To compare Jones Electric to other electrical distributors, ratio, common size, and cash flow analyses were prepared for all years.
Ratio analysis involves calculating and comparing financial ratios to evaluate a company's financial performance. Common size analysis involves expressing financial statements as a percentage of a common base to compare companies of different sizes.
Cash flow analysis involves examining a company's cash inflows and outflows to assess its liquidity and financial health.
By performing these analyses for all years, we can compare Jones Electric to other electrical distributors and evaluate its financial performance and position.
These analyses can also help identify areas for improvement and provide insights into the company's financial management. Overall, these analyses can be a useful tool for investors, creditors, and other stakeholders in assessing the company's financial health and potential for growth.
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A company decided to give the employees that worked for more than 10 years a loyalty bonus of 200$ per month. If the interest rate is 12% per year and the employees supposed to work for another 7 years, what is the future compound amount of this extra income?" 13067 26134 39202 52269 65336 78403 91471 104538 None of them
the future compound amount of this extra income IS $39202.55 per employee.To find out the future compound amount of the extra income, we need to use the compound interest formula which is
as A=P(1+r/n)^(nt)Where,A is the future compound amount,P is the principal or initial amount,r is the annual interest rate,n is the number of times the interest is compounded per year and t is the number of yearsThe initial bonus given to each employee is $200 per month.The future amount of the loyalty bonus for each employee is calculated by compounding the initial amount monthly for seven years with an annual interest rate of 12%.We know that the monthly interest rate is calculated by dividing the annual interest rate by the number of months in a year.So, the monthly interest rate is calculated as:R= 12/12=1The number of times the interest is compounded per year (n) is 12 and the time (t) is 7 years.Hence, we can write the formula asA= 200(1+0.12/12)^(12x7)Simplifying this expression,A= $39202.55Therefore, the future compound amount of the extra income is $39202.55 per employee.
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Type the correct answer in the box. Sam put $2,000 in a savings account at his bank. After 10 years, his account balance was $4,000. The interest rate on the savings deposit is %. (hint: use the rule of 70 to solve this problem. ).
Sam put $2,000 in a savings account The interest rate on the savings deposit is 7.18 %.
Assuming compound interest, the formula for the future value is:
FV = PV (1 + r)ⁿ
Where:
PV = present value
r = interest rate per period
n = number of periods
Parameters given in the problem:
PV = $2,000
FV = $4,000
n = 10
Plug these parameters into the formula:
4,000 = 2,000 (1 + r)¹⁰
(1 + r)¹⁰ = 4000/2000
(1 + r)¹⁰ = 2
1 + r = 1.0718
r = 1.0718 - 1 = 0.0718 = 7.18%
Hence, the interest rate is 7.18%
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13) the budgeted production of capricorn, inc. is 13,000 units per month. each unit requires 30 minutes of direct labor to complete. the direct labor rate is $80 per hour. calculate the budgeted cost of direct labor for the month. (round any intermediate calculations to the nearest cent and your final answer to the nearest dollar.) a) $520,000 b) $195,000 c) $1,040,000 d) $34,667
The budgeted cost of direct labour for the month is $520,000.
To calculate the budgeted cost of direct labour, we first need to determine the total number of direct labour hours required to produce 13,000 units. Each unit requires 30 minutes of direct labour, which is equivalent to 0.5 hours. Therefore, the total number of direct labour hours needed is:
Total direct labour hours = Number of units × Direct labour hours per unit
= 13,000 units × 0.5 hours per unit
= 6,500 hours
Next, we multiply the total direct labour hours by the direct labour rate to obtain the budgeted cost of direct labour:
Budgeted cost of direct labour = Total direct labour hours × Direct labour rate
= 6,500 hours × $80 per hour
= $520,000
Therefore, the budgeted cost of direct labour for the month is $520,000.
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Irma has $500 to open a checking account. She wants an account with the lowest fees. She plans to use only her bank’s ATM to deposit her paychecks and withdraw cash.
Which checking account would be best for Irma?
Account A
Account B
Account C
Account D
Answer: the correct answer is A
Explanation:
Answer:
A
Explanation:
1. What is the annual percentage rate (APR) for this credit card?
2. For cash advances what is the APR?
3. What three things would move the APR for the balance on this credit card to 28.99%?
4. What is the annual fee that customers are charged for holding this credit card?
5. If you decided to transfer the balance from another credit card to this credit card, what would be the fee charged?
a. What would be the APR charged for the transferred balance?
