The fundamental difference between real and financial assets is that real assets are tangible.
What are these assets?As a financial Assets, the real assets refers to a separate and distinct asset class from financial assets while the financial assets derive their value from a contractual claim on an underlying asset that may be real or intangible.
The difference between real assets and financial assets is that real assets are the tangible possessions owned by a business while the financial assets are the securities a business entity has. They can easily be converted into cash.
Therefore, the Option B is correct.
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1. What are some things that the study of economics is not?
What does qualitative research and quantitative research means?
Answer:
Quantitative research is expressed in numbers and graphs. It is used to test or confirm theories and assumptions. This type of research can be used to establish generalizable facts about a topic.
Common quantitative methods include experiments, observations recorded as numbers, and surveys with closed-ended questions.
Qualitative research
Qualitative research is expressed in words. It is used to understand concepts, thoughts or experiences. This type of research enables you to gather in-depth insights on topics that are not well understood.
Common qualitative methods include interviews with open-ended questions, observations described in words, and literature reviews that explore concepts and theories.
Answer:
Qualitative research involves collecting and analyzing non-numerical data (e.g., text, video, or audio) to understand concepts, opinions, or experiences. It can be used to gather in-depth insights into a problem or generate new ideas for research.
Quantitative research is a research strategy that focuses on quantifying the collection and analysis of data.
highlight characteristics of itinerant traders
In recent decades, international trade has __
A. remained constant as measured by total dollars spent. B. remained constant as a percentage of U.S. GDP. C. increased as a fraction of U.S. GDP. D. declined as a fraction of U.S. GDP. E. declined as measured by total dollars spent.
Therefore, option C, "increased as a fraction of U.S. GDP," is the most accurate statement.
International trade has expanded in terms of both the volume of goods and services traded and their value, leading to a greater contribution of trade to the overall size of the U.S. economy. This trend is driven by factors such as globalization, advancements in technology and transportation, and the liberalization of trade policies in many countries. To clarify, in recent decades, international trade has generally increased as a fraction of the global economy, not specifically the U.S. economy. Globalization and advancements in technology have facilitated greater cross-border trade and integration of economies worldwide. As a result, international trade has expanded in terms of both the volume of goods and services traded and their value relative to the global GDP. So, option C, "increased as a fraction of U.S. GDP," is not accurate. Instead, option A, "remained constant as measured by total dollars spent," or option E, "declined as measured by total dollars spent," are more plausible statements depending on the specific time period and circumstances being considered.
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pls help me. and pls hurry
Answer:
I guess your answer is that it's easy for all employees to understand.
Do you think every working American needs a 401(k) account or an IRA? Why or why not?
No links
Need ASAP
Answer:
Both 401(k) accounts and IRAs are retirement savings accounts that allow individuals to save for retirement on a tax-advantaged basis. Contributions to these accounts are tax-deductible, and the earnings on the investments grow tax-free until they are withdrawn during retirement.
There are some benefits to having a 401(k) account or an IRA. They allow individuals to save for retirement in a tax-efficient way, and can provide a significant source of income during retirement. In addition, many employers offer matching contributions to 401(k) accounts, which can be a valuable incentive to participate.
However, there are also some drawbacks to these types of accounts. For example, they are subject to market fluctuations and the investment risk is borne by the individual. In addition, there are limits on how much can be contributed each year, which may not be enough to provide for a comfortable retirement.
Whether or not every working American needs a 401(k) account or an IRA depends on individual circumstances. For some people, these accounts may be a valuable tool for saving for retirement. For others, different types of retirement savings accounts or strategies may be more appropriate. Ultimately, it is up to each individual to determine the best approach for their own retirement planning.
