Any asset on your personal balance sheet represents the resources owned by a person or organization. The loan you took out to buy the TV would be listed as a personal liability. So, the statement is true.
A balance sheet is a financial statement that provides a summary of a company's financial condition at a certain date. It includes assets, liabilities, and owner's equity, which are presented in a formal statement format.
A current liability is a debt that is due within one year, whereas a long-term liability is a debt that is due in more than one year.
A personal liability is a financial obligation that an individual owes to another individual or entity. Personal liabilities can include debts such as credit card debt, student loans, mortgages, and car loans.
These liabilities are typically listed on a personal balance sheet as either a current or long-term liability.
In summary, your big-screen HDTV would be listed as an asset on your personal balance sheet. However, the loan you took out to buy the TV would be listed as a personal liability. Thus it is true.
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which of the following accounting cycle steps describes the process of recording journal entries? multiple choice question. dollar amounts from entries are copied (posted) to the appropriate account in the ledger, so that account balances can be totaled. a list of accounts and ending balances are summarized, and the list is checked to be sure total debits equal total credits. transactions are recorded chronologically showing the accounts debited along with the corresponding accounts credited.
The accounting cycle step that describes the process of recording journal entries is transactions are recorded chronologically showing the accounts debited along with the corresponding accounts credited. So, the correct option is C).
Transactions are recorded chronologically showing the accounts debited along with the corresponding accounts credited. This step is known as the journalizing or journal entry step of the accounting cycle.
It involves the systematic recording of all financial transactions in a chronological order, indicating the accounts debited and credited, and their respective dollar amounts.
This step is essential for the preparation of accurate financial statements and provides a basis for the next steps in the accounting cycle, including posting to the ledger and preparation of the trial balance. So, the correct answer is C).
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Texmex Food Company is considering a new salsa whose data are shown below. The equipment to be used would be depreciated by the straight line method over its 3-year life and would have a zero salvage value and no new working capital would be required. Revenues and other operating costs are expected to be constant over the project's 3-year life. However, this project would compete with other Texmex products and would reduce their pre-tax annual cash flows. What is the projects NPV?
(Hint: Cash flows are cosntant years 1-3)
WAAC = 10%
Pre tax cash flow reduction for other products(cannibalization) = $5,000
Investment costs(depreciable basis) = $80,000
Straight line depr rate = 33.333%
Sales revenues, each for 3 years = $67,500
Annual operating costs (excl deprec) = $25,000
Tax rate = 35.0%
To calculate the net present value (NPV) of the project, we need to determine the cash flows for each year and discount them to their present value using the weighted average cost of capital (WACC).
First, let's calculate the annual depreciation expense for the equipment:
Depreciation Expense = (Depreciable Basis) * (Depreciation Rate)
Depreciation Expense = $80,000 * 33.333% = $26,666.64
Now, let's calculate the annual cash flows for each year:
Year 1:
Cash Inflow = Sales Revenue - Operating Costs - Depreciation Expense - Cannibalization
Cash Inflow = $67,500 - $25,000 - $26,666.64 - $5,000 = $10,833.36
Year 2:
Cash Inflow = Sales Revenue - Operating Costs - Depreciation Expense - Cannibalization
Cash Inflow = $67,500 - $25,000 - $26,666.64 - $5,000 = $10,833.36
Year 3:
Cash Inflow = Sales Revenue - Operating Costs - Depreciation Expense - Cannibalization
Cash Inflow = $67,500 - $25,000 - $26,666.64 - $5,000 = $10,833.36
Next, let's discount the cash flows to their present value using the WACC of 10%:
PV Year 1 = $10,833.36 / (1 + 0.10)^1 = $9,848.51
PV Year 2 = $10,833.36 / (1 + 0.10)^2 = $8,953.94
PV Year 3 = $10,833.36 / (1 + 0.10)^3 = $8,269.17
Finally, let's calculate the NPV by summing up the present values of the cash flows and subtracting the initial investment cost:
NPV = PV Year 1 + PV Year 2 + PV Year 3 - Initial Investment
NPV = $9,848.51 + $8,953.94 + $8,269.17 - $80,000
NPV = -$53,928.38
Therefore, the NPV of the project is -$53,928.38.
