$25,689 is the value of the total assets. The answer is OPTION C.
Debt-to-equity ratio: This is the formula for calculating debt to equity. Divide the total debt of your business by the sum of its shareholder equity to arrive at this figure.
Ratio of debt to capital: Divide your company's total debt by the total of its debt and equity to determine its debt-to-capital ratio. A debt-to-assets ratio is a sort of leverage ratio that assesses the relationship between a company's overall assets and its debt commitments, including both short- and long-term debt. This formula is used to compute it: Total Debt / Total Assets equals the debt-to-assets ratio.
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Workplace diversity describes differences among workers in any of the following areas:
attitude
education
ethnicity
industry
Answer:
industry because here based the all the business in whole world
Select all that apply.
Careers in the Arts, Audio/Video Technology, & Communications Career Cluster include:
news anchor
soldier
ballet dancer
recording artist
Answer:
Mechanics, arts
Explanation:
Which one of the following statements is correct?
a. Cost can be controlled only by those who are managing the project
b. Cost can be controlled only by those who are managing the project risk
c. Cost can be controlled only by those who are doing the spending
d. Cost can be controlled only by those who are doing the work
The correct statement is "Cost can be controlled only by those who are doing the work." Option D.
This statement reflects the principle of responsibility assignment in project management, according to which each team member is accountable for their task or activities.
Cost management is a crucial aspect of project management, which requires the involvement of the entire project team, not just the managers.
Therefore, team members who are responsible for carrying out the activities are required to be cautious in their approach to carrying out the assigned task to control the cost and keep it within the allocated budget. It is essential for them to understand the scope of the work and execute it effectively and efficiently.
In conclusion, the statement "Cost can be controlled only by those who are doing the work" highlights the importance of assigning responsibility and accountability to the team members to ensure the cost of the project does not exceed the allocated budget.
Hence, the right answer is option D.
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img world’s products and services are geared toward colleges and students, the students of which may be considered young achievers. this designation can be best described as which influential factor of consumer buying behavior?
Answer:
Answer: A. Age and life stages
Explanation:
Assume that there are two major telecommunications companies in a country. Firm A controls 45%, and Firm B controls 37% of the telecommunications market. Firm C controls the remaining portion of the total sales. For the market structure to be an oligopoly, what must be true
The telecommunication market structure is considered an oligopoly market when there are high barriers to entry into the market.
What is a market?A market is a place where the goods and services are being acquired by consumers and sold by retailers.
The oligopolistic market is a type of market structure where the control has been exercised by only the fewer firms over the entire market and doesn't allow new firms to enter the market. They initiate the barriers in the form of patenting of products, licenses from the government, adoption of expensive technology, etc.
Therefore, the creation of the barriers to entry of the new firms will mark the given market structure to be oligopolistic.
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Help please, Reply as soon as possible !
Answer:
accounts payable
Explanation:
my mom uses it shes an accountant so it must be good
China has been ruled by the Communist Party since the fall of 1949, but the relationship between China and the United States has been through drastic changes over the last seven decades. What was the nature of the relationship between the two countries in the early years of the Cold War, and how can the relationship between the two countries be summed up now?
In the early years of the Cold War, the relationship between China and the United States was tense. China was ruled by the Communist Party, which was seen as a threat to the United States and its allies. The United States and China were not allies, and the two countries had little diplomatic or economic contact.
The United States supported the Nationalist government of Chiang Kai-shek, which was fighting a civil war against the Communists led by Mao Zedong. After the Communist victory in 1949, the United States did not recognize the People's Republic of China and instead continued to support the Nationalists in Taiwan.
The relationship between the two countries began to improve in the 1970s when the United States recognized the People's Republic of China and established diplomatic relations with the country. This was a significant shift in U.S. policy and signaled a willingness to engage with China. Since then, the relationship between China and the United States has been marked by periods of cooperation and competition.
Today, the relationship between China and the United States is complex. The two countries are each other's largest trading partners and have deep economic ties, but there are also significant areas of disagreement and tension. The United States has accused China of unfair trade practices, intellectual property theft, and human rights abuses. China, for its part, has criticized the United States for interfering in its internal affairs and attempting to contain its rise as a global power.
Overall, the relationship between China and the United States can be summed up as one of cooperation and competition. The two countries have worked together on issues such as climate change and nuclear non-proliferation, but they also compete for influence in the Asia-Pacific region and in the global economy. The future of the relationship between China and the United States is uncertain, but it is likely to continue to be a key factor in world politics for years to come.
