"On the income statement, Sales revenue less Credit card discounts less Sales discounts less Sales returns and allowances equals the line item called net sales."
What is an income statement?An income statement, often known as a profit and loss statement or P&L, is a financial statement that measures a company's revenues and expenses over a set period of time. The goal of an income statement is to provide an accurate picture of a company's profitability or loss for the period.
The line item called "Net Sales" represents a company's revenue from selling its products or services, minus any discounts or refunds provided to customers. This figure indicates the actual revenue earned by the company during the reporting period after accounting for any discounts or allowances provided to customers.
It is a significant line item on the income statement, as it represents the primary source of revenue for most companies.
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Which of the following is an example of promotion?
A The quality of a product
B. The price of a product
C. An advertisement
D. An employee who works for your company
Answer:
A. An advertisement
Explanation:
Answer:
it is c
Explanation:
on edg 2021
Résumés should be written in complete sentences.
Please select the best answer from the choices provided
TRUE OR FALSE?
ANSWER: FALSE
Answer:
false lol thx
Explanation:
I need help bruh. Prereading activities include A. concept mapping B. discussion C. Questioning D. all of these
Answer:
D
All of these
Explanation:
Business Weekly conducted a survey of graduates from 30 top MBA programs. On the basis of the survey, assume the mean annual salary for graduates 10 years after graduation is 150000 dollars. Assume the standard deviation is 38000 dollars. Suppose you take a simple random sample of 98 graduates.
(a) Find the probability that a single randomly selected policy has a mean value between 139252 and 141171. 3 dollars.
P(139252 < X < 141171. 3) =?
(Enter your answers as numbers accurate to 4 decimal places. )
(b) Find the probability that a random sample of size n=98 has a mean value between 139252 and 141171. 3 dollars.
P(139252 < M < 141171. 3) =?
(Enter your answers as numbers accurate to 4 decimal places. )
Based on the mean annual salary and the standard deviation, the following are true:
Probability of P(139252 < X < 141171. 3) = 0.0193.Probability that random sample has P(139252 < M < 141171. 3) = 0.0081.What is the Probability of P(139252 < X < 141171. 3)?= P ( (139,252 - 150,000) / 38,000) < Z score < P ( (141,171.30 - 150,000) / 38,000)
= P(-0.28 < Z < -0.23)
Using Z table:
= (1 - 0.5910) - ( 1 - 0.6103)
= 0.0193
What is the Probability that random sample has P(139252 < M < 141171. 3) ?= P ( (139,252 - 150,000) / (38,000 / √98)) < Z score < P ( (141,171.30 - 150,000) /(38,000 / √98))
= P(-2.80 < Z < -2.30)
Using Z table:
= (1 - 0.9893) - (1 - 0.9974)
= 0.0107 - 0.0026
= 0.0081
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an irregularity is an unintentional distortion of the financial statements.
T/F
An irregularity is an unintentional distortion of the financial statements. This statement is false.
What are financial irregularities?
Financial irregularity encompasses, but is not restricted to, possible fraud or other impropriety, poor administration, and using the grant for anything else what is specified in the grant funding agreement. Accounting errors include misstatement, misclassification, and misrepresentation. These types of frauds affect financial accounts. Any illegal act or omission by any person in charge of the management of an entity that has caused or is reportable irregularity is one that is likely to result in substantial financial loss for the organisation, any partners, members, shareholders, or creditors.
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true or false?
websites are a good place to research companies before an interview
the answer is true
Explanation:
because sometimes other people can said that it is good or bad. so you can see if it is good or bad
Answer:
I would believe that this is true.
Explanation:
Especially now In the 21st century, we use the internet for a lot of things, and for good reason too. Websites are a great place to start off looking before an interview. Hope this helps!
What are 2 possible explanations that might explain extra entry?
Human error and Fraud or manipulation are 2 possible explanations that might explain extra entry.
There are several possible explanations for an extra entry, depending on the context. Two possible explanations are:
Human error: It is possible that the extra entry is the result of a simple mistake or oversight. For example, a data entry clerk may accidentally enter the same information twice, or a cashier may accidentally ring up an item twice. Human error is a common cause of extra entries and can usually be corrected easily by reviewing the data and identifying and removing the duplicate entry.
Fraud or manipulation: In some cases, an extra entry may be the result of deliberate fraud or manipulation. For example, an employee may create a fake vendor or customer account and submit false invoices to generate extra entries and siphon off funds. Alternatively, a hacker may gain unauthorized access to a system and create extra entries to cover their tracks or steal funds. In such cases, it is essential to investigate the source of the extra entry and take appropriate action to prevent further fraud or security breaches.