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To calculate the net present value (NPV) of the project, we need to determine the cash flows for each year, discount them to present value using the weighted average cost of capital (WACC), and subtract the initial investment cost. Here's how we can calculate it:
Year 1:
Sales revenue: $67,500
Operating costs: $25,000
Depreciation expense: $80,000 * 33.333% = $26,666.67
Taxable income: ($67,500 - $25,000 - $26,666.67) = $15,833.33
Taxes: $15,833.33 * 35.0% = $5,541.67
Net income: $15,833.33 - $5,541.67 = $10,291.67
Cash flow: $10,291.67 - $5,000 (cannibalization) = $5,291.67
Year 2 and Year 3:
Sales revenue: $67,500
Operating costs: $25,000
Depreciation expense: $26,666.67
Taxable income: ($67,500 - $25,000 - $26,666.67) = $15,833.33
Taxes: $15,833.33 * 35.0% = $5,541.67
Net income: $15,833.33 - $5,541.67 = $10,291.67
Cash flow: $10,291.67 - $5,000 (cannibalization) = $5,291.67
Now, let's calculate the NPV using the formula:
NPV = (Cash flow Year 1 / (1 + WACC)^1) + (Cash flow Year 2 / (1 + WACC)^2) + (Cash flow Year 3 / (1 + WACC)^3) - Initial investment cost
NPV = ($5,291.67 / (1 + 0.10)^1) + ($5,291.67 / (1 + 0.10)^2) + ($5,291.67 / (1 + 0.10)^3) - $80,000
NPV = $4,810.61 + $4,373.28 + $3,976.62 - $80,000
NPV = $13,160.51 - $80,000
NPV = -$66,839.49
The NPV of the project is -$66,839.49. This negative value suggests that the project is expected to generate a negative return and may not be financially viable.
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Both Coca Cola and Benetton are global enterprises. Conduct online research and answer the following questions: What characteristics do these two firms display that qualify them as global enterprises?
Answer: here’s a photo of sample answer
Explanation:
Answer:
Both companies (Coca Cola and Benetton) registered as corporations, and both have a worldwide footprint across a number of countries. Both companies registered under the Companies Act of the respective countries in which they maintain a presence, and both abide by the laws and regulations of each nation.The companies operate on a large scale with huge investments in research and development, machinery, plants, and capital. They have numerous business functions that include marketing, manufacturing, market research, advertising, finance, and many more. They simultaneously work toward their core missions of generating profits, satisfying the needs of their customers, and continuously expanding their presence in current business markets and additional nations. They both raise capital from stock exchange markets.Both firms provide employment opportunities in their host nations and provide good quality products at moderate local rates. They also help in transferring resources such as raw materials and technology from advanced nations to the nations in which they operate.
Explanation:
Globalization within a consumerist economy enables individuals:
1.) to exhibit their identities through the purchase and conspicuous use of goods.
2.) to expand their range of identities in new ways through the use of global goods, ideas, and belief systems.
3.) to increase their symbolic capital by knowing how to distinguish between goods.
4.) all of the answer choices are correct.
Globalization has enabled individuals to express their identities through consumption, ideas, and knowledge.
Globalization has led to an increase in the availability of goods and services from around the world. This has given individuals more choices about how to express their identities through their consumption. For example, someone who wants to express their identity as a global citizen might choose to buy clothes, food, or other goods that are made in different countries.
Globalization has also led to the spread of new ideas and belief systems. This has given individuals more ways to think about their identities and to construct new identities for themselves. For example, someone who is interested in Buddhism might choose to learn about Buddhism from a teacher in another country or to read books about Buddhism that have been translated into their own language.
Finally, globalization has led to an increase in the importance of symbolic capital. Symbolic capital is the ability to use knowledge and understanding of cultural symbols to gain social status. In a consumerist economy, symbolic capital can be gained by knowing how to distinguish between different goods and by being able to use goods to express one's identity.
