accounts that are 90 days or older should not exceed _____ of the total accounts receivable.

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Answer 1

Accounts that are 90 days or older should not exceed 10-15% of the total accounts receivable. This is because the longer an account remains unpaid, the more difficult it becomes to collect the payment.

If a significant portion of accounts receivable is made up of overdue accounts, it can cause cash flow problems and put a strain on the business's financial health. By setting a limit on the percentage of overdue accounts, a company can ensure that it has enough cash on hand to cover expenses and invest in growth opportunities.

To avoid exceeding this limit, businesses should have a system in place to monitor and collect overdue accounts. This may include sending reminders, making phone calls, or working with a collections agency. It's also important to establish clear payment terms and policies and communicate them to customers.

By proactively managing accounts receivable, businesses can improve their cash flow and maintain a healthy financial position.

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Related Questions

the details of a proposal must always prove that you are credible and that the plan is . question 5 options: a) feasible b) cost effective c) deliverable d) transferable e) timely

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The details of a proposal must always prove that the plan is feasible.

Feasibility refers to whether or not the proposal can be realistically achieved given the available resources, time frame, and other relevant factors. Feasibility is important is that if a proposal is not feasible, it will not be taken seriously by decision-makers or stakeholders.

In order to demonstrate feasibility, the proposal must include specific details about how each aspect of the plan will be accomplished, including timelines, budgets, personnel, and any necessary resources. It is also important to address any potential challenges or limitations and explain how they will be addressed.

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if employees that perform certain similar work (marketing, finance, production, etc.) are grouped together and report to only one authority figure, this represents which type of organizational structure?

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If employees who perform similar work report to only one authority figure, it represents a functional organizational structure.

In a functional structure, employees are grouped based on their specific skills and expertise, and they report to a manager who oversees their work in that particular function. This structure allows for greater specialization and efficiency within departments and can help reduce costs. However, it can also lead to silos within the organization, with limited communication and coordination across departments.if employees that perform certain similar work (marketing, finance, production, etc.) are grouped together and report to only one authority figure.if employees that perform certain similar work  are grouped together and report to only one authority

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_____ are the natural rewards associated with performing a task or activity for its own sake.

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Intrinsic rewards are the natural rewards associated with performing a task or activity for its own sake. These rewards are internally driven, meaning they come from within an individual rather than from external sources, such as monetary incentives or praise. Intrinsic rewards are deeply tied to one's personal satisfaction and sense of accomplishment, making them a powerful motivator for engaging in tasks or activities.

Examples of intrinsic rewards include the enjoyment of learning something new, the satisfaction of solving a complex problem, or the sense of pride that comes from creating something from scratch. These rewards often contribute to a sense of fulfillment, personal growth, and well-being.

Intrinsic rewards are crucial for maintaining motivation in the long-term, as they promote genuine interest in a task or activity. They encourage individuals to pursue challenges and strive for mastery, rather than simply completing tasks for external rewards. In this way, intrinsic rewards can lead to increased self-confidence, autonomy, and a greater sense of purpose in one's personal and professional life.

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anne wants to decrease the risk of fraudulent use of her credit cards. which strategy would be most effective in accomplishing this?

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The best way to reduce the danger of unauthorised usage is to regularly monitor credit card activity and keep information safe.

There are numerous actions Anne might take to reduce the possibility of unauthorised usage of her credit cards. The best course of action would be to periodically check her credit card activity and go through transactions for any unusual purchases. She can also choose to get notifications when her account or credit report is changed.

Anne should also take care to protect her credit card data by not disclosing it to anybody and keeping the physical card protected. Finally, she may avoid utilising public Wi-Fi when making online transactions and utilise secure payment methods, such as ones that employ encryption technology.

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________ involves changing the products to meet local requirements, conditions, or wants.

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To meet local requirements, conditions, or wants, product adaptation involves changing the products.

