True or false: salaries receivable is the account used to record salaries owed to employees for work performed during the current period.

Answers

Answer 1

salaries receivable is the account used to record salaries owed to employees for work performed during the current period.

The given statement is False

Any money you owe your clients for products or services they previously purchased from you is referred to as accounts receivable. After a few weeks, this money is normally collected and added to the balance sheet of your business as an asset. In accrual basis accounting, you make use of accounts receivable.Employee receivables are any personal debts that staff members might owe the business. These could include things like paying back for broken equipment, covering individual travel costs, or providing travel advances.Receivables are debts owing to a business by its customers for goods or services used or supplied but not yet paid for. They are also known as accounts receivable. Receivables are recorded as current assets on the balance sheet of the company and are produced by extending the line of credit to clients.

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Related Questions

Bob’s Bistro produces party-sized hoagie sandwiches. For next year, Bob’s Bistro predicts that 50,000 units will be produced with the following total costs:

Direct materials $200,000

Direct labor 100,000

Variable overhead 60,000

Fixed overhead 260,000

Required:

If required, round your answers to the nearest cent.

1. Calculate the prime cost per unit.

$fill in the blank 1 per unit

2. Calculate the conversion cost per unit.

$fill in the blank 2 per unit

3. Calculate the total variable cost per unit.

$fill in the blank 3 per unit

4. Calculate the total product (manufacturing) cost per unit.

$fill in the blank 4 per unit

5. What if the number of units decreased to 40,000 and all unit variable costs stayed the same? indicate the impact on the following costs.

a. Total direct materials decreases by 20%

b. Total direct labor decreases by 20%

c. Total variable overhead decreases by 20%

d. Total fixed overhead does not change no change

e. Unit prime cost decreases by 20%

f. Unit conversion cost decreases by less than 20%

What would the product cost per unit be in this case?

Answers

1. The calculation of the prime cost per unit for Bob’s Bistro is $6 ($300,000/50,000).

2. The calculation of the conversion cost per unit for Bob’s Bistro is $7.20 ($360,000/50,000).

3. The calculation of the total variable cost per unit for Bob’s Bistro is $ $7.20 ($360,000/50,000).

4. The calculation of the total product (manufacturing) cost per unit $12.40 ($620,000/50,000).

5. The impact of the following considerations if the production units decrease to 40,000 units is as follows:

a. The total direct materials decreases by 20% to $160,000 (40,000 x $4).

b. The total direct labor decreases by 20% to $80,000 (40,000 x $2).

c. The total variable overhead decreases by 20% to $48,000 (40,000 x $1.20)

d. The total fixed overhead remains at $260,000.

e. The unit prime cost decreases by 20% to $4.80 ($6 x 80%).

f. The unit conversion conversion decreases by less than 20%.

Then, the product cost per unit would be $12.50 (40,000 x $4.80 + $48,000 + $260,000)/40,000.

What are the costs of production?

The costs of production are the costs involved in the manufacture of goods.

The costs of production include the costs of materials, labor, and overhead (both variable and fixed).

Data and Calculations:

Production units next year = 50,000 units

Cost information:                   Total            Unit

Direct materials                  $200,000      $4 ($200,000/50,000)

Direct labor                            100,000      $2 ($100,000/50,000)

Variable overhead                  60,000      $1.20 ($60000/50,000)

Total variable costs =         $360,000      $7.20 ($360,000/50,000)

Fixed overhead                    260,000

Total production costs =   $620,000

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difference between relative and absolute scarcity

Answers

Answer: Relative scarcity could be described as that where the resources are limited in supply for a short while, due to manufacturing or supply challenges.

Absolute scarcity could he described as where supply is naturally limited. No possibility of the supply increasing.

Explanation:

Relative scarcity could be described as that where the resources are limited in supply for a short while, due to manufacturing or supply challenges.

Absolute scarcity could he described as where supply is naturally limited. No possibility of the supply increasing.

In relative scarcity, there is a probability of the supply to be made available later while in absolute, there is no possibility of it happening.

Assuming now the risk-free rate is 5%, and the expected return on the market index is 15%. XYZ is a listing company after IPO, the market information of which is as follows. Beta 1.0 Dividend payout ratio 40% Return on equity 15% If XYZ's stock is expected to pay a $2.50 dividend, using the dividend discount model, what is its intrinsic value?

Answers

The intrinsic value of XYZ's stock using the dividend discount model is $25.