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Why would the stock exchange insitst that all listed compaines abide by a strict code of rules and procedures
In order to maintain the integrity of the stock market and protect investors, stock exchanges typically require all listed companies to abide by a strict code of rules and procedures.
The stock exchange is a marketplace where publicly traded companies can raise capital by selling shares of their stock to investors. One key reason for this is to ensure transparency and accountability.
Companies that are listed on a stock exchange are required to disclose certain financial information and adhere to strict accounting standards, which helps to provide investors with a clear picture of the company's financial health and performance.
Another reason for these rules and procedures is to prevent insider trading and other forms of market manipulation. By requiring all listed companies to follow the same set of rules and procedures, the stock exchange can help to ensure a level playing field for all investors.
Finally, these rules and procedures help to maintain investor confidence in the stock market. By ensuring that all listed companies are held to the same high standards, the stock exchange can help to prevent fraudulent activity and other forms of misconduct that could undermine investor confidence and lead to a loss of trust in the market.
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The ability of a central bank to set monetary policy instrumentsloading... is ___________, while the ability of a central bank to set goals of monetary policy is __
The ability of a central bank to set monetary policy instruments is instrument independence, while the ability of a central bank to set goals of monetary policy is goal independence.
The central bank has the ability or power to control the monetary instruments as well as the monetary policies makers from the influence of government is known as independence of central bank.
Goal independence gives a central bank the ability to chose the final goals of monetary policy. On the other hand, instrument independence gives a central bank the ability to decide the instruments it will use in order to pursue the final goals of monetary policy.
Hence, central banks conduct monetary policy by adjusting the supply of money.
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state any five occupations in public service sector? Explain any one of them.
Answer:
Explanation:
Public service simply refers to the services that are provided by the government. The examples of occupations in the public service sector include:
1. Firefighter
2. Law enforcement officer
3. Custom inspector
4. Military
5. Public health nurse
A law enforcement officer is a person that enforces law. They also help in protecting lives and properties.
Fans set up a crowdfunding account to produce new, not-for-profit episodes of Star Trek. This type of crowdfunding uses the ___________ approach.
The type of crowdfunding that uses the approach of producing new, not-for-profit episodes of Star Trek, as described in the question, is donation-based crowdfunding.
Donation-based crowdfunding is a type of crowdfunding in which backers make a donation or contribution to a project without expecting any financial return. This approach is often used for charitable or artistic projects, where the backers are motivated by a desire to support a cause or an artist rather than to make a profit. In the case of producing new, not-for-profit episodes of Star Trek, the fans are likely motivated by a passion for the franchise and a desire to see new content created that is not driven by commercial interests. Therefore, donation-based crowdfunding is the most appropriate approach for this type of project.
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Do you think a luxury brand can ever be called good value? Explain your answer
yes like sometimes because in quality or the design and Makes something good.
lusk corporation produces and sells 14,400 units of product x each month. the selling price of product x is $26 per unit, and variable expenses are $20 per unit. a study has been made concerning whether product x should be discontinued. the study shows that $72,000 of the $101,000 in monthly fixed expenses charged to product x would not be avoidable even if the product was discontinued. if product x is discontinued, the monthly financial advantage (disadvantage) for the company of eliminating this product should be:
The monthly financial advantage for the company would be $57,400. To calculate the monthly financial advantage/disadvantage of discontinuing Product X, we need to first determine the total contribution margin of Product X.
Contribution margin is the difference between the selling price of a product and its variable expenses. In this case, the contribution margin per unit of Product X is $6 ($26 selling price - $20 variable expenses).
To find the total contribution margin for the month, we multiply the contribution margin per unit by the number of units produced and sold:
$6 contribution margin x 14,400 units = $86,400 total contribution margin
Now we need to subtract the fixed expenses that are unavoidable if Product X is discontinued. In this case, that amount is $72,000.
