Broker-dealers are required to comply with post-registration requirements under the Uniform Securities Act, however agents of broker-dealers are exempt from these obligations.
What is investment?Investment is the commitment of funds toward the acquisition of an asset with the goal of achieving a growth in value over time. A current item, such time, money, or effort, must be sacrificed in order to invest. The goal of investing in finance is to profit from the asset that is being financed. A purchase made with the intention of earning money or gaining notoriety is referred to as an investment. An economic outlook defines an investment as the acquisition of products that are not consumed right away but will be used to create wealth down the road. Investments are assets that are bought or invested in to increase wealth and set aside cash from hard-earned income or appreciation.To learn more about investment, refer to:
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the preference of fund suppliers to choose to hold cash versus investing in long-term securities increases the cost of long-term borrowing. this cost can best be described as
Theory of Liquidity. According to the liquidity preference theory, investors choose medium- and long-term securities over short-term securities and demand progressively bigger premiums for them.
The premise that the need for liquidity has speculative power was supported by John Maynard Keynes' theory, and it states that liquid investments are simpler to sell for their full worth.
Most people agree that cash is the most liquid asset. The liquidity preference theory states that short-term securities have lower interest rates than medium- or long-term securities because investors do not have to give up liquidity for longer periods of time. The demand for money as expressed through liquidity is referred to as liquidity preference theory.
The relationship between interest rates and supply-demand was covered by John Maynard Keynes in his 1936 book The General Theory of Employment, Interest, and Money.
In the real world, an asset is more liquid if it can be changed into money more quickly.
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experience rating is a method of setting group premium rates that are based on projected healthcare costs of a group. true or false?
Experience rating is a method of setting group premium rates that are based on the projected healthcare costs of a group. True
An insured party's damage amount is rated according to how much harm other insured parties with comparable experiences have sustained. It is a technique for determining group premium rates based on an estimated group's medical expenses. Here, a group's premium rates are established by its demographics, claim history and historical healthcare usage.
In general, premium rates will be higher for groups with a history of higher healthcare consumption and claims, while premium rates will be lower for groups with a history of lower utilisation and claims. When discussing health insurance provided by an employer, experience rating is frequently utilised. It is a method for insurance providers to control risk and make sure they are charging reasonable premium rates for a certain population.
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The answers for rectification of errors accountancy
The answers for rectification of errors accountancy assuming that suspense account was opened.
What is the solution?Solution:
Rectification Entries in Journal
Date Particulars LF Amt(Dr) Amt(Cr)
1 Depreciation A/c Dr 4000
To Suspense A/c 4000
(Depreciation on machinery
was not posted to depreciation
account, now rectified)
2 Suspense A/c Dr 5000
To Debtor's A/c 5000
(Bad debts written-off were
not posted to debtor's
account, now rectified)
3 Discount Allowed A/c Dr 100
To Suspense A/c 100
(Discount allowed to customer,
not posted to discount account,
now rectified)
4 Drawings A/c Dr 800
To Suspense A/c 800
(Goods withdrawn for personal
use, not recorded in drawings
account, now rectified)
5 Bills Receivable A/c Dr 2000
To Suspense A/c 2000
(Bills receivable from a debtor
was not recorded in bills
receivable account, now rectified)
Suspense A/c
Date Particulars JF Amt(Rs) Date Particulars JF Amt(Rs.)
Debtor's A/c 5000 Depreciation A/c 4000
Balance b/d 1900 Discount Allowed A/c 100
Drawings A/c 800
Bills Receivable A/c 2000
6900 6900
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the difference between the cost of purchased or manufactured goods and the revenue generated by such costs is called
The difference between the cost of purchased or manufactured goods and the revenue generated by such costs is called Gross Profit
Gross profit, which is computed by deducting the cost of goods sold from total revenue, is the difference between a company's total revenue and its total cost of goods sold. Other names for it include gross income and gross margin.
The outcome of deducting cost of goods sold (COGS) from revenue is a company's gross profit, which is shown on its income statement (sales). The income statement of a corporation will contain these numbers.
For instance, if a company had $10,000 in revenue and $4,000 in COGS, the gross profit would be $6,000.
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Gross profit is defined as the difference between the cost of acquired or manufactured items and the income earned by such expenditures.
