When deflation occurs, the inflation rate is negative, and thus, the nominal interest rate is equal to the real interest rate. In the case of deflation, the nominal interest rate is equal to the real interest rate, and inflation is negative, as described in option (a).
when deflation occurs, the nominal interest rate is equal to the real interest rate and inflation is negative. This means that the interest rate does not need to be adjusted for inflation because prices are actually decreasing. Deflation is a decrease in the general price level of goods and services in an economy over a period of time. This means that the purchasing power of money increases, so there is no need to adjust the interest rate for inflation. The real interest rate is the nominal interest rate minus the inflation rate, and since there is negative inflation, the real interest rate and the nominal interest rate are the same. deflation results in a situation where the nominal interest rate is equal to the real interest rate and inflation is negative. This is because the value of money increases during deflation, and there is no need to adjust the interest rate for inflation.
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PLEASE HELP
1. What is the name of the company? (1.0 points)
2. Is this mainly a product-based or service-based business? (1-2 sentences. 2.0 points)
3. What products or services is the company best known for? (2-3 sentences. 2.0 points)
3. Where does this company sell its products or services? (2-4 sentences. 2.5 points)
4. Describe at least two of this company's competitors. (2-4 sentences. 2.5 points)
5. How did the entrepreneur make the business different from other companies, especially its competitors? Describe at least one way. (2-4 sentences. 2.5 points)
6. What things has the entrepreneur or company done to help the community? Describe at least one example of this. (2-4 sentences. 2.5 points)
7. Why do you think this company became successful? Describe at least one reason. (2-4 sentences. 5.0 points)
8. What challenges has the company faced? Describe at least one challenge. (2-4 sentences. 5.0 points)
Based on the information given, the company that's chosen is Tesla and it's a product-based company.
What is Tesla?The company is known for producing electric cars. It's different from its competitors as it produces electric vehicles and uses better softwares.
The company sells its cars worldwide. The competitors include Volkswagen and Toyota. Tesla has helped the environment as it accelerates the transition to sustainable energy
Lastly, the main challenge faced by the company is rising material costs.
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a quota can also be used to solve the externality problem. what quantity should the government choose for the quota limit if their goal is to achieve the socially optimal (efficient) outcome?
If the government wants to achieve the socially optimal outcome that will solve the externality problem, they should impose a quota limit of 120 million packs.
What is the socially optimal outcome?The socially optimal outcome would be the quantity where the quantity demanded is the same as the marginal social cost.
This is because this point shows where the marginal social cost is equal to the demand and therefore most likely to satisfy society's demand for cigarettes in the best way.
To achieve the socially optimal (efficient) outcome therefore, the government should introduce a quota limit at this quantity of 120 million packs.
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If there is a government subsidy for winter wheat farmers not to produce winter wheat, then the
O demand curve for winter wheat will shift to the right.
O demand curve for winter wheat will shift to the left.
O supply curve for winter wheat will shift to the right.
O supply curve for winter wheat will shift to the left.
If there is a government subsidy for winter wheat farmers not to produce winter wheat, then the supply curve for winter wheat will shift to the left.
A government subsidy for farmers not to produce winter wheat is an example of a supply-side intervention. By providing financial incentives to farmers to reduce or eliminate their production of winter wheat, the government aims to decrease the supply of winter wheat in the market. This reduction in supply shifts the supply curve to the left, indicating that at any given price level, less winter wheat will be supplied to the market.
The demand curve for winter wheat remains unaffected by the government subsidy. The demand for winter wheat is determined by factors such as consumer preferences, population, and market conditions. The subsidy does not directly impact the demand for winter wheat; rather, it influences the behavior of suppliers and their willingness to produce and offer winter wheat in the market.
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The unit contribution margin is calculated as the difference between: _________
A. selling price and fixed cost per unit.
B. selling price and variable cost per unit.
C. selling price and product cost per unit.
D. C-fixed cost per unit and variable cost per unit.
E fixed cost per unit and product cost per unit.