Product adaptation refers to the process of modifying existing products or creating new products to meet the specific needs and preferences of a particular market or region. This can involve changes to the product's design, features, packaging, pricing, and promotional strategies to ensure that it is relevant and appealing to the target audience.

Product adaptation is often necessary in international marketing to account for cultural, social, economic, and legal differences between markets. By adapting products to local market conditions, companies can increase their chances of success in foreign markets and build stronger relationships with customers.

Product adaptation is an important strategy for companies that seek to expand their operations and reach new customers around the world.

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creating supplies of excess resources in case of unpredictable needs is known as _____.

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Creating supplies of excess resources in case of unpredictable needs is known as buffering.

Buffering is the process of maintaining a reserve or a surplus of resources to ensure that an organization or system can continue to function smoothly even in times of uncertainty, unexpected events, or fluctuations in demand. This involves keeping track of available resources, predicting future demands, and ensuring that there is enough inventory to meet those demands.

It is essential for businesses to avoid stockouts and minimize waste. By creating a surplus of resources, businesses can ensure that they have enough to meet unexpected demands, and they can also take advantage of bulk purchasing opportunities to reduce costs. Overall, this strategy helps in reducing the impact of unforeseen circumstances and maintaining stability in operations.

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_____ refers to euphemisms that deliberately mislead, hide, or evade the truth. This distortion of truth is often found in military, political, and corporate language.

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Doublespeak refers to euphemisms that deliberately mislead, hide, or evade the truth.

This distortion of truth is often found in military, political, and corporate language. In doublespeak, language is used not to express meaning but to disguise it, to make the unpleasant appear pleasant, or to make the dangerous seem safe. It is a tool of manipulation that distorts and alters the meaning of words to make people accept unpleasant or harmful situations. Doublespeak is often used to make the unacceptable acceptable, the negative appear positive, and the false seem true.

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which of the following is the sequence of activities in the source-to-settle process in srm?

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The sequence of activities in the Source-to-Settle process in SRM (Supplier Relationship Management) typically includes: 1) Spend Analysis, 2) Supplier Selection, 3) Contract Negotiation, 4) Purchase Requisition, 5) Purchase Order, 6) Goods Receipt, 7) Invoice Processing, and 8) Payment.

The Source-to-Settle process is a comprehensive approach to managing procurement activities in SRM. It begins with analyzing spending patterns to identify opportunities for savings. Then, suppliers are selected based on their ability to meet the organization's needs. Contract negotiation ensures mutually beneficial terms, and purchase requisitions initiate the procurement process. Purchase orders confirm the order, while goods receipt and invoice processing ensure the order is accurate and correctly billed. Finally, payment is made to the supplier. The Source-to-Settle process in SRM provides an organized approach to procurement activities, ensuring efficient and effective supplier relationships while maximizing savings opportunities for the organization.

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each of the following is a promising marketing technique for mobile devices except _________.

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Each of the following that is not a promising marketing technique for mobile devices is sponsorships. Option B is correct.

Sponsorships are a common marketing technique used in sports, entertainment, and other fields where a company pays to associate its brand with a particular event, team, or celebrity. While sponsorships can be effective in increasing brand awareness and loyalty, they are not specifically tailored to mobile devices or mobile marketing.

On the other hand, apps, location-based marketing, and short message service (SMS) are all marketing techniques that have been successful on mobile devices. Apps can provide a platform for companies to engage with their customers, offer promotions, and increase sales.

Location-based marketing can target consumers based on their physical location and offer customized deals or promotions. SMS marketing can be a quick and effective way to reach customers directly on their mobile devices with personalized messages.

Therefore, option B is correct.

Each of the following is a promising marketing technique for mobile devices except _________.

a. apps

b. sponsorships

c. location-based marketing

d. short message service (SMS)

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13. counterweight company has debt outstanding with a coupon rate of 4.5 percent and a yield to maturity of 7.5 percent. what is the aftertax cost of debt if the tax rate is 22 percent? assume all interest is tax deductible.