To calculate the intrinsic value of XYZ's stock, we first need to find the cost of equity using the Capital Asset Pricing Model (CAPM). The formula for CAPM is:

Cost of Equity = Risk-free rate + Beta * (Market return - Risk-free rate)

Plugging in the values, we get:

Cost of Equity = 5% + 1.0 * (15% - 5%) = 5% + 10% = 15%

Next, we find the growth rate of dividends using the dividend payout ratio and return on equity:

Growth Rate = (1 - Dividend Payout Ratio) * Return on Equity

Growth Rate = (1 - 0.4) * 15% = 0.6 * 15% = 9%

Now, we can use the Dividend Discount Model formula to find the intrinsic value:

Intrinsic Value = Dividend / (Cost of Equity - Growth Rate)

Intrinsic Value = $2.50 / (15% - 9%) = $2.50 / 0.06 = $25

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Ultratech cement uses which organizational structure?

Answers

Ultratech Cement uses a matrix organizational structure. This structure combines elements of both functional and divisional structures to efficiently manage resources and operations across multiple locations.

Step 1: Functional departments
In the matrix structure, Ultratech Cement has functional departments such as finance, marketing, production, and human resources. These departments are responsible for managing their respective areas of expertise throughout the organization.
Step 2: Divisional structure
At the same time, Ultratech Cement is organized into divisions based on their product lines or regional operations. This allows the company to effectively address the unique needs of each market and provide specialized services.
Step 3: Reporting lines
In a matrix organizational structure, employees typically have dual reporting lines. For instance, a production manager at Ultratech Cement would report to both the production department head (functional) and the divisional head responsible for their specific product line or region (divisional).
Step 4: Collaboration
This organizational structure encourages collaboration and communication across functional and divisional lines, which can lead to increased efficiency, innovation, and adaptability.

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Determine the mean for the following raw scores of a pretest used in a marketing research study: 82, 83, 25, 29, 31, 82, 30, 90, 56, 76, 40, and 45. *

Answers

Answer:

55.75

Explanation:

Mean is the average score in the marketing data. It is obtained by first finding the total of all the data. The total is then divided by the number of entries.

The total for this data is 82 +83 + 25 + 29 + 31 + 82+ 30 +90+ 56, 76 +40+ 45= 669

The mean will be 669 divided by 12

=669/12

=55.75

cording to the law of increasing opportunity costs, multiple choice higher opportunity costs induce higher output per unit of input. greater production of one good requires increasingly larger sacrifices of other goods. greater production leads to greater inefficiency. greater production means factor prices rise.

Answers

According to the law of increasing opportunity costs it says: "Greater production of one good usually requires increasingly larger sacrifices of other goods." The correct answer is b.

The law of increasing opportunity costs states that as the production of one good increases, the opportunity cost of producing additional units of that good also increases. This is solely because resources are not at all equally efficient in producing different goods.

As more resources are allocated to producing one good, they are taken away from producing other goods, leading to a decrease in efficiency and an increase in the opportunity cost of producing additional units of the chosen good.

This is why the production of one good comes at the expense of producing other goods, indicating a trade-off and the increasing sacrifice of alternative goods as production expands.

The correct answer is option b.

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Complete question

cording to the law of increasing opportunity costs, multiple choice

a. higher opportunity costs induce higher output per unit of input.

b. greater production of one good requires increasingly larger sacrifices of other goods

c. greater production leads to greater inefficiency.

d. greater production means factor prices rise.

15) On September 1, 2014, Two Sisters Company pays $36,000 cash for six months rent. The balance in prepaid rent on December 31, 2014, after adjustment, would be: (1 mark) A) $6,000 B) $24.000 C) $12,

Answers

On September 1, 2014, Two Sisters Company paid $36,000 cash for a six-month rent. As of December 31, 2014, the balance in prepaid rent, after adjustment, would be $24,000. The correct answer is option B.

Prepaid rent is rent paid in advance of the rental period. It is typically considered a current asset and is entered as a balance sheet item until the rental period expires. Adjustments are made at the end of each accounting cycle for prepaid expenses to account for the portion of the asset that has been consumed. To determine the balance in prepaid rent as of December 31, 2014, we need to calculate the amount of rent that has been consumed during the year. Two Sisters Company paid $36,000 cash for six months rent on September 1, 2014, which means the monthly rent expense would be $6,000 ($36,000/6 months).We need to determine the amount of rent that has been consumed between September 1 and December 31, which is four months. Therefore, the rent expense for this period is $6,000 * 4 months = $24,000. Since prepaid rent is an asset account, we reduce the asset by the amount of rent that has been consumed during the period, so the balance in prepaid rent as of December 31, 2014, after adjustment, would be $36,000 - $24,000 = $12,000.Therefore, the correct answer is option B.