Explanation:
Hhhghihjgogsu is one of the most popular and most powerful tools that you can use for 786 and your own business experience with the words below the web site is very important to me and the company is we6 and 322233455788909 is the difference between the 53 21 335 70
___Information pertains to the problem and hand
A) accurate
B) complete
C) relevant
D) timely
Predatory lenders get their negative reputation from . . .
a. Discreetly selling personal bank information
b. Limiting the amount of time a borrower has to use a loan
c. Taking advantage of people during the Great Depression
d. Charging high fees for loans and targeting desperate people
Predatory lenders get their negative reputation by Charging high fees for loans and targeting desperate people. The correct option is d.
Who are predatory lenders?Predatory lenders are those practices, broadly defined, that are the fraudulent, deceptive, and unfair tactics some people use to dupe us into mortgage loans that we can't afford. Burdened with high mortgage debts, the victims of predatory lending can't spare the money to keep their houses in good repair. They strain just to keep up with their mortgage payments. Often, the strain is too much. They succumb to foreclosure. Their houses have been stolen from them.
The Office has prosecuted and will continue to prosecute the worst predatory lenders.
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What does the concept of scarcity explain?choose three answers
The concept of scarcity explains:
why consumers are willing to pay high prices for items.why decisions must be made on how to use resourceswhy a single resource has more value than another resource.Scarcity as an economic idea "refers back to the basic reality of lifestyles that there exists most effective a finite quantity of human and nonhuman resources which the first-rate technical expertise is capable of the usage of to provide most effective restricted most amounts of each economic appropriate. shortage in economics refers to whilst the call for for a resource is greater than the deliver of that aid, as assets are limited. shortage consequences in purchasers having to make selections on how high-quality to allocate assets a good way to satisfy all simple needs and as many desires as feasible. shortage refers back to the confined availability of a useful resource in contrast to the infinite desires. shortage may be with appreciate to any natural assets or with admire to any scarce commodity. scarcity can also be called paucity of sources.
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Answer:
why consumers are willing to pay high prices for items.
why decisions must be made on how to use resources
why a single resource has more value than another resource.
Explanation:
why a product could lose significant value over time.
why people continue to purchase different products.
why consumers are willing to pay high prices for items.
why decisions must be made on how to use resources
why resources can be both renewable and nonrenewable.
why a single resource has more value than another resource.
(i took the test)
Place the appropriate label to classify each scenario as either microeconomic or macroeconomic.
The following scenarios are microeconomic:
A team of three partners starts a new ad agency
A laid-off worker enrols in job re-training
The following scenarios are macroeconomic:
the inflation rate rises, Nationwide,
new housing construction declines for the third month in a row.
What is macroeconomics and microeconomics?Macroeconomics is a branch of economics that studies the economy as a whole. Macroeconomics studies economic variables that affect the whole economy. These economic variables include as inflation, unemployment, GDP and growth rate.
Microeconomics is a branch of economics that studies the decisions individuals and firms make in response to changes in economic factors. These factors include price, resources etc. it studies how firms and individuals allocate and make decisions about resources
Here is the complete question:
Place the appropriate label to classify each scenario as either microeconomic or macroeconomic.
A team of three partners starts a new ad agency,
A laid-off worker enrolls in job re-training
the inflation rate rises, Nationwide,
new housing construction declines for the third month in a row.
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When inventory is sold, inventory cost methods (fifo, lifo, weighted average) are used to determine how much cost to assign to ______.
Inventory cost methods (fifo, lifo, and weighted average) are used to calculate a per-unit cost when inventory is sold.
Weighted Average Cost Method of Inventory Calculation
One of the three inventory cost flow assumptions used in inventory costing is the weighted average cost (AVCO) technique, often known as the AVCO method. The AVCO method is used to calculate the cost of inventory at the end of the year and the cost of goods sold (COGS) throughout the year, just like FIFO and LIFO. This method bases the cost of inventory on the weighted AVCO of the year's inventory acquisitions.
