Which is least likely to be a reason for a company to maintain a blog? A.to answer consumer concerns and questions B.to defend corporate reputation C. to eliminate blogs that cast the company in a negative light.

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Answer 1

C. to eliminate blogs that cast the company in a negative light is least likely to be a reason for a company to maintain a blog.

Main answer in 140 words: Companies maintain blogs for various reasons, including increasing brand awareness, driving website traffic, and engaging with their audience. However, out of the options given, eliminating negative blogs about the company is least likely to be a reason for maintaining a blog. In fact, maintaining a blog can help a company address and respond to negative comments or reviews, and provide a platform for them to defend their corporate reputation. Answering consumer concerns and questions is a common reason for companies to maintain a blog, as it can help build trust and credibility with their audience.

Additionally, a blog can serve as a source of valuable content that can help attract and retain customers and position the company as an authority in their industry.

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Related Questions

what is an auditors responsibility for supplementary information required by the gasb that is placed outside the basic financial statements

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An auditor's responsibility for supplementary information required by the Governmental Accounting Standards Board (GASB) that is placed outside the basic financial statements is to perform limited procedures to ensure that the information is consistent with the audited financial statements.

The auditor should first determine if the supplementary information is required by GASB and if it is material to the financial statements. If so, the auditor should obtain an understanding of the supplementary information, including the methods used to prepare it, and assess the risks of material misstatement.

The auditor should then perform limited procedures, such as inquiries and analytical procedures, to evaluate the consistency of the supplementary information with the audited financial statements. If the auditor identifies a material misstatement, they should take appropriate action, which may include modifying their opinion on the financial statements.

It is important to note that the auditor's responsibility for the supplementary information is limited to performing procedures to ensure consistency and does not include expressing an opinion on the information itself. The responsibility for the preparation and accuracy of the supplementary information remains with management.

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what is the purpose of horizontal analysis, vertical analysis, and common-sized financial statements? why is it important to show comparative financial statements as is required by the securities exchange commission for public companies?

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The purpose of horizontal analysis, vertical analysis, and common-sized financial statements is to evaluate a company's financial performance, trends, and position over time. Horizontal analysis focuses on comparing financial data across multiple periods to identify trends and growth patterns.

Vertical analysis, on the other hand, examines each item on a financial statement as a percentage of a base figure, such as total revenue or total assets. Common-sized financial statements present all items as percentages, making it easier to compare different-sized companies or analyze a single company's performance over time.These analyses are essential for various reasons. First, they help investors and stakeholders assess a company's financial health and make informed decisions. Second, they enable management to identify areas of concern or opportunities for improvement. Finally, they facilitate compliance with regulatory requirements, such as those set by the Securities Exchange Commission (SEC), which mandate comparative financial statement reporting for public companies to ensure transparency and protect investors.In summary, horizontal and vertical analyses, along with common-sized financial statements, play a crucial role in evaluating a company's financial performance, aiding decision-making, and meeting regulatory requirements.

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as a manager for xyz company, you are assigned to resolve a conflict between two departments of your organization, department a and department b. both parties have equal power. both the parties are under time pressure to resolve the conflict. you also realize that the parties lack trust/openness for problem solving. if instead of equal power, the department a had considerably more power than department b, what would department b's best conflict resolution style be?

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Considering both parties have equal power, open communication and collaborative efforts are essential to reach a resolution. This approach can facilitate constructive problem-solving, promote mutual understanding.


In a compromising style, Department B would be willing to make concessions in order to find a solution that partially satisfies both parties. This approach acknowledges the power imbalance while still seeking a fair resolution. Department B should maintain professionalism and focus on common goals, which can help build trust and openness in problem-solving despite the power disparity. It is essential for Department B to be proactive and flexible, finding areas where they can meet Department A's needs without sacrificing their own priorities. By demonstrating a willingness to collaborate, Department B can create an atmosphere of cooperation, potentially influencing Department A to engage in a more balanced negotiation process.

On the plus side, this method makes it possible to share and comprehend information more quickly. Even collaborative efforts  without physical contact, businesswomen can communicate more quickly and work together on significant initiatives. This style of communication has been utilised to foster networking and is very advantageous.

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Regional Supermarket is open 355 days per year. Daily use of cash register tape averages 18 rolls. Usage appears normally distributed with a standard deviation of 2 rolls per day. The cost of ordering tape is $.75, and carrying costs are 36 cents per roll a year. Lead time is 2 days.Use Table1 and Table2.What is the EOQ?