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Commenced business with cash of Rs 20,000 and Goods worth Rs 25,000
Answer:
Whats the question
Explanation:
QUARANTHINGS CORPORATION has the following information relating to its cash flows from operating activities for the year ended December 31, 2020: Outflow for inventory purchases 110,500 Inflow from customers 200,800 Outflow to pay salaries 80,400 Outflow for other operating expenses 70,600 Inflow from interest revenues (long-term investments 10,700 Required: How much is the net cash flow from operating activities?
QUARANTHINGS CORPORATION has the following information relating to its cash flows from operating activities for the year ended December 31, 2020:
Outflow for inventory purchases 110,500 Inflow from customers 200,800 Outflow to pay salaries 80,400 Outflow for other operating expenses 70,600 Inflow from interest revenues (long-term investments 10,700.In order to calculate the net cash flow from operating activities, we will use the direct method which involves calculating the net cash inflow/outflow for each line item of the cash flow statement and adding them together.
Net cash inflow/outflow from operating activities can be calculated by subtracting the total cash outflows from the total cash inflows. The cash inflows are the total inflow from customers plus the interest revenue from long-term investments. Thus, we can calculate the total cash inflows as follows: Total cash inflows = Inflow from customers + Inflow from interest revenues. Total cash inflows = $200,800 + $10,700Total cash inflows = $211,500The cash outflows are the total outflow for inventory purchases, salaries, and other operating expenses. Thus, we can calculate the total cash outflows as follows: Total cash outflows = Outflow for inventory purchases + Outflow to pay salaries + Outflow for other operating expenses. Total cash outflows = $110,500 + $80,400 + $70,600Total cash outflows = $261,500Now, we can calculate the net cash flow from operating activities as follows: Net cash flow from operating activities = Total cash inflows - Total cash outflows Net cash flow from operating activities = $211,500 - $261,500Net cash flow from operating activities = -$50,000Therefore, the net cash flow from operating activities for QUARANTHINGS CORPORATION for the year ended December 31, 2020 is -$50,000.
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A government can correct a negative externality of consumption by...
A)A tax
B)A price ceiling
C)A subsidy
D)None of these
Answer: A tax
Explanation: Negative externalities may be explained as the adverse effect or burden placed on those outside the the production or market of a particular product or those who aren't involved in its production by the manufactures or producers. The burden or inconveniences caused isn't compensated or rewarded. Such action is referred to as negative externalities. Negative externalities could include ; Noise and air pollution, physical damage to infrastructure such as roads or buildings, traffic and so on. Therefore introducing taxes means producers of negative externalities pay for the cost of repair of the social damage systematically perpetrated.
Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.
Banks do not hold a lot of their assets in the form of cash mainly because of the opportunity cost of holding cash, cash does not earn interest. The correct option is C.
Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.
The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.
Therefore, due to the opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .
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what is a difference between the cell walls of prokaryotes and the cell walls of eukaryotes?
Prokaryotic cell walls are chemically distinct from eukaryotic factory cell walls, which are substantially composed of cellulose.
Utmost eukaryotes also engage in sexual reduplication( although some protists and single- celled fungi may reproduce through mitosis, which is functionally analogous to asexual reduplication). Prokaryotes reproduce asexually, performing in an exact clone of the parent in the seed.
According to generalities of Biology, certain prokaryotic cells also include pili, which are sticky hair- suchlike protrusions employed to change inheritable material during a form of sexual procedure known as conjugation. In addition to some types of algae and fungi, bacteria and protozoans can conjugate.
A stiff cell wall surrounds the tube membrane in the maturity of prokaryotic cells, giving the organism its form. Invertebrates warrant a cell wall in eukaryotes, although shops do.
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Sam, age 35, and kathy, age 33, are married and have a son, age 1. sam is employed as an accountant and earns $60,000 annually. kathy is an associate professor of finance at a large university and earns $120,000 annually. both are currently and fully insured under the oasdi program. assume you are financial planner who is asked to give them advice concerning oasdi and other social insurance programs. answer each of the following questions based on the following situations. treat each situation separately. a. sam is killed instantly in an auto accident. would kathy and their son be eligible for receive oasdi survivor benefits?b. kathy has laryngitis that damaged her vocal cords.e. sa po as a result, she can no longer teach. she is offered a research position in the business research bureau of the university where she is employed. to what extent if any would kathy be eligible to receive oasid disability benifits?c. a deranged student fired a pistol at kathy because u- he her di of ia- she gave him a grade of d+. as a result, kathy was seriously injured and is expected to be off work for at least one year while she is recovering. to what extent, if any, would existing social insurance pro- grams in the united states provide income during the period of temporary disability? d. sam would like to retire at age 62 and still work part-time as an accountant. he has been informed that the oasdi earnings test would be relevant in his case. explain how the earnings test might affect his decision to work part-time after retirement. e. sam resigned from his job to find a higher-paying position. explain whether sam could receive unem- ployment insurance benefits during the period of temporary unemployment before he finds a new job.