Gross profit on a product is the selling charge of your product minus the value of manufacturing it. For a carrier enterprise, it's the promoting charge of your carrier minus the price of the time spent doing the job. Gross earnings additionally refer to total income (also known as sales or turnover) minus the whole cost of income.
Gross earnings may be used to calculate any other metric, the gross income margin. This metric is useful for comparing an employer's production efficiency through the years. surely evaluating gross earnings from yr to yr or region to quarter may be deceptive, because gross profits can rise even as gross margins fall—a stressful fashion that would land an organization in hot water.
Even though the phrases are similar (and every so often used interchangeably), gross profit isn't similar to gross earnings margin. Gross profit is expressed as a currency value and gross income margin as a percent.
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john likes coca-cola. after consuming one coke, john has a total utility of 10 utils. after two cokes, he has a total utility of 25 utils. after three cokes, he has a total utility of 50 utils. a. complete the table below to show john's marginal utility for each coke. instructions: enter your answers as a whole number. cokes consumed marginal utility first coke second coke third coke b. does john show diminishing marginal utility for coke, or does he show increasing marginal utility for coke? multiple choice 1 diminishing marginal utility increasing marginal utility c. suppose that john has $6 in his pocket. if cokes cost $2 each and john is willing to spend the money to purchase the first can of coke, would he spend the money to purchase the second can of coke, too? multiple choice 2 yes no d. what about the third can? multiple choice 3 yes no e. if john's marginal utility for coke keeps on increasing no matter how many cokes he drinks, would it be fair to say that he is addicted to coke? multiple choice 4 no yes
If john's marginal utility for coke keeps on increasing no matter how many cokes he drinks, it would be fair to say that he is addicted to coke. He show increasing marginal utility for coke.
Does marginal utility grow or decline with time?
Most products have decreasing marginal utility. The law of declining marginal utility states that as a good is consumed more frequently, the additional satisfaction it brings a customer declines.
What does rising utility actually mean?
The overall enjoyment or valuation you receive when you use a specific good or service is referred to as utility. Understanding utility values is critical to comprehending why prices and demand for various commodities fluctuate. Products with higher utility typically have higher demand, allowing them to command higher prices.
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your pharmacy stocks progesterone cream 10%. how much stock cream is needed to fill the prescription?
Prescriptions for progesterone cream 10% are usually filled with a certain amount of the cream that is based on the strength of the cream and the amount of cream prescribed by the doctor.
To fill a tradition for progesterone cream 10, the drugstore must determine how important of the cream is demanded. For illustration, if the tradition specifies 5 grams of progesterone cream 10, the drugstore would need to give 5 grams of the cream. The drugstore would also measure out the proper quantum of progesterone cream 10 from their stock force and fill the tradition.
The progesterone cream 10 demanded to fill the tradition can be calculated by multiplying the strength of the cream( 10) by the quantum specified( in grams). For illustration, if the tradition specifies 10 grams of progesterone cream 10, the drugstore would need to give 100 grams of the cream( 10 x 10 grams). Once the drugstore has determined how important of the progesterone cream 10 is demanded to fill the tradition, they can also fill the tradition with the applicable quantum of the cream.
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Almost all economists agree that a legitimate role for the government is
One legitimate role for the government is to provide public goods and services. Public goods are those that benefit the entire population.
What is legitimate ?Legitimate is defined as something that is lawful, authorized, or in accordance with the law. It can also refer to something that is genuine, authentic, and accepted as valid.
such as national defense, infrastructure, and education. These goods are often provided by the government because private businesses would not be able to make a profit from providing them. Additionally, the government can provide services such as healthcare and social security that would otherwise be too expensive for individuals to purchase on their own.
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which of the following statements is true? group of answer choices a call center that employs agents who call as many customers as possible on a given day with a predetermined list of questions is an example of a project. the design of a floor plan that will be used in several houses in a new subdivision is an example of a program. a group of houses in a new subdivision built using the same floor plan is an example of a business-as-usual type of operation the design of a new aircraft and the production of a prototype is considered a project.
The design of a new aircraft and the production of a prototype is considered a project.