$86,400 total contribution margin - $72,000 unavoidable fixed expenses = $14,400 monthly financial advantage
Therefore, if Lusk Corporation were to discontinue Product X, the company would have a monthly financial advantage of $14,400. This means that the company would save $14,400 per month in expenses by not producing and selling Product X.
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Now assume that the order in Part A never took place. That is, the limit order book still looks like this
Asks Bids
Price Quantity Price Quantity
$10.01 150 $9.99 100
$10.05 250 $9.85 75
$10.14 150 $9.81 375
What would the bid-ask spread be after a limit sell order of 225 shares at $9.84 was placed? (Write your answer in terms of dollars, a 2 cent bid-ask spread would be written as .02)
To calculate the bid-ask spread after a limit sell order of 225 shares at $9.84, we first need to update the limit order book with the new sell order.
Asks (Price, Quantity) | Bids (Price, Quantity)
----------------------|----------------------
$10.01, 150 | $9.99, 100
$10.05, 250 | $9.85, 75
$10.14, 150 | $9.81, 375
$9.84, 225 |
Now, the lowest ask price is $9.84 with a quantity of 225 shares, and the highest bid price is $9.99 with a quantity of 100 shares.
The bid-ask spread is the difference between the lowest ask price and the highest bid price. In this case, it would be:
Bid-ask spread = Lowest Ask Price - Highest Bid Price
Bid-ask spread = $9.84 - $9.99
Bid-ask spread = -$0.15
Since the bid-ask spread should be a positive value, there might be an error in the question or the order placement. However, based on the given information, the bid-ask spread after the limit sell order of 225 shares at $9.84 would be -$0.15.
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What best describes the main purpose of a budget
Explanation:
A budget helps create financial stability. By tracking expenses and following a plan, a budget makes it easier to pay bills on time, build an emergency fund, and save for major expenses such as a car or home. Overall, a budget puts a person on stronger financial footing for both the day-to-day and the long term.
Coming into effect in 1994, NAFTA encouraged free trade between the United States and which two other countries? Question 4 options: a) Japan and China b) Canada and Mexico c) Panama and Brazil d) Canada and Cuba
NAFTA, or the North American Free Trade Agreement, came into effect in 1994 and encouraged free trade between the United States and two other countries B. Canada and Mexico.
NAFTA aimed to promote economic growth by reducing trade barriers and fostering investment between the three member countries. It eliminated most tariffs and other trade restrictions, allowing for the easier flow of goods and services across borders. As a result, businesses and consumers benefited from lower prices, increased trade, and enhanced competitiveness in the global marketplace. The agreement also facilitated cooperation in areas like environmental and labor regulations, setting standards that the member countries agreed to follow.
Overall, NAFTA has played a significant role in shaping the economic landscape of North America, contributing to increased trade and investment between the United States, Canada, and Mexico. Although the agreement has faced criticism for its impact on certain industries and job markets, it has also led to numerous benefits for businesses and consumers in the region. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
Coming into effect in 1994, NAFTA encouraged free trade between the United States and which two other countries? Question 4 options:
a) Japan and China
b) Canada and Mexico
c) Panama and Brazil
d) Canada and Cuba
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What would happen if the british government increased the number of airplanes it buys from american aeronautics companies?
If the British government increases the number of airplanes it buys from American aeronautics companies, the demand for the American currency will increase.
When price of a foreign currency falls, imports from that foreign country become cheaper. So, imports increase and hence, the demand for foreign currency rises. So when the British government increases the number of airplanes it buys from America then the demand for the American currency will increase.
A country with a high demand for its goods tends to export more than it imports, increasing demand for its currency. A country that imports more than it exports will have less demand for its currency.
Hence, the answer is given and explained above.
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Firms in purely competitive markets will have sufficient time to alter their production capacities in the:
Firms in purely competitive markets have the ability to adjust their production capacities in response to changing market conditions.
