan assets (at fair value) increased during 2021 by $6 million as expected. At the end of 2021, there were no pension-related other comprehensive income (OCI) accounts. The actuary’s discount rate was 10%.

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Given data, Projected benefit obligation on Jan 1, 2021 = $30 million Service cost for 2021 = $12 million Pension W of Project A IS $75,000. PW of Project B is $6,000. PW of Project C is $25,000. All projects are independent projects and are not mutually exclusive

Assuming..

benefits paid by trustee during 2021 = $4 million Pension plan assets increased during 2021 = $6 million Actuary's discount rate = 10%

Calculation of Interest Cost: Interest Cost = Beginning PBO * Discount Rate = $30,000,000 * 10% = $3,000,000 Calculation of Ending PBO :Ending PBO = Beginning PBO + Service Cost + Interest Cost - Benefits Paid

Ending PBO = $30,000,000 + $12,000,000 + $3,000,000 - $4,000,000 = $41,000,000 \(PBO = $30,000,000 + $12,000,000 + $3,000,000 - $4,000,000 = $41,000,000\)Calculation of Plan's Funded Status.

As per the given details, the plan's funded status is more than 100; i.e. - $35,000,000 / $30,000,000 = - 1.17 \($35,000,000 / $30,000,000 = - 1.17\)Therefore, the correct option is: The plan's funded status is more than 100%.

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what bank or credit union do you want to explore? include the name, website link and indicate if this bank / credit union is an online or a traditional brick

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A credit union is a non-profit financial institution, owned and controlled by its members, who use its services. It offers savings, loans, and other financial services to its members, usually at lower costs than traditional banks.

One popular option is Ally Bank, an online-only bank that offers a variety of financial products including checking and savings accounts, certificates of deposit (CDs), and mortgages. They have a user-friendly website, high interest rates on their deposit accounts, and 24/7 customer service. Website: https://www.ally.com/. Another option is a credit union, such as Navy Federal Credit Union, which is one of the largest credit unions in the US and serves active-duty military members, veterans, and their families. They offer a range of financial services including savings and checking accounts, loans, and investment services. They have both physical branches and online banking options. Website: https://www.navyfederal.org/

Both Ally Bank and Navy Federal Credit Union have different strengths and weaknesses, so it is important to do research and compare various options to find the best fit for your specific financial needs.

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You wish to buy a $11,000 dining room set. The furniture store offers you a 3-year loan with an APR of 9 percent.
What are the monthly payments? (Do not round intermediate calculations and round your final answer to 2 decimal places.) How would the payment differ if you paid interest only? (Do not round intermediate calculations and round your final answer to 2 decimal places.)

Answers

To calculate the monthly payments for a $11,000 dining room set with a 3-year loan at an APR of 9 percent. the interest-only payment would be $82.50 per month.

we will use the formula for the monthly payment of a loan:

Monthly Payment = P * (r(1+r)^n) / ((1+r)^n - 1)

where P is the principal ($11,000), r is the monthly interest rate (APR / 12), and n is the total number of payments (3 years * 12 months).

First, we need to convert the APR to a monthly rate: 9% / 12 = 0.09 / 12 = 0.0075.

Next, we calculate the total number of payments: 3 years * 12 months = 36 payments.

Now we can plug in the values into the formula:

Monthly Payment = 11000 * (0.0075(1+0.0075)^36) / ((1+0.0075)^36 - 1)

Monthly Payment = 11000 * (0.0075 * (1.0075)^36) / ((1.0075)^36 - 1)

After performing the calculations, we find that the monthly payment is approximately $349.27.

For an interest-only payment, you would only pay the interest accrued on the principal each month. To calculate this, we use the formula:

Interest-Only Payment = Principal * Monthly Interest Rate

Interest-Only Payment = 11000 * 0.0075

Interest-Only Payment = $82.50

In this case, the interest-only payment would be $82.50 per month.

