An increase in the net profit margin ratio provides good news about a company.
What is the net profit margin?
The amount of net income or profit generated as a percentage of revenue is expressed as the net profit margin, or simply net margin. It is the proportion of a company's or business segment's net profits to revenues. A business can determine whether its existing procedures are effective and estimate earnings based on revenues by monitoring growth and reductions in its net profit margin.
Although it can also be given in decimal form, the net profit margin is frequently expressed as a percentage. A company's net profit margin shows how much of every dollar in revenue it receives is converted into profit.
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an organized effort where goods and services are freely exchanged is known as a question 2 options: business. government. market. religion.
Free enterprise refers to a free market economy that has few restrictions on the transfer of wealth or the purchase and sale of products and services.
A business is a place where people come together to work. People work in a business to produce and market goods and services. The goods and services are purchased by other people. A company can make money from the goods and services it provides. The word "business" derives from the verb "to be busy," which refers to action. To turn a profit, any firm needs to make some kind of investment and have a sufficient number of consumers to whom it can consistently sell its output. Pepsi Co. is an illustration of a corporate firm, whereas a mom-and-pop catering service is a private business.
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companies look for cost-effective ways to maintain and build business relationships. email is one step in that effort. which is the most effective positive message opening?
The following option that show us about the most effective positive message opening is Will you be available to discuss your idea with our developers the week of May 10?
In the term of business and organization, Business relations generally can be defined as a connections between stakeholders in the process of businesses. Business relationship included some relationship, such as employer–employee relationships, managers as well as outsourced business partners. Business relationship is a crucial factor. It can affect through the business career. So, if we interact with each other, we have to used effective positive message.
The question above is incomplete, the complete question is:
Companies look for cost-effective ways to maintain and build business relationships. Email is one step in that effort. Which is the most effective positive message opening?
--How did you come up with your idea?
--KendCo is working on hard on a lot of iniatives.
--Will you be available to discuss your idea with our developers the week of May 10?
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which of the following is incorrect with respect to recognized goodwill on the balance sheet? question 9 options: it may be negative. it should be written-down if the future benefits no longer exist. it arises when another company is purchased or when internally generated. it should not be amortized over 30 years.
It happens when a business buys another one or when incorrect information about goodwill that is listed on the balance sheet is produced internally. As a result, choice B is the best.
Less goodwill is recorded when a corporation buys another company because the acquisition price was more than the fair worth of the measurably acquired physical and intangible assets. the plans that were put in place. On the balance sheet, goodwill is listed as a long-term or noncurrent asset.
When one company buys another for more money than the total net assets of the acquired company, as shown on the balance sheet, goodwill, a form of an intangible asset, is created.
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The correct question is-
Which of the following is incorrect with respect to recognized goodwill on the balance sheet?
A. It should not be amortized over 30 years.
B. It arises when another company is purchased or when internally generated.
C. It should be written down if the future benefits no longer exist.
D. It may be negative.
senior management is most likely to be responsible for . a. operational plan b. tactical plan c. strategic plan d. mission plan
A senior manager is in charge of Organizing and supervising a team's work.
Which planning activities are carried out by senior management?The use of strategic planning is based on the long-term achievement of significant objectives.It's more of a elevated planning that is carried out by the organization's top managers.Such planning is employed when launching a firm.The company's mission and vision are included in a strategic plan.
Who is in charge of operational and tactical planning?First, because they have th best overall perspective of the company, executives are typically in charge of developing strategic plans.Lower-level managers are typically in charge of tactical planning since they have a greater awareness of the day-to-day activities.
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which of the following is an example of a positive economic statement? a. soap operas should be taken off television. b. the u.s. public should devote more resources to education. c. if you drop a ball from the top of a building, it will fall to the ground. d. the poor should pay lower taxes and the rich should pay higher taxes
"An increase in government spending will reduce the unemployment rate'' is an example of a positive economic statement. The correct option is C.
The positive economic statement is the statement in which the measurement is the fact based and it is precise, descriptive and the clearly measurable.
The positive economic statement is the tangible and it can include the following terms are inflation rate, the unemployment rate, housing market statistics and the consumer spending. The positive statement is opposite from the normative statement in this statement it include the many disciplines.