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You are asked to generate a master production plan for an independent item in the next four weeks. The demand forecast is: (30,30,30,30); the amount of committed customer orders is: (33,20,10,4); the lot size for this item is given as 70 ; and the initial on-hand inventory is 67. So the available-to-promise inventory for week 2 should be:
a. 56 b. 11
c. 13 d. 14
e. 59

Answers

The available-to-promise inventory for Week 2 is (C) 13.

To calculate the ATP inventory for Week 2, we will consider the following:  We need to calculate the inventory at the end of Week 1 to check the inventory available for Week 2. Inventory available at the end of Week 1 = Initial on-hand inventory - Customer orders for Week 1 + Production for Week 1

Initial inventory for Week 1 = 67Customer orders for Week 1 = 33Lot size for item = 70Therefore, production for Week 1 = 70Inventory available at the end of Week 1 = 67 - 33 + 70 = 104Inventory available for Week 2 = Inventory available at the end of Week 1 - Customer orders for Week 2Inventory available at the end of Week 1 = 104Customer orders for Week 2 = 20Inventory available for Week 2 = 104 - 20 = 84Inventory available for Week 3 = Inventory available for Week 2 - Customer orders for Week 3Inventory available for Week 2 = 84Customer orders for Week 3 = 10Inventory available for Week 3 = 84 - 10 = 74Inventory available for Week 4 = Inventory available for Week 3 - Customer orders for Week 4Inventory available for Week 3 = 74Customer orders for Week 4 = 4Inventory available for Week 4 = 74 - 4 = 70

Therefore, the available-to-promise (ATP) inventory for Week 2 will be = Inventory available at the end of Week 1 - Customer orders for Week 2= 104 - 20= 84-10= 74-4= 70Therefore, the available-to-promise inventory for Week 2 is 13.

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Which of these is a way to grow
a business without sacrificing
equity?
A. take out a loan
B. review the budget
C. seek investors

Answers

The answer is B but it might be C but if we’re are talking in this sense it is B

When something is grown and harvested in the same country it is distributed in, it can be considered what?
capital
international
duties
domestic

Answers

Answer:

domestic

Explanation:

In business, domestic refers to the home country of the producer or consumer. The domestic market is the market within the borders of the seller's country.  Domestic contrasts with international, which refers to beyond the borders of a country.

Products that are produced and distributed within the country are domestic products. They are often referred to as local products. Domestic goods become exports if sold outside the borders of their country of origin.

A loan of R100 000, granted at 8% p.a. compounded monthly is to be repaid by regular equal monthly payments over a period of five years, starting one month after the granting of the loan.
The interest portion of the 23rd payment is equal to:

Answers

The interest portion of the 23rd payment would be approximately R2,042.38.

To calculate the interest portion of the 23rd payment, we can use the formula for calculating equal monthly payments on a loan.

Given that the loan amount is R100,000, the interest rate is 8% p.a. compounded monthly, and the loan is to be repaid over a period of five years (60 months), we can use the formula:

P = (r * PV) / (1 - (1 + r)^(-n))

Where:
P = monthly payment
r = monthly interest rate
PV = present value of the loan
n = total number of payments

First, we need to calculate the monthly interest rate:
r = (8% / 100) / 12 = 0.00667

Next, we calculate the monthly payment:
P = (0.00667 * 100,000) / (1 - (1 + 0.00667)^(-60))
P ≈ R2,042.38

Since the loan is repaid over 60 months, we can assume that each monthly payment is the same. Therefore, the interest portion of the 23rd payment would be the same as the interest portion of any other payment.

Hence, the interest portion of the 23rd payment would be approximately R2,042.38.

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Classy EACH challenge identified in QUESTION 1 1 1 according to features of
the Business Environments
CHALLENGE
FEATURES OF BUSINESS
ENVIROMNENT​

Answers

Explanation:

Uncertainty about the future. ...

Financial management. ...

Monitoring performance. ...

Regulation and compliance. ...

Competencies and recruiting the right talent. ...

Technology. ...

Exploding data. ...

Customer service.

the concept of diminishing marginal benefits means that __________.

Answers

The concept of diminishing marginal benefits means that the additional satisfaction or utility gained from consuming or acquiring one more unit of a good or service decreases as more units are consumed or acquired.