Sam, age 35, and Kathy, age 33, are married and have a son, age; The Financial stands resolve will be
To the extent that Sam's wife qualifies for OASDI payments in the event of his death due to an automobile accident, she will receive them.Kathy's vocal cord is a significant contributor to her income since she is a teacher, but she can only get disability benefits if she has been selected for them.Kathy will be eligible for temporary disability benefits under the United States' social insurance program since she was injured on the job and has opted into the program.Sam's benefits will be reduced by $1 for every $2 he earns over the $17040 level in 2018; however, he will not see a decrease in his benefits if his income is between $45,306 and the maximum allowable amount of $45,306.Sam's desire for a greater salary is not a qualifying cause for unemployment insurance.Who is a financial planner?Generally, a financial planner is simply defined as one form of a financial adviser, the financial planner, focuses on helping clients develop and implement strategies for achieving their long-term financial objectives.
In conclusion, Finance is managing substantial resources, as practiced by governments or major corporations.
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todd tends to be calm, secure, imaginative, and independent. on the big five traits, he likely scores on neuroticism and on openness. please choose the correct answer from the following choices, and then select the submit answer button. answer choices low; high high; low high; high low; low
The acronyms OCEAN or CANOE, which stand for openness to experience, conscientiousness, extraversion, agreeableness, and neuroticism, are frequently used to describe the five variables.
Which of the five major personality qualities affects daily performance the most?According to Essentials of Organizational Behavior: 14th Edition, conscientiousness is one of the big five personality traits that has the biggest influence on how well an employee performs at work. People who score higher on this characteristic are likely to have higher levels of job-related knowledge since highly conscientious individuals study more.
The Big 5 qualities stand for what?Many contemporary personality psychologists believe that the "Big 5" personality traits represent the five fundamental aspects of personality. These five primary personality traits are extraversion, agreeableness, conscientiousness, openness to experience, and conscientiousness.
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Eric is maximizing his total utility through his choices of two goods: clothes and food. His marginal utility of clothes is 60 and his marginal utility of food is 12. The price of clothes is $20. What must be the price of food
Answer:
$4 per unit
Explanation:
utils per $1 spent on clothes = total utils from clothes / price of clothes = 60 / $20 = 3 utils per dollar spent
since Eric is maximizing his total utility, then the utils obtained from food must also equal 3 per every dollar spent on food:
3 = 12 / price of food
price of food = 12 / 3 = $4 per unit
refer to the diagram for a pure monopolist. monopoly price will be:
The correct response is A) c. monopoly price will be c. See the illustration for a pure monopolist. The price of monopoly will be: c.
The game's name alludes to the economic concept of a monopoly, which is when one company dominates a market. A real estate board game for two to eight players is called Monopoly. By purchasing and developing real estate, the player aims to maintain financial stability while driving rivals into bankruptcy. The game is over once bankruptcy occurs. The winner is whoever is the last player standing on the board. The board game Monopoly was created with capitalism in mind. Its history is also true. World of Money One of the most popular board games in history is called "Monopoly." The game's longevity may in part be attributed to American folklore, which holds that anyone may achieve financial success with just a small bit of money.
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Refer to the diagram for a pure monopolist.
Monopoly price will be
A) c.
B) a.
C) e.
D) b.
What are the risks and benefits of implementing a penetration pricing policy as compared to a competitive pricing policy?
Answer:
Penetration pricing is a pricing strategy where a company charges less than its competitors in order to entice its competitors' customers to patronise them instead.
Competitive pricing on the other hand will see a company charging the same price as its competitors.
Benefits of using Penetration pricing over Competitive
Reduce competition - If the company engaging in penetration pricing is large enough with more influence in the market, charging less than competitors might lead to competitors leaving the market as the prices will be too meagre for them to cover costs. Market Dominance - using penetration pricing can lead to customers moving from the competitors to the company using penetration pricing thereby giving that company market dominance. Economies of scale - Penetration pricing allows the company to sell more quantity of its product which means that it will have to produce more and this will reduce average costs for the company.Risks involved
Price War - There is a risk of a price war if a company uses penetration pricing. A price war happens when a company reduces its prices and their competitors react by reducing their own prices as well. It might led to a situation where this continues until all the companies are making significant losses. Brand Image damage - Cheaper products are usually perceived as having lower quality. Reducing prices might see customers believing instead that the brand is poor and so they may avoid it. Attracts low loyalty - The customers gained through this strategies most often have little brand loyalty and when a better deal comes than the one they are being offered in that moment, they will leave.when money is set aside to be used for future purchases, it is serving as a
when money is set aside to be used for future purchases, it is serving as a savings.