Which of the following is not a fixed cost? *
O monthly gym membership
car payment
O rent
O vacation/recreation/fun expenses
12. The type of line used to make a hairstyle appear longer and narrower is a(n):
a. open line
c. contrasting line
b. vertical line
d. curved line
Answer:
Vertical lines
Explanation:
In simple words, In hair fashion, vertical lines establish length and height. When the eye traces the lines up and down, they render a hairstyle look longer and narrower . Along the horizontal as well as vertical sides, diagonal rows are placed. They are also utilized to highlight facial expressions or diminish them.
Thus, from the above we can conclude that the correct option is A.
Halifax Shoes has 33% of its sales in cash and the remainder on credit. Of the credit sales, 65% is collected in the month of sale, 25% is collected the month after the sale, and 5% is collected the second month after the sale. How much cash will be collected in August if sales are estimated as $84,037 in June, $73,042 in July, and $86,560 in August? Round to the nearest penny, two decimal places.
We must take into account both the credit sales collection pattern and the monthly sales made in order to determine the cash collected in August.
Given: June sales equaled $84,037 July sales were $73,042 and August sales were $86,560. The percentage of cash transactions in overall sales is 33%. Therefore, the following formula can be used to determine cash sales each month: Cash sales for June were $27,741.21 ($84,037 * 0.33). Cash sales in July were $24,084.86 (73,042 * 0.33). Cash sales for August were $28,543.20 ($86,560 multiplied by 0.33). We need to use the collecting pattern for credit sales. The percentages of collections are as follows: - Paid during the month of the sale: 65% - 25% was collected one month after the sale. - 5% was collected one month after the sale. How to calculate the money received from credit sales: Amounts received in August based on June sales, $54,625.05 ($84,037 * 0.65). Cash received in August from transactions made in July equals $73,042 * 0.25, or $18,260.50. Cash sales and money received from credit sales combined: Total cash received in August equals the sum of cash received from sales in August, June sales, and July sales. Total funds received in August were $28,543.20, $54,625.05, and $18,260.50 for a total of $101,428.75. As a result, the amount of money collected in August is $101,428.75.
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Differentiate between economic and non economic activity with example.
Answer:
Economic activity refers to a human activity related to production and consumption of goods and services for economic gain. Non-economic activity is an activity performed gladly, with the aim of providing services to others without any regard to monetary gain. Economic, i.e. to earn money.
Explanation:
Answer:
Economic activities are performed for economic motive, i.e. earning profit. Any activities involving money or the exchange of products or services are economic activities.For instance, running a small business is a great example of economic activity.
On the other hand, non-economic activities are performed due to social or psychological reason. These are those activities which do not give income in return. They also do not contribute to the flow of goods and services in the economy.
Explanation:
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A car dealership performs a credit check on a potential customer. according to the credit bureau, the customer's credit score is 710. this is an example of
Answer:
Interval data
Explanation:
A credit bureau score is obtained when a company is about to give out a loan. It shows wether a person is likely to default on a loan based on historical borrowing behaviour.
When a score is between 580 to 669 means the scores are fair, 670 to 739 is a good score, while 740 to 799 is very good.
This way of scoring occurs in in a scale that occurs at equal intervals or units.
The scores are expressed as numerical value between points that are standardised and equal.
This is called interval data
Because an insurance policy is a legal contract, it must conform to the state laws governing contracts which require all of the following elements EXCEPT?
All of the following, with the exception of conditions, are required.
Describe insurance.One party will agree to compensate another in the event of a certain loss, damage, or injury in exchange for a fee in order to safeguard oneself from financial loss. It is a risk management technique that is typically used to guard against the danger of a hypothetical loss that may or may not materialise.
An underwriter, insurer, firm, or carrier is a company that provides insurance. A person or organisation that obtains insurance is known as a policyholder, whereas a person or organisation that the policy protects is known as an insured.
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Is it necessary to allocate resources?
Answer:
It depends on the context.
Explanation:
In the example of a government allocating resources to the country then yes. They would set budgets/allocate certain amount of resources to ensure there is enough resources for each department.