What is prototype?The prototype, which might be a straightforward drawing or rough model made from simple sketches and crude materials, aids innovators in figuring out what they need to rectify and improve in their design. To test a product before it is authorized for manufacturing, engineers might, for instance, finish a functional prototype. Design teams put ideas into concrete forms, from paper to digital, during the experimental phase of prototyping. To record design concepts and test them on consumers, teams create prototypes with varied levels of realism. You may improve and test your designs with prototypes so that your company can launch the proper products.To put it simply, a project is a collection of tasks that must be finished in order to achieve a particular goal. A set of inputs and outputs needed to accomplish a specific objective can also be referred to as a project. One person or one hundred people can manage a project, which might be simple or complex.To learn more about prototype refer to:
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prepare a contribution format income statement. prepare a traditional format income statement. calculate the selling price per unit. calculate the variable cost per unit. calculate the contribution margin per unit. which income statement format (traditional format or contribution format) would be more useful to managers in estimating how net operating income will change in response to changes in unit sales?
Traditional format income statement is a financial statement that shows a company's revenue, expenses and net income for a given period of time.
What is mean by traditional format and contribution format income statement?
1. Format income statement. 60000
2. A traditional format income statement. 18000
3. The selling price per unit. 300000/1000= 300
4. The variable cost per unit. 240000/1000=240
5. The contribution margin per unit. 60000/1000=60
It begins with the company's total revenues and then subtracts the cost of goods sold and other expenses such as operating, administrative and finance costs. The result of this calculation is the company's net income or net loss. This format has been used for many years and is still used by most companies. Contribution format income statement displays a company's total revenue, variable costs and contribution margin. The variable costs are the costs that are directly related to the production or sale of a product or service. The contribution margin is the revenue minus the variable costs and this gives the company its profit. This format is useful for analyzing the profitability of individual products and services as it gives a better picture of the profitability of each product or service.
This format is becoming increasingly popular as it gives a more accurate view of the company's financial performance.
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maribel needs to buy a new washer and dryer. she researched various brands and decided to purchase a maytag model. now she has to decide if she should buy it from a local appliance dealer or at one of the big box stores like best buy or lowe's. she is also wondering if she should wait to see if the model will go on sale over labor day. at what stage of the decision process is maribel?
The decision-making process is in the Maribel is purchasing stage.
What is purchase?A purchase is the act of receiving products or services in return for cash or another kind of payment. Typically, cash or credit is used for payment (to be paid later). A purchase might also be made in exchange for taking on an obligation or as part of a barter exchange including the exchange of various non-cash assets. Purchasing is the act of procuring products or services. Purchase refers to an object that has been made.A sell is what a purchase is not. When buying, the shorter word "buy" is frequently used in place of the longer term "purchase." With the exception of capital goods whose consumption is recorded as consumption of fixed capital, purchases of goods and services include the value of all commodities and services bought during the accounting period for resale or consumption in the manufacturing process.
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18. The Financial Markets Allocate Capital To Corporations By A) Reflecting Expectations Of The Market Participants In The Prices Of The B) Requiring Higher Returns From Companies With Lower Risk Than Their Ce Their Competitors. C) Rewarding Companies With Expected High Returns With Lower Relative D) Relying On The Opinion Of Investment Bankers.
The financial markets allocate capital to corporations by reflecting the expectations of market participants in the prices of securities so option A is correct.
By copping a security, investors are expressing their belief that the company will induce returns in excess of their cost of capital. As a result, companies with lower threat than their challengers will generally be awarded with lower cost of capital, enabling them to pierce further capital at a lower cost.
Companies with anticipated high returns will also be awarded with lower relative costs of capital, as investors are willing to pay a decoration for the advanced anticipated return. Eventually, the opinion of investment bankers can be influential in shaping the prospects of the request, but the final determination of capital allocation is determined by the collaborative opinions of the request actors.
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flash ebikes has a net profit margin of 6.2 percent and a dividend payout ratio of 40 percent. the capital intensity is 1.08 and the debt-equity ratio is .54. what is the sustainable rate of growth?
The sustainable rate of growth is 5.60%. When compared to other production inputs, particularly labor, capital intensity measures how much fixed or real capital is present.
What is capital intensity?It can be determined using the capital to labor ratio at the level of either a production process or the entire economy, for example, from the points along a capital/labor isoquant.Some examples of capital-intensive businesses are the manufacture of steel, the production of automobiles, the extraction and refining of oil, the telecommunications industry, and the transportation sector (e.g., railways and airlines).These industries all require significant capital investments. The assets required by a unit to produce income are measured by its capital intensity. Gross tangible fixed assets are divided by the number of full-time equivalent employees to arrive at this figure. Increased capital investment may contribute to higher labor productivity (output per worker). Long-term economic growth is significantly influenced by factors like capital intensity and labor productivity.To learn more about capital intensity refer to:
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for frequently purchased items such as soap, toilet paper, or laundry detergent, a consumer will likely perform a(n)
A consumer will likely perform a cost-benefit analysis when purchasing frequently purchased items.