Savings is the portion of one's income that is set aside for future use or investment. By saving money, individuals or businesses can accumulate funds to make purchases, invest in assets, or prepare for unexpected expenses. Savings can be held in various forms, such as cash, bank accounts, or investment vehicles. The act of saving is an essential part of personal finance, and financial experts often recommend saving a certain percentage of one's income each month to achieve financial security and meet long-term financial goals.
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Jordan has $5,000 that he won't need to access for at least five years, and he
wants to earn the highest interest possible. Which type of account would be
the best option for Jordan?
A. Money market account
OB. Savings account
OC. Checking account
OD. Certificate of deposit
Answer:
The best option for Jordan would be a certificate of deposit (CD).
Answer:
Certificate of deposit
if you owe suppliers $100 and typically buy $20 worth of products per day, then your days payable equals:
if you owe suppliers $100 and typically buy $20 worth of products per day, then your days payable equals: 5 days.
To calculate your days payable, you can use the following formula:
Days Payable = (Accounts Payable / Average Daily Purchases)
To use this formula, you first need to calculate your average daily purchases. In this case, you typically buy $20 worth of products per day. Therefore, your average daily purchases are $20.
Next, you can plug in the values into the formula:
Days Payable = ($100 / $20) = 5
Therefore, your days payable is 5. This means that it takes you an average of 5 days to pay your suppliers.
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The type of interest earned on a deposit account that is calculated on both the principal deposit
amount and on any previously earned interest is called:
A simple interest
B compound interest
C variable interest
D exchange rate
Que consecuencias podria tener una subita caida del valor de las acciones para quienes compraban acciones con prestamos
La respuesta correcta para esta pregunta abierta es la siguiente.
No especificas el país o la Bolsa de Valores en específico, ni una fecha determinada, por lo que responderemos en términos generales.
Las consecuencias que podría tener una súbita caída del valor de las acciones para quienes compraban acciones con prestamos es que pierdan una gran parte del valor en lo que tenían invertido por la repentina caída de los precios en la Bolsa.
Además, si compraron las acciones con préstamos, la consecuencia también es que no van a tener la liquidez suficiente para poder enfrentar los pagos de esos préstamos o por lo menos, los pagos de los intereses, aunque no puedan pagar también al capital, para poder disminuir su deuda.
Este es el problema tan recurrente y grave que se presenta en los mercados de valores de cualquier Bolsa a nivel mundial. Es tan manipulable que cualquier variable hace que de repente el valor de una acción suba sin precedentes, pero al siguiente instante se desplome todavía más rápido sin mayor justificación válida.
What is 201 x 1920 and 29 x 29 and 9 x 9 + 9 and fish?
all your pain in one question: (ever experienced one before?)
1. someone bypasses because you are destroying them in a argument
2. someone starts an 30 minute argument with you and doesn't let you leave
3. you encounter a 3rd grader
4. you encounter a 7th grader whos really dense and/or illiterate
5. getting your account deleted for false things.
all your proud moments in one question: (ever experienced one before?)
1. you win a argument
2. you get your account back
3. get revenge because someone reported you for no reason and their question was "PLSS i want A friend PLSSS"
4. help someone pass a test
5. actually learn from brainly
Answer:
jkjjjjjjkjkkoolllllkkkkjuojukjuojikji
how the company handles its credit accounts. this includes methods of invoicing and collecting past-due accounts.
How the company handles its credit accounts. this includes methods of invoicing and collecting past-due accounts' cost of capital.
An invoice, invoice or tab is a business document issued via a vendor to a customer regarding a sale transaction and indicating the products, quantities, and agreed-upon expenses for products or services the vendor had supplied the purchaser. fee terms are normally said at the bill. these may also specify that the customer has a most number of days to pay and is every now and then supplied a reduction if paid before the due date. The consumer ought to have already paid for the goods or offerings listed at the invoice. To keep away from confusion and consequent pointless communications from consumer to supplier, a few dealers simply state in huge and capital letters on an bill whether or not it has already been paid. From a dealer's factor of view, an invoice is a sales invoice. From a client's factor of view, an bill is a buy invoice. The file indicates the consumer and seller, however the term bill indicates cash is owed or owing.