The question is incorrect, the correct question is here:
Which of the following is an example of a positive economic statement? a. soap operas should be taken off television. b. the U.S. public should devote more resources to education. c. An increase in government spending will reduce the unemployment rate. d. the poor should pay lower taxes and the rich should pay higher taxes
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what form does the product specification take for the following firms: a trvael agency, a beer company, and a consulting firm?
The answer is, In 2010, the SEC's Enforcement Division created a specialized unit to further enhance its enforcement of the FCPA, which prohibits companies issuing stock in the U.S. from bribing foreign officials for government contracts and other business.
What exactly is a product?Any good or service you provide to satisfy a customer's need or desire is a product. They might be real or virtual. Durable commodities (such as vehicles, furniture, and computers) and nondurable items are examples of physical things (like food and beverages).
What is a basic product?Basic products are items intended for export after processing into processed products or into goods; Samples 1 through 3 also include commodities intended for export after processing.
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a 30-year maturity, 6% coupon bond paying coupons semiannually is callable in five years at a call price of $1,100. the bond currently sells at a yield to maturity of 5% (2.5% per half-year). required: a. what is the yield to call? (do not round intermediate calculations. round your answer to 2 decimal places.) b. what is the yield to call if the call price is only $1,050? (do not round intermediate calculations. round your answer to 2 decimal places.) c. what is the yield to call if the call price is $1,100 but the bond can be called in two years instead of five years? (do not round intermediate calculations. round your answer to 2 decimal places.)
The first equation into the second and solving for y gives a semiannual yield of 3.481%, or an annual yield to call of 6.96%. (a) the yield to call is 5.71%. (b) an annual yield to call of 6.28%. and (c) the bond would be worth the call price of $1,100 at that time if 1,100 = [tex]PV/(1 + y/2)^4[/tex]
To solve this problem, we need to use the bond pricing formula for a bond with semiannual coupon payments:
[tex]PV = (C/2) * (1 - 1/(1 + r/2)^{2n}) + F/(1 + r/2)^{2n}[/tex]
where PV is the present value of the bond, C is the semiannual coupon payment, r is the semiannual yield to maturity, n is the number of semiannual periods, and F is the face value of the bond.
a. To find the yield to call, we need to find the yield semi-annual that would make the bond worth the call price of $1,100 in five years. The call price is the present value of the bond at that time, so we can use the bond pricing formula with n = 10 (20 semiannual periods) and PV = $1,100:
[tex]1,100 = (60/2) * (1 - 1/(1 + r/2)^{20}) + 1,000/(1 + r/2)^{20}[/tex]
Solving for r using a financial calculator or spreadsheet gives a semiannual yield of 2.854%, or an annual yield to call of 5.708%. Therefore, the yield to call is 5.71%.
b. To find the yield to call with a call price of $1,050, we can use the same formula with PV = $1,050:
[tex]1,050 = (60/2) * (1 - 1/(1 + r/2)^{20}) + 1,000/(1 + r/2)^{20}[/tex]
Solving for r gives a semiannual yield of 3.140%, or an annual yield to call of 6.28%.
c. To find the yield to call with a call price of $1,100 and a call date of two years from now, we need to find the present value of the bond at that time using the bond pricing formula with n = 4 (8 semiannual periods):
[tex]PV = (60/2) * (1 - 1/(1 + r/2)^{8}) + 1,000/(1 + r/2)^{8}[/tex]
If the yield to call is y, then the bond would be worth the call price of $1,100 at that time if:
1,100 = [tex]PV/(1 + y/2)^4[/tex]
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what type of health plan has seen dramatic growth and their market share will most likely grow as increased pressure for healthcare cost containment continues?
As pressure to restrict healthcare costs continues to increase, the market share of high deductible health plans with saving options has grown significantly.
Health planning is the process of evaluating requirements and resources, prioritising goals, and describing the administrative action needed to attain those goals in order to examine community health challenges. A good strategy should supply A crystal clear vision, mission, and set of objectives a thorough list of the things that need to be done The resources needed to finish the activity include people, objects, money, time, space, and knowledge. Six steps are involved in planning. examining the circumstances selecting and analysing significant (priority) issues establishing targets and goals Identifying potential obstacles Planning the strategy Making the plan official
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true or false? subtract your outflow for necessities from your total monthly income. the answer is the amount of discretionary income you have left.
True, subtract your outflow for necessities from your total monthly income.