This is similar to how we manage finances on a daily or monthly basis (?) e.g. our parents give us pocket money every day so we have a limited funding and do not overspend
We then decide what we want to spend our money (allocating resources) on so we can get what we want to buy or what we want to save
During which part of the Product Life Cycle would a company use a profit-oriented pricing strategy?
The lifespan of a product depicts how long it remains on the market, from the moment it is first introduced to consumers until it is phased out and taken off the shelves.
What is the maturity stage of the product life cycle?Sales declined during the mature period, a sign that the market has started to become saturated. During this phase of the product life cycle, the price also starts to become competitive. The profit margins become slimmer as a result.
In most life-cycle situations, profits normally reach their greatest level during the early growth stages, but sales often reach their peak during the mature stages.
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its the mickey mouse slaughterhouse u come inside ur bloods inside
Answer:
I think the answer is D I'm pretty sure that's what I put
Explanation:
because why not
2. (1pt) what is the value of an infinite series of $50 semiannual payments growing at a rate of 4% every six months and with a discount rate of 10% apr compounded semiannually? how would your answer change if the growth rate was 5% every six months?
It usually multiplies by 100 to show the difference in GDP between one period and the next. This difference is expressed as a percentage of GDP from the previous period.
The value of the infinite series of payments is calculated as follows: Value = PMT/(r - g) Value = 50/(0.10 - 0.05) Value = 50/0.05 Value = $1,000 The value of the infinite series of payments with a growth rate of 5% Growth rate every six months, g = 5% = 0.05 APR = 20% compounded semiannually s = Number of semi-annual periods per year = 2
How is the perpetuity growth rate calculated?g is the increase in cash flows over time. The terminal value in year n (for instance, year 5) is the product of the growth rate and the free cash flow from year 5 multiplied by 1 divided by the WACC (w) – growth rate (g).
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under what conditions would it make sense for dropbox to have the kind of structure that has accounting, human resources, and it for each office location?
Dropbox needs an office where there is a lot of work to be done in order to develop a structure that combines accounting, human resources, and IT at the same time. This means that no idle time will be permitted since a human manager will continuously check their job.
What is Dropbox?Generally, In order for Dropbox to implement a structure that will simultaneously incorporate accounting, human resource management, and information technology, they need to have an office in which there is a significant amount of work to be completed.
This means that idle time won't be tolerated, as human managers will continue to keep an eye on how hard employees are working.
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Exploratory research is useful when _____.
A. Marketers have many broad research questions and need to narrow them down into more precise questions
B. Marketers have plenty of data but aren’t sure what it means
C. Marketers aren’t sure what to research. D. Marketers want to do something brand new
Exploratory research is useful when Marketers have many broad research questions and need to narrow them down into more precise questions. The correct option is A.
The Exploratory research is the research and the primary research which is used to clarify or confirm the exact cause of the problem which has to be solved.
The main goal of Exploratory research is to clarify the problem, clarify the niche concept and the form of hypotheses. The four types of Exploratory research which is case studies, field observations, focus groups and interviews of Exploratory research.
The demerit or negative side of Exploratory research is lack of arrange analysis and small sample prediction.
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In 2017, the company purchased $1,860 in new fixed assets. how much in fixed assets did the company sell?
To determine how much in fixed assets the company sold, we need company's sales.
The given statement only provides information about the company's purchase of $1,860 in new fixed assets in 2017. It does not mention any specific details about the company's sale of fixed assets. Therefore, without additional information, we cannot accurately determine the exact amount of fixed assets the company sold in 2017.
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according to mainstream economists, the fed's adherence to a traditional monetary rule rather than to discretionary monetary policy is likely to: group of answer choices
According to mainstream economists, the fed's adherence to a traditional monetary rule rather than to discretionary monetary policy is likely to reduce the influence of political pressures on monetary policy decisions.