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The notation is Y = GNP = national income C = consumption I = private investment G = government spending X = exports M = imports T = taxes There is an intimate relationship between a country's BCA and how the country finances its domestic investment and pays for government expenditures. Given this, which of the following is a true statement? Multiple Choice All of the options If (S − I) < 0, it implies that a country's domestic savings is insufficient to finance domestic investment. If (T − G) < 0, it implies that a country's tax revenue is insufficient to finance government spending. When BCA is negative, it implies that government budget deficits and/or part of domestic investment are being finance with foreign-controlled capital.
The true statement is D. When BCA is negative, it implies that government budget deficits and/or part of domestic investment are being financed with foreign-controlled capital.
The above statement is based on the intimate relationship between a country's Balance of the Current Account (BCA) and how the country finances its domestic investments and pays for government expenditure.
Explanation:
National income = Y = GNP
Consumption = C
Private Investment = I
Government spending = G
Exports = X
Imports = M
Taxes = T
Therefore, the BCA = X-M = (S-1) + (T – G)
Where BCA = Balance of Current Account
Thus, the Balance of the Current Account (BCA) should be positive to avoid deficit-financing of government budgets.
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What did keynes think was responsible for the large amount of idle labor and capital during the great depression?.
During the Great Depression, Keynes thought unplanned inventory increases were responsible for the large amount of idle labor and capital.
What is the Great Depression?The Great Depression was a period of severe economic recession in the United States of America which challenged the prevailing classical economic belief that the macro-economy would quickly return to long-run equilibrium due to a demand shock.
During the Great Depression, John Maynard Keynes thought unplanned inventory increases were responsible for the large amount of idle labor and capital in the United States of America.
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Suppose the CPI was 110 last year and is 121 this year.
a. What is this year's rate of inflation?
b. In contrast, suppose that the CPI was 110 last year and is 108 this year. What is this year's rate of inflation?
c. What term do economists use to describe this second outcome?
Based on the CPI, the inflation rate for the first case is 10%, I will explain why and the value of the following indicated year.
What is the CPI?The CPI (Consumer Price Index) is a measure of the average change in the prices of goods and services bought by consumers. It is used to calculate the rate of inflation, which is the percentage increase in prices over a given period of time.
To calculate this year's rate of inflation, we use the formula:
(CPI this year - CPI last year) / CPI last year x 100.In this case, the CPI was 110 last year and is 121 this year. So the calculation would be
(121 - 110) / 110 x 100 = 10%. This year's rate of inflation is 10%.In contrast, if the CPI was 110 last year and is 108 this year, the calculation would be:
(108 - 110) / 110 x 100 = -1.82%. This year's rate of inflation is -1.82%, which means that prices have actually decreased.The term that economists use to describe this second outcome, where prices have decreased, is "deflation". Deflation is the opposite of inflation and occurs when the CPI decreases over a given period of time.
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What is the difference between specialization and cross-training?
A. Specialization is for employees at the top management level of
the company while cross-training is for employees at the entry
level.
B. Specialization is for employees who love what they do while cross-
training is for employees who don't love any one particular area of
their work.
C. Specialization leads employees to focus on a single skill or task
while cross-training deals with training employees in multiple skills
or tasks.
D. Specialization is for employees who have an advanced degree
while cross-training is for those who do not have an advanced
Answer:
I think C.
sana makatulong.....
What resources does a quality department need to deliver in
their organizational goals?
The quality department is a vital part of any organization as it ensures that the products and services provided by the organization meet the required quality standards. Therefore, it is necessary that the department has the necessary resources to deliver the organizational goals. These resources include:
Human resources: This includes the personnel required for the quality department. They should have the necessary skills, experience, and knowledge to ensure that the organization’s products and services meet the required quality standards.
Infrastructure: The quality department needs to have the necessary infrastructure to carry out its duties. This includes the necessary equipment, tools, and software necessary to monitor and evaluate the quality of the products and services.
Quality management systems: A quality management system is a set of policies, processes, and procedures used to ensure that the organization meets the required quality standards. The quality department should have a robust quality management system to ensure that the products and services meet the required quality standards.
Training and development: The quality department personnel should be trained and developed regularly to ensure that they are up-to-date with the latest quality management trends and practices.
Information systems: The quality department should have the necessary information systems to monitor and evaluate the quality of the products and services. This includes statistical process control software, quality management software, and other tools necessary to evaluate the quality of the products and services.