How costs migrate from the balance sheet's merchandise inventory to the income statement's COGS is determined by a cost flow assumption.
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What are the dangers to Gillette of targeting emerging markets?
Targeting emerging markets can be a lucrative strategy for companies, but it also comes with certain dangers.
Here are some of the dangers to Gillette of targeting emerging markets:
Political and regulatory risks: Emerging markets can be unstable and prone to political and regulatory risks, such as corruption, government intervention, and changing regulations. These risks can make it difficult for companies to do business in these markets and can lead to unexpected costs and delays.
Cultural and language barriers: Emerging markets often have different cultures and languages than developed markets, which can make it difficult for companies to understand and connect with consumers. This can lead to miscommunication and misunderstandings, which can damage the company's reputation and make it difficult to build a loyal customer base.
Limited infrastructure and supply chain: Emerging markets often have limited infrastructure and supply chain capabilities, which can make it difficult for companies to source raw materials and distribute their products. This can lead to delays and increased costs, which can impact the company's profitability.
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as a business within the company, hr has three product lines, one of which involves contributing to the company's strategy by understanding how hr can provide a competitive advantage. this is known as .
As the product lines involves contributing to the company's strategy by understanding how hr can provide a competitive advantage, this is known as being a strategic partner.
What is a strategic partner?These are partners involves in the sharing of resources to help all involved succeed. They are usually non-competing businesses and often share both the risks and rewards of the decisions of both companies.
Most time, the ultimate goal of the strategic partnership is to create value for each company by offering information, services and other resources that the other firm either has no access to or could only access through some form of financial exchange.
Therefore, this strategy is known as being a strategic partner.
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The August bank statement and cash T-account for Martha Company follow:
Date
August 1
August 2
August 3
August 4
August 5
August 9
August 10
August 15
August 21
August 24
August 25
August 30
August 30
August 31
August 1 Balance
Deposits
August 2
August 12
August 24
August 31
August 31 Balance
Checks
$340
440
290
970
350
440
22,300
830
Debit
BANK STATEMENT
Deposits
$ 12,600
4,200
7,300
Interest earned
Service charge
Cash (A)
18,330
12,600
4,200
7,300
5,200
Other
20,730
Checks written
340
440
290
350
970
330
610
830
440
22,300
$ 30
10
Balance
$ 18,330
17,990
30,590
30,150
29,860
28,890
28,540
32,740
32,300
10,000
17,300
16,470
16,500
16,490
Credit
August 1
August 2
August 3
August 4
August 5
August 15
August 17
August 18
August 19
August 23
No deposits were in transit and no checks were outstanding at the end of July
ABC stock is currently selling for $120. The exercise price of the call option is $125. Using a one-period binomial model, calculate the price of the call option assuming an interest rate of 3% per year. Assume further that over the next year, the stock price will either increase by 10% or decrease by 10%. What is the price of the call option? Show detailed work
The probability weighted average of the interest rate future values at the end of each of the three periods is used to determine this, and the future values are then discounted back to the present using the interest rate.
The tree is built using the current stock price and a simulation of the up and down movements over the course of the three periods using the provided probability and percentage changes.
Each end node's option value is determined before being processed back up the tree to the starting node. The starting node's computation serves as the end option value.
The stock's annual payout range is $27 - $17 = $10.
If the stock price is $27 when the option expires, its value will be =$27-$22 =$5.
If the stock price is $17, the option will also have no value.
The stock option has a payment range of $5 and $0;0 = $5.
To determine the amount of stock shares, balance the range:
$5/10 = 0.5 Option range/Stock range
The stock option payoff for 0.5 shares will be either $13.5 or $8.5. The payout for the portfolio and options will be $13.5- $5, which equals $8.5, or $8.5 $0; 0 = $8.5.
PV = $8.5/ (1+) is the present value of $8.5 at the daily compounding risk-free rate.