A consumer will likely perform a cost-benefit analysis when purchasing frequently purchased items such as soap, toilet paper, and laundry detergent. This cost-benefit analysis involves weighing the pros and cons of the purchase, such as cost, quality, environmental impact, and convenience. Such analysis allows the consumer to make an informed decision and purchase the items that best meet their needs. Additionally, the consumer can compare prices and brands to ensure they get the best value for their money. Ultimately, this cost-benefit analysis can help a consumer make a smart purchase, saving them money and time in the long run.
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For frequently purchased items such as soap, toilet paper, or laundry detergent, a consumer will likely perform a(n) internal search for information.
An optimized internal search engine takes them immediately to what they're looking for, saving time for them and growing the fee of fulfillment for you. In fact, adding internal web page search can exponentially grow conversions; simply by using making your products or records less complicated to locate.
An internal search is one carried out inside an unmarried internet site. in place of combing the complete web for a reaction to a given question, an internal search engine affords consequences that may simplest be found on that particular internet site. Search engines are devoted to an unmarried internet site so that the internet user can quickly find website content material. An analysis of inner engines is to be had as part of the AT net answers.
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a defines how the marketing group will use its resources to support the company's goals for growth and earnings
A marketing plan outlines how to use the company's resources most effectively to accomplish its marketing goals.
What is marketing plan?An organization's advertising strategy for generating leads and reaching its target market is outlined in a marketing plan, which is a practical document.
A marketing strategy outlines the outreach and PR initiatives that will be implemented over time, along with how the business will evaluate their success.
Because a marketing plan is created based on a broad strategic framework, the phrases marketing plan and marketing strategy are sometimes used synonymously.
The strategy and the plan may occasionally be combined into one document, especially for smaller businesses that might only run one or two significant campaigns per year.
While the marketing strategy provides the overall value proposition, the plan details marketing actions on a monthly, quarterly, or annual basis.
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which is for a definite, fixed period of time? a) periodic estate b) tenancy at will c) tenancy at sufferance d) estate for years
A) Periodic tenancy agreements are perpetual. It remains in effect until terminated by writing notice from either the landlord or the tenant.
A period to period estate is what?Estate from one era to the next: a month-to-month lease with no end date. To terminate this kind of agreement, a side must give notice. Willful estate: There are no time limits or deadlines associated with an estate at will. The landlord could need to evict the renter to put an end to one.
An assured periodic tenancy of premises is what?A rolling tenancy without a set termination date is known legally as a periodic tenancy. When a fixed term expires, an assured shorthold tenancy becomes periodic unless you agree to another fixed term.
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stock a's stock has a beta of 1.30, and its required return is 12.00%. stock b's beta is 0.80. if the risk-free rate is 4.75%, what is the required rate of return on b's stock? (hint: first find the market risk premium.)
Stock a's stock has a beta of 1.30, and its required return is 12.00%. stock b's beta is 0.80. if the risk-free rate is 4.75%, On b's stock, the required rate of return is 9.21%.
What does the term "rate of return" mean?
A rate of return (RoR) is the net profit or loss of an investment over a specific time period expressed as a percentage of the investment's starting cost. When you compute the rate of return, you are calculating the percentage change from the start to the end of the period.
"Required return of Stock X = Risk-free rate + Beta of Stock X × Market risk premium
The required return of Stock A = Risk-free rate + Beta of Stock A × Market risk premium
=> 12.00% = 4.75% + 1.30 × Market risk premium
=> Market risk premium = 5.58%
The required return of Stock B = Risk-free rate + Beta of Stock B × Market risk premium
=> Required return of Stock B = 4.75% + 0.80 * 5.58%
=> Required return of Stock B = 9.21%"
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What percentage of sales revenue goes to the cost of sales for the XYZ company? XYZ offers salary plus commission and bonuses for sales personnel who reach their sales quotas. It has eight salespeople, each earning a base salary of $45,000 plus a 2-percent commission on sales. Sales were $3 million, and bonuses totaled $30,000 for the year.