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The United Stated Supreme court is:
*
O Elected to six-year terms
O The supreme law of the land
O Restricted by state laws
O Restricted to decisions regarding federal law
The United Stated Supreme court is Restricted to decisions regarding federal law.
The federal law are bills that have passed both houses of Congress, been signed by the president, passed over the president's veto, or allowed to become law without the president's signature.
The Supreme court of the United State is the highest court in the American judicial system and has the power to decide appeals on all cases brought in federal court or those brought in state court dealing with federal law.
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What will happen to the price and quantity of Japanese goods in the US if the dollar depreciates causing the costs of producing Japanese goods to increase resulting in a decrease in the SUPPLY of Japanese goods
The prices of Japanese goods will increase.
Economic Principles of Demand and SupplyFollowing the principles of demand and supply, the higher the price, the higher the quantity supplied (all other factors remaining constant).
Recall that cost of production for Japanese goods has also increased according to the question. When prices increase, suppliers sometimes want to take advantage to create even additional inflation in order to get additional profit. Hence they put out more goods at the instance of increased prices.
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scarcity opportunity cost and production possibilities curves
Scarcity is the condition whereby resources are limited in relation to the demand for them.
Opportunity cost is the cost of making a decision that involves giving up the potential benefit of an alternative option.
PPC is a graphical representation of the different combinations of goods and services
Scarcity is the inability of society to produce enough goods and services to satisfy all of its wants and needs. This is due to the limited resources available to society, and the fact that resources are finite. Opportunity cost is the cost of choosing one option over another. It is the cost of the next best alternative that is given up when one choice is made. In other words, the opportunity cost of a decision is the value of the alternative that was not chosen.
PPC shows the maximum output that can be achieved by using the available resources in the most efficient way. The curve illustrates the trade-off between two goods; as the production of one good increases, the production of the other decreases. This is because there is a limited amount of resources available, and thus a scarcity of resources for both goods. The PPC also shows the opportunity cost of producing one good over the other; the cost of producing one good is measured in terms of the other good that could have been produced instead.
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Treasury bills are example of:
A- Risk-free assets.
B- Risky assets
C- Risk premium
D- None of the above.
Treasury bills are example of Risk-free assets. Option A is correct.
Treasury bills are considered risk-free assets because they are issued by governments, typically the national treasury, and are backed by the full faith and credit of the government. This means that there is an extremely low probability of default on the payment of principal and interest.
Investing in treasury bills is often considered to have minimal risk because they are considered to be one of the safest investments available. They are highly liquid and have short-term maturities, typically ranging from a few days to a year. The interest rates on treasury bills are generally lower compared to riskier investments but compensate investors with a low-risk profile.
The term "risk-free" does not mean that there is absolutely no risk associated with treasury bills. While the risk of default is minimal, there are other risks to consider, such as inflation risk, interest rate risk, and opportunity cost. However, compared to other investments, treasury bills are often regarded as a relatively safe option.
Hence, A. is the correct option.
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Brownsville Novelty Store prepared the following budget information for the month of May: Sales are budgeted at $360,000. All sales are on account and a provision for bad debts is made for each month at three percent of sales for the month. Inventory was $84,000 on April 30; an inventory increase of $12,000 is planned for May 31. All inventory is marked to sell at cost plus 50 percent. Estimated cash disbursements for selling and administrative expenses for the month are $48,000. Depreciation for May is projected at $6,000. Brownsville's budgeted bad debts expense for May is:
Answer: $10800
Explanation:
Brownsville's budgeted bad debts expense for May will be calculated by multiplying the sales budgeted for May by the percentage allocated to the provision for bad debt. This will be:
= $360,000 × 3%
= $360,000 × 3/100
= $360,000 × 0.03
= $10800
Brownsville's budgeted bad debts expense for May is $10800
__________ goods and services represent those products that consumers are unaware of or haven't thought of buying
Answer:
UNSOUGHT GOOD & SERVICES
select four functions of a healthcare social worker
Answer:
make home visitsexplain medical instructionsfacilities therapy groupsadvocate for patientsin what way is the tangible measure of the value of a person to the organization expressed?
a. in wages
b. with promotion
c. with benefits
d. with compensation
e. in career palnning
The tangible measure of the value of a person to the organization is expressed through compensation.
Compensation refers to the total package of rewards and benefits that an employee receives in exchange for their work and services, including wages, salaries, bonuses, and other forms of financial and non-financial compensation.
