A cost is considered direct if it can be directly traced to a specific product, service, or department.
What do you mean by direct costs?Direct costs are directly related to the production of a product or delivery of a service, and are easily and accurately traced to the specific item. Examples of direct costs include direct materials, direct labor, and direct expenses.
What does indirect costs entail?Indirect costs are indirect and support the production process, and are not directly tied to any specific product or service. Examples of indirect costs include indirect materials, indirect labor, and indirect expenses such as rent, utilities, and advertising.
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what is the net long term capital gain reported on joanne's schedule d? a. $2,450 b. $2,100 c. $1,750 d. $350
Answer:
I think the answer is C. $1750?
Explanation:
what term best describes a person that owns a property and is conveying title to the property to another person? multiple choice mortgagor grantor mortgagee grantee
A property deed is the legal document that transfers ownership of a piece of property from the grantor to the grantee.
Any item that someone or a business has criminal authority over is considered property. The term "things" can refer to both tangible assets like houses, cars, or appliances as well as ethereal ones like stock and bond certificates that hold the promise of future value. Private possessions, public property, and collective property are the three broad categories of assets in the economics and political economic system (also referred to as cooperative assets). Corporeal property and incorporeal property are the two main forms of property. Contrary to incorporeal property, corporeal property is palpable and observable. Additionally, corporeal property is an incorporeal right in rem as opposed to incorporeal property, which is the right of ownership in tangible objects.
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how many years will it take an investment to triple if the interest rate is 8% com- pounded annually?
So, at an annual interest rate of 8%, it will take an investment around 9 years and 2 months (rounded to the nearest month) to treble.
To find the number of years it will take for an investment to triple with an 8% compounded annually interest rate, you can use the formula for compound interest:
A = P * (1 + r/n)^(nt)
where:
A is the final amount
P is the initial amount (principal)
r is the interest rate as a decimal (8% as 0.08)
n is the number of times the interest is compounded per year
t is the number of years
In this case, we want to find the number of years t such that A = 3P. So, we can set up an equation and solve for t:
3P = P * (1 + 0.08)^(nt)
Dividing both sides by P:
3 = (1 + 0.08)^(nt)
Taking the natural logarithm of both sides:
ln(3) = nt * ln(1 + 0.08)
Dividing both sides by ln(1 + 0.08):
t = ln(3) / nt * ln(1 + 0.08)
Since the interest is compounded annually, n = 1. Plugging this into the equation:
t = ln(3) / ln(1 + 0.08)
Approximating using a calculator, this results in t = 9.148 years.
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which of these is a good idea to consider when laying out a kitchen? a) always use second hand equipment to save money b) layout is less critical in the kitchen because customers can't see it c) block out extra work space around each appliance d) locate the stove and oven as far away from each other as possible
Here option B is the correct answer The set up or waft for your eating location is critical.
What are the three foremost types of layouts for kitchens?There are six primary sorts of kitchen layouts: Island, Parallel, Straight, L-Shape, U-Shape, Open, and Galley. The L-Shaped kitchen is most suitable to homes that do not want too plenty worktop areas whilst the galley fashioned kitchen is appropriate for small homes.
The most primary plan precept is the work triangle. The work triangle is the line drawn from each of the three predominant workstations in the kitchen - the food storage area, the cooking area, and the clean-up area.
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brainly.com/question/30383287#SPJ4according to a study examining the status of sales as a true profession, which of the following is an area in which sales needs to improve? a. development of a unique set of professional skills b. having a defined culture and organization of colleagues c. adherence to a uniform ethical code d. making a significant contribution to society e. operating from a substantial knowledge base that has been developed by academics
According to a study examining the status of sales as a true profession, the following areas may need improvement for sales to be recognized as a true profession:
a. Development of a unique set of professional skills: Sales requires a specialized skill set, and it is important for sales professionals to continually improve their skills and knowledge in order to be recognized as a true profession.
b. Having a defined culture and organization of colleagues: Sales professionals need to have a sense of community and shared values in order to be considered a true profession.
c. Adherence to a uniform ethical code: A professional code of ethics is an important aspect of being recognized as a true profession. Sales professionals need to be held to high ethical standards in order to be recognized as true professionals.
d. Making a significant contribution to society: A true profession should make a significant contribution to society and have a positive impact on people's lives.
e. Operating from a substantial knowledge base that has been developed by academics: Sales professionals need to have a deep understanding of the industry and the markets they serve, as well as the theories and best practices developed by academics and experts in the field. A well-developed knowledge base is essential for sales to be recognized as a true profession.