In a perfectly competitive market, all firms are price takers and have no market power. Therefore, they must accept the market price and adjust their production accordingly. If demand for their product increases, firms can increase their production capacity in order to meet the demand and take advantage of higher prices. Conversely, if demand decreases, firms can decrease their production capacity to avoid excess inventory and lower prices. The ability to adjust production quickly is important in a competitive market, as it allows firms to remain competitive and profitable. In general, firms that can adapt to changing market conditions more quickly are more likely to succeed in a competitive market.
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what happened as a result of the hawley-smoot tariff?
The objective of a country that increases its tariffs, defending American businesses from foreign competition, including agriculture and other sectors.
How do industries work?
Industries (manufacturing) is a particular type of economic activity that often takes place in buildings equipped with machinery. An economy's open industrial sector, which produces manufacturing and other intermediate or finished items.
the objectives of a country that increases its tariffs It is now commonly believed that the Smoot-Hawley Tariff Act contributed to the severity of the Great Economic Crisis in the United States and across the world. Industry
In order to safeguard American farmers and other businesses from foreign competition, a country that raises its tariffs does so.
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Kacey grew up sailing and still loves it today. After securing a great job after graduation, he started saving for his own sailboat. He had his eye on one in particular and had saved about half what he needed when his company transferred him to Phoenix, which didn't have the same recreation options. Which of the following best describes Kacey?
a. Kacey is both in the market and the target market for the sailboat.
b. Kacey is not in the market for the sailboat yet.
c. Kacey was in the market for the sailboat prior to his move to Phoenix.
d. Kacey is in the market for this sailboat but not the target market
Answer:
b.
Explanation:
Based on the scenario at hand and the different options listed it can be said that the one that best describes Kacey is that Kacey is not in the market for the sailboat yet. That is because even though Kacey loves sailing, where she currently lives (Phoenix) does not have places to sail. Also, she does not even have the money to buy a sailboat yet and therefore is not in the market to buy one at the current moment in her life.
Put the following volcanic eruptions in order from the smallest to the largest (based on size of eruption and the volume of eruptive deposits): Mt St Helens, Mt Mazama (formed Crater Lake), Yellowstone Mt Mazama (formed Crater Lake), Yellowstone, Mt St Helens Yellowstone, Mt St Helens, Mt Mazama (formed Crater Lake) Mt St Helens, Yellowstone, Mt Mazama (formed Crater Lake)
The correct order from smallest to largest volcanic eruptions based on the size of eruption and volume of eruptive deposits is: Mt St Helens, Mt Mazama (formed Crater Lake), Yellowstone.
The eruption of Mt St Helens in 1980 was a significant volcanic event, but its size and volume of eruptive deposits were smaller compared to the other two.
Mt Mazama, which eventually formed Crater Lake in Oregon, had a larger eruption than Mt St Helens, but it is still smaller than the eruption of Yellowstone.
Yellowstone is known for one of the largest volcanic eruptions in history, which occurred approximately 640,000 years ago. The eruption of Yellowstone had a tremendous impact, covering vast areas with ash and releasing an enormous volume of eruptive material.
In summary, Mt St Helens had the smallest eruption, followed by Mt Mazama (formed Crater Lake), and the largest eruption was from Yellowstone.
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A project has an initial cost of $40,000, expected net cash inflows of $8,000 per year for 11 years, and a cost of capital of 10%. What is the project's NPV? (Hint: Begin by constructing a time line.) Do not round intermediate calculations. Round your answer to the nearest cent.
Answer:
the net present value is $11,961
Explanation:
The computation of the project NPV is as follows;
The net present value is
= Present value of cash inflows - initial investment
= $8,000 × PVIFA factor for 11 years at 10% - $40,000
= $8,000 × 6.4951 - $40,000
= $51,961 - $40,000
= $11,961
Hence, the net present value is $11,961
The same is to be considered
two types of internal events that a company could plan in order to improve employee morale?
Answer:
Pancake breakfast – Arrange a pancake breakfast where your company executives, managers, and officers cook and serve a meal to the employees.
Surprise afternoon snack – You can also surprise your employees with an afternoon treat.