What is discretionary income?
Discretionary income is the amount of money that a family or individual has left over after paying taxes and essential expenses like rent or mortgage, utilities, student loans, and credit card debt. There are some similarities between the two income streams because discretionary income is a subset of disposable income. Regarding the Income-Contingent Repayment Plan, discretionary income is the sum of your annual income less 100% of the federal poverty level for your family size and location. The U.S. Department of Health and Human Services updates the poverty guidelines. It's more beneficial to think about discretionary income as a share of your spending plan.
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The slope of a budget constraint line is influenced by:
a. the tastes and preferences of the decision-maker.
b. none of the above
c. how much one item costs compared to the cost of the other item.
d. how effectively one more of each of the two competing goods satisfies wants.
How much one thing costs in relation to a cost of the additional item C. affects the slope of an initial budget line.
What factors affect the slope of something like a budget constraint line?The relative cost of the options affects the budget constraint's slope. Choices outside of the budget are unaffordable. Cost is measured by the amount given up in exchange, or opportunity cost.
What is the case with a financial restraint?The total number of products you can buy within your current budget is your budget constraint. Budget restrictions show the variety of options that can be made while staying inside that budget. The opportunity cost is the amount or thing you give up in favor of another. Slowly sinking cost is the sum of money used for the cannot be regained from the past.
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suppose the real risk-free rate is 3.50% and the future rate of inflation is expected to be constant at 4.80%. what rate of return would you expect on a 1-year treasury security, assuming the pure expectations theory is valid? disregard cross-product terms, i.e., if averaging is required, use the arithmetic average.
We would expect a return of 8.30% on a 1-year Treasury security if the pure expectations theory is valid.
What is pure expectations theory?Under the pure expectations theory, the expected return on a 1-year Treasury security would be equal to the expected real risk-free rate plus expected inflation.
According to expectancies theory, the long-term interest rate is the average of the current and anticipated short-term rates in the future. The average of the present and anticipated short-term rates for the next five years, for instance, is the yield to maturity on a bond with a maturity of five years.
Expected return = Real risk-free rate + Expected inflation
Expected return = 3.50% + 4.80% = 8.30%
So, we would expect a return of 8.30% on a 1-year Treasury security if the pure expectations theory is valid.
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what was the louisiana purchase, and how did it impact the u.s.?
Signed on April 30, 1803, this contract with France cost the United States $15 million and allowed it to gain 828,000 square miles of land west of the Mississippi River.
What effect did the Louisiana purchase have?
The Louisiana Purchase eventually doubled the size of the United States, greatly strengthened it militarily and strategically, gave an important impetus to the westward movement, and confirmed the notion of authority implicit in the federal constitution. This agreement was signed on April 30, 1803, and it cost the United States $15 million to acquire the 828,000 square miles of territory west of the Mississippi.
The land area of the United States has increased to around $4 per acre.
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which provides the necessary experience to purse her claim and would ensure the employee lowest overall cost?
When considering which approach would provide the necessary experience to pursue a claim and ensure the lowest overall cost for an employee, it would depend on the nature of the claim and the available options for pursuing it.
In some cases, it may be necessary for the employee to hire an experienced attorney who specializes in the relevant area of law, such as employment law or personal injury law. While this may result in higher upfront costs, it may also increase the chances of a successful outcome and result in a larger settlement or judgment.
Alternatively, the employee may be able to pursue the claim on their own, with or without the assistance of a legal aid organization or self-help resources. This approach may have lower upfront costs, but may also be more challenging and may result in a smaller settlement or judgment.
Ultimately, the best approach will depend on the specific circumstances of the claim and the employee's individual needs and goals. It may be helpful to consult with a legal professional or other trusted advisor to determine the best course of action.
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in order to earn $1,000 per year for 15 years starting next year, how much money should you deposit in a bank now if the bank offers a compound interest rate of 12%? g
You need to deposit $2,051.44 in the bank to earn $1,000 per year for 15 years with a 12% compound interest rate.
Compound interest is the interest earned on the original amount and the interest earned in previous periods. It's like earning interest on your interest.
To calculate the amount you need to deposit now, you can use the formula:
A = P * (1 + r/n)ⁿˣ
Where:
A is the final amount,
P is the principal (the initial amount),
r is the interest rate,
x is the number of years, and
n is the number of times the interest is compounded in a year.