Compensation is an important way for organizations to recognize the value that employees bring to the organization and to incentivize them to continue performing at a high level. It reflects the organization's assessment of an employee's skills, knowledge, experience, and contributions to the organization, and is often tied to performance metrics and targets.
While promotion, benefits, and career planning can also be used to recognize and reward employees for their contributions to the organization, they are not the same as compensation.
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Janice is spending the summer working as an intern writing copy for a local firm. Today Janice's senior editor sent back some of Janice's work covered in red ink corrections. Up until now, all of Janice's work had been corrected in green or blue ink. Janice is upset and worried that her senior editor doesn't like her. Which component of an attitude is not represented in the previous scenario
Answer:
The answer is "the behavioral component".
Explanation:
Janice is not acting on this instance. Thus, the behavioral component of an attitude is not shown. Janice doesn't like her junior publisher, believes. This review demonstrates the cognitive framework of an attitude. Janice's upset. Jessica is upset. In her work, jane reacted badly to the red ink which depicts the emotional component of an opinion. Whereas a position could be correct or incorrect, these elements of a situation as defined in the OB are not addressed.
Which of the following is a case of brand cannibalization?
A. A tea manufacturer introduces a new brand of tea that eats into the sales of an existing brand of another manufacturer.
B. A tea manufacturer introduces a new but inferior brand of tea to promote the sales of an existing tea brand in its product mix.
C. A tea manufacturer introduces a new brand of tea that eats into the sales of an existing tea brand in its product mix.
D. A tea manufacturer introduces a new brand of tea that has the unintended result of promoting the sales of an existing brand of another manufacturer.
Answer: C. A tea manufacturer introduces a new brand of tea that eats into the sales of an existing tea brand in its product mix.
Explanation:
C&A manufactures 50,000 cars each year. If its annual turns increase from 2 to 5, what
happens to its average inventory?
A. Remains the same
B. Increases from 100,000 to 250,000
C. Decreases from 25,000 to 10,000
D. Cannot be determined
The answer is D. Cannot be determined. Average inventory is calculated using the formula (Beginning Inventory + Ending Inventory) / 2. The information given in the question does not provide the beginning and ending inventory levels, so it is not possible to determine the effect of the change in annual turns on the average inventory.
Hi! To determine what happens to C&A's average inventory when annual turns increase from 2 to 5 while manufacturing 50,000 cars each year, we first need to find the initial inventory. Inventory turns are calculated as:
Inventory Turns = Annual Sales / Average Inventory
We are given the initial turns (2) and annual sales (50,000 cars). So:
2 = 50,000 / Initial Average Inventory
Solving for the initial average inventory, we get:
Initial Average Inventory = 50,000 / 2 = 25,000
Now, we calculate the new average inventory with the updated turns (5):
5 = 50,000 / New Average Inventory
Solving for the new average inventory, we get:
New Average Inventory = 50,000 / 5 = 10,000
So, the average inventory decreases from 25,000 to 10,000. Your answer is C. Decreases from 25,000 to 10,000.
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Which statement is true?
online credit is more expensive than bank credit
online credit is less expensive than bank credit
online credit and bank credit are equally expensive
online credit is harder to obtain than bank credit
Answer:
online credit is less expensive than bank credit
Explanation:
Online lenders are likely to charge lower rates than banks due to the differences in operating expenses. Online lenders do not incur the cost of operating from a physical building, such as rent and maintenance. They do not have high employee cost as compared to banks. Due to these reasons, online lenders charge lower fees and lower interest rates.
Sometimes online loans appear expensive, but it's because they are unsecured loans. A close comparison between different types of loans will show online lenders offer cheaper loans.
Why do lenders often require a down payment when credit is used to purchase a good?
It reduces risk to the lender.
It eliminates interest charges.
It reduces the cost of the financed good.
It increases the cost of financing the good.
The payments are done through a down payment reduces the risk to the lender and therefore the lender requires down payments when credit is used to purchase a good. Thus (A) is the correct option.
What is a down payment?The amount of money that a purchaser pays on the purchasing of any expensive object. The down payment showcases a portion of the total purchasing amount.
It is made in the initial stage of purchasing. It reduces the risk of the lender and therefore, (A) is the correct option.
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On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720.