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Which of the following is an example of human resources planning?
A. An employee complains to his manager that he is being asked to
work too many hours.
B. An HR manager talks with department managers to determine
which workers are needed,
C. Two workers disagree with each other about the sufficiency of the
benefits the HR department offers,
D. A CEO talks with the HR manager about the value of the company
and decides that it needs to grow.
SUBMIT

Answers

Answer:

B. An HR manager talks with department managers to determine which workers are needed,

On July 1, 2022, Jenks Company purchased the copyright to Jackson Computer tutorials for $424,000. It is estimated that the copyright will have a useful life of 5 years and a remaining legal life of 9 years with an estimated salvage value of $24,000. The amount of Amortization Expense recognized for the year 2022 would be: ____________

Answers

Based on the cost of the copyright and the period of amortization, the amortization in 2022 will be $40,000

First find the annual amortization expense:

= (Cost of copyright - Salvage value) / Useful life

= (424,000 - 24,000) / 5

= $80,000

The amortization for 2022 will however be for 6 months as the copyright was purchased on July 1.

= 80,000 x 6/12 months

= $40,000

In conclusion, the amortization expense will be $40,000

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liberty services is now at fourth year of a project with five year-life. the project has brought $10,000 of incremental cash operating income every year. no salvage value is expected and annual depreciation expense is $4,500. the equipment originally cost $22,500, of which 80% has been depreciated. the firm can sell the used equipment today for $6,000, and its tax rate is 40%. what would be the end-of life cash flow (terminal cash flow)? group of answer choices $ 6,000 $13,200 $15,850

Answers

The cash flow at the end of life is $5,760. The answer is that $15,760 ($5,760 + $10,000) is roughly equal to $15,850. C is the right answer.

How do you calculate terminal cash flow?

It is computed by first discounting the initial investment and all subsequent cash flows from the investment or project to the present value using a discount rate. When evaluating whether a project or investment is anticipated to produce profits or losses, NPV is employed.

Given

Value of Equipment = $22,500

Time = 5 Year

Depreciation = 80% of Equipment Value

Tax = 40%

Salvage Value = 0

Additional inflow per Year = 10,000

Required to Calculate end-of-life cash flow =?

The end-of-life cash flow can be calculated as follows:

End-of-life book value = Original cost - Accumulated depreciation

End-of-life book value = $22,500 - 0.8 x $22,500

End-of-life book value = $4,500

Tax on salvage value = Tax rate x (Salvage value - End-of-life book value)

Tax on salvage value = 0.4 x ($6,000 - $4,500)

Tax on salvage value = $240

Terminal cash flow = Salvage value - Tax on salvage value + Return of working capital

Terminal cash flow = $6,000 - $240 + $0

Terminal cash flow = $5,760

Therefore, the end-of-life cash flow is $5,760. Answer: $5,760 + $10,000 = $15,760 which is approx to value of $15,850.

Thus, the ideal selection is option C.

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Suppose that the exchange rate between the US dollar and the Japanese yen changed from 100 yen per $1 to 150 yen per dollar. Which currency appreciated?

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In the given scenario, the Japanese yen has appreciated. An appreciation is an increase in the value of a currency against another currency in a floating exchange rate system. In the scenario given, the exchange rate between the US dollar and the Japanese yen has changed from 100 yen per $1 to 150 yen per dollar,

which means that the Japanese yen has become stronger as it now takes fewer yen to buy a US dollar. The appreciation of the yen could be attributed to a number of factors, including the market's perception of the strength of the Japanese economy, changes in monetary policy by the Bank of Japan, and shifts in global investor sentiment towards the yen.

The appreciation of the yen could have implications for international trade between the United States and Japan. A stronger yen could make Japanese goods more expensive for US buyers, which could hurt Japanese exports. On the other hand, it could make American goods cheaper for Japanese buyers, which could benefit US exporters.

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On a loan of $32,000 at 7% interest for 6 months, how much do you wind up paying to pay off the loan?.

Answers

The amount to be paid at the end of the loan period will be $33,120. The rate of interest on the loan is given as per annum and hence the interest is to be calculated for 6 months.

Calculation of settlement amount of loan:

Given:

\(\rm Principal &= \$32,000\\\\Rate &= 7\%\:per\:annum\\\\Tenure = 6\:months\)

Interest is calculated from the following formula:

\(\rm Interest = Principal\times Rate \times Tenure\)

Hence the interest for the loan will be:

\(\begin{aligned}\rm Interest &= \$32,000\times 7\% \times 6\: months\\\\&= 32,000 \times \dfrac{7}{100}\times \dfrac{6}{12}\\\\&= \$1,120\end\)

The final payment for the loan will be the combination of principal and interest.