In your case, you want to earn $1,000 per year for 15 years, so you need to deposit an amount that will earn you $1,000 every year for 15 years. Let's assume that the interest is compounded annually (n = 1). So, the formula becomes:
A = P * (1 + 0.12)¹⁵
To find P, you can rearrange the formula:
P = A / (1 + 0.12)¹⁵
Substituting $1,000 for A, you get:
P = $1,000 / (1 + 0.12)¹⁵ = $2,051.44
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item10 10 points ebookprintreferencescheck my workcheck my work button is now enableditem 10 required: a project has a 0.88 chance of doubling your investment in a year and a 0.12 chance of halving your investment in a year. what is the standard deviation of the rate of return on this investment?
The standard deviation of the rate of return on this investment is 48.74%.
What is the standard deviation?
The square root of the variance is used to calculate the standard deviation, a statistic that expresses how widely distributed a dataset is in relation to its mean. By calculating the deviation of each data point from the mean, the standard deviation may be determined as the square root of variance.
Start with a value of $100.
In the first scenario, the value will double to $200 with a probability of 0.88.
In the second, the value will decrease by half to $50 with a probability of 0.12.
Value expected, or E(x) = probability * ( value)
E(x) = 0.88*200 + 0.12*50 = $182 is the expected value.
Variance of (x) = = E(x^2) - (E(x))^2
= (0.88 * 200^2 + 0.12 * 50^2) - (182)^2
= (35,200 + 300) - 33124
= 35500-33124
= 2376
Standard deviation = sqrt (variance)
= sqrt(2376) = 48.74%
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Correct question:
A project has a 0.88 chance of doubling your investment in a year and a 0.12 chance of halving your investment in a year. What is the standard deviation of the rate of return on this investment? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
when an owner withdraws cash or other assets from a business for personal use, these withdrawals are termed
When an owner withdraws cash or other assets from a business for personal use, these withdrawals are termed drawings.
What Is Drawing Account?Drawing is basically one of the terms used in accounting and refers to the activity of withdrawing assets or money from a business carried out by the owner of the business. Therefore, the drawing account on record will be included in the debit account and the money or assets taken will be in the credit account. This drawing is usually done every year where there is an account closing at the end of the year and all cash is transferred to the owner's account and the company opens a new account for the new year.
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how can managers effectively convey impressions of empathy and power? group of answer choices tone of voice physical appearance work environment body language
Managers can effectively communicate feelings of power and empathy through their body language.
Understanding how other people emotionally feel, seeing things from their perspective, and placing yourself in their shoes are all examples of empathy. It essentially involves placing yourself in another person's shoes and experiencing their feelings. Empathy is the ability to immediately see yourself going through all that experience and feel what they are feeling when you see another person in a depressed state, such as when they have lost a loved one. Numerous studies have found that empathy is declining both nationally and internationally. These findings urge parents, teachers, and the community to promote initiatives that aid individuals of all ages in developing and maintaining their capacity to put themselves in others' shoes.
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when the price of a good or service changes, a. the demand curve shifts in the same direction. b. the supply curve shifts in the opposite direction. c. the demand curve shifts in the opposite direction. d. there is a movement along a given demand curve.
When the price of a good or service changes, there is a movement along a given demand curve.
The demand curve for that good moves when the price changes, right?A shift in the price of a good or service does not modify the demand curve; rather, it causes movement along a particular demand curve and often results in some change in the quantity sought.
when a product or service's pricing changes?Moving along the supply or demand curves implies that the quantity provided or demanded has changed as the price of a good or service changes.
How does demand alter when a good's price changes?The quantity demanded decreases as the price rises (but demand itself stays the same). Demand rises in proportion to price decline. This is the Demand Law. An inverse relationship is shown on a graph as a left to right, downward sloping line.
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what is the stark law also known as and why is it important to hospitals? a. qui tam statute: hospitals are at risk for knowingly presenting or causing to present a false claim to the government. b. physician self-referral law: the law also covers services billed by hospitals actually provided by a physician-owned entity under contract with the hospital. c. qui tam statute: hospitals have a higher risk of disgruntled employees creating a qui tam suit. d. physician self-referral law: hospitals are responsible for the referral patterns of the physicians that also have admitting privileges to their hospital.