Complete question:
ABC stock is currently selling for $120. The exercise price of the call option is $125. Using a one-period binomial model, calculate the price of the call option assuming an interest rate of 3% per year. Assume further that over the next year, the stock price will either increase by 10% or decrease by 10%. What is the price of the call option? Show detailed work?
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SKATEBOARDERS. WHAT ARE SOME DISADVANTAGES AND ADVANTAGES OF YOUR SKATEBOARD?
What would you change if you could. Just wondering
Answer:
uh how i fall off sometimes disadvandage and it going right for me advandage
Explanation:
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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the phase of the business cycle in which real gdp declines is called: group of answer choices a recession. the trough. an expansion. the peak.
The correct answer is "a recession." The phase of the business cycle in which real GDP declines is referred to as a recession.
During a recession, economic activity contracts, leading to a decrease in output, employment, and income. It is characterized by a sustained period of economic decline and is typically accompanied by factors such as reduced consumer spending, decreased investment, and a slowdown in business activity. The opposite phase, in which real GDP increases, is called an expansion. The trough represents the lowest point of the recession, while the peak is the highest point of the expansion.
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People are living paycheck to paycheck why is that a problem
2. what does ""too available"" mean? isn’t that a good thing for a brand to have its product widely available? please explain.
Being “too available” for a brand can refer to having their product available in too many places. While this may seem like a good thing for a brand, having their product too available can actually lead to a decrease in demand.
Consumers may become less interested in a product if it’s always available and there’s no perceived scarcity. It can also lead to price deflation as there is more competition in the market, as more sellers may be offering the same product at different prices. Additionally, if a brand has too much product in circulation, it can lead to a decrease in quality control.
This can cause a brand to lose its reputation in the market and lead to a decrease in demand and sales. Ultimately, it’s important for brands to have their product widely available, but not too available, so that consumers still see the product as a desirable and valuable item.
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Suppose a 20-year $1,000 7% Treasury note with semiannual coupon payments offers a 5% yield. What price would an investor pay to buy this note?
A. $1,251.03
B. $958.24
C. $768.85
D. $1,164.12
Suppose a 10-year $1,000 5% corporate bond with semiannual coupon payments offers a 7.14% yield. What price would an investor pay to buy this bond?
$848.89
$1,121.71
$883.98
$1,019.32
The price an investor would pay to buy the 20-year $1,000 7% Treasury note with semiannual coupon payments, which offers a 5% yield can be calculated as follows:The face value of the bond is $1,000.The coupon rate is 7%. It is paid semi-annually.The maturity period is 20 years.The yield is 5%.
It is the annual rate and is also called the discount rate or the required rate of return.The price an investor would pay to buy this note is calculated as the present value of the future cash flows, which includes the coupon payments and the face value of the bond at maturity.
Using the formula,
PV of bond = Σ(CFt) / (1+r)t,
where
CFt = cash flow in period t, r = required rate of return, and t = time period
The cash flows for the bond are as follows:
Year Cash flow Discount factor
(1+r)t
Present value (CFt / (1+r)t)1 $35 1.025 $34.152 $35 1.051 $32.2703 $35 1.078 $30.3954 $35 1.105 $28.5265 $35 1.133 $26.6636 $35 1.162 $24.8077 $35 1.191 $22.9578 $35 1.221 $21.1139 $35 1.252 $19.27410 $1,035 1.283 $804.9411 $1,035 1.315 $786.4712 $1,035 1.348 $768.34
The present value of the future cash flows is $1,251.03.
The investor would pay $1,251.03 to buy this note.
Hence, the correct option is A. $1,251.03.
Now, let's calculate the price an investor would pay to buy the 10-year $1,000 5% corporate bond with semiannual coupon payments, which offers a 7.14% yield.
Using the formula,
PV of bond = Σ(CFt) / (1+r)t, where CFt = cash flow in period t, r = required rate of return, and t = time period
The face value of the bond is $1,000.
The coupon rate is 5%. It is paid semi-annually.The maturity period is 10 years.The yield is 7.14%. It is the annual rate and is also called the discount rate or the required rate of return.