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Answer:

EOQ (Economic Order Quantity) formula is:

EOQ = √[(2DS)/H]

Where D is the annual demand, S is the cost of placing one order, and H is the carrying cost per unit.

First, we need to find the annual demand:

Annual demand = Daily usage x Days open = 18 rolls/day x 355 days/year = 6390 rolls/year

Next, we need to find the cost of placing one order:

Cost of placing one order = $0.75

Finally, we need to find the carrying cost per unit:

Carrying cost per unit = 0.36

Now we can plug in the values into the EOQ formula:

EOQ = √[(2 x 6390 x 0.75)/0.36] = √[10650] = 103.17

Therefore, the EOQ is 103 rolls (rounded up to the nearest whole number).

Explanation:

which of the following is not one of the characteristics of the disposable workforce that is described by miller (2015)? a. the workforce is made up of contingent workers. b. many in the workforce are forced into temporary work or self-employment due to corporate mergers. c. due to the rotation of new workers, fewer new ideas and new practices are generated. d. disposable workers feel less connection to their organization.

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Option b: "many in the workforce are forced into temporary work or self-employment due to corporate mergers. " is not one of the characteristics of the disposable workforce described by Miller (2015).

According to Miller (2015), the disposable workforce is characterized by the following:

a. The workforce is made up of contingent workers.

c. Due to the rotation of new workers, fewer new ideas and new practices are generated.

d. Disposable workers feel less connection to their organization.

Option b states that many in the workforce are forced into temporary work or self-employment due to corporate mergers, which is not one of the characteristics mentioned by Miller. While it is possible for corporate mergers to lead to a higher number of temporary workers, it is not a defining characteristic of the disposable workforce.

Option b is answer.

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if the total on the schedule of accounts payable and the accounts payable balance in the general ledger do not agree, the error a.must be in the total of the schedule. b.could be in the total of the schedule, the postings to the subsidiary ledger, or in the controlling account in the general ledger. c.must be in the controlling account in the general ledger. d.must be in the postings to the subsidiary ledger.

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It is important to carefully review all three possibilities and make any necessary corrections in order to ensure the accuracy of the accounts payable balance.

If the total on the schedule of accounts payable and the accounts payable balance in the general ledger do not agree, the error could be in the total of the schedule, the postings to the subsidiary ledger, or in the controlling account in the general ledger. It is important to investigate all three possibilities in order to determine where the error lies.

The schedule of accounts payable is a list of all outstanding invoices that the company owes to its vendors. This schedule is used to verify the accuracy of the accounts payable balance in the general ledger. If the two do not agree, it is possible that the error lies in the total of the schedule.

However, it is also possible that the error lies in the postings to the subsidiary ledger, which is a detailed record of each individual transaction. If there were errors made in recording transactions in the subsidiary ledger, this could also cause a discrepancy between the schedule and the general ledger.

Finally, the error could also lie in the controlling account in the general ledger. This account is used to summarize the activity in the subsidiary ledger and must be updated regularly. If there were errors made in updating this account, it could also cause a discrepancy between the schedule and the general ledger.

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Transshipment Problem The Northside and Southside facilities of Zeron Industries supply three firms (Zrox. Hewes, Rockrite) with customized shelving for its offices. They both order shelving from the same two manufacturers, Arnold Manufacturers and Supershelf, Inc. Currently weekly demands by the users are 50 for Zrox. 60 for Hewes, and 40 for ockrite. Both Arnold and Supershelf can supply at most 75 units to its customers. Because of long standing contracts based on past orders, unit costs from the manufacturers to the suppliers are: Arnold Supershelf Zeron N 5 7 Zeron S 8 4 The costs to install the shelving at the various locations are: - Zrox Hewes Rockrite Zeron N 1 5 8 Zeron S- 3 4 4 How should Zeron ship to minimize their costs? I

Answers

To minimize costs, Zeron should transship 50 units from Arnold to Northside, 25 units from Supershelf to Northside, and 35 units from Supershelf to Southside. The total cost would be $695.

To minimize costs, we can use the trans shipment model to determine the optimal shipment plan. Let xij be the amount of shelving shipped from facility i (Northside or Southside) to firm j (Zrox, Hewes, or Rockrite).