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The answer to  question is that the after tax cost of debt for Counterweight Company is 3.51 percent.

We need to understand that the cost of debt is the amount of interest that a company pays on its outstanding debt. In this case, Counterweight Company has a debt outstanding with a coupon rate of 4.5 percent and a yield to maturity of 7.5 percent.

However, since all interest payments are tax deductible, the aftertax cost of debt can be calculated by subtracting the tax savings from the before-tax cost of debt.

To calculate the before-tax cost of debt, we can take the yield to maturity of 7.5 percent. To calculate the tax savings, we need to multiply the before-tax cost of debt (7.5%) by the tax rate (22%), which gives us a tax savings of 1.65%.

Subtracting the tax savings from the before-tax cost of debt gives us the aftertax cost of debt, which is 5.85% (7.5% - 1.65% = 5.85%).

Therefore, the aftertax cost of debt for Counterweight Company is 3.51% (5.85% x 0.78 = 3.51%), where 0.78 is the decimal equivalent of 22% tax rate.

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true or false: . in evaluating capital investment projects, current outlays must be judged against the current value of future benefits.

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True. In evaluating capital investment projects, it is important to consider the current outlays or costs associated with the project, as well as the current value of the future benefits or returns that the project is expected to generate.

This is typically done using various financial analysis techniques such as net present value (NPV), internal rate of return (IRR), and payback period analysis. By comparing the current costs with the expected future benefits, decision-makers can determine whether a particular capital investment project is likely to be profitable and worth pursuing.

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_____ provide(s) companies with a single version of the truth for their data.

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A data warehouses provide(s) companies with a single version of the truth for their data.

Many companies face the challenge of managing data from multiple sources and ensuring that the data is accurate and consistent across different departments and teams.

This is where the concept of a "single version of the truth" comes into play. Essentially, it means having a centralized and standardized view of data that can be relied upon for making informed business decisions.



To achieve this, companies can use various tools and technologies such as data management software, data warehouses, and data integration platforms.

These solutions help to consolidate data from different sources, clean and normalize it, and create a unified view of the data that is accessible to all relevant stakeholders.


One example of a company that provides this kind of service is Informatics a leading provider of enterprise data management solutions. Its products help companies to integrate and manage data from various sources, ensuring that the data is consistent and accurate across different systems and applications.

In conclusion, having a single version of the truth for data is critical for companies that want to stay competitive and make informed business decisions.


A centralized data management system provides companies with a single version of the truth for their data. As a result, companies can make better-informed decisions based on reliable and up-to-date data, improving overall business performance.

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4. Which of the following factors would explain how a company's cash balance could have increased even though the company had a negative cash flow last year? The company sold a new issue of bonds b. The company made a large investment in a new plant and equipment The company paid a large dividend d. The company had high depreciation expenses e. The company repurchased 20% of its common stock c

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The company's cash balance could have increased even though the company had a negative cash flow last year A. The company sold a new issue of bonds.

A company's cash balance can increase even if it had a negative cash flow last year due to various factors. In this case, selling a new issue of bonds is the most plausible explanation. When a company issue bonds, it receives cash from investors, which can be used to offset negative cash flow from other sources. This inflow of cash from the issuance of bonds is part of the financing activities section in the company's cash flow statement.

Other options listed may not result in an increase in cash balance despite a negative cash flow. For instance, investing in a new plant and equipment (option B) would likely lead to an outflow of cash rather than an increase. Paying a large dividend (option C) also results in cash outflow as it is a distribution to shareholders. High depreciation expenses (option D) are non-cash expenses and don't directly affect the cash balance. Lastly, repurchasing common stock (option E) would also lead to cash outflow as the company buys back shares from the market.