Diminishing marginal benefits suggests that as an individual consumes or acquires more of a particular good or service, the incremental satisfaction or utility derived from each additional unit diminishes. In other words, the initial units provide high levels of benefit, but as consumption increases, the extra benefit gained from each subsequent unit becomes progressively smaller. This concept is an important principle in economics and decision-making, as it helps explain why people often reach a point of satiation or diminishing returns in their pursuit of goods or services.

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Why is the equilibrium wage for doctors high?


because the supply of doctors is relatively low and the demand is relatively high


because the supply of doctors is relatively high and the demand is relatively low


because the demand for doctors tends to be lower relative to supply


because the demand for doctors equals the supply

Answers

Answer:

because the supply of doctors is relatively low and the demand is relatively high.

N Apple bought goods on credit from Pencil Point Ltd. What is the double entry to record this transaction in the accounting records of Pencil Point Ltd? a. Debit N Apple, Credit Sales b. Debit Sales , Credit N Apple c. Debit Purchases, Credit Pencil Point ltd d. Debit Pencil point Ltd, Credit Purchases.

Answers

Answer:

c. Debit Purchases, Credit Pencil Point ltd

Explanation:

The journal entry for purchasing the goods from the Pencil point ltd on credit is given below;

Since the goods are purchased so here purchase account is debited and we credited the pencil point ltd

So, the journal entry is

Purchase Dr XXXX

          To Pencil Point ltd XXXX

(Being goods purchased on credit)

The purchase is debited as it increased the assets and pencil point ltd is credited as it also increased the liability

Both capacity and eco-friendly are important for this market. In particular, why does the importance of the eco-friendly characteristic, at 68%, make sense for this segment? click on the response that you think makes the most sense.

Answers

In this case, the response makes the most sense is that this segment tends to be more aware what others in the segment think and would want to make sure they conform.

What do you mean by the segment in market?

A market segment is a collection of individuals who exhibit one or more common traits. Companies and marketing departments build target markets for their goods and services using a variety of factors.

The four primary categories of market segmentation are thought to be geographic, psychographic, behavioral, and demographic; however, there are many other tactics you can employ, as well as countless variants on the four primary types.

Therefore, in this case, the response makes the most sense is that this segment tends to be more aware what others in the segment think and would want to make sure they conform.

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it costs $ 4323 to turn on the machines and $ 1.20 to package each gallon of chocolate chunk ice cream. write this statement in function notaton

Answers

Let's define a function to represent the total cost of packaging a certain number of gallons of chocolate chunk ice cream.

Let C(x) be the total cost of packaging x gallons of chocolate chunk ice cream. x be the number of gallons of chocolate chunk ice cream to be packaged. The fixed cost to turn on the machines is $4323, which remains constant regardless of the number of gallons packaged. The variable cost per gallon of chocolate chunk ice cream is $1.20.

Therefore, we can represent the total cost function as: C(x) = 4323 + 1.20x. In this function, the fixed cost of $4323 is added to the variable cost of $1.20 multiplied by the number of gallons x. This function provides a way to calculate the total cost of packaging chocolate chunk ice cream based on the quantity to be packaged.

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7. Find the future value in year 4 of the following series of cash flows (C1=$1000, C2-$1500, C3-$2000, C4-$2500) invested at 5%.

Answers

To find the future value of the cash flows in year 4, we need to use the compound interest formula:

FV = P * (1 + r/n)^(n*t)

where:

FV = future value

P = present value

r = interest rate per year

n = number of times interest is compounded per year

t = time in years

First, we need to convert the cash flows to a present value by discounting them back to the present using the interest rate of 5%. We can use the formula:

P = C1 + C2 + C3 + C4 - (r/100) * (C1 + C2 + C3 + C4)

where:

P = present value

C1 = cash flow in year 1

C2 = cash flow in year 2

C3 = cash flow in year 3

C4 = cash flow in year 4

r = interest rate per year (as a decimal)

Plugging in the values, we get:

P = 1000 + (1500 + 2000 + 2500) - (0.05/100) * (1000 + 1500 + 2000 + 2500)

P = 1000 + 4500 - 75

P = 5250

Now we can calculate the future value in year 4:

FV = P * (1 + 0.05/1)^(1*4)

FV = 5250 * (1 + 0.05/1)^4

FV = 5250 * 1.1268

FV = 5810.40

Therefore, the future value of the cash flows in year 4 is

5,810.40.

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The future value of the cash flows in year 4 is $18,816.05.