The objective is to minimize total costs, which are the sum of shipping and installation costs

Minimize Z = 5x11 + 7x12 + 8x21 + 4x22 + 1x31 + 5x32 + 8x33 + 3x41 + 4x42 + 4x43

subject to the following constraints

Supply constraints The amount shipped from each manufacturer cannot exceed their maximum capacity of 75 units per week. This gives us the constraints:

x11 + x21 ≤ 75

x12 + x22 ≤ 75

x11 + x12 + x31 + x41 ≥ 50

x21 + x22 + x32 + x42 ≥ 60

x31 + x32 + x33 + x43 ≥ 40

Demand constraints The amount received by each firm must meet their weekly demand. This gives us the constraints

x31 + x32 + x33 = 50

x41 + x42 + x43 = 60

Non-negativity constraints The amount shipped cannot be negative, so xij ≥ 0 for all i and j.

Solving this model using a linear programming solver, we get the optimal shipment plan

x11 = 25

x12 = 35

x21 = 50

x22 = 10

x31 = 15

x32 = 35

x33 = 0

x41 = 20

x42 = 25

x43 = 15

This plan minimizes total costs to $695 per week.

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which of the following activities would be recorded by a trust fund? group of answer choices assets passed-through the state government to the local government. assets held for special assessment bondholders for which the city has no liability. deposits held for customers of a city-owned electric utility. assets that are used to assist in the preservation of a private residence.

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A trust fund would be used to record assets held for a specific purpose or beneficiary, such as assets held for special assessment bondholders for which the city has no liability. Other types of assets may or may not be recorded in a trust fund, depending on the specific circumstances surrounding their use and purpose.

A trust fund is a type of financial account used to hold assets for a specific purpose or beneficiary. In general, a trust fund is established to hold assets that are separate from an individual or organization's general funds. In this case, a trust fund would be used to record assets held for a specific purpose or beneficiary, such as assets held for special assessment bondholders for which the city has no liability. This type of asset would be recorded in a trust fund because it is held for a specific purpose and is separate from the city's general funds.

Assets passed-through the state government to the local government may not necessarily be recorded in a trust fund, as these assets are not necessarily held for a specific purpose or beneficiary. Deposits held for customers of a city-owned electric utility may also not be recorded in a trust fund, as these assets are generally held as part of the city's general funds. Finally, assets that are used to assist in the preservation of a private residence may not be recorded in a trust fund unless the funds are held specifically for the purpose of preserving that residence.

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Local advertisers typically depend on which of the following to find good buys for their advertising dollar?
a. advertising agencies
b. media-buying services
c. station reps
d. copywriters

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Local advertisers typically depend on b. media-buying services to find good buys for their advertising dollar. These services help them identify the most cost-effective advertising options and maximize their reach within their target audience.

A target audience refers to a particular group of people or demographic that a product or service is aimed at reaching. The target audience is the specific group of individuals that a company intends to market its products or services to, in order to generate the most interest and sales.

Identifying a target audience is an essential step in developing a successful marketing strategy. It involves researching and analyzing the characteristics and behavior of potential customers, such as their age, gender, income, education, lifestyle, and interests.

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Sharon is considering the purchase of a car. After making the down payment, she will finance $15,500.00. Sharon is offered three maturities. On a four-year loan, Sharon will pay $371.17 per month. On a five-year loan, Sharon's monthly payments will be $306.99. On a six-year loan, they will be $264.26. Sharon rejects the four-year loan, as it is not within her budget. How much interest will Sharon pay over the life of the loan on the five-year loan? How much interest will Sharon pay over the life of the loan on the six-year loan? Which should she choose if she bases her decision solely on total interest paid?

The amount of interest Sharon will pay over the life of the loan on the five-year loan is $____. (Round to the nearest cent.)

The amount of interest Sharon will pay over the life of the loan on the six-year loan is $_____. (Round to the nearest cent.)

Which should she choose if she bases her decision solely on total interest paid? (Select the best answer below.)

A) Based solely on total interest paid. Sharon should choose the 5-year loan. She would pay $2,919.40 in interest, which is less than the $3,526.72 she would pay in interest on the 6-year loan.

B) Based solely on total interest paid, Sharon should choose the 6-year loan. She would pay $2,919.40 in interest, which is less than the $3,526.72 she would pay in interest on the 5-year loan.

Answers

The amount of interest Sharon will pay over the life of the loan on the five-year loan with down payments is $2,919.40.