Therefore, the most appropriate explanation for the increased cash balance, despite a negative cash flow last year, is the company issuing new bonds, which provided additional cash inflow to the company. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

4. Which of the following factors would explain how a company's cash balance could have increased even though the company had a negative cash flow last year?

A. The company sold a new issue of bonds

B. The company made a large investment in a new plant and equipment

C. The company paid a large dividend

D. The company had high depreciation expenses

E. The company repurchased 20% of its common stock

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On January 1, 2020, Sierra Co. paid $200,000 for a 40% interest in Alfa Industries. Alfa Industries’ stockholders’ equity amounted to $300,000 on that date. The excess of purchase price over book values was due to an unrecorded patent valued at $200,000 with a 5-year life. During 2020, Alfa Industries reported income of $80,000 and paid dividends of $18,000. During 2021, it reported income of $90,000 and dividends of $48,000.

Assume that Sierra Co. has significant influence over the operations of Allen Industries.

Required:

a. What is the amount of goodwill?

b. What is Equity Income for 2020?

c. What is the balance in the Equity Investment account at December 31, 2020? d. What is Equity Income for 2021?

e. What is the balance in the Equity Investment account at December 31, 2021?

Answers

Sierra Co. should record their 40% share of Alfa Industries’ 2020 reported income as $32,000 (40% x $80,000). They should also record a $40,000 amortization expense (40% x $200,000 ÷ 5 years) in 2020 for the unrecorded patent.

a. Goodwill is the excess of the purchase price over the book value of the net assets of Alfa Industries.

In this case, the purchase price of $200,000 exceeds the book value of $300,000 by $100,000, so the amount of goodwill is $100,000.

b. Equity income for 2020 is the portion of Alfa Industries' income attributable to Sierra Co.'s 40% interest. This comes to $32,000 ($80,000 x 0.40).

c. The balance in the equity investment account at December 31, 2020 is $232,000 ($200,000 + $32,000 - $18,000).

d. Equity income for 2021 is the portion of Alfa Industries' income attributable to Sierra Co.'s 40% interest. This comes to $36,000 ($90,000 x 0.40).

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(Focus on types of cooperatives, natural jurodical) Application -40 points

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Cooperatives are organizations that are owned and operated by their members, who share in the profits and decision-making of the organization. There are several types of cooperatives, each with a specific focus and purpose.

One type of cooperative is a natural resource cooperative, which focuses on managing and utilizing natural resources such as land, water, and forests.

Another type of cooperative is a credit union, which provides financial services to its members. Credit unions are owned and operated by their members, and provide services such as savings and checking accounts, loans, and mortgages.

Decision-making refers to the process of selecting the best course of action among various options to achieve a specific goal or objective. It is an essential aspect of any business operation as it enables leaders and managers to evaluate potential outcomes and make informed choices. Good decision-making is critical for the success of any business. It helps companies to maximize profits, increase efficiency, improve customer satisfaction, and enhance competitiveness.

Effective decision-making in business involves several steps, including identifying the problem, gathering and analyzing relevant information, evaluating alternatives, selecting the best option, implementing the chosen solution, and monitoring the outcomes. The decision-making process can be influenced by various factors, such as internal and external factors, personal biases, and organizational culture.

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l = {w|w contains at least two 1’s and ends with 0}.

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In this regular expression, the character 'w' represents any string in L, 'x1', 'x2', ..., 'xn' are characters that can be either '0' or '1', 'y1', 'y2', ..., 'yn' are characters that can be either '0' or '1' but at least two of them must be '1', and the final character '0' represents the requirement that the string must end with the character '0'.

The set L is a language that consists of all strings (sequences of characters) that satisfy two conditions:

The string contains at least two 1's: This means that the string must have at least two occurrences of the character '1'.

The string ends with a 0: This means that the final character in the string must be the character '0'.

For example, the string "10110" is in L because it contains two occurrences of the character '1' and ends with the character '0'. The string "111" is not in L because it contains two occurrences of the character '1' but does not end with the character '0'. The string "00110" is also not in L because it ends with the character '0', but does not contain at least two occurrences of the character '1'.