Monetary policy is the process by which a government, central bank, or monetary authority controls the supply of money, often targeting an inflation rate or interest rate to ensure price stability and general trust in the currency. Monetary policy decisions can be made via discretionary or traditional monetary policy rules.
The mainstream economists argue that the fed's adherence to a traditional monetary rule would be better than discretionary monetary policy because it would lower the influence of political pressure on monetary policy decisions. A traditional monetary rule indicates that the central bank should concentrate on keeping the supply of money in line with the development of real GDP to maintain price stability. When real GDP rises, the money supply can grow proportionately to maintain constant prices. By contrast, when the economy is in a recession, the supply of money should be reduced to keep prices stable, which would assist in economic growth.
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If a market is in equilibrium, then it is impossible for a social planner to raise economic welfare by increasing or decreasing the quantity of the good. True or false?.
False. If a market is in equilibrium, it means that the quantity demanded by consumers is equal to the quantity supplied by producers, and there is no shortage or surplus of the good.
In this situation, the market is efficiently allocating resources and maximizing economic welfare. However, it is possible for a social planner to raise economic welfare by either increasing or decreasing the quantity of the good. If the social planner increases the quantity of the good, it could lead to an increase in consumer surplus, as more consumers are able to purchase the good at a lower price. This can result in a higher overall economic welfare.
Conversely, if the social planner decreases the quantity of the good, it could lead to a decrease in consumer surplus, as fewer consumers are able to purchase the good at a higher price. However, this reduction in quantity may be necessary to address externalities or market failures, which can improve overall economic welfare.
Therefore, in equilibrium, it is not impossible for a social planner to raise economic welfare by adjusting the quantity of the good.
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True or false: Design thinking can help narrow the gap between businesses and customersâ perceptions?
It is true that Design thinking can help narrow the gap between businesses and customers perceptions
What is Design Thinking?Design thinking refers to procedures use to solve problems or find solutions to problems by placing the customers needs above all.
It is base on observation, how people relate with their environment and use iterative approach to profer solutions to problems.
Therefore,
Design thinking can help narrow the gap between businesses and customers perceptions
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What are the causes of corruption and fraud in the public sector
Answer: All before-mentioned forms of corruption occur in the public sector, including bribery, embezzlement, illicit enrichment, trading in influence, and abuse of functions (which can involve favouritism and nepotism).
Explanation:
Answer:
•Country size.
•Country age.
•Resource curse.
•Political instability.
•Wages.
•Lack of rule of law.
•Failure of governance.
•Size of government.
Explain how your money personality affects your spending behavior.
Answer:
I think that
Explanation:
if you spend your time making money your either the person who would like to spend it on stuff, or you would save it up for something.
How much interest would a person pay to borrow $700 for 9 months at 10 percent?
The principal is Rs 10,000, the interest rate is 10%, and the loan term is six years. The simple interest can be calculated as follows: A = 10,000 (1+0.1*6) = Rs. 16,000. Interest is 16000 divided by 10,000, or Rs. 6,000.
What is interest rate?The amount of interest due each period expressed as a percentage of the amount lent, deposited, or borrowed is known as an interest rate.
The total interest on a loaned or borrowed sum is determined by the principal amount, the interest rate, the frequency of compounding, and the period of time the loan, deposit, or borrowing took place.
The interest rate over a year is known as the annual interest rate. Other interest rates are applicable over shorter time frames, such a day or a month, but they are typically annualized.
An index of the preference for a dollar of present over a dollar of future has been used to describe the interest rate.
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During the current period, 14,000 units were produced and 12,000 units were sold. Fixed manufacturing costs incurred amounted to $126,000. An absorption costing income statement would report fixed manufacturing costs as which of the following?
A) Costs of $108,000 as a deduction from gross profit to obtain operating income
B) Overhead of $126,000 as a deduction from sales revenue to obtain gross profit
C) Overhead of $108,000 as a deduction from sales revenue to obtain gross profit
D) Costs of $126,000 as a deduction from sales revenue to obtain contribution margin
The absorption costing income statement would report fixed manufacturing costs as:
A) Costs of $108,000 as a deduction from gross profit to obtain operating income.