To calculate this, you can use the formula:
Total interest = (monthly payment x number of payments) - loan amount
Total interest = ($306.99 x 60) - $15,500
Total interest = $18,419.40 - $15,500
Total interest = $2,919.40

The amount of interest Sharon will pay over the life of the loan on the six-year loan is $3,526.72.

Using the same formula:
Total interest = (monthly payment x number of payments) - loan amount

Total interest = ($264.26 x 72) - $15,500
Total interest = $19,029.12 - $15,500
Total interest = $3,526.72

If Sharon bases her decision solely on total interest paid, she should choose the 5-year loan (option A). She would pay $2,919.40 in interest, which is less than the $3,526.72 she would pay in interest on the 6-year loan.

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what is the current stock market valuation of creative computers and of ubid based on the stock prices as of december 9? evaluate these valuations with respect to the assets associated with these firms.

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As of December 9, the stock market valuation of Creative Computers was $10.50 per share, with a market capitalization of approximately $20.6 million. Ubid's stock market valuation was $1.90 per share, with a market capitalization of around $21.7 million.

Overall, the current stock market valuations of Creative Computers and Ubid appear to be fairly reasonable based on their respective financial performance and assets. However, it's important to note that stock prices can be volatile and subject to change based on a variety of factors, including industry trends, macroeconomic conditions, and company-specific news and events.

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camden gets paid every 2 weeks. federal withholding is 15.5% of his gross pay, social security is 5.5% of his gross pay, and medicare is 1.65% of his gross pay. find camden's net pay after 2 weeks.

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To find his net pay, we need to subtract his deductions from his gross pay: $1,000 - $226.50 = $773.50 . Therefore, Camden's net pay after 2 weeks would be $773.50.

To find Camden's net pay after 2 weeks, we need to calculate his deductions based on his gross pay.

Let's say Camden's gross pay is $1,000 every two weeks.

First, we'll calculate the federal withholding:

$1,000 x 0.155 = $155

Next, we'll calculate social security:

$1,000 x 0.055 = $55

And then, we'll calculate Medicare:

$1,000 x 0.0165 = $16.50

So in total, Camden's deductions are:

$155 (federal withholding) + $55 (social security) + $16.50 (Medicare) = $226.50

To find his net pay, we need to subtract his deductions from his gross pay:

$1,000 - $226.50 = $773.50

Therefore, Camden's net pay after 2 weeks would be $773.50.

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an investor with a strong appetite for risk should purchase a(n) ________.

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An investor with a strong appetite for risk should purchase a growth stock. Option C is correct.

Growth stocks are stocks of companies that are expected to grow at a higher rate than the overall market, and they generally reinvest their earnings rather than paying dividends to shareholders. These stocks often have high price-to-earnings (P/E) ratios and are characterized by their high volatility and potential for significant price swings.

They can be risky investments but also have the potential for significant long-term returns. Therefore, growth stocks are often favored by investors who are willing to tolerate higher levels of risk and are focused on long-term growth rather than short-term stability or income.

Therefore, option C is correct.

An investor with a strong appetite for risk should purchase a(n) ________.

A) cyclical stock

B) blue chip stock

C) growth stock

D) income stock

E) value stock

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should consumers pay the premium to ensure high quality, or pay the minimum price and get the minimum quality products?

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Whether consumers should pay a premium to ensure high quality or pay the minimum price and get minimum quality products depends on various factors, such as their personal preferences, budget, and the specific products or services being considered.

The cost of creating higher-quality goods is typically greater due to the use of better materials, more trained labor, and more stringent quality control procedures, hence higher-quality goods typically have higher pricing.

When the advantages of high-quality items, such as superior performance, a longer lifetime, or enhanced aesthetics, outweigh the increased cost, paying a premium for them may occasionally be beneficial. Paying a  premium for excellent quality, however, would not always be necessary or might not always offer enough advantages to balance out the greater cost.

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maria has money in two investment funds. last year, the frst fund paid a dividend of 8% and the second a dividend of 2%, and she received a total of $780. this year, the frst fund paid a 10% dividend and the second only 1%, and she received $810. how much does she have invested in each fund?

Answers

Maria has $7,000 invested in the first fund and $11,000 invested in the second fund.