The set L can be expressed as a regular expression, which is a concise way of describing a set of strings using a combination of characters and special symbols. The regular expression for L is:

L = {w | w = x1y1x2y2...xnyn0, where n >= 1, xi, yi ∈ {0,1}, and at least two yi's are 1}

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Tests of account balances and transactions designed to detect any material misstatements in the financial statements. The nature, timing, and extent of substantive procedures are determined by the auditors assessment of risks and their consideration of the clients internal control.
O Substantive Procedures
O Successor auditors
O Tests of controls
O Relevant Assertion

Answers

Tests of account balances and transactions designed to detect any material misstatements in the financial statements. The nature, timing, and extent of substantive procedures are determined by the auditors assessment. The correct answer is a. Substantive Procedures.

The auditor must develop comprehensive processes to identify material misstatements in a class of transactions, account balance, and disclosure component of the financial statements to support the claims made in the financial accounts.

These procedures entail gathering enough and pertinent audit evidence. Based on the estimated risks of material misstatement, the auditor must apply professional judgement to decide the kind, timing, and scope of these processes. This could involve running analytical methods, examining supporting paperwork, and testing transactions and account balances.The purpose of substantive processes is to offer a sufficient level of assurance that there are no major misstatements in the financial statements.

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Alison earned $100,000 during the year. She elected to defer $4,000 of her earnings into her employer's 401(k) plan and her employer matched this deferral dollar-for-dollar. In this year, what amount of Alison's earnings was subject to payroll taxes? $92,000 $96,000 $100,000 $104,000.

Answers

The amount of Alison's earnings was subject to payroll taxes: $96,000. The correct option is A.

Payroll taxes are based on the amount of earnings subject to taxation, which includes both the employee's and employer's contributions to qualified retirement plans, such as 401(k) plans.

In this case, Alison deferred $4,000 of her earnings into her employer's 401(k) plan, and her employer matched this deferral dollar-for-dollar, resulting in a total of $8,000 being deferred.

Therefore, Alison's taxable earnings for payroll tax purposes would be $100,000 - $8,000 = $92,000.

It is important to note that while deferring earnings into a qualified retirement plan can reduce taxable income for income tax purposes, it does not reduce taxable earnings for payroll tax purposes.

This is because payroll taxes, such as Social Security and Medicare taxes, are calculated based on the employee's total taxable earnings, including contributions to qualified retirement plans.


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Complete question:

Alison earned $100,000 during the year. She elected to defer $4,000 of her earnings into her employer's 401(k) plan and her employer matched this deferral dollar-for-dollar. In this year, what amount of Alison's earnings was subject to payroll taxes?

a. $92,000

b. $96,000

c. $100,000

d. $104,000.

mkt supermarkets tend to have a larger amount of some items and a smaller amount of others. which product type is most likely to have the smallest amount in stock in a supermarket?

Answers

In most cases, the product type with the smallest amount in stock at a supermarket is likely to be perishable goods.

Supermarkets often stock a wide variety of items to cater to the diverse needs of their customers. When it comes to inventory management, some products are kept in larger quantities while others are maintained in smaller amounts.

Perishable goods include items like fresh fruits, vegetables, meat, dairy products, and baked goods. These products have a limited shelf life, which means they spoil or expire relatively quickly compared to non-perishable items. Supermarkets need to manage their stock of perishable goods carefully to avoid waste and financial loss. As a result, they tend to stock smaller quantities of perishable items to ensure the freshness and quality of these products for their customers.

On the other hand, non-perishable goods such as canned foods, packaged snacks, and household items can be stored for longer periods without losing their quality. Therefore, supermarkets can afford to keep larger quantities of these items in stock without the risk of spoilage or expiration.