The stark law also known as qui tam statute, and it is important to hospitals because they are at risk for knowingly presenting or causing to present false claim to the government.
What is stark law?A physician who has a financial connection to an organisation providing designated health services (also known as "DHS") cannot recommend a Medicare or Medicaid patient to that organisation. Referrals are described as "the request by a physician for the item or service" for Medicare Part B services and "the request or establishment of a plan of treatment by a physician that involves the provision of the designated health service" for all other services. The Stark Law is subject to a number of exceptions, including those for physician services, in-office ancillary services, ownership of publicly traded securities and mutual funds, renting office space and equipment, and bona fide employment arrangements.
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firm c's common stock has a par value per share of $10, earnings per share of $6, dividends per share of $5, a book value per share of $69, and a market value per share of $80. what is firm c's dividend payout ratio (rounded to one decimal)?
Firm C is paying out 83% of its earnings as dividends to shareholders.
The dividend payout ratio is a financial metric that measures the proportion of a company's earnings that is distributed to shareholders as dividends. It is calculated as the dividends per share (DPS) divided by the earnings per share (EPS) and is typically expressed as a percentage.
The dividend payout ratio can be calculated by dividing the dividends per share by the earnings per share. Here, the dividend payout ratio for Firm C is given by -
$5 / $6 = 0.83 or 83%
Hence, the dividend payout ratio for Firm C is 83%.
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what is the maximum amount in new deposits and loans that the banking system can generate as a result of the $45,000 deposit into goldstar bank?
The highest amount of money a bank may generate as checkable deposits for every unit of reserves is known as the deposit multiplier.
What is the primary role of banking system?A banking system is important in part because of the elements required to make it function: a legal system that respects contracts and agreements, honoring the rights of both debtors and creditors; an independent central bank; a judiciary that follows the rule of law; and a government that understands the importance of strong, healthy banks and provides sound supervision and a legal framework within which they can operate. Only then can the banking system accomplish its primary roles—that of providing a safe haven for the funds of the public and a means to devote those funds in productive loans to build the economy. A healthy banking system, then, not only helps build a nation for what it does, it helps build a nation for what it requires.
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in developing a strategic marketing plan, what should the company do immediately after evaluating the opportunities presented by various market segments?
Immediately after evaluating the opportunities offered by the various market segments, a company should develop a strategy to determine where to focus its marketing efforts and where to not.
This includes deciding which market segments we have to target, what products and services should be offered, what pricing and promotional strategies to be used, and how to measure the success.
In addition, the company should create a timeline for implementation and review the budget to ensure that financial resources are allocated correctly. Finally, a company should consider how to track and measure the effectiveness of its marketing efforts to make adjustments and analyze ROI.
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Recognizing marketing’s greater purpose is one of the overriding principles of?
The overriding principle of marketing is to create customer value by understanding customer needs and providing a superior customer experience.
What do you mean by overriding principle?
Overriding principle is a concept in which a particular rule or procedure takes precedence over any other general rule or procedure. It is typically used when a specific situation requires a particular solution, which would be different than the one given by the general rule. In such cases, the principle of overriding provides the necessary flexibility to adjust the general rule and apply the specific solution. This principle is also known as the "superseding principle" or the "exceptional principle". In the legal field, it is a principle that is used to determine which laws take precedence when more than one law is applicable to a particular situation. Overriding principle is an important concept that allows for the flexibility to respond to unique situations in an effective and appropriate manner.
So, The overriding principle of marketing is to create customer value by understanding customer needs and providing a superior customer experience.
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during the month of may, direct labor cost totaled $21,240 and direct labor cost was 60% of prime cost. if total manufacturing costs during may were $78,300, the manufacturing overhead was:
The manufacturing overhead for May, given the direct labor cost and the prime cost, was $ 25, 200.
How to find the manufacturing overhead ?Find the prime cost first :
Prime cost = Direct labor cost / (1 - Direct labor cost as a percentage of prime cost)
Prime cost = 21, 240 / (1 - 60%)
Prime cost = 21, 240 / 40%
Prime cost = 53, 100
The manufacturing overhead is:
= Total manufacturing costs - Prime cost
= 78, 300 - 53, 100
= $ 25, 200
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An organization's budget is a document that details O the financial and physical resources allocated to a project or department for a period O the cash available for business expenses and payroll during a year O the headcount assigned to each departmental manager for the year
An organization's budget is a document that details a. The financial and physical resources allocated to a project or department for a period
What is an organization's budget ?A project's or department's financial and material resources are specified in the budget for the organization. They are single-use plans since they are only applicable during that time or for that unique occasion.