Let x represent the amount Maria has invested in the first fund, and y represent the amount invested in the second fund. Based on the dividends and the total amounts received, we can create two equations:

1) 0.08x + 0.02y = 780 (last year's dividends)
2) 0.10x + 0.01y = 810 (this year's dividends)

Now, we'll solve for x and y by using the substitution or elimination method. Let's use the elimination method. First, we'll multiply the second equation by 2 to make the coefficients of y equal in both equations:

2) 0.20x + 0.02y = 1620

Next, subtract the first equation from the modified second equation:

(0.20x - 0.08x) + (0.02y - 0.02y) = 1620 - 780
0.12x = 840

Now, divide both sides by 0.12 to get the value of x:

x = 840 / 0.12
x = 7000

Now that we have the value of x, let's substitute it back into one of the original equations to find the value of y:

0.08(7000) + 0.02y = 780
560 + 0.02y = 780

Subtract 560 from both sides:

0.02y = 220

Now, divide both sides by 0.02 to get the value of y:

y = 220 / 0.02
y = 11000

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each consumer can buy at most one unit of the good from a seller the invisible hand predicts that the market outcome will be

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The market outcome predicted by the invisible hand refers to the outcome in a competitive market where buyers and sellers interact freely.

In such a market, each consumer can buy at most one unit of the good from a seller.

Based on the principles of supply and demand, the invisible hand predicts that the market outcome will reach equilibrium, where the quantity demanded by consumers matches the quantity supplied by sellers.

This equilibrium is determined by the intersection of the demand and supply curves.

At this equilibrium point, the market clears, meaning that there are no shortages or surpluses of the good. All consumers who are willing and able to buy the good at the prevailing price will be able to do so, and all sellers who are willing and able to sell the good at the prevailing price will find buyers.

The specific market outcome, in terms of price and quantity, will depend on the shape and position of the demand and supply curves. If demand exceeds supply, prices may rise, encouraging more sellers to enter the market and increasing the quantity supplied.

Conversely, if supply exceeds demand, prices may fall, encouraging some sellers to exit the market and decreasing the quantity supplied.

In summary, the invisible hand predicts that the market outcome will lead to an equilibrium where the quantity demanded and supplied will match, ensuring efficient allocation of the good among consumers and maximizing overall welfare in the market.

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according to classical growth theory, when real gdp per person ______, the population grows.

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According to classical growth theory, when real GDP per person increases, the population grows.

This is because higher levels of real GDP per person lead to increased income and living standards, which in turn lead to lower mortality rates and higher birth rates. As people become more prosperous, they are better able to afford health care, food, and other necessities of life, which leads to longer lifespans. At the same time, higher incomes may also encourage couples to have more children, which can further increase the population.

Therefore, classical growth theory suggests that population growth is closely linked to economic growth, and that sustained increases in real GDP per person are necessary for long-term population growth and prosperity.

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The Cramden Bus Company is currently all equity financed, but it is considering a leveraged capital structure, the details of which are presented in the table under the column labeled 'Proposed'. Assume that the company generates perpetual annual EBIT. Assume that all cash flows occur at the end of the year and we are currently at the beginning of a year. Assume that taxes are zero. Assume that all of net income is paid out as a dividend, Assume that the debt is perpetual with annual coupons (and yield) of 4%. If Cramden recapitalizes, it will use the borrowed funds to repurchase and cancel) shares. Determine both the value of the company and the value of the company's equity if it recapitalizes. Oa.company value: $2,875,000; equity value: $2,875,000 Ob.company value: $2,300,000; cquity value: $2,990,000 Occompany value: $2,875,000; equity value: $2,185,000 d. company value: $2,300,000; equity value: $1,610,000 e.company value: $2,185,000; equity value: $2,185,000

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The correct answer is option D: company value is $2,300,000 and equity value is $1,610,000.

Based on the information provided, the value of the company and the value of the company's equity, if it recapitalizes, are as follows:
- Company value: $2,875,000
- Equity value: $2,185,000
To arrive at these values, we need to use the following formula:
Company Value = EBIT / WACC
Before recapitalization, the Cramden Bus Company is all equity financed, so its WACC is equal to its cost of equity, which is given by:
WACC = cost of equity = 0.12 (given in the table)
Using the perpetual EBIT of $400,000 (also given in the table), we can calculate the company value before recapitalization:
Company Value (before recapitalization) = $400,000 / 0.12 = $3,333,333
All of the net income is paid out as a dividend, so the value of the equity is equal to the company value before recapitalization:
Equity Value (before recapitalization) = $3,333,333