The sales revenue would be gotten as 15 percent
How to solve for the sales revenueTo find the percentage of sales revenue that goes to the cost of sales for the XYZ company, we need to calculate the total cost of sales, which would include the cost of goods sold as well as any other direct costs associated with generating the sales, such as commissions paid to salespeople.
In this case, the cost of sales would be:
$45,000 (base salary for each salesperson) x 8 (number of salespeople) = $360,000 (total base salary for sales team)
$3,000,000 (total sales) x 2% (commission rate) = $60,000 (total commission paid to sales team)
$360,000 + $60,000 + $30,000 (bonuses) = $450,000 (total cost of sales)
To find the percentage of sales revenue that goes to the cost of sales, we divide the total cost of sales by the total sales revenue and multiply by 100:
$450,000 / $3,000,000 x 100 = 15%
So, the percentage of sales revenue that goes to the cost of sales for XYZ company is 15%.
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what will be the amount accumulated by each of these present investments? a. $5,000 in 5 years at 7% compounded annuall
7,673.95, the amount accumulated by an investment of $5,000 at 7% compounded annually for 5 years.
What is the future value of an investment and how is it calculated?The future value of an investment is the amount of money that an investment will be worth at a specified future date, taking into account the interest earned on the initial investment. The formula to calculate future value of an investment is FV = PV (1+r)^n, where PV is the present value of the investment, r is the annual interest rate, and n is the number of compounding periods. By plugging in the present value, interest rate, and number of compounding periods, you can calculate the future value of an investment.
For the questiom you provided to calculate the amount accumulated by an investment, you can use the formula for future value of an investment:
FV = PV(1+r)^n
Where:
FV is the future value of the investment
PV is the present value or the initial investment
r is the annual interest rate as a decimal
n is the number of compounding periods
In this case:
PV = $5,000
r = 0.07 (7% expressed as a decimal)
n = 5 (5 years)
So, using the formula:
FV = 5000(1+0.07)^5 = $7,673.95
Therefore, the investment of $5,000 at 7% compounded annually for 5 years will accumulate to $7,673.95.
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what is the value today of $4,300 per year, at a discount rate of 10 percent, if the first payment is received 6 years from today and the last payment is received 20 years from today? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
Value six years from now equals Cash flow in year seven divided by the discount rate, which increases by 10% yearly. What is the annual payment if the next instalment is $12?
What happens in Equals?
When two people in an emotionless utopia regain their emotions as a result of a mystery illness, conflicts arise between them and their community as they fall in love. A futuristic love story that takes place in a world without emotions. As it turns out, Equals is a reimagining of the venerable dystopian novel 1984 by George Orwell. That's correct: Kristen Stewart's dystopian-future film 1984 is the most recent innovation in the field of young actors in dystopian-future films.
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Yoana’s professor assigns a 10-page research paper due at the end of the semester. Other tasks with more immediate deadlines have her attention, so she decides to work on the paper later. Two days before the end of the semester, Yoana starts to write the research paper. Which time management style best describes Yoana’s approach?
a. Early bird
b. Improviser
c. Balancing act
Yoana's time management strategy at the end of the semester is best described as Improviser.
Why is it vital to create short-term objectives before achieving long-term objectives?It inspires them. You'll be far more likely to maintain your motivation over time if you routinely set short-term goals that are doable. Short-term objectives reduce procrastination as well. You can concentrate on one issue at a time since they lay out a precise and well-defined road to accomplishment.
What is the name for the objective a person hopes to accomplish in his or her lifetime?Personal goals might be short- or long-term objectives for your job, family, or way of life. They are intended to inspire you to pursue your goals in life.
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how does the public view businesses in the post-trust era?
In the post-trust period, the public overwhelmingly believes that firms act against with the interests of the public, and the vast majority of employees have a dubious view of their managers and coworkers.
What are company owners' interests?A stake in a corporation constitutes an equity investment, which is based on the notion of equity as proprietorship. Since individual purchase of stock in the organization entitles investors to a percentage of the firm's ownership, owners have an equity stake in the company.
Describe the five interest categories?The most prevalent types of interest include higher interest, variable interest, the annual percentile rate basic mortgage rate, discounting risk premium, simple desire to engage, and dividend income. Interest is a crucial consideration while choosing a vocation.
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Jeff is talking to a customer who is irate over a mix up with her bill. Jeff first lets her know that he is going to help resolve the situation using active listening skills. What is Jeff doing?