To find the future value in year 4 of the given series of cash flows, we can use the formula for future value of an annuity.

FV = C x [(1 + r)n - 1] / rwhere C is the periodic payment, r is the interest rate per period, and n is the number of periods.

In this case, the cash flows are: C1=$1000, C2=$1500, C3=$2000, C4=$2500The interest rate per period is 5%. Since the payments are made annually, the number of periods is 4.

Using the formula,

FV = ($1000 x [(1 + 0.05)4 - 1] / 0.05) + ($1500 x [(1 + 0.05)3 - 1] / 0.05) + ($2000 x [(1 + 0.05)2 - 1] / 0.05) + ($2500 x [(1 + 0.05)1 - 1] / 0.05)

FV = $1000 x 4.3108 + $1500 x 3.7835 + $2000 x 3.1025 + $2500 x 1.05

FV = $4,310.80 + $5,675.25 + $6,205 + $2,625FV = $18,816.05

Therefore, the future value of the cash flows in year 4 is $18,816.05.

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The Tea Party Movement and the Black Lives Matter Movement have which of the following in common?
a. educational opportunity
b. participation opportunity
c. self-interest opportunity
d. economic opportunity

Answers

The Tea Party Movement and the Black Lives Matter Movement have a commonality in terms of participation opportunity.

Option b) participation opportunity is the shared element between the Tea Party Movement and the Black Lives Matter Movement. Both movements have provided platforms and opportunities for individuals to actively participate in expressing their viewpoints and engaging in collective action.

The Tea Party Movement emerged in the early 2000s, advocating for limited government and fiscal responsibility, while the Black Lives Matter Movement gained prominence in response to police violence and systemic racism. Both movements have encouraged their supporters to engage in demonstrations, rallies, and grassroots organizing to promote their respective agendas.

While the movements may differ in their goals and ideologies, they have created avenues for individuals to participate and make their voices heard in shaping public discourse and policy discussions.

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. In 2000, KFC® and A&W® restaurants successfully merged because each had a strong

signature product: KFC’s fried chicken and A&W’s root beer floats.

Branding strategy used:

Answers

Explanation:

Co-branding is a form of branding that connects companies together. Essentially, co-branding is a marketing partnership between two or more businesses.

The partnership agreement of Owens, Gehrig, and Nagurski provides for the following income ratio: (a) Owens, the managing partner, receives a salary allowance of $18,000, (b) each partner receives 15% interest on average capital investment, and (c) remaining net income or loss is divided equally. The average capital investments for the year were: Owens $100,000, Gehrig $200,000, and Nagurski $300,000. If partnership net income is $90,000, the amount distributed to Owens should be

Answers

Answer:

Owens will get $18,000 + $12,000 = $30,000

Explanation:

average capital investments:

Owens $100,000Gehrig $200,000Nagurski $300,000

Net income = $90,000

Owens received a $18,000 salary

Remaining income = $72,000

interest on capital investment = $600,000 x 15% = $90,000

since $90,000 ≥ $72,000, profits must be allocated proportionally:

Owens = $72,000 x 1/6 = $12,000

Gehrig = $72,000 x 2/6 = $24,000

Nagurski = $72,000 x 3/6 = $36,000

Why do you have to dispose waste products according occupational health and safety practices

Answers

Answer:

Hazardous wastes can cause harm to the environment.

Explanation:

Studies have shown that improper disposal of hazardous waste can even affect humans via drinking water and food consumption. If a hazardous waste is not properly disposed, it can easily enter the environment at an undesirable rate.

Which of the following statements would be considered pros of globalization?

Increased competition between countries

Increased immigration of unskilled workers

Increased public funding for education and immigration of those citizens with education

Increased consumption of wide variety of goods leading to increased production

Answers

Answer:

increased consumption of wide variety of goods leading to increased production.

Explanation:

im sorry if i get it wrong

individuals in different segments should have ______ within the segment and ______ across the segments.

Answers

Answer:

similarities; differences Is correct answer

Explanation:

individuals in different segments should have similarities within the segment and differences across the segments.

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If the U.S. has exports of $1.5 trillion and imports of $2.2 trillion, then the U.S Points buys more from overseas then it sells overseas; it has a trade surplus. sells more overseas then it buys from overseas, it has a trade deficit. buys more from overseas then it sells overseas; it has a trade deficit sells more overseas then it buys from overseas; it has a trade surplus

Answers

Option (c), Having a trade deficit means that the United States buys more from abroad than it sells abroad if its exports are $1.5 trillion and its imports are $2.2 trillion.