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average total assets are $400,000; net income is $200,000; and net sales are $800,000. the return on assets is .
A higher ROA means that a company is efficiently using its assets to generate profits, while a lower ROA may indicate that a company is underperforming or not effectively utilizing its assets.
The return on assets can be calculated by dividing the net income by the average total assets.
ROA = Net Income / Average Total Assets
Plugging in the numbers:
ROA = $200,000 / $400,000
ROA = 0.5 or 50%
In the calculation, the net income of $200,000 is divided by the average total assets of $400,000, yielding a ROA of 50%. This means that for every dollar of assets the company holds, it generates $0.50 in net income.
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when business strategies, economic sectors, work practices, technologies, and lifestyles are assessed and improved while maintaining the natural environment, this is known as .
when business strategies, economic sectors, work practices, technologies, and lifestyles are assessed and improved while maintaining the natural environment, this is known as Sustainability.
What is Sustainability?
Sustainability is the capacity to support or maintain a process throughout time.
Economic, environmental, and social aspects are the three main categories of sustainability.
Many organizations, as well as governments, have made commitments to sustainable objectives, such lowering their environmental footprints and preserving resources.
The concept of "green investing" is actively being embraced by certain investors.
Certain businesses have been accused by sceptics of "greenwashing," the practise of deceiving the public to make a firm appear more environmentally friendly than it actually is.
Sustainable policies therefore stress the long-term impact of any particular policy or corporate practise on people, ecosystems, and the overall economy. The idea is frequently associated with the conviction that the state of the planet will become irreparably damaged unless significant changes are made to how it is managed.
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which of the following is one of the major criticisms of the jury system in the united states? group of answer choices juries only apply substantive rules of law to decide cases. jurors vote their prejudices. jurors develop voir dire to elicit attitudes and experiences. juries cannot be used in criminal cases. juries cannot be used in civil cases when the amount in controversy is below $2,000.
Jurors voting their prejudices is one of the major criticisms of the jury system in the United States.
What is jurors voting ?One of the main complaints of the jury system in the United States is that jurors vote according to their prejudices. This implies that jurors may base their decisions on their own personal opinions, biases, or prejudices rather than the facts and the law. This could lead to a verdict that is biased against the facts and the law and result in a miscarriage of justice. Because the jury system is supposed to be impartial and the judgement should only be based on the evidence given in court, this is regarded as a serious issue. Critics contend that jurors' personal biases can compromise the fairness of the legal system, and they urge for steps to solve this problem, such as increasing the jury size.To know more about jurors voting , check out :
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dale has to write a research report about poland in his international marketing class. one aspect he must learn about the country is its size, structure, and distribution. what does this represent?
Distinct cultures have different notions about how to use time in interpersonal and organizational communication, particularly nonverbal communication.
What actions are often regarded as socially acceptable?Social norms are established codes of behavior among different social groups. Social norms can be established understandings that govern how members of a society act or they can be unwritten laws and rules.
What is the population's makeup and distribution?The spatial pattern brought on by population dispersion, the formation of agglomerations, the linear spread, etc. is referred to as population distribution. Population density is the ratio of people to accessible space. It demonstrates the relationship amongst density or the number of people living in an area.
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a type of security that is frequently used in mortgages and requires that the loan payment contain both interest and loan principal is called___
A type of security that is frequently used in mortgages and requires that the loan payment contain both interest and loan principal is called an amortized loan.
What kind of security is a mortgage?On the secondary market, mortgage-backed securities are bought and sold. A specific kind of asset-backed securities is an MBS. Processes for mortgage finance and house loans have become simpler thanks to asset-backed securities. Ginnie Mae, Freddie Mac, and Fannie Mae are the main issuers of mortgage-backed securities.