6. What is the fee for a cash advance?
7. If you use this credit card in a foreign country, what would be the fee on each transaction you made in the foreign country?
8. If you are late on making a payment, what would be the fee charged?
9. What would be the fee charged if you went over your credit limit?
Answer:
1. For purchases, the APR during an introductory period is either 8.99% or 10.99% or 12.99% depending on creditworthiness. After the introductory period the APR is 14.99%
2. Cash advance monthly rate changes based on what the Prime Rate is that month + 14.99% so if the prime rate is 3, add 14.99 to that so 17.99% of the amount received in cash. So if you take $200 cash advance, the amount charged at 17.99% would be 0.1799 x 200 =$35.98.
3. If the card holder does any of the following: makes a late payment, goes over their stated credit limit, make an account payment that is returned, or commit the afore mentioned acts on another account held by this same creditor the APR is then increased to 28.99%.
4. The annual fee charged for the credit card is $20.
5. The fee for a balance transfer is Either $5 or 3% of the amount that is transferred or $100 (whichever is greater) to this card from another account.
a. The APR charged for a balance transfer is 15.99%, but would vary based on the market Prime Rate.
6. Fee for cash advance is $5 or 3% of the amount of cash advance taken - whichever amount is largest.
7. 2% of the amount charged (in US dollars) in a transaction.
8. A late fee of $25 will be charged on an account with a balance of $999 or less. If the account balance if over $1000 the late fee of $35 will be charged and the APR will increase to 28.99%.
9. A fee of $29 is charged for accounts that exceed the credit limit in addition to an APR increase to 28.99%
Explanation: explanations are with the answers listed above.
What is the danger of having a lot of debt?
(brainlyest)
Answer:
probably not paying it off in time or something
Explanation:
The commute times for the workers in a city are normally distributed with an unknown population mean and standard deviation. If a random sample of 27 workers is taken and results in a sample mean of 22 minutes and sample deviation of 3 minutes, find a 95% confidence interval estimate for the population mean using the student's t-distribution.
If the commute items for the workers in a city are normally distributed with an unknown population mean and standard deviation. Using the student's t distribution 95% confidence interval for the sample mean is 20.8129 and 23.1870
To calculate a 95% confidence interval.
Given Data
size n = 27 , sample mean = 22 , standard deviation = 3.
Here the 95% CI is given as,
× ± t*s/\(\sqrt{n}\)
t{(n-1),\\(\alpha\)}=t_{(27-1),0.05} = 2.056
(22± 2.056*3/\sqrt{27})
(22- 2.056*3/√27, 22+ 2.056*3/\sqrt{27})
( 22 - 1.1870 , 22 + 1.1870)
( 20.8129 , 23.187)
Thus , 95% confidence interval for sample mean is ( 20.8129 , 23.1870).
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Uinn signs a check "pay to the order of Ronda" drawn on Quinnâs account in Suburban Bank. Quinn has $400 in his account but the amount of the check is $500, which the bank pays. This is
a, a stale check
b, a dishonored check
c, an overdraft
d, a postdated check
This is an overdraft. An overdraft is a cheque that is paid by a bank when the checking account on which it is written does not have enough money to cover it.
What is meant by overdraft check?When you don't have enough funds in your account to cover a transaction but the bank nonetheless honors it, you have an overdraft. There could be a "overdraft" fee assessed if it pays even though you don't have the funds in your account. You may be assessed a "bounced-check" or "nonsufficient funds" fee if your bank returns your check without clearing it. When a transaction brings your account balance below zero and you are unable to cover the transaction with available money, overdraft fees apply. No matter how much money is transacted, your bank or credit union will normally impose a fee that is a fixed sum. Deposits into your account are used to cover the overdraft, such as when your salary is received.To learn more about overdraft check refer to:
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using data to demonstrate the connections between implemented hr practices and agency performance is
Using data to demonstrate connections between implemented HR practices and agency performance is referred to as "HR analytics".
The HR analytics involves collecting, analyzing, and interpreting data related to HR practices, employee behavior, and organizational performance to gain insights and make data-driven decisions.