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6. What type of force is your answer in number 4?
Answer:
What was your answer in number 4?
If a business produces and sells only one unit of a good, its profit would be the:
a. return paid to the firm's bank on its outstanding loans.
b. price of the product minus the wages paid for the labor used to produce it.
c. price of the product minus the cost of the resources used to produce the product.
d. wages paid for the labor used to produce the product minus the price.
e. price received for the good.
e. price received for the good.The profit of a business that produces and sells only one unit of a good is determined by subtracting the cost of resources used from the price received for the good
When a business produces and sells only one unit of a good, its profit is calculated by subtracting the cost of producing that unit from the price received for selling it. In this scenario, the business does not have any outstanding loans or labor costs, as it produces and sells just one unit. Therefore, the profit would simply be the price received for the good.
For example, if the business sells the unit for $50 and the cost of resources used to produce it is $30, the profit would be $50 - $30 = $20.
The profit of a business that produces and sells only one unit of a good is determined by subtracting the cost of resources used from the price received for the good. Hence, the correct answer is e. price received for the good.
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(Related to Checkpoint 9.3) (Bond valuation) Doisneau 25-year bonds have an annual coupon interest of 14 percent, make interest payments on a semiannual basis, and have a $1,000 par value. If the bonds are trading with a market's required yield to maturity of 12 percent, are these premium or discount bonds? Explain your answer. What is the price of the bonds? G a. If the bonds are trading with a yield to maturity of 12%, then (Select the best choice below.) O A. the bonds should be selling at a premium because the bond's coupon rate is greater than the yield to maturity of similar bonds. O B. there is not enough information to judge the value of the bonds. O C. the bonds should be selling at par because the bond's coupon rate is equal to the yield to maturity of similar bonds. O D. the bonds should be selling at a discount because the bond's coupon rate less than the yield to maturity of similar bonds.
The bonds are trading at a discount.
When the market's required yield to maturity is lower than the bond's coupon rate, the bond is said to be trading at a premium. However, in this case, the market's required yield to maturity is 12%, which is lower than the bond's coupon rate of 14%. This indicates that the bond is trading at a discount.
A bond's yield to maturity represents the total return an investor can expect to receive if the bond is held until maturity. When the yield to maturity is lower than the bond's coupon rate, it implies that investors are willing to accept a lower return on their investment compared to the coupon payments offered by the bond. This drives the price of the bond down, resulting in a discount.
To calculate the price of the bonds, we can use the present value formula for bond valuation. The price of a bond is the present value of its future cash flows, which include the coupon payments and the face value (par value) received at maturity. Given the coupon rate, coupon payments frequency, yield to maturity, and par value, we can determine the price of the bond using financial calculations.
In this case, the Doisneau 25-year bonds have a 14% annual coupon rate, and interest payments are made semiannually. The par value is $1,000. With a yield to maturity of 12%, we can calculate the price of the bond using the present value formula and the cash flows associated with the bond's coupon payments and par value.
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firm-specific risk is also referred to as a. diversifiable risk, unique risk. b. systematic risk, market risk. c. diversifiable risk, market risk. d. systematic risk, diversifiable risk.
A risk that only pertains to one firm, market, or sector is referred to be specific by investors. Systematic risk or market-wide risk are the antithesis of this. Other names for specific risk include unsystematic risk and diversifiable risk. So option a is correct.
What does the term "particular risk" mean?To an investor, a specific risk is a danger that exclusively pertains to a single business, industry, or sector. It is the antithesis of systematic risk or market-wide risk. Specific risk is also known as unsystematic risk or diversifiable risk. A specific risk in finance is one that only impacts a small subset of assets. This is frequently referred to as "unsystematic risk." There would be a spread between overall market risk and risks unique to each asset in a well-balanced asset portfolio.
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When fire alarm sounds. Why should you evacuate children immediately even if you do not see flames?
Answer: because even if there is no fire there could be an explosion, fire and gasoline WILL make an explosion. So Basically it can start with fire but soon turn into an explosion. If it's a fire DRILL then it's for practice if that actually does happen.
If the price elasticity of supply for pickles is 2 and the price of pickles increases by 10 percent, then the quantity supplied of pickles will increase by
If the price of pickles increases by 10 percent, then the quantity supplied of pickles will increase by 20%.
Increase in quantity suppliedUsing this formula
Increase in quantity supplied=Price elasticity of supply for pickle×Increase in price of pickles
Let plug in the formula
Increase in quantity supplied=2×10%
Increase in quantity supplied=20%
Therefore If the price of pickles increases by 10 percent, then the quantity supplied of pickles will increase by 20%.
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