What serves as the mortgage loan's primary security?The asset generated as a result of the credit facility given to the borrower and/or that is directly connected to the venture or project of the borrower for which the credit facility has been extended is the primary security. Any additional security pledged for the specified credit facility is a collateral security.
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what is the marginal cost of producing the tenth unit? no. units produced total revenue total costs 0 0 0 10 120 40 20 200 100 30 270 170 40 310 260 50 330 370 multiple choice
Marginal cost refers to the change in total cost that results from producing one additional unit of a product.
It is a key concept in economics and is used by companies to determine the optimal level of production. The marginal cost of producing an additional unit is important because it helps companies make decisions about whether it is worth producing additional units, based on the costs involved. To calculate the marginal cost of producing the tenth unit, we can use the following formula:
Marginal cost = (Total cost for producing n units - Total cost for producing n-1 units) / (Number of units produced - Number of units produced - 1)
From the information given, the total cost for producing 10 units is 40 and the total cost for producing 9 units is 0.
Marginal cost = (40 - 0) / (10 - 9)
Marginal cost = 40
So, the marginal cost of producing the tenth unit is 40.
It is important to note that the marginal cost of producing an additional unit will change as the level of production increases. As production increases, the cost of producing each additional unit may increase or decrease, depending on various factors such as the cost of raw materials, labor, and overhead. Understanding the marginal cost of production is important for companies as it helps them to determine the optimal level of production and make informed decisions about their operations.
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a firm has sales of $4,660, costs of $2,460, interest paid of $161, and depreciation of $457. the tax rate is 30 percent. what is the cash coverage ratio?
The cash coverage ratio is an obligation and productivity proportion used to decide how effectively an organization can pay interest on its remarkable obligation.
The cash coverage ratio is a measure of a firm's ability to meet its current financial obligations using only its current cash flow. It is calculated as follows:
Cash coverage ratio = (Net Operating Cash Flow) / (Current Liabilities)
Net Operating Cash Flow is calculated as:
Net Operating Cash Flow = Sales - Costs - Interest Paid - Depreciation - Taxes
In this case, the firm's net operating cash flow can be calculated as follows:
Net Operating Cash Flow = $4,660 - $2,460 - $161 - $457 - ($4,660 - $2,460 - $161 - $457) * 30%
Net Operating Cash Flow = $4,660 - $2,460 - $161 - $457 - ($2,000) * 30%
Net Operating Cash Flow = $1,532
Without information on the firm's current liabilities, it's not possible to calculate the cash coverage ratio. To find this ratio, you would need to know the firm's current liabilities and divide the net operating cash flow by that amount.
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a couple invests $9,351.00 today in a money market fund that pays 7.00% per year. what is the value of this account in exactly one year?
the basic idea of opportunity cost is that: question 14 options: a) economic agents are always looking for better opportunities. b) buyers miss opportunities to find better bargains. c) the decision to use resources in one activity means that they cannot be used elsewhere. d) using resources in an activity imposes costs on other people.
C) When resources are allocated to one activity, they cannot be used for another. The inputs or components of production that are used in the production of goods and services are referred to as resources.
The inputs or components of production utilised to create commodities and services are referred to as resources. They can be human inputs like abilities, education, and knowledge, as well as physical inputs like capital, labour, land, and raw materials. One of the most fundamental economic decisions involves allocating precious and limited resources to various applications. The idea of opportunity cost emphasises that resources may only be used in a single way at a time, and choosing to use them in one activity has an implicit cost of forgoing the chance to use them in additional activities. It is essential to allocate resources effectively if you want to boost production, efficiency, and economic growth.
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The economic and strategic advantages that accrue to early entrants into an industry are called?
. incentives matter a. only when people are greedy and selfish. b. only in a free market system. c. only in the private sector. d. to all human beings regardless of environment.
Rewards are important. to all people, regardless of circumstance.
What serves as the primary motivator for a market economy?Increased innovation is supported by a nation's market economy. To achieve a competitive advantage, businesses and individuals are urged to innovate. Companies are primarily motivated by money, and as a result, they seek to develop new products and technology in order to increase profits.
What function does the government serve in a market economy?However, economists recognize six primary roles for governments in market economies. Governments maintain competition, offer public goods and services, redistribute income, account for externalities, and stabilize the economy in addition to providing the legal and social framework.