Therefore final payment = $32,000 +$1,120

                                        = $33,120

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PLEASE HELP ME (ECONOMICS ASSIGNMENT)!!! ASAPPP

PLEASE HELP ME (ECONOMICS ASSIGNMENT)!!! ASAPPP

Answers

Answer:

1. Classical Economics

2. Keynesian Economics

3. Demand-Side Economics

4. Supply-Side Economics

Explanation:

The people or organizations that vie with your company for customers or resources are known as _____.

Answers

When other people or companies vie for customers or resources with your company, they are called the Competitors.

Who are the competition?They are those who compete with you for customers. They reduce the market share you have by acquiring their own.

The competition are the reason a company engages in marketing as it would help them get more customers. If a company had no competitors, they would not engage in as much marketing and would charge higher prices.

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Need asap

Submit your essay on what's next for digital video in the future.

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Answer:

I feel that this will all change because of all the emerging technology that is evolving in just 2018 and is still evolving today. I think that all of the desktops will become more portable an have more features while the common laptop will do the same also there will be even fewer people going out to shop at malls or clothing stores (because of online shopping) which means these local businesses will not be able to pay the rent or they will have to cut down on employment or even lower the hourly wage. This combined will snowball and be even worse by the future

Explanation:

I hope I've done a good answer, have a good day :)

When protecting the availability, integrity, and confidentiality of data, services, networks, and systems, the
of the data, service, network, or system should ideally not be compromised.

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When protecting the availability, integrity, and confidentiality of data, services, networks, and systems, the security policies of the data, service, network, or system should ideally not be compromised.

What is the C-I-A security triad?

The C-I-A security triad is an abbreviation for confidentiality, integrity and availability. Also, it can be defined as a cybersecurity model that is designed and developed to guide security policies for information security in a business firm, in order to effectively and efficiently protect and make their data available to authorized end users.

In this context, we can infer and logically deduce that the security policies of the data, service, network, or system should ideally not be compromised when protecting the availability, integrity, and confidentiality of data, services, networks, and systems.

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Jordan, Inc., holds 75 percent of the outstanding stock of Paxson Corporation. Paxson currently owes Jordan $597,500 for inventory acquired over the past few months. In preparing consolidated financial statements, what amount of this debt should be eliminated

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The complete amount of  $597,500 will be eliminated because it is part of inter-company transactions.

What are inter-company transactions?

Intercompany transactions are those transactions that take vicinity in between the entities in the institution of corporations that proportion a holding-subsidiary relationship.

As a company cannot recognize the sales that it has made to itself, hence such intercompany eliminations are made.

The types of intercompany removal consist of intercompany debt, intercompany inventory possession, and intercompany sales and expenses.

Therefore, The complete amount of $597,500 will be eliminated because it is part of inter-company transactions.

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is it hard to get a job at chik fil a? kinda stupid question ik, I just really need money. if so any recommendations? ​

Answers

Answer: Maybe you can try getting a job at starbucks, mcdonalds, five below, etc. It depends how old are you.

I’m not sure, I think chipotle would be a great option though. Working there comes with many benefits like paying some of your tuition (or something along those lines.)

A guidance counselor is:
o a. someone who works with students with disabilities.
o b. someone who oversees a student's academic progress.
o c. someone who oversees high school operations.
o d. someone who teaches classes and monitors hallways.

Answers

A guidance counselor is a person who works in the schools and check with the student's academic progress.

Who is a guidance counselor? Discuss his responsibilities?

A guidance counselor are the certified professionals who are employed in the schools and different institutions.

They helps the students by giving them advise and consultancy about their career and academic growth.

They basically assess the student's ability and provides them with personal counselling.

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a car owner pays an annual premium of $780 for automobile insurance, including liability coverage of up to $100,000. the car owner pays this for nine years without needing to file a single claim. then the car owner causes an accident for which the other driver is claiming $32,000 in damages. how much more expensive were the costs of the accident than what the car owner paid in premiums? $24,980 $100,000 $7,020 $39,020

Answers

The costs of the accident were $32,000, which is the amount claimed by the other driver.

The car owner paid a total of $7,020 in premiums over nine years ($780 per year x 9 years). Since the car owner did not need to file a claim during that time, the insurance company made a profit from the premiums paid.

However, when the accident occurred, the liability coverage of $100,000 was used to pay for the damages claimed by the other driver. This means that the insurance company paid out $32,000 in damages, which is more expensive than the premiums paid by the car owner.