Zero-based budgeting treat each budget as though it were completely fresh and demand that managers provide justification for each line item. Budgets are made sure to be tightly related to the most recent corporate goals through this approach.
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distinguish between managerial and financial accounting as to (a) primary users of reports, (b) types and frequency of reports, and (c) purpose of reports.
Managerial account reports are intended for internal use, similar as decision- makers within the company, and are prepared on a regular whereas base.Whereas financial account reports are intended for external stakeholders and are formalized and prepared on a daily and periodic base.
a) Primary druggies of Reports
Managerial Accounting- The primary druggies of directorial account reports are internal, similar as directors, directors, and other decision- makers within the company.
Financial Accounting - The primary druggies of fiscal account reports are external, similar as investors, creditors, controllers, and other stakeholders outside the company.
b) Types and frequence of Reports
Managerial accounting- directorial account reports are acclimatized to the specific requirements of the association and can include budgeting and soothsaying, cost analysis, and performance evaluation reports. These reports are generally prepared on a regular base.
Financial Accounting- Financial account reports are formalized and include the balance distance, income statement, and cash inflow statement. These reports are generally prepared on a daily and periodic base to meet nonsupervisory conditions.
c) Purpose of Reports
Managerial Accounting- The purpose of directorial account reports is to give information that's useful in the operation of the association, similar as decision- timber, planning, and control.
Financial Accounting -The purpose of fiscal account reports is to give information that's useful in assessing the fiscal performance and position of the association, similar as determining the company's profitability and solvency.
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supplies at the beginning of the year totaled $4,000. during 2024, additional supplies of $20,000 were purchased, and the entire amount was debited to supplies at the time of purchase. supplies remaining at the end of the year total $6,000. prepare the adjusting entry at december 31.
To prepare the adjusting entry at December 31 for the supplies, you would debit Supplies for $14,000 and credit Supplies Expense for $14,000.
This is because the Supplies account has a debit balance of $4,000 at the beginning of the year, plus the additional supplies purchased of $20,000 during the year, for a total of $24,000. However, at the end of the year, only $6,000 of supplies remain, so the difference of $14,000 must be adjusted for.
Business supplies are items required for day-to-day operations in any business. These supplies can range from basic office supplies such as stationery, printer paper and ink, to more specialized items such as catering supplies, cleaning materials, and lab equipment. Business supplies are necessary for businesses to maintain operations and keep their employees productive.
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Firms are typically more successful when they focus on opportunities that build on their strengths relative to those of their competition (T/F)
This declaration is True.
The components of a SWOT evaluation are strengths, weaknesses, opportunities, and tactics. Firms are commonly extra profitable when they center of attention on possibilities that construct on their competitors' strengths.
Why is a firm's approach vital ?A company wants a method to specify what actions are going to be taken: To improve its financial performance. To strengthen its aggressive position. To attain a sustainable aggressive gain over its market rivals.
What is the main cause of a firm?A association is a for-profit business, usually fashioned as a partnership that affords professional services, such as felony or accounting services. The principle of the company posits that firms exist to maximize profits.
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The benefits from trade would not include less competition. The correct option is D.
The trade is the term which refers to the voluntary exchange of the products and services between different countries or economic system. The types of trade are the domestic trade, wholesale trade, retail trade, foreign trade, import trade and the export trade.
The benefits from trade would not include less competition due to the international trade in the various countries that allows the availability of the huge variety of products and services which create more competition around the products or services.
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the strategy of treating each country as a unique market and in total isolation is referred to as .
The strategy of treating each country as a unique market and in total isolation is referred to as localization.
What is localization ?A company's localization strategy is a distinctive market technique it uses to handle the varying cultural norms, consumer behaviours, and purchasing patterns in each country it operates in.
The company's website has been localised so that it is accessible in the native tongue and is tailored to local preferences. They emphasise using natural ingredients and innovative designs while customising the formulas and packaging for the market. For instance, in India, Starbucks was localising its brand and adjusting to Indian culture.
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