The cash flows for the bond are as follows:
Year Cash flow Discount factor
(1+r)t Present value (CFt / (1+r)t)1 $25 1.035 $24.2152 $25 1.071 $23.3303 $25 1.108 $22.4564 $25 1.146 $21.5925 $25 1.185 $20.7376 $25 1.225 $19.8917 $25 1.266 $19.0538 $25 1.308 $18.2249 $25 1.351 $17.40210 $1,025 1.394 $737.06
The present value of the future cash flows is $1,121.71.
The investor would pay $1,121.71 to buy this bond.
Hence, the correct option is B. $1,121.71.
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What do the areas of governance and regulation have to deal with?
Ensuring that agency problems and agency costs are minimized in addition to ensuring that the firm is not violating any relevant laws
Ensuring that a firm's board of directors has total control of the firm
Ensuring that a firm is always maximizing shareholder wealth
Ensuring that a firm is minimizing its tax burden by engaging in effective ERM
All of the above
Governance and regulation are two closely related yet distinct areas that aim to ensure that businesses operate within the boundaries of the law and in the best interests of their stakeholders.
As governance is the process of overseeing an organization's operations and making decisions that affect its direction and strategic goals, it plays a crucial role in ensuring that agency problems and costs are minimized. In addition, governance helps to establish clear accountability structures, enabling businesses to remain focused on achieving their objectives and delivering value to their stakeholders.
Regulation, on the other hand, involves the imposition of rules and standards that govern how businesses operate and interact with their stakeholders. This can include everything from ensuring that firms comply with safety and environmental regulations to regulating the financial markets to prevent fraud and other forms of misconduct. Overall, governance and regulation work together to promote transparency, accountability, and ethical behavior in businesses, and to protect the interests of their stakeholders. Ensuring that agency problems and agency costs are minimized in addition to ensuring that the firm is not violating any relevant laws.
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You sell friendship bracelets. You have an agreement with your best friend, Georgina, who is a great artist in photography, that she will photograph all her subjects wearing your friendship bracelets. You have agreed that you will get 25 percent of the proceeds from the sale of photographs and she will get 25 percent of the sale proceeds from your bracelets. You didn't register your partnership before, so your original rights are not protected.
False
True
Answer:
true
Explanation:
The price of oranges increase, and so consumers buy more strawberries. This is an example of what?
A change in the exact quantity of a product that customers are willing and able to purchase is referred to as a shift in the quantity demanded. A change in pricing is what drives this shift in the quantity demanded.
What is Demand?Demand is the amount of a good that buyers are ready and willing to buy at different prices at a particular time. The demand curve is the name given to the relationship between price and quantity demand.
Also, consumers must be able to afford the items they want or need based on their budgeted disposable income.
Demand examines a market's price and purchases from the perspective of the customer. The principle of supply, on the other hand, emphasizes the viewpoint of the provider of the good or service.
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a(n) _____ is a set of activities or steps that combine inputs to create a good or service.
A process is a set of activities or steps that combine inputs to create a good or service. Processes are essential to the functioning of organizations, as they help to achieve desired outcomes efficiently and effectively.
Processes can be either internal or external. Internal processes are those that take place within an organization, such as manufacturing or customer service. External processes involve interactions with external parties, such as suppliers, customers, or regulatory agencies. Processes can be standardized or customized. Standardized processes are those that are repeated over time, following a set of established rules and procedures. Customized processes, on the other hand, are adapted to the unique needs and circumstances of a particular situation. Effective process design involves understanding the inputs, activities, outputs, and stakeholders involved in the process. Continuous process improvement is also important, as it allows organizations to identify areas for improvement and make necessary changes to enhance efficiency, quality, and customer satisfaction.
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I need to submit this today, can you help me?
What are Washington D.C.’s people eating habits?
What are some economic facts about Washington DC?
What are some facts about Washington DC?
Culture and customs of Washington DC?
Travel information (Dubai to Washington DC)?