To calculate how much more expensive the costs of the accident were, we can subtract the total premiums paid from the amount of damages claimed:

$32,000 - $7,020 = $24,980

Therefore, the answer is $24,980, which means that the costs of the accident were almost three times the amount of premiums paid by the car owner over nine years.

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Assume the assumptions of the CAPM, with E(rm)=[m]%, SDm=[s]% and the rf-=[f]%.If you have a stock that has a beta=[b] what is expected return of the stock?
2. Use the following information for stock ROCK and stock ROLL:
E(rROCK)=.11 SDrock=.20
E(rROLL)=.15 SDroll=.25
rf=.02 Correlation coefficient= .75
A) Find the expected return of a portfolio with 30% allocatedto stock ROCK and 70% allocated to stock ROLL
B) Find the standard deviation of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL

Answers

The expected return of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL can be calculated using the weighted average of the expected returns of the individual stocks. Assuming the correlation coefficient is 0.75.

we can use the formula:

Expected Return of Portfolio = (Weight of Stock ROCK * Expected Return of Stock ROCK) + (Weight of Stock ROLL * Expected Return of Stock ROLL)

Expected Return of Portfolio = (0.3 * 0.11) + (0.7 * 0.15)

Therefore, the expected return of the portfolio is 0.132 or 13.2%.

B) The standard deviation of a portfolio can be calculated using the individual stock standard deviations and the correlation coefficient. Assuming the correlation coefficient is 0.75, we can use the formula:

Portfolio Standard Deviation = √[(Weight of Stock ROCK)^2 * (Standard Deviation of Stock ROCK)^2 + (Weight of Stock ROLL)^2 * (Standard Deviation of Stock ROLL)^2 + 2 * (Weight of Stock ROCK) * (Weight of Stock ROLL) * (Standard Deviation of Stock ROCK) * (Standard Deviation of Stock ROLL) * (Correlation Coefficient)]

Portfolio Standard Deviation = √[(0.3)^2 * (0.20)^2 + (0.7)^2 * (0.25)^2 + 2 * (0.3) * (0.7) * (0.20) * (0.25) * (0.75)]

Therefore, the standard deviation of the portfolio is approximately 0.208 or 20.8%.

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The expected return of a portfolio with 30% allocated to stock ROCK and 70% allocated to stock ROLL can be calculated using the weighted average of the expected returns of the individual stocks. Assuming the correlation coefficient is 0.75.

we can use the formula:

Expected Return of Portfolio = (Weight of Stock ROCK * Expected Return of Stock ROCK) + (Weight of Stock ROLL * Expected Return of Stock ROLL)

Expected Return of Portfolio = (0.3 * 0.11) + (0.7 * 0.15)

Therefore, the expected return of the portfolio is 0.132 or 13.2%.

B) The standard deviation of a portfolio can be calculated using the individual stock standard deviations and the correlation coefficient. Assuming the correlation coefficient is 0.75, we can use the formula:

Portfolio Standard Deviation = √[(Weight of Stock ROCK)^2 * (Standard Deviation of Stock ROCK)^2 + (Weight of Stock ROLL)^2 * (Standard Deviation of Stock ROLL)^2 + 2 * (Weight of Stock ROCK) * (Weight of Stock ROLL) * (Standard Deviation of Stock ROCK) * (Standard Deviation of Stock ROLL) * (Correlation Coefficient)]

Portfolio Standard Deviation = √[(0.3)^2 * (0.20)^2 + (0.7)^2 * (0.25)^2 + 2 * (0.3) * (0.7) * (0.20) * (0.25) * (0.75)]

Therefore, the standard deviation of the portfolio is approximately 0.208 or 20.8%.

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what is the impact of atm on banking sector? ​

Answers

Answer:

Explanation:

ATM s are of great use to the banks as the reduce the number of people storming the banks for withdrawal of money as well as deposit of money it reduces cost of operation and from customer point of view it is available easily near by hence travelling further distance to the bank is not required

ATMs are one of the most convenient services provided by the banks to customers. It is beneficial to banks as it is to its customers. It helps banks to save cost and time in withdrawing money and various other services which are now provided by ATM.

Automated teller machines, or ATMs as they are more commonly referred to, are a convenient way to conduct one-on-one transactions quickly and easily. One can do self-serviced transactions with these machines without a physical teller's aid or a trip to the bank branch. Cash withdrawals, cash deposits, and fund transfers are just a few of the many transactions possible with automated teller machines, or ATMs. Although the majority of customers only use ATMs to withdraw cash, these additional transactions make the service more effective.