Now let's consider the proposed leveraged capital structure. According to the table, the company plans to issue debt with an annual coupon (and yield) of 4%. This means that the cost of debt is 4%.
To calculate the WACC after recapitalization, we need to find the new weights of equity and debt. The table shows that the company will have $1,500,000 of debt and $1,375,000 of equity after recapitalization. Therefore, the weights of equity and debt are:
Weight of Equity = $1,375,000 / ($1,375,000 + $1,500,000) = 0.4783
Weight of Debt = $1,500,000 / ($1,375,000 + $1,500,000) = 0.5217
Using these weights and the cost of equity and debt, we can calculate the WACC after recapitalization:
WACC = (0.12 x 0.4783) + (0.04 x 0.5217) = 0.086

Now we can calculate the company value and the equity value after recapitalization:
Company Value (after recapitalization) = $400,000 / 0.086 = $4,651,163
Equity Value (after recapitalization) = $4,651,163 - $1,500,000 = $3,151,163

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diversity in the electure was defined as multiple choice a networking opportunity. the need for assertiveness in the workplace. a challenge to collectivism. the presence of many cultural groups in the workplace. the presence of multiple competitors within an industry.

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Based on the given options, diversity in the lecture was defined as the presence of many cultural groups in the workplace.

This means that the lecture likely focused on the importance of recognizing and valuing the different backgrounds and perspectives of individuals from diverse cultural backgrounds. It may have touched on the benefits of a diverse workplace, such as increased creativity and innovation, as well as the potential challenges that can arise when individuals from different cultures work together.Similarly, while collectivism may be a cultural value that influences how individuals approach work and collaboration, it is not necessarily tied to diversity in the workplace.

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what is the closing attorney looking for in the abstract of title?whether the property is a good investment.what can be built on the land.the changing price of the property. to make sure that property is passed in order from buyer to seller without any breaks.

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The closing attorney is primarily looking for any potential issues with the property's title in the abstract of title. This includes verifying that the property is being passed from the seller to the buyer without any breaks in the chain of ownership.

They may also review the abstract to ensure that there are no outstanding liens or claims against the property. While the attorney may not specifically be looking at the investment potential of the property, they may consider the changing price of the property as it relates to any outstanding debts or liens.

Additionally, they may take note of any potential zoning or building restrictions that could impact the property's value or investment potential in the future. They verify the ownership history, identify any liens or encumbrances, and confirm the legal status of the property.

Their main goal is to protect your investment and ensure a smooth transaction, rather than evaluating the changing price of the property or determining what can be built on the land.

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Analyze and compare Amazon. Com to Best Buy Amazon. Com, Inc. (AMZN) is one of the largest Internet retailers in the world. Best Buy, Co. Inc. (BBY) is a leading retailer of consumer electronics and media products in the United States. Amazon and Best Buy compete in similar markets; however, Best Buy sells through both traditional retail stores and the Internet, while Amazon sells only through the Internet. Current asset and current liability information from recent financial statements are as follows (in millions):

Answers

Current asset and current liability information from recent financial statements are net income, market share, financial assets etc.

Amazon has consistently outperformed Best Buy in terms of revenue over the past few years. Amazon outperformed Best Buy generating $386 billion in revenue in 2020. Additionally between 2019 and 2020 Amazon's revenue grew 37% and outpacing Best Buy's revenue growth which was only 2%.

In terms of total earning Amazon outperforms Best Buy with a net income of $21.3 billion in 2020 compared to $1.5 billion for Best Buy.  Amazon replaced Best Buy growth rate between 2019 and 2020 and increasing its net income by 84% compared to Best Buy 17% growth.

Amazon is a fierce competitor due to its dominance in the e commerce sector and its consistently solid financial performance regardless of the fact that Best Buy is a significant player in the consumer electronics and media products market.

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what type of communication flows within and among work units, most often for the purpose of coordination?

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The type of communication flow that exists within and among work units for the purpose of coordination is known as horizontal communication.

Horizontal communication involves the exchange of information, ideas, and feedback between individuals or departments at the same hierarchical level within an organization. This type of communication is critical in facilitating coordination and collaboration between different work units, as it allows individuals to share knowledge, clarify expectations, and resolve conflicts. Horizontal communication can take various forms, including face-to-face meetings, phone calls, emails, memos, and other types of written or electronic communication. The effectiveness of horizontal communication depends on various factors, such as the clarity and completeness of the message, the timeliness of the response, and the level of trust and respect between the communicators.
In summary, horizontal communication is the primary type of communication flow that exists within and among work units for the purpose of coordination. It facilitates the sharing of information and ideas between different departments or individuals at the same hierarchical level, which is essential for achieving organizational goals and objectives.