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A firm can spend its advertising budget on either television ads or newspaper ads. Television costs $2000 per minute while newspaper costs $20 per line. They want to purchase advertising that maximizes sales within their budget of $40000 for advertising. The sales function is: S = 3t'n What are the optimal values of t and n (note: can be decimal values)? What are the maximum sales? What is the value of lambda and what does this mean?

Answers

The sales function has a maximum value of 0 and a maximum point at t' = 10, and is concave down (or has a maximum point) with a curvature of -54000.

To determine the optimal values of t and n, we need to set up an equation that relates the advertising cost to the total budget of $40000. Let t represent the number of minutes of television advertising and n represent the number of lines of newspaper advertising. The cost equation is:
2000t + 20n = 40000
To maximize sales, we need to maximize the sales function S = 3t'n. We can use the cost equation to solve for one of the variables in terms of the other and substitute into the sales function. Solving for n, we get:
n = (40000 - 2000t)/20 = 2000 - 100t
Substituting this expression for n into the sales function, we get:
S = 3t'(2000 - 100t) = 6000t' - 300t'^2
To maximize S, we take the derivative with respect to t':
dS/dt' = 6000 - 600t'
Setting this equal to zero, we get:
6000 - 600t' = 0
t' = 10
Substituting this value of t' back into the cost equation, we get:
2000t + 20n = 40000
2000t + 20(2000 - 100t) = 40000
4000t - 2000t = 40000 - 40000
t = 0
This means that the optimal strategy is to spend all of the advertising budget on newspaper ads, with n = 2000 lines and t = 0 minutes of television advertising. The maximum sales are:
S = 3t'n = 3(0)(2000) = 0
The value of lambda is:
λ = 6000 - 600t' = 6000 - 600(10) = -54000
This means that the sales function has a maximum value of 0 and a maximum point at t' = 10, and is concave down (or has a maximum point) with a curvature of -54000.

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your customer, amelia, is excited about an investment she recently purchased from another firm. at maturity, in five years, she will receive her principal back plus an interest payment based upon the returns of five well-known technology companies. it pays no interest during the five years. she has likely invested ina)partners participate in the gains and losses of the business and are partially shielded from the businesses liabilities.b)partners participate in the gains and losses of the business and are fully liable for the businesses actions.c)partners participate in the gains but not the losses of the business and are fully shielded from the businesses liabilities.d)partners participate in the gains and losses of the business and are fully shielded from the businesses liabilities.

Answers

Amelia has likely invested in a structured note, a type of investment that pays no interest during the investment period and provides a return based on the performance of an underlying asset or assets,

such as the five technology companies mentioned in the question. Structured notes can offer exposure to a range of asset classes and investment strategies, but it's important for investors to understand the potential risks and fees associated with these complex products.

The answer options provided in the question are not directly related to structured notes, but instead describe various types of partnerships and their respective characteristics.

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Express the items in common-size percents. Cash Accounts receivable Equipment, net Land Total assets Current Year Prior Year $ 7,440 $ 8,000 I 54,000 18,000 44,000 40,000 91,680 66,000 $197, 120 $132,000 Prior Year Cash Accounts receivable Equipment, net Land Current Year (7.0)% % % % (7.0) % elele % % 0.0 % S Total assets

Answers

Common-size precents are a useful way to analyze financial statements by expressing each item as a percentage of a base value, usually total assets or total revenues. This allows for easy comparison between different companies or different years for the same company.

In this case, we are given the values of Cash, Accounts receivable, Equipment, net, Land, and Total assets for the current year and the prior year, and we need to express them as common-size precents.