With the advent of the ATM, users' financial lives became simpler because they could now perform simple transactions on their own with the aid of an ATM, which was much more practical than often visiting the bank. The ability for users to transact between banks is another significant advantage of an ATM. This means you can still use basic services like cash withdrawals from the ATM even if you don't have an account with the bank that runs the machine. Again, this saves you time and comes in handy in an emergency because you won't need to go to the ATM at your bank every time you need a quick infusion of cash. ATM helps banks operate more cheaply by lowering the number of human operations. The ATM provides service 24 hours a day which means customers can avail of money and other services at any time of the day.

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Which options are the three C's that must be addressed in all types of business plans?

Answers

The three C's that must be addressed in all types of business plans are - Capital, concept, and customers.

A business plan is a report that characterizes exhaustively an organization's targets and the way in which it intends to accomplish its objectives. A field-tested strategy spreads out a composed guide for the firm from showcasing, monetary, and functional viewpoints. The two new businesses and laid-out organizations use marketable strategies.

A business plan is a significant report focused on an organization's outside and inward crowds. For example, a strategy is utilized to draw in speculation before an organization has laid out a demonstrated history. It can likewise assist with getting loaning from monetary organizations.

Besides, a business plan can effectively stay with a's leader group in total agreement about essential things to do and on track for meeting laid out objectives.

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John, Jeff, and Jane decided to engage in a real estate venture as a partnership. John invested $100,000 cash and Jeff provided office equipment that is carried on his books at $82,000. The partners agree that the equipment has a fair value of $110,000. There is a $30,000 note payable remaining on the equipment to be assumed by the partnership. Although Jane has no physical assets to invest in the partnership, both John and Jeff believe that her experience as a real estate appraiser is a valuable skill needed by the partnership and is a basis for granting her a capital interest in the partnership.
Assuming that each partner is to receive an equal capital interest in the partnership,
A. Record the partnership formation under the bonus method.
B. Record the partnership formation under the goodwill method, and assume a total goodwill of $90,000.
C. Discuss the appropriateness of using either the bonus or goodwill methods to record the formation of the partnership.

Answers

A. Bonus method journal entries allocate the partnership bonus: Cash, Jeff's Equipment, Notes Payable, John's Capital, Jeff's Capital, and Jane's Capital. ($192,000 total).

B. Goodwill method journal entries include Cash, Jeff's Equipment, Notes Payable, and create a Goodwill account to represent the excess partnership value. ($330,000 total).

C. Bonus method is appropriate when Jeff's equipment is undervalued. Goodwill method is suitable if partnership value exceeds the sum of its parts.

A. Journal entries under the bonus method are: Cash 100,000.00 Jeff's Equipment 28,000.00 Notes Payable 30,000.00 John's Capital 64,000.00 Jeff's Capital 64,000.00 Jane's Capital 64,000.00 ($192,000 total).

B. Journal entries under the goodwill method are: Cash 100,000.00 Jeff's Equipment 110,000.00 Notes Payable 30,000.00 Goodwill 90,000.00 ($330,000 total).

C. The bonus method is appropriate since Jeff's equipment is worth less than it was carried on his books. The goodwill method is appropriate if the partnership's value is greater than the sum of its parts.

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january budgeted selling and administrative expenses for the retail shoe store that craig shea plans to open on january 1, year 1, are as follows: sales commissions, $50,000; rent, $30,000; utilities, $10,000; depreciation, $5,000; and miscellaneous, $2,500. utilities are paid in the month after they are incurred. other expenses are expected to be paid in cash in the month in which they are incurred.

Answers

The utilities expenses will be paid in the month after they are incurred.

Based on the given information, the budgeted selling and administrative expenses for Craig Shea's retail shoe store include various items such as sales commissions, rent, utilities, depreciation, and miscellaneous expenses.

Among these expenses, utilities are paid in the month after they are incurred. This means that the store will incur utility expenses during the month, but the payment for those expenses will be made in the following month.

The reason behind this delay in payment could be the billing cycle or terms of the utility service provider. It is important for Craig Shea to account for this timing difference in cash flows and ensure that sufficient funds are available to cover the utilities expenses when they become due in the subsequent month.