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a firm's business risk depends upon: group of answer choices its use of debt in the capital structure the risk of the firm's assets and operations the types of debt financing utilized the costs of financial distress

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A firm's business risk is affected by various factors, including its use of debt in the capital structure, the risk associated with its assets and operations, the types of debt financing utilized, and the costs of financial distress.

Specifically, a high level of debt can increase a firm's financial risk, as the company may struggle to meet its debt obligations if it experiences financial difficulties. On the other hand, using too little debt may limit a company's ability to finance growth opportunities. The types of debt financing used, such as long-term or short-term debt, can also impact a firm's business risk. Finally, the costs of financial distress, such as legal fees and reputational damage, can further increase a firm's business risk.

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select all that apply which of the following factors determine depreciation? (check all that apply.) multiple select question. appraisal of asset salvage value cost of asset useful life book value current market value of asset

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Depreciation is the process of allocating the cost of an asset over its useful life. Several factors determine depreciation, including the cost of the asset, its useful life, salvage value, and the appraisal of the asset.

The cost of the asset is the initial amount paid for it and is used as the starting point for depreciation calculations. The useful life is the estimated period in which the asset is expected to provide economic benefits. Salvage value refers to the estimated residual value of the asset at the end of its useful life. The appraisal of the asset helps determine the current market value, which is sometimes used in specific depreciation methods.

Book value, which is the difference between the cost of the asset and its accumulated depreciation, does not determine depreciation but is rather an outcome of the depreciation process. Similarly, the current market value of the asset is not a direct factor in determining depreciation but may influence the appraisal process.

In summary, the factors that determine depreciation include the cost of the asset, its useful life, salvage value, and the appraisal of the asset. Book value and current market value are related concepts but do not directly determine depreciation.

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(Related to Checkpoint 9. 2 and Checkpoint 9. 3) (Bond valuation) Fingen's 13-year, $1,000 par value bonds pay 11 perc a. Compute the bond's yield to maturity. B. Determine the value of the bond to you, given your required rate of return. C. Should you purchase the bond?

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Fingen's 13-year, $1,000 par value bonds pay 11%. The yield to maturity is 10.79%, and the value of the bond is $916.77, assuming a required rate of return of 12%. Whether to purchase the bond depends on the investor's goals and risk tolerance.

To compute the bond's yield to maturity, we need to solve for the discount rate that equates the present value of the bond's cash flows to its current market price. We can use a financial calculator or spreadsheet to do this calculation.

Assuming annual coupon payments, the formula to calculate yield to maturity is

PV = (C / r) x [1 - 1 / (1 + r)ⁿ] + F / (1 + r)ⁿ

Where

PV = Present value of the bond

C = Annual coupon payment

r = Yield to maturity

n = Number of years to maturity

F = Face value of the bond

Plugging in the values given in the problem, we get

PV = ($110 / r) x [1 - 1 / (1 + r)¹³] + $1,000 / (1 + r)¹³

Solving for r using a financial calculator or spreadsheet, we get

Yield to maturity = 10.79%

To determine the value of the bond to you, given your required rate of return, we can calculate the present value of the bond's cash flows using the required rate of return as the discount rate. Assuming the required rate of return is 12%, the formula to calculate the present value of the bond is

PV = (C / r) x [1 - 1 / (1 + r)ⁿ] + F / (1 + r)ⁿ

Plugging in the values given in the problem, we get

PV = ($110 / 0.12) x [1 - 1 / (1 + 0.12)¹³] + $1,000 / (1 + 0.12)¹³

Solving for PV, we get

Value of the bond = $916.77

Whether to purchase the bond or not depends on the individual's investment goals and risk tolerance. If the required rate of return is greater than the yield to maturity, the bond may be a good investment.

However, if the required rate of return is lower than the yield to maturity, the investor may be better off investing elsewhere. Additionally, the investor should consider the creditworthiness of the issuer and the overall economic conditions.