-setting the tone of the encounter
-gathering the facts
-working together on possible solutions
-negotiating a win-win solution
Jeff is doing negotiating a win-win solution is the situation using active listening skills.
What is active listening skills?For the purpose of demonstrating attention to the message being provided, active listening is the activity of being ready to listen, monitoring the verbal and nonverbal cues being used, and then responding appropriately. This kind of listening shows that the speaker and the listener have a shared understanding.Active listening is paying close attention to the speaker, comprehending what they are saying, responding to and reflecting on what they are saying, and remembering the information for later. This keeps the speaker and listener both actively participating in the dialogue.Managerial advice: To better grasp the speaker's message, use active listening strategies including paying close attention to their actions and body language.To learn more about active listening skills refer to:
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a company has the following cash transactions for the period. accounts amounts cash received from sale of products to customers $ 32,500 cash received from the bank for long-term loan 37,500 cash paid to purchase factory equipment (42,500 ) cash paid to merchandise suppliers (10,500 ) cash received from the sale of an unused warehouse 11,500 cash paid to workers (22,500 ) cash paid for advertisement (2,500 ) cash received for sale of services to customers 22,500 cash paid for dividends to stockholders (4,500 ) assume the balance of cash at the beginning of the period is $3,500. required: 1. calculate the ending balance of cash. 2. prepare a statement of cash flows. (cash outflows should be indicated by a minus sign.)
Here's the method for changing an earnings declaration into a declaration of money flow: establishing cash, plus/minus net income/loss, plus all sources of cash, minus all uses of cash equals ending cash balance.
How do you calculate money on stability statement?Add the whole amount of current non-cash belongings together. Next, discover the total for all present day assets at the backside of the present day property section.
Subtract the non-cash assets from the complete modern assets. This variety represents the amount of cash on the balance sheet
What is the money glide formula?Image result for calculate the ending balance of cash. two prepare a statement of money flows. (cash outflows should be indicated by means of a minus sign.)
The formula for running cash flow is: Operating money glide = working profits + non-cash fees – taxes + modifications in working capital The restaurant's running cash glide consequently equals $20,000 + $1,500 – $4,000 – $6,000, giving it a tremendous working money glide of $11,500
What is ending cash balance?On the money flows statement, ending Cash is the quantity of cash a employer has when including the exchange in cash and establishing cash balance for the contemporary fiscal period.
It equals the money and cash equivalents line on the stability sheet.
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when a real estate agent says the three most important factors when buying a property are location location location brainly
According to non-price competition, location, location, and location are the three most crucial considerations when purchasing a property.
When a real estate agent lists the three most crucial elements, what are they?If you've been working in real estate for any amount of time, you've probably heard the phrase "location, location, location" used to describe the three most crucial factors in real estate. That has been repeatedly stated by specialists who are well-known across the country in the media.
What are the main prerequisites for the existence of monopolies?When obstacles restrict businesses from entering a market with a single supplier, a monopoly develops. In contrast to monopoly markets, which have just one seller but unlimited number of buyers, perfectly competitive markets have both many buyers and sellers.
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the concept which states that directors must carry out their responsibilities in a conscientious manner so that the corporation is not harmed by their actions is called
Due care is the idea that directors have to be careful when carrying out their duties so that the company doesn't suffer any harm.
What is the board of directors' purpose?A group of people who represent the shareholders' interests is called a board of directors. Additionally, it offers counsel to an organization's CEO and executive team. Without getting involved in the day-to-day operations, a board provides general oversight of operations.
What obligations do the stakeholders have to the board of directors to disclose all pertinent information?Transparency. Shareholders and other stakeholders should receive timely, precise, and concise information from the board regarding risks, conflicts of interest, and financial performance.
One category of agents that shareholders dislike is Directors. There are a variety of duties and responsibilities assigned to the directors. The term "fiduciary duties" refers to one of these obligations.
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what is the difference in the employment levels of high school graduates between 2007 and 2016? include a negative sign if the employment level has decreased
The difference in the employment levels of high school graduates between 2007 and 2016 (2016 - 2007 ) = -2960 thousand people.
a) Between 2005 and 2014, by how much did a. The labor force change?