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Seal Polymer Industries (SPI) sold two freight containers of latex gloves to Med-Express, Inc., a company based in North Carolina. When Med-Express failed to pay the $104,000 owed for the gloves, Seal Polymer sued in an Illinois court and obtained a judgment against Med-Express. Med-Express argued that it did not have minimum contacts with Illinois and therefore the Illinois judgment based on personal jurisdiction was invalid. Med-Express stated that it was incorporated under North Carolina law, had its principal place of business in North Carolina, and therefore had no minimum contacts with Illinois. Can SPI sue Med-Express in an Illinois court? Why or why not? Which statute (rule) applies here? Be specific, as there is a right answer here.

Answers

Answer:

Can SPI sue Med-Express in an Illinois court? Why or why not? Which statute (rule) applies here?

Yes, SPI can sue Med-Express in an Illinois court due to the minimum contacts doctrine. This is an actual court case that the North Carolina Court of Appeals ruled in favor of SPI. The minimum contacts rule states that in order for a business to be sued in another jurisdiction it must have maintained minimum contacts with residents of that state. Minimum contacts may include making business with individuals or companies that reside in the other state, visiting the other state or incorporating in the other state. In this case, Med-Express made business with SPI, and SPI is a resident of Illinois.

Yes, Seal Polymer Industries (SPI) can sue Med-Express in an Illinois court under the condition of minimum contact rule, as Med-Express has traded with SPI earlier which is a minimum contact.

What was SPI and Med-Express case in Illinois courts?

Med-Express purchased two freight containers of latex gloves from Seal polymer industries and did not paid the amount for that. SPI sued Med-Express, in the Illinois court and asked for the recovery of its money.

Seal polymer industries can sue Mid-Express in the Illinois courts itself under the minimum contact condition of Minimum contact doctrine as they have traded before.

Therefore, Yes, the Seal polymer industries can sue Mid-Express in the Illinois court under the minimum contact rule.

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What is the difference between using an action button to play an audio file via 'play sound' and an audio clip set up through the Media Group?

Answers

Answer: The action button lets users play the audio file, the sound button will play an audio clip.

Explanation:

The action button lets users play the audio file once it is clicked or has a mouse over action over the assignment button. The sound button will play an audio clip that you have specified in the action settings dialog box.

1. Customer relations is often used interchangeably with the term?

Answers

Answer:

There are several terms used to refer to customer service: customer relations, customer care, etc., but the ones that are the most often used interchangeably are customer support and customer service. Many people don’t think about the difference between customer service and customer support.

Explanation:

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In 2003, Molly bought a 10-year Treasury note for $1,000. The market interest rate was 3.5 percent. In 2005, Molly wanted to sell the note to pay for college expenses. Interest rates had risen to 4.5 percent. How would the change in interest rates affect the price that Molly was likely to receive for her note? Give reasons for your answer.

Answers

The change in interest rates would have reduced the price Molly would have received for her note.

The price Molly was anticipated to get for her 10-year Treasury note would be negatively impacted by the rise in interest rates from 3.5 percent to 4.5 percent. This is due to the inverse relationship between changes in interest rates and the value of fixed-income securities like Treasury notes.

When interest rates rise, the yield on newly issued fixed-income securities rises, which decreases the investor appeal of existing fixed-income securities with higher yields. As a result, there is less demand for current fixed-income assets, which lowers the market value of those securities.

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is there a relationship between productivity and months of service? draw the type of graph that can be used to analyze this problem.

Answers

There could potentially be a relationship between productivity and months of service.

It is possible that there is a relationship between productivity and months of service. As employees gain more experience and become more familiar with their job duties, they may become more efficient and productive. On the other hand, there may be a plateau where productivity levels off after a certain amount of time on the job.

To analyze this relationship, a scatter plot can be used. The horizontal axis would represent months of service and the vertical axis would represent productivity. Each employee's data point would be plotted on the graph, with their months of service on the x-axis and their productivity score on the y-axis.

If there is a positive relationship between productivity and months of service, the data points would form an upward-sloping line. If there is a negative relationship, the line would slope downwards. If there is no relationship, the data points would be scattered randomly across the graph.

Once the graph is plotted, additional analysis can be performed to determine the strength and direction of the relationship, such as calculating the correlation coefficient. This information can be useful for decision-making related to employee training and development, performance evaluations, and staffing decisions.

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