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is the market currently in equilibrium, experiencing a shortage, or experiencing a surplus? what do you expect to happen to the average rent?
The COVID-19 pandemic has had a significant impact on the global economy, with many industries experiencing major disruptions in supply and demand.
Some industries, such as travel and hospitality, have been hit particularly hard due to the pandemic-related restrictions and a decrease in consumer demand. Others, such as e-commerce and technology, have seen increased demand as people shift towards online shopping and remote work.
In many countries, the pandemic has also led to significant government intervention in the form of economic stimulus packages, tax relief, and other measures aimed at mitigating the negative effects of the pandemic on businesses and households. These measures have been aimed at increasing consumer spending, preserving jobs, and maintaining the stability of financial markets.
Overall, the pandemic has created an uncertain and rapidly changing market situation. Businesses are adapting to changes in consumer demand and supply chain disruptions, while also navigating government policies and other external factors. As vaccination efforts continue and restrictions are gradually lifted, it remains to be seen how the global economy will continue to evolve.
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the discount rate increases b. the discount rate is compounded more frequently c. the asset matures earlier d. interest is calculated as simple interest rather than compound interest
Increasing the interest rate and increasing the time period will will increase the future value of a lump sum investment. (C)
The future value of a lump sum investment can be calculated by compounding the initial investment over a fixed period of time at a fixed interest rate which is given. The future value on an investment increases as the interest rate increases and as the time period for which it is invested also increases.
Thus, increasing the interest rate (II) and increasing the time period (III) are the factors which increase the future value of a lump sum investment. Decreasing the interest rate (I) or decreasing the amount of the lump sum investment (IV) will decrease the future value of the investment.
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Complete question:
Which of the following will increase the future value of a lump sum investment?
I. Decreasing the interest rate
II. Increasing the interest rate
III. Increasing the time period
IV. Decreasing the amount of the lump sum investment
A. I and III only
B. I and IV only
C. II and III only
D. II and IV only
E. II, III, and IV only
the process by which workers with similar personalities are attracted to and hired by organizations and those with dissimilar personalities leave is described by the .
This process is known as homophily, which is the tendency of individuals to associate and bond with similar others. Homophily can explain why employees with similar personalities are attracted to and hired by organizations, while those with dissimilar personalities leave.
What is homophily?Homophily is the tendency of people to associate and bond with others who are similar to them in terms of age, race, class, gender, religion, educational level, and other characteristics. This phenomenon is often referred to as the “birds of a feather” effect. Homophily helps to explain why people tend to form close relationships with those who have similar backgrounds, interests, and values, and why social networks tend to be segregated. It is an important factor in the formation of social structures and the transmission of culture.
This is because people tend to form relationships with those who are similar to them in terms of values, beliefs, attitudes, and behaviors. As a result, organizations that emphasize similar values, beliefs, and behaviors are more likely to attract and retain workers with similar personalities.
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the sales manager has requested a report of the feeds on certain objects. what is required to keep track of the feed acitivites
To keep track of feed activities, the following information is typically required: Object Identifier,Feed Type, Feed Source, Feed Frequency and Feed Data
Object Identifier: A unique identifier for each object, such as a product code or name, that the feed is related to.
Feed Type: The type of feed, such as a product feed, a price feed, or a stock feed, that needs to be tracked.
Feed Source: The source of the feed, such as a website, a third-party service, or an internal system.
Feed Frequency: The frequency of the feed, such as daily, weekly, or monthly, which helps to determine the regularity of updates.
Feed Data: The data that is included in the feed, such as product information, pricing, and stock levels.
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according to the michigan state article, why is supply forecasting important for factories and suppliers downstream in the supply chain?
The answer is, To know in advance how much raw material they should have available and To deliver orders in a specific time frame.
The supply chain is what?The network of all the people, businesses, resources, tasks, activities, and technological advancements involved in the production and distribution of a good is known as a supply chain. A supply chain includes every step of the process, from the transfer of raw materials from the supplier to the producer to the final distribution to the customer.
What are supply chain management's five fundamental steps?The five components of supply management are supply, production, inventory, capacity, and distribution planning. The demand plan generates requirements, and supply planning decides how to best meet them.