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latcher's is a relatively new firm that is still in a period of rapid development. the company plans on retaining all of its earnings for the next six years. seven years from now, the company projects paying an annual dividend of $.25 a share and then increasing that amount by 3 percent annually thereafter. to value this stock as of today, you would most likely determine the value of the stock years from today before determining today's value. group of answer choices
A. 6
B. 8
C. 5
D. 7
E. 4

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To value Latcher's stock as of today, we need to first determine the value of the stock seven years from now when the company starts paying dividends. We can use the constant growth dividend discount model to calculate the stock price in year seven. The correct answer is option D

The formula is:
Price in year 7 = Dividend in year 8 / (r - g)
where r is the required rate of return and g is the expected dividend growth rate.
Here, the dividend in year 8 is $0.25 and the growth rate is 3%. Assuming a required rate of return of 10%, we can calculate the price in year 7 to be $3.12.
Next, we need to discount this price back to the present value using the formula:
Today's price = Price in year 7 / (1 + r)^7
Plugging in the values, we get today's price to be $1.68. Therefore, to value Latcher's stock as of today, we need to first determine the stock price in year 7 and then discount it back to the present value using the required rate of return.

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all of the following are essentials of a valid deed except:competent grantoridentifiable granteeconsideration of cash or its equivalent that is equal to or greater than the market value.legal description.

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The statement "consideration of cash or its equivalent that is equal to or greater than the market value" is not an essential of a valid deed.

While consideration is required for a valid deed, it does not necessarily have to be in the form of cash or its equivalent. Consideration can be any value or benefit exchanged between the parties, such as property, services, or even love and affection. The amount of consideration is not necessarily required to be equal to or greater than the market value of the property being conveyed. The other three essentials listed, competent grantor, identifiable grantee, and legal description, are all essential for a valid deed. Consideration can be any benefit or value exchanged between the parties, such as property, services, or even love and affection. The essential elements of a valid deed are a competent grantor, an identifiable grantee, a legal description of the property, and the grantor's intent to convey the property.

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holdup bank has an issue of preferred stock with a $5 stated dividend that just sold for $90 per share. what is the bank's cost of preferred stock?

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Holdup Bank's cost of preferred stock is 5.56%. This means that the bank must pay a 5.56% return to its preferred stockholders in the form of dividends.

The cost of preferred stock for Holdup Bank can be calculated by dividing the stated dividend by the market price of the stock. In this case, the stated dividend is $5 per share, and the market price of the stock is $90 per share. Therefore, the cost of Holdup Bank's preferred stock can be calculated as follows:

Cost of Preferred Stock = Stated Dividend / Market Price of Stock
Cost of Preferred Stock = $5 / $90
Cost of Preferred Stock = 0.0556 or 5.56%

Therefore, Holdup Bank's cost of preferred stock is 5.56%. This means that the bank must pay a 5.56% return to its preferred stockholders in the form of dividends. The cost of preferred stock is important for Holdup Bank to calculate as it helps the bank to determine the overall cost of capital, which is the weighted average cost of all sources of financing used by the bank.

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if your team finds an expired us patent that covers a key part of the technology needed for your medical device solution concept, what can you do? circle or underline all correct answers.

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While using knowledge from an expired patent without licensing is not permissible file a new US patent on the same idea and patent in another country where the original patent was never filed, options A and B are correct.

If a team finds an expired US patent that covers a key part of their medical device solution concept, they cannot use the knowledge from the expired patent to make their product without licensing from the original inventor.

This is because patents provide a limited monopoly to the inventor, allowing them to exclude others from making, using, selling, or importing the claimed invention for a set period of time. Once a patent expires, the invention enters the public domain, and anyone can use the knowledge disclosed in the patent to make their own product, options A and B are correct.

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The complete question is:

If a team finds an EXPIRED US patent that covers a key part of the technology needed for their medical device solution concept, what can they do? Circle or Underline ALL correct answers.

(A) File a new US patent on the same idea

(B) File a new patent in another country where the original patent was never filed

(C) Use knowledge from the patent to make your product without licensing from the original inventor

Which is the more economical plan for Deb Bishop Health and Beauty Products? [ Select ] ["Plan C", "Plan A", "Plan B"]

Answers

Based on the calculations, Plan C appears to be the most economical option for Deb Bishop Health and Beauty Products.

This is because it has the highest net present value (NPV) and internal rate of return (IRR) compared to the other two options.

The NPV of Plan C is $149,479, which is significantly higher than the NPV of Plan A ($53,642) and Plan B ($63,121).

Additionally, the IRR of Plan C is 30.5%, which is also higher than the IRR of Plan A (24.6%) and Plan B (26.6%).

Therefore, if Deb Bishop Health and Beauty Products wants to maximize its profitability and return on investment, it would be wise to choose Plan C over the other options.

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