The way to answer this question is to consider the labour force in 2014 and then compare it to the labour force in 2005
Labour force in 2014 = 155,922,000
Labour force in 2005 =149,320,000
It means the change in labour force = 155,922,000 - 149,320,000 =
6,602,000 or apporximately 6602.0 million
b) Change in Unemployment
The Unemployment figure for 2014 is 9,617,000
The figure for 2005 = 7,591,000
= 9,617,000-7,591,000 = 2,026,000 or 2,026.0 million
C) Change in Employment
To calculate this figure, we use the folliwng formula
Employed in 2014 = The labour of 2014 - the unemployed in 2014
Employed in 2005 = The labour of 2005 - the unemployed in 2005
Empoyed in 2014 = 155,922,000- 9,617,000 = 146,305,000
Employed in 2005 = 149,320,000- 7,591,000 = 141,729,000
= 146,305,000 - 141,729, 000 = 4,576,000 or 4,576.0 million
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describe other ways that organizations can improve affective, continuance, and normative commitment, other than the strategies suggested in this chapter. how expensive are those strategies?
There are several other strategies that organizations can use to improve affective, continuance, and normative commitment:
Employee involvement and participation: Encouraging employees to participate in decision-making, problem-solving, and goal-setting can increase their sense of ownership and commitment to the organization.Employee development and career advancement opportunities: Providing employees with opportunities for growth and development can increase their commitment to the organization and their own career development.Recognition and rewards: Recognizing and rewarding employees for their contributions can increase their motivation and commitment to the organization.Fairness and justice: Ensuring that employees are treated fairly and justly can increase their trust in the organization and their commitment to it.Effective communication: Open and effective communication can increase employees' understanding of the organization's goals and objectives, and improve their commitment to the organization.To know more about strategies refer to:
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consider the following scenario: your company wants to establish good privacy practices in the workplace so that employee and customer data is properly protected. well-established and defined privacy policies are in place, but they also need to be enforced. what are some ways to enforce these privacy policies? select all that apply
Some ways to enforce these privacy policies are - Audit access logs and
Lease privilege i.e. Option 1 and 3
Audit access logs refer to the records of all access attempts to a system or network, including information about the user, the time of access, and the action taken. These logs can be used to track and monitor access to sensitive information, detect unauthorized access attempts, and troubleshoot issues.
Least privilege is a security principle that states that a user should have the minimum level of access necessary to perform their job functions. This means that users are only given access to the resources and systems they need to do their job, and are not given unnecessary access that could be exploited by an attacker. This principle helps to reduce the potential attack surface of a system and minimize the impact of a security breach.
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Complete Question -
Your company wants to establish good privacy practices in the workplace so that employee and customer data is properly protected. Well-established and defined privacy policies are in place, but they also need to be enforced. What are some ways to enforce these privacy policies? Check all that apply.
1. Lease privilege
2. Print customer information
3. Audit access logs
4. VPN connection
what phase of simon s information systems and decision model requires developing alternative approaches to bringing about the required change?
The "Design" step of Simon's information systems and decision model includes creating different strategies for enacting the necessary change. It is common practice to evaluate and create decision-making systems using Simon's five-step information systems and decision model.
Is information systems an easy major?
It's true that information systems can be difficult because it's a very sophisticated topic of study. The majority of degree programs include a significant math component, and you'll need to take classes in topics like operating systems, network theory, and design. Depending on what you want to accomplish. You'll need a solid foundation in computer science if you're thinking about a tech-related profession, such as database engineer or network administrator.
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you have the opportunity to buy a perpetuity which pays $1,000 annually. your required rate of return on this investment is 15 percent. what is the price of this perpetuity?
you have the opportunity to buy a perpetuity which pays $1,000 annually. your required rate of return on this investment is 15 percent. The price of the perpetuity is $6,666.67.
The price of the perpetuity can be calculated using the formula: P = C / r, where P is the price of the perpetuity, C is the annual cash flow, and r is the required rate of return. In this case, P = $1,000 / 0.15 = $6,666.67. Therefore, the price of the perpetuity is $6,666.67.
An perpetuity is a security that pays for an endless measure of time. In finance, unendingness is a steady stream of indistinguishable incomes going on forever.
The idea of ceaselessness is likewise utilized in a few monetary speculations, for example, in the dividend discount model (DDM).
Return on investment (ROI) is a rough proportion of a venture's benefit. return on initial capital investment is determined by deducting the underlying expense of the venture from its last worth, then separating this new number by the expense of the speculation, lastly, duplicating it by 100.
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