What does a trade deficit with the US mean?

A country has a deficit when it imports more than it exports. A country's trade deficit often indicates that it consumes more than it generates and that it does not have enough domestic savings to meet its investment needs.

What does it imply to say that there is a trade imbalance in the US? Will a trade deficit have an impact on interest rates?

When the US trade balance is negative, it means that the country exports more goods and services than it imports (exporting). Dollars leave the country as a result of foreign companies converting them into other currencies to pay for American products.

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The complete question is:

If the U.S. has exports of $1.5 trillion and imports of $2.2 trillion, then the U.S

Points

(a). buys more from overseas then it sells overseas; it has a trade surplus.

(b). sells more overseas then it buys from overseas, it has a trade deficit.

(c). buys more from overseas then it sells overseas; it has a trade deficit

(d). sells more overseas then it buys from overseas; it has a trade surplus

Under the Investment Advisers Act of 1940, cash payment to a broker-dealer from an investment adviser in return for client referrals is A) not permitted under any circumstances B) permitted with no restrictions C) permitted if the investment adviser makes certain disclosures to the clients and meets other requirements D) permitted if the investment adviser and broker-dealer are affiliated

Answers

Answer:

It's A.

Explanation:

a joint stock company is usually treated like a partnership. T/F

Answers

False

A joint stock company is not usually treated like a partnership. A joint stock company is a type of business entity where ownership is divided into shares, and shareholders have limited liability.

Unlike a partnership, which is typically treated as a separate legal entity where partners have unlimited liability, a joint stock company provides limited liability protection to its shareholders.

In a joint stock company, the ownership is represented by shares of stock, which can be bought and sold freely by the shareholders. The shareholders elect a board of directors who oversee the company's operations and make decisions on behalf of the shareholders. The company's profits and losses are distributed among the shareholders based on their ownership stakes.

This distinction between joint stock companies and partnerships is important because it affects the legal status, liability, governance structure, and other aspects of the business. It is crucial for individuals and organizations to understand the differences between various forms of business entities to choose the appropriate structure for their needs.

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suppose that a tax of $30 is placed on sellers. solve for the new equilibrium. what happens to the price received by sellers, the price paid by buyers, and the quantity sold?

Answers

When a tax of $30 is placed on sellers, it affects the equilibrium in a market by shifting the supply curve upwards.

This shift is equivalent to an increase in the cost of production for sellers, resulting in a decrease in the quantity supplied and an increase in the price paid by buyers. Let's analyze the impact on the price received by sellers, the price paid by buyers, and the quantity sold.

Price Received by Sellers: The price received by sellers will decrease. The amount of the tax ($30) will be subtracted from the price received by sellers. The new price received by sellers will be lower than the original equilibrium price.

Price Paid by Buyers: The price paid by buyers will increase. As the tax is imposed on sellers, they will pass on some or all of the tax burden to buyers by increasing the price. The new price paid by buyers will be higher than the original equilibrium price.

Quantity Sold: The quantity sold will decrease. The tax increases the cost of production for sellers, reducing their incentive to supply goods. As a result, the quantity supplied will decrease, and the market equilibrium will shift to a lower quantity.

Overall, the impact of the tax on sellers leads to a decrease in the price received by sellers, an increase in the price paid by buyers, and a decrease in the quantity sold in the market.

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Descriptive analytics helps detect hidden patterns in large quantities of data to group data into sets to predict behavior. True or false?.

Answers

False, Descriptive analytics do not help detect hidden patterns in large quantities of data to group data into sets to predict behavior

How does descriptive analysis work?

Undoubtedly, descriptive analytics is the most user-friendly data analysis method. It involves dissecting (or parsing) data and summarizing its key components. This is how descriptive analytics summarises past occurrences without focusing on their methods or causes. Because it is essentially explanatory, descriptive analytics uses basic descriptive statistics. This includes measures of central tendency (mean, mode, and median), distributional metrics (frequency or count), and measures of variability (such as variance and standard deviation). Additionally, it assesses the location of other data points, such as the percentile range or interquartile range, as necessary. Descriptive analytics commonly use reports, pivot tables, and visualizations like histograms, line graphs, pie charts, and box-and-whisker plots to present their findings.

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In a CPMT, the ____ leads the project to make sure a sound project planning process is used, a complete and useful project plan is developed, and project resources are prudently managed.

Answers

Answer:

managers or skateholders

Explanation:

bc that is the answer

Other Questions
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