To calculate the common-size percent for each item, we divide the item value by the total assets value for that year, and then multiply by 100 to get a percentage. For example, the common-size percent for Cash in the current year is:

Cash (current year) / Total assets (current year) x 100
= $7,440 / $197,120 x 100
= 3.77%

We can do this for each item in both years and present the results in a table:

Item | Current Year | Prior Year
Cash | 3.77% | 5.68%
Accounts receivable | 27.38% | 13.64%
Equipment, net | 22.30% | 33.33%
Land | 22.30% | 30.30%
Total assets | 100.00% | 100.00%

From this table, we can see that Accounts receivable has increased significantly as a percentage of total assets from the prior year to the current year, while Cash has decreased. Equipment and Land have both decreased as a percentage of total assets as well.

Overall, expressing the items as common-size precents allows for a clearer understanding of the composition of the company's assets and how they have changed over time.

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a firm that sends e-mail updates to customers about new products is engaging in personal selling.T/F

Answers

The statement is False. A firm that sends e-mail updates to customers about new products is not engaging in personal selling.

Personal selling involves face-to-face communication between a salesperson and a potential customer in order to persuade them to purchase a product or service. E-mail updates, on the other hand, are a form of direct marketing that allows a company to communicate with customers in a more cost-effective and efficient way. While e-mail updates can be personalized and targeted to specific customers, they do not involve the same level of personal interaction as personal selling.

In summary, while e-mail updates can be a valuable marketing tool, they are not a form of personal selling.

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waht would her communications objetive be if coors agreed to the interview? if the brothers did not do the interview?

Answers

The answer to the question is that the communications objective for Coors if they agreed to the interview would be to control the narrative and present a positive image of the company.

They would want to showcase their commitment to safety and their efforts to address the concerns raised by the documentary. They may also want to address any misconceptions or inaccuracies presented in the film.

On the other hand, if the brothers did not do the interview, the communications objective would likely be to maintain the status quo and continue with their current messaging. They may want to emphasize the safety measures already in place and their commitment to transparency, while also addressing any negative coverage that may result from the brothers' refusal to speak with the media.

In either scenario, a  answer would involve developing a specific communications plan tailored to the situation at hand, including identifying key messages, target audiences, and appropriate communication channels. It would also involve monitoring media coverage and social media sentiment, as well as responding to any questions or concerns that arise from stakeholders.

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Use the information below to answer the following questions.
Instructions: Round your answers 2 decimal places.
Real GDP Year 1 Population Year 1 Real GDP Year 2 Population Year 2
$370,000.00 34.00 $391,571.00 34.85
Question 1:
What is the growth rate of real GDP between year 1 and 2?
___%

Answers

The growth rate of real GDP between year 1 and year 2 is approximately 5.83%.

To calculate the growth rate of real GDP between year 1 and year 2, you can use the following formula:

Growth Rate = ((Real GDP Year 2 - Real GDP Year 1) / Real GDP Year 1) × 100

Substituting the given values:

Growth Rate = ((391,571.00 - 370,000.00) / 370,000.00) × 100

Calculating:

Growth Rate = (21,571.00 / 370,000.00) × 100

Growth Rate ≈ 5.83%

Therefore, the growth rate of real GDP between year 1 and year 2 is approximately 5.83%.

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you recently purchased a stock that is expected to earn 29 percent in a booming economy, 18 percent in a normal economy, and lose 5 percent in a recessionary economy. there is 26 percent probability of a boom, 66 percent chance of a normal economy, and 8 percent chance of a recession. what is your expected rate of return on this stock?

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Based on the information provided, you can calculate the expected rate of return on the stock by multiplying the potential earnings by their respective probabilities and summing the results.This means that on average, for every dollar invested in this stock, the investor can expect to earn $0.0754 in return.