To answer your question regarding fixed manufacturing costs in an absorption costing income statement, we first need to calculate the fixed manufacturing cost per unit.
Step 1: Calculate the fixed manufacturing cost per unit.
Fixed manufacturing costs incurred = $126,000
Units produced = 14,000
Fixed manufacturing cost per unit = $126,000 / 14,000 = $9 per unit
Step 2: Calculate the fixed manufacturing costs for the units sold.
Units sold = 12,000
Fixed manufacturing cost per unit = $9
Fixed manufacturing costs for units sold = 12,000 * $9 = $108,000
Based on the calculations, an absorption costing income statement would report fixed manufacturing costs as a cost of $108,000 as a deduction from gross profit to obtain operating income. This corresponds to option A in your question.
In summary, the absorption costing income statement would report fixed manufacturing costs as:
A) Costs of $108,000 as a deduction from gross profit to obtain operating income.
This is because only the fixed manufacturing costs associated with the units sold (12,000 units) are considered when calculating the operating income in absorption costing.
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Jerome Garcia started a new business and completed these transactions during August:
1 Garcia invested P48,000 cash in the business.
1 Rented office space and paid P800 cash for the August rent.
3 Purchased exploration equipment for P22,000 by paying P12,000 cash and agreeing to pay the balance in 3 months.
5 Purchased office supplies by paying P1,500 cash.
15 Completed exploration work and immediately collected P420 cash for the work
8 Purchased P1,350 of office equipment on credit.
15 Completed exploration work on credit in the amount of P8,000.
18 Purchased P700 of office supplies on credit.
20 Paid cash for the office equipment purchased on August 8.
24 Billed a client P2,400 for work completed; the balance is due in 30 days.
28 Received P5,000 cash for the work completed on August 15.
30 Paid the assistant’s salary of P1,100 cash for this month.
30 Paid P340 cash for this month’s utility bill.
30 Garcia withdrew P1,050 cash from the business for personal use.
Required
1. Arrange the following asset, liabilility , and equility titles in a table: Cash: Accounts Receivable: Office Supplies: Exploration Equipment: Accounts Payable: Jerome Garcia: Capital: Jerome Garcia: Withdrawals: Revenues: and Expenses.
2. Use additions and subtractions to show the effects of each transaction on the accounts in the accounting equation. Show new balances after each transaction.
Answer:
im not sure but i think it was 800,00
Explanation:
A basic tool of accounting is the accounting equation. Here, the assets should always be equal to the liabilities and capital.
What is Accounting Equation?
This equation represents resources controlled by the business's current business liability and residual interest in ownership of assets.
It says assets should always be equal to liabilities and capital.
Assets = Liabilities + Capital
The calculation of the assets, liabilities and capital are shown in the image below:
Hence, refer to the image below to see the accounting equation with the given below information.
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What factors do business firms need to consider when deciding on how many workers to hire?
hardworking personal
Explanation:
when a servant is hardworking, he or she helps to grow well
Today’s job seekers will need to have not only the skills a company is seeking to fill a position, but also______
Answer:good work ethiks...?
Explanation:
which type of appraisal credential allows an appraiser to appraise all types of real property?
The appraisal credential that allows an appraiser to appraise all types of real property is the Certified General Appraiser credential.
This credential is obtained through fulfilling specific education, experience, and examination requirements set by the Appraisal Qualifications Board (AQB) in the United States.
A Certified General Appraiser is qualified to appraise various types of properties, including residential, commercial, industrial, agricultural, and special-purpose properties.
This credential signifies a higher level of expertise and knowledge in the field of real estate appraisal, enabling the appraiser to provide professional valuation services for a wide range of property types.
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