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The concept that states that the timing of the receipt or payment of a cash flow will affect its value to the holder of the cash flow Time value of money B. A cash flow stream that is created by a lease that requires the paymer to be paid on the first of each month and a lease period of three years Amortized loan C. The process of determining the present value of a cash flow or series o cash flows to be received or paid in the future A cash flow stream that is generated by a share of preferred stock that is expected to pay dividends every quarter indefinitely A series of equal cash flows that occur at the end of each of the equally spaced intervals (such as daily, monthly, quarterly, and so on) Ordinary annuity D. Annual percentage rate E. Annuity due F. An interest rate that reflects the return required by a lender and paid by a borrower, expressed as a percentage of the principal borrowed A table that reports the results of the disaggregation of each payment on an amortized loan, such as a mortgage, into its interest and loan repayment components A type of security that is frequently used in mortgages and requires that the loan payment contain both interest and loan principal A 6% return that you could have earned if you had made a particular investment Perpetuity G. Future value H. 1. Amortization schedule Opportunity cost of funds One of the four major time value of money terms; the amount to which an individual cash flow or series of cash payments or receipts will grow over a period of time when earning interest at a given rate of interest
The idea behind time value of money is that money today is worth more than money tomorrow
What is Time value of money?The idea behind time value of money is that money today is worth more than money tomorrow. Because money today can be utilized, invested in, or increased, this is the case. Since money earned today may result in interest, unrealized profits, or unrealized losses, $1 earned now and $1 earned a year from now are not equivalent. According to the generally accepted theory of the time value of money, receiving money now rather than at a later time would be more advantageous.It could be interpreted as an implication of the more recent idea of temporal preference. Time is worth money. To put it another way, the value of a specific sum of money today is greater than its value tomorrow.
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___ is defined as the difference between the maximum price a consumer is willing to pay for a product and the actual price.
Consumer surplus is defined as the difference between the maximum price a consumer is willing to pay for a product and the actual price.
What is Consumer surplus?
When customers pay less for a good or service than they are willing to, this is known as a consumer surplus. It measures the extra benefit that consumers get from paying less for something than they would have been prepared to.
The following is the simplest formula for figuring out the consumer surplus: Maximum Price - Market Price equals Consumer Surplus.
The enlarged version of the formula is as follows from there: Quantity at Equilibrium = (1/2) Consumer Surplus (Maximum Price – Equilibrium Price)
It measures the additional value that customers receive as a result of paying less than what they would otherwise be willing and able to pay.
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randy hill wants to retire in 20 years with $1,000,000. if he can earn 10 percent per year on his investments, how much does he need to deposit each year to reach his goal? use exhibit 1-b. (round your answer to the nearest dollar.)
In 20 years, Randy Hill aspires to retire with a million dollars. He has to deposit $31,474 every year at a 10% annual return on his assets in order to reach his goal.
An annual return is what?The gain or loss on an investment over a year is the annual rate of return. The yearly rate of return can be determined using a variety of techniques. When a rate of return is computed on a monthly basis, it is multiplied by 12 to get an annual rate of return.
Investments are the choice to anticipate that the value of an asset will increase over time. Loss of a gift asset, such as time, money, or effort, is necessary for investment. Profiting from the asset put up for investment is the aim of a financial investment.
If the objective is to generate wealth and save money from difficult profits or appreciation, an asset is purchased or invested in. The major objective of investing in this method is to increase the investment's returns or other advantages over a predetermined period of time.
N = 15, I = 10, PV = 0, FV = 1,000,000. Solve for PMT: $31,474 (rounded).
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buyer-seller relationships that arise for important purchases are the ones that are more likely to involve operational linkages and high levels of information exchange. true false
It is true that connections between buyers and sellers that develop for significant purchases are more likely to involve operational links and intensive information sharing.
What is information sharing?The exchanging of information between different companies, people, and technologies is referred to as information sharing. Various forms of information exchange exist, including: information disclosed by people. When individuals or other entities share or exchange information, it is referred to as information exchange or information sharing. This could be carried out digitally or by using specific systems. To protect and advance the welfare of children, young people, and adults, information sharing is essential. The choices made on who to share information with, when to share it, and how much to disclose can have a significant impact on people's life. A person can be sure to get the proper services at the appropriate moment thanks to it.