Based on the information provided, we can calculate the expected rate of return on the stock using the following formula:Expected Rate of Return = (Probability of Boom x Return in Boom) + (Probability of Normal Economy x Return in Normal Economy) + (Probability of Recession x Return in Recession)Plugging in the numbers given, we get:Expected Rate of Return = (0.26 x 0.29) + (0.66 x 0.18) + (0.08 x -0.05)
Expected Rate of Return = 0.0754 or 7.54%Therefore, the expected rate of return on the stock is 7.54%. It is important to note that this is just an estimate and the actual rate of return may differ depending on various factors such as market conditions, company performance, and other external factors. It is always recommended to do thorough research and analysis before making any investment decisions.Here's the calculation:Expected rate of return = (29% * 26%) + (18% * 66%) + (-5% * 8%)
Expected rate of return = (0.29 * 0.26) + (0.18 * 0.66) + (-0.05 * 0.08)
Expected rate of return = 0.0754 + 0.1188 - 0.004
Expected rate of return = 0.1902, or 19.02%Thus, the expected rate of return on this stock is 19.02%.

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manhof co. prepares supplementary reports on income from continuing operations on a current cost basis in accordance with fasb standards. how should manhof compute cost of goods sold on a current cost basis?

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In order to compute the cost of goods sold on a current cost basis, Manhof Co. should take into account the current cost of the goods sold during the reporting period. This means that Manhof should use the most up-to-date prices for the raw materials and production costs that are used to produce the goods sold during the reporting period.

To calculate the cost of goods sold on a current cost basis, Manhof will need to adjust the historical cost of the goods sold to reflect changes in the prices of the inputs used to produce those goods. This can be done by applying an inflation index to the historical cost of the goods sold, or by adjusting the historical cost of the goods sold based on the specific price changes for the raw materials and production costs used to produce those goods.

By using a current cost basis to calculate the cost of goods sold, Manhof will be able to provide a more accurate representation of the true cost of producing and selling their goods, which can be important for investors and other stakeholders who rely on this information to make informed decisions about the company.

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brooke company borrows $7,600, signing a 90-day, 6%, $7,600 note. what is the journal entry made by brooke company to record the payment of the note on the maturity date?

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To record the payment of the note on the maturity date, we need to consider the principal amount, interest, and the terms provided.

The question is: Brooke Company borrows $7,600, signing a 90-day, 6%, $7,600 note.

Step 1: Calculate the interest on the note.
Interest = Principal x Rate x Time
Interest = $7,600 x 6% x (90/360)
Interest = $7,600 x 0.06 x 0.25
Interest = $114

Step 2: Determine the total payment on the maturity date.
Total Payment = Principal + Interest
Total Payment = $7,600 + $114
Total Payment = $7,714

Step 3: Record the journal entry for the payment of the note.
To record the payment of the note on the maturity date, debit (decrease) Notes Payable for the principal amount of $7,600, debit (increase) Interest Expense for the interest amount of $114, and credit (decrease) Cash for the total payment of $7,714.

Journal Entry:
Notes Payable (Debit) - $7,600
Interest Expense (Debit) - $114
Cash (Credit) - $7,714

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what tool does the snf pps use to annually adjust the base rate for differences in local markets?

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The SNF PPS (Skilled Nursing Facility Prospective Payment System) uses the wage index to annually adjust the base rate for differences in local markets.

The wage index is a measure of the relative wage levels for different geographic areas, which is used to adjust the federal base rate to reflect the different costs of labor in different parts of the country. This adjustment helps to ensure that SNFs are reimbursed fairly for the costs of providing care to their patients, regardless of where they are located

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gabe’s home has an assessed value of $172,000, and his tax rate is .55%. what are the annual taxes?

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The annual taxes on Gabe's home are $946.

To calculate Gabe's annual taxes, we need to multiply the assessed value of his home by his tax rate, which is .55%. First, we convert the tax rate to a decimal by dividing it by 100: 0.55/100 = 0.0055. Then, we multiply the assessed value by the decimal tax rate: $172,000 x 0.0055 = $946. This means that Gabe will pay $946 in taxes on his home each year.

A tax placed on people or organizations in relation to their income or profits is known as an income tax. Tax rates multiplied by taxable income are typically used to calculate income taxes. Tax rates might change depending on the taxpayer's attributes and source of income.

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