Hope this helps!
What should you not do during a hostage rescue attempt?
Answer:
1) Remain still and low to the ground. 2) Encourage others around you to remain calm.
I D K
Explanation:
Avoid attempting to negotiate or offer advice. Hostage takers occasionally force hostages to make requests. If this occurs, say what they want you to say, avoid making your hostage captors angry, and avoid attempting to play the hero.
What do you mean by Hostage?A person who has been forcibly and illegally taken prisoner is known as a hostage. The hostage-takers seek to make claims against other parties, which is why they are keeping, and occasionally even threatening, the captive. It is against the law to take hostages.
Hostage killing was listed as a war crime in the International Military Tribunal Statute on August 8, 1945.
The execution of hostages by German troops in the occupied territories was categorized as clearly excessive due to their excessive tendencies war crimes an in the trial against the generals in south-eastern Europe.
The court described the shooting of hostages as barbaric but legal reprisals under international law. The Geneva Convention for the Protection of Civilian Persons in Time of War of 1949.
People have historically been held as hostages and forced to live there by the opposing party to enforce a contract.
They were frequently the sons of honorable tributary state representatives, who were frequently treated with respect and raised in the host nation. Attila and Theodoric the Great are two prominent examples.
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adding engine oil to your cmv is part of
Adding engine oil to your cmv is part of routine maintenance.
What is routine maintenance?Any maintenance procedure carried out on a regular basis to spot issues and prevent them from becoming serious enough to cause equipment failure is referred to as routine maintenance. Regular inspections or service work are examples of common routine maintenance. Expenses for ongoing, preventative maintenance that is required to postpone or avoid the failure of both important and non-critical building systems and equipment are included in the normal upkeep of physical properties (such as land, buildings, and equipment). Regular maintenance is intended to keep tools, machines, and structures running at their best. When lubrication is required for a specific piece of equipment, the efficiency of the entire line may suffer.
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T/F : Stocks have both diversifiable risk and undiversifiable risk, but only diversifiable risk is rewarded with higher expected returns.
The assertion The claim that only residual risk risk is paid with greater anticipated returns is untrue. Stocks have both systematic and unsystematic and undiversifiable risk.
What does "stock" mean in its simplest form?A stock, often known as equity, is a financial instrument that symbolizes ownership in a portion of the issuing company. According to the number of shares they possess, shares, also known as article of stock, provide their owners a proportionate share of both the bank's profit and assets.
Briefing:The risk that is special (unique) to the firm or the industry and that is occasionally additionally under the power of the company's management, such as business risk, operational risk, etc., is known as diversifiable risk, also known as unsystematic risk.
When an investor has wholly and sufficiently embraced their portfolio, they are no longer outed to this hazard and are only beholden to risk is also known (market risk, such as interest rate fluctuations, economic downturn), for which they are rewarded with higher returns instead of for diversifiable risk. These risks can be reduced or almost completely erased by diversity by investing in a portfolio of different stocks.
Beta, a measure of the unsystematic risk (market risk), is a crucial input in the Capital Asset Pricing Model. (CAPM) used to calculate anticipated return.
Expected return (Re) = Risk free rate + (Beta x Market risk premium)
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Information ads help supply _?_that help you learn about and compare products and services.
a. suggestions
C. ideas
b. thoughts
d. facts
Please select the best answer from the choices provided
A
B
С
D
Answer:
a is your answer
Explanation:
What was the primary reason that a fourth sector of the economy was created?
the increase in population
the digital revolution
the increase in demand for trade work
the Industrial Revolution
Answer:
its B: digital revolution
Explanation:
got right in edge
which of the following is not included in the corrective action principle
The following is not included in the corrective action principle Covering a cut with a bandage and finger cot .
What is the Corrective action principle?