Complete Question:
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720
Journalize the first interest payment and the amortization of the related bond discount using the Straight line method
Answer:
Kindly check Explanation
Explanation:
Given the following :
Face value of bond issued = $1,450,000
Cash received on Issuance = $1,408,720
Number of Interest payment on bond = 5 × 2 = 10(semiannual)
Therefore, discount on bond :
$(1,450,000 - 1,408,720) = $41,280
Spreading or amortizing diacou t on bond over the bond duration (use te straight line method)
Discount / period
$41,280 / 10 = $4,128
Interest expense a/c Dr $40,378
To discount on bond payable a/c Cr $4128
To cash a/c $36,250
how would a manufacturing firm react to an increase in demand for its products 
A manufacturing firm reaction to an increase in demand for its products is an increase in price
What is a manufacturing firm?
Generally, Manufacturing firm refers to any business engaged in the extraction, smelting, recovery, development, preparation, compounding, conversion, assembly, or other production of minerals, raw materials, products, or substances of any kind or nature, including facilities for storage, processing, or other related activities.
When there is a rise in demand for a product but the company is unable to meet that demand via increased production, the company will raise the price of the product since there are customers who are prepared to pay more.
That is the classic equilibrium of the market, where supply and demand are concerned: increases in demand drive prices higher, while increases in supply drive prices down.
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kimball corporation issued $90,000 in bonds for $87,000. the bonds had a stated rate of 8% and pay interest quarterly. what is the journal entry to record the sale of the bonds?.
The journal entry to record the transaction is: -
Interest expense A/c.......Dr. $2,175
Discount on bonds payable A/c.......Cr. $375
Cash A/c.................Cr 1,800
Bonds are classified as debt instruments that are typically offered to lenders by the entity that is borrowing money. They are issued for a predetermined time period and at a predetermined interest rate. The interest on the bonds is fixed for the bondholders, and the bonds are repaid on the maturity date.
Face value of bonds = $90,000
Issue price of the bonds = $87,000
Discount on bonds payable is calculated as follows:
Discount on bonds payable:
Face value−issue price=$90,000−$87,000=$3,000
The journal entry to record the first interest payment is prepared as follows:
Interest expense ($1,800 + $375) A/c.......Dr. $2,175
Discount on bonds payable ($3,000/8) A/c.......Cr. $375
Cash ($90,000 × 8% × (3/12)) A/c.................Cr 1,800
(to record the interest payment to bondholders)
It is assumed that the bond is issued for two years. There will be eight quarterly payments and therefore, the discount will be amortized over 8 periods.
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View Policies Current Attempt in Progress A company issues $25850000, 7. 4%, 20-year bonds to yield 8% on January 1, 2020. Interest is paid on June 30 and December 31. The proceeds from the bonds are $24315069. Using effective-interest amortization, what will the carrying value of the bonds be on the December 31, 2020 balance sheet? (Round answer to O decimal place, e. G. 52. ).
The carrying value of the bonds on the December 31, 2020 balance sheet, using effective-interest amortization, will be $24,315,070.
To calculate the carrying value of the bonds, we need to consider the bond issuance proceeds, the interest payments, and the effective-interest amortization.
The bond issuance proceeds were given as $24,315,069. The interest is paid semi-annually on June 30 and December 31. The coupon rate is 7.4%, and the market yield is 8%.
Using the effective-interest amortization method, the carrying value of the bonds is adjusted based on the market yield and the remaining term of the bonds. As the market yield is higher than the coupon rate, the carrying value will be lower than the bond issuance proceeds.
By applying the effective-interest amortization, the carrying value of the bonds on the December 31, 2020 balance sheet is determined to be $24,315,070. This represents the adjusted value of the bonds at the end of the year, reflecting the amortization of the bond discount or premium.
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Consider the following information:
State of Economy Probability of
State of Economy Portfolio Return
If State Occurs
Recession .16 − .10 Normal .52 .12 Boom .32 .32 Calculate the expected return. (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
Expected return %
This is important to note that this is only an expected return, and the actual returns may vary depending on the actual occurrence of each state of the economy.
To calculate the expected return, we need to first find the weighted average of portfolio returns for each state of the economy, using the probability of each state as the weight.
So, we have:
Expected return = (probability of recession * portfolio return in recession) + (probability of normal state * portfolio return in normal state) + (probability of boom * portfolio return in boom)
Expected return = (0.16 * -0.10) + (0.52 * 0.12) + (0.32 * 0.32)
Expected return = -0.016 + 0.0624 + 0.1024
Expected return = 0.1484 or 14.84%
Therefore, the expected return for this portfolio is 14.84%. This means that on average, an investor can expect to earn a return of 14.84% on their investment, taking into account the probabilities of each state of the economy occurring.
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