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in 2020, ron pays $25 each quarter for a state property tax based only on the value of his boat. what amount of this personal property tax is deductible on his federal tax return?
$70 of this personal property tax is deductible on his federal tax return.
What is property tax?An ad valorem tax on the value of a property is known as a property tax or millage rate. The governing body of the region where the property is located is responsible for collecting the tax. A town, a county, a federated state, or the federal government are all examples of this. Real estate frequently has to pay a property tax. It could be levied every year or just once, such in the case of real estate transfer tax. This tax can be compared to a land value tax, which is a levy on the value of land, excluding the value of buildings and other improvements, and a rent tax, which is based on rental revenue or imputed rent.
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major airlines change hundreds of fares daily in response to competitor tactics, which is an example of using multiple choice scenario analysis. switching costs. competitive intelligence. corporate espionage.
Major airlines change hundreds of fares daily in response to competitor's tactics, which is an example of using c) competitive intelligence.
Competitive intelligence (CI) or competitor intelligence is defined as the process through which a firm obtains and analyzes information about its industry, business environment, competitors, and goods in order to determine its future strategy.
Competitive intelligence is often regarded as a vital component of developing a successful competitive strategy, which will ultimately result in the creation of a distinct competitive edge in company.
In an increasingly competitive world, thorough research and market intelligence may often mean the difference between a thriving business and one that struggles to stay up with the competition. Competitive intelligence systems are utilized by both large and small firms to assist them gain an advantage.
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Correct question:
Major airlines change hundreds of fares daily in response to competitor's tactics, which is an example of using what?
a) scenario analysis.
b) switching costs.
c) competitive intelligence.
d) corporate espionage.
waiting until a program or intervention is complete to begin evaluation activities misses important and valuable opportunities for what type of evaluation?
Process Evaluation is waiting until a program or intervention is complete to begin evaluation activities misses important and valuable opportunities.
Process evaluation centers around the execution interaction and plans to distinguish how the undertaking has stuck to the rationale model's procedure or endorsed hypothesis of progress. Not at all like result and effect assessments, process assessments focus on sources of info, exercises, and results and their association. While doing handle assessment, one isn't keen on the reason yet is more inspired by how the method involved with executing the intercession is carried out and in the event that everything is going according to the characterized cycle. On the off chance that this isn't occurring, we really want to figure out what's turning out badly with the interaction.
Process evaluation empowers assessors to recognize execution and execution disappointments. Execution disappointment happens when expected results are not accomplished because of ineffectual execution strategies, like unfulfilled goals and a lack of qualified specialists.
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true or false: there are no major differences in accounting for inventory between u.s. generally accepted accounting principles and international accounting standards
False , there are no major differences in accounting for inventory between u.s. generally accepted accounting principles and international accounting standards .
What inventory guidelines are there under GAAP?
Depending on the inventory method employed, inventories are measured under US GAAP at the lowest of cost, market value, or net realisable value.
Market value is defined as current replacement cost less a typical profit margin, subject to an upper limit of net realizable value and a lower limit of net realizable value.
What distinctions exist between foreign and US accounting standards?
There are two main differences: Enforcement. Given that GAAP is a set of rules, US corporations with publicly listed stock are legally compelled to abide by its guidelines.
However, because IFRS is based on standards, it is not mandatory for anyone to abide by its recommendations, despite them.
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what is the definition of a bond's time to maturity? multiple choice question. it is the number of years the corporation is expected to be in existence it is the number of years until the bond is sold by the bondholder it is the number of years until the face value is due to be repaid. it the period of time that has elapsed since the bond was issued
A bond's time to maturity is the number of years until the face value is paid off.
What is the time to maturity?
The duration until a bond matures determines how long the owner will continue to receive interest payments on their investment. The principal is reimbursed when the bond matures. Depending on how long they will take to mature, bonds can be divided into three general categories: short-term (one to three years), intermediate-term (four to ten years), and long-term (ten to thirty years). In general, the bond's interest rate will be greater and its price on the secondary bond market will be less volatile the closer it approaches maturity.
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