Answer:
I'm sure they eat well. have u try looking it up on goggle first
For most people, almost two-thirds of each work day is taken up by work and sleep. Please select the best answer from the choices provided T F
Answer:
True
Explanation:
For most people, almost two-thirds of each workday is taken up by work, and sleep is a true statement.
What is the statement?Statements are sentences that express a fact, idea, or opinion. Statements do not ask questions, make requests or give commands. They are also not utterances. Statements are sentences that express a fact, idea, or opinion. Statements do not ask questions, make requests or give speech acts. They are also not exclamations.
The term working day refers to the days in the working week, the span of (often five) days that are not the weekend, and when many people work. The word workday means the same thing as a working day
Therefore, By the above statement, for the t two-thirds of each work day is taken up by work and sleep is correct.
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is the inside of your car feeling hot on a summer day conduction, convection, or radiation
on january 1, wei company begins the accounting period with a $30,000 credit balance in allowance for doubtful accounts. on february 1, the company determined that $6,800 in customer accounts was uncollectible; specifically, $900 for oakley company and $5,900 for brookes company prepare the journal entry to write off those two accounts. on june 5, the company unexpectedly received a $900 payment on a customer account, oakley company, that had previously been written off in part a. prepare the entries to reinstate the account and record the cash received.
On January 1 debit allowance for doubtful accounts $6,800 and credit accounts receivable $6,800. On June 5 debit cash $900, credit accounts receivable $900 and credit allowance for doubtful accounts $900.
On January 1, Wei Company begins the accounting period with a $30,000 credit balance in Allowance for Doubtful Accounts. On February 1, the company determined that $6,800 in customer accounts was uncollectible; specifically, $900 for Oakley Company and $5,900 for Brookes Company. The journal entry to write off those two accounts is as follows:
Debit Allowance for Doubtful Accounts $6,800 Credit Accounts Receivable $6,800On June 5, the company unexpectedly received a $900 payment on a customer account, Oakley Company, that had previously been written off in Part A. The entries to reinstate the account and record the cash received are as follows:
Debit Cash $900 Credit Accounts Receivable $900 Credit Allowance for Doubtful Accounts $900Learn more about credit: brainly.com/question/13964348
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The price of bread has increased 5% over the past three months
Expansionary
Peak
Contractionary
Trough
Answer:
C. Contractionary
Explanation:
C is the correct answer
The Picketts have lived in their house for about 13 years. They like to keep a well-maintained property and have noticed that the paint on the exterior of their house is starting to peel. They get two bids for painting services from two different contractors. Based on the fee schedule below, which option would be the cheapest and by how much? Handyman’s Paint Service Painting Plus Service $2250 all supplies and labor included for a 2-day job Two day job estimate $300 preparation work $765 labor per day $225 paint and supplies a. Painting Plus Service would be cheaper by $960 b. Painting Plus Service would be cheaper by $195 c. Handyman’s Paint Service would be cheaper by $105 d. Handyman’s Paint Service would be cheaper by $195.
Based on the bids give by both companies, b. Painting Plus Service would be cheaper by $195.
Total cost of doing everything according to Handyman's Paint Service is $2,250.
What is the Total Cost of using Painting Plus?= Preparation work fee + Labor fee for two days + Paint and supplies
= 300 + (765 x 2 days) + 225
= $2,055
Difference between Painting Plus and Handyman= 2,250 - 2,055
= $195
In conclusion, option B is correct.
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The pro forma balance sheet reflects the impact of a company's strategic plan on its __________.
The pro forma balance sheet reflects the impact of a company's strategic plan on its asset and liabilities.
What is strategic plan?Strategic planning can be described as the process where the organization's leaders have a defined vision for the future and identify of the organization's goals and objectives.
It should be noted that pro forma balance sheet assist one business manage its assets as well as liabilities to have a better outcome in the future.
We can conclude that strategic planning help to create the map that is necessary in the business operations which should be follow when needed, however this planning help to State the purpose of the business as well as the budget and the mission statement to have a successful business operations.
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