Each corrective action must be documented and have a written Corrective Action Plan. Each danger and each CCP have particular corrective measures. The strategy must outline immediate corrective measures. However, monitoring processes will have different time considerations. It is crucial to remember that if a deviation occurs, all food products created since the last monitoring observation or measurement must undergo a correction step. Therefore, processes for detaining suspected product as appropriate should be included in a corrective action plan's provisions.Corrective measures are essential for avoiding the sale of dangerous goods. Every departure from a Critical Limit requires the implementation of corrective measures. Correcting the deviation's root cause and making any necessary adjustments will stop it from happening again. These steps must be taken, they must be complete, and they must be documented.To know more about corrective action principle visit:
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Predictive analytics is used by organizations to: a. identify the best decisions for a particular situation. b. analyze business policies through visual representations. c. understand past and current performance. d. envisage the future by detecting patterns and relationships in data.
The correct answer is option d. Predictive analytics is used by organizations to envisage the future by detecting patterns and relationships in data.
The term predictive analytics means the use of statistics and modelling techniques in such a way that it make predictions about future outcomes and performance. Predictive analytics also looks at the current and historical data patterns and help to determine if those existing patterns are likely to emerge again or not. This allows the businesses and the investors to adjust wherever they can use their resources in order to take advantage of possible future events.
Predictive analysis is also used to improve the operational efficiencies and it reduces the risk. Predictive analytics is a technology that makes predictions about certain unknowns of the future.
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iam a 4 tail fox im a chef and a medic what am i
Answer:
Explanation:Surgeon
Mr. Chopra decides to sell his business shares to the public to acquire additional finance. Under which component in the balance sheet should Mr. Chopra show the money he obtained from the shareholders?
When Mr. Chopra sells his business shares to the public and acquires additional finance, the money obtained from the shareholders should be shown under the "Equity" component in the balance sheet.
The component in the balance sheet should Mr. Chopra show the moneyEquity represents the ownership interest in a company, and it includes the funds contributed by shareholders in exchange for shares of the company's stock. When shares are sold to the public, the proceeds from the sale increase the equity of the business. This is typically reflected as "Share Capital" or "Common Stock" in the equity section of the balance sheet.
By showing the money obtained from the shareholders in the equity section, Mr. Chopra can accurately represent the ownership stake and financial position of the company.
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a store is offering 2 fixed installment loan options for purchases over $3000.
option 1: 20% down payment and financing at 6% simple interest per year for 3 years.
option 2: no down payment and financing at 6.35% simple interest for 4 years. if your purchase amounts to $4400
a. which option will result in a smaller total finance charge? what will that total finance charge be?
b. which option will result in a smaller monthly payment? what will that monthly payment be?
a. For option 1, the amount financed is $4400 - 20% down payment ($4400 * 0.20) = $3520. The finance charge can be calculated using the formula:
Finance Charge = Amount Financed * Interest Rate * Time. Plugging in the values, we get: Finance Charge = $3520 * 0.06 * 3 = $633.60.
To calculate the monthly payment, we can use the formula for installment loans: Monthly Payment = (Principal + Interest) / Number of Payments.
a. The option with a smaller total finance charge is option 1, which requires a 20% down payment and financing at 6% simple interest per year for 3 years. To calculate the total finance charge, we first need to determine the amount financed.For option 1, the amount financed is $4400 - 20% down payment ($4400 * 0.20) = $3520. The finance charge can be calculated using the formula:
Finance Charge = Amount Financed * Interest Rate * Time. Plugging in the values, we get: Finance Charge = $3520 * 0.06 * 3 = $633.60.
b. The option with a smaller monthly payment is option 2, which has no down payment and financing at 6.35% simple interest for 4 years. To calculate the monthly payment, we can use the formula for installment loans: Monthly Payment = (Principal + Interest) / Number of Payments. For option 2, the principal is $4400, and the interest can be calculated using the formula: Interest = Principal * Interest Rate * Time. Plugging in the values, we get: Interest = $4400 * 0.0635 * 4 = $1122.80. Therefore, the total amount to be repaid is $4400 + $1122.80 = $5522.80. Dividing this by the number of payments (48 months), we get the monthly payment: $5522.80 / 48 = $115.06.
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