By examining the data, organizations can identify correlations, trends, and patterns that help establish the impact of specific HR practices on agency performance.
This approach enables organizations to measure the effectiveness of their HR strategies, identify areas for improvement, and make informed decisions to optimize HR practices and ultimately enhance agency performance.
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The given question is incomplete, the complete question is
Using data to demonstrate the connections between implemented hr practices and agency performance is called as ?
Suppose you estimated the following two-variable VAR(1) model: Xt = 0.30Xt-1 +0.20Yt-1+€x,t Yt = 0.50Xt-1-0.20Yt-1+Ey,t
a. The estimated VAR(1) model is:
Xt = 0.30Xt-1 + 0.20Yt-1 + €x,t
Yt = 0.50Xt-1 - 0.20Yt-1 + Ey,t
The given VAR(1) model consists of two equations representing the variables Xt and Yt. In these equations, the variables at time t, denoted by Xt and Yt, are expressed as linear combinations of their lagged values (Xt-1 and Yt-1) and error terms (€x,t and Ey,t). The coefficients 0.30, 0.20, 0.50, and -0.20 represent the estimated parameters of the model.
For Xt, the equation Xt = 0.30Xt-1 + 0.20Yt-1 + €x,t indicates that the current value of Xt depends on its lagged value (Xt-1) with a coefficient of 0.30, the lagged value of Yt (Yt-1) with a coefficient of 0.20, and the error term €x,t. This equation captures the relationship between Xt and its past values, as well as the influence of Yt-1 and the random component €x,t.
Similarly, for Yt, the equation Yt = 0.50Xt-1 - 0.20Yt-1 + Ey,t shows that the current value of Yt depends on its lagged value (Yt-1) with a coefficient of -0.20, the lagged value of Xt (Xt-1) with a coefficient of 0.50, and the error term Ey,t. This equation represents the relationship between Yt and its lagged values, as well as the impact of Xt-1 and the error term Ey,t.
By estimating the parameters of this VAR(1) model, we can analyze the short-term dynamics between Xt and Yt and understand how changes in one variable affect the other. The coefficients provide information about the strength and direction of these relationships.
It is worth noting that the error terms €x,t and Ey,t capture the unexplained or random variations in the model. They represent the portion of the variables' behavior that is not accounted for by the lagged values and coefficients. These error terms are typically assumed to be independent and identically distributed.
In conclusion, the given VAR(1) model allows for the analysis of the interdependencies between Xt and Yt, providing insights into their short-term dynamics.
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Keynesian economists ________. A) observe that prices respond slowly to changes in supply and demand B) believe that the classical dichotomy does not hold in the short run C) believe that monetary policy affect aggregate output and the real interest rate D) all of the above
Answer:
The choose D.All of the above
I hope I helped you^_^
Is when the interest on a loan or investment is calculated only on the amount initially invested or loaned?
The term used for the calculation of the interest on a loan or investment that is only calculated on the amount initially invested or loaned is called Simple interest. Simple interest is a type of interest that is based solely on the initial amount of the principal and the interest rate. It is the most basic way to calculate interest on a loan or investment.
Simple interest is easy to calculate because it is based on a fixed percentage of the principal amount. The formula for calculating simple interest is:
Simple Interest = Principal x Rate x Time
Where:
Principal = the initial amount of the loan or investment
Rate = the interest rate, usually expressed as a percentage per year
Time = the length of time the loan or investment is held, usually expressed in years
The simple interest calculation method is often used for short-term loans and investments. It is also used for loans or investments that do not accrue interest on a regular basis. Simple interest is often used for personal loans, short-term business loans, and savings accounts.
In conclusion, simple interest is the term used for the calculation of the interest on a loan or investment that is only calculated on the amount initially invested or loaned.
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Fancy Nails cost formula for miscellaneous expenses is $30 per operating day plus $0.25 per client served. Fancy Nails' miscellaneous expense budget in a month when the business is going to be open for 25 days and they expect to serve a total of 2,400 clients is $______. (Enter your answer as a whole number.)
Answer:
2430.25
Explanation:
I hope it helps you
Based on the rate for the miscellaneous expenses, Fancy Nails' miscellaneous expenses for 25 days is $1,250.
What are the miscellaneous expenses for 25 days?Given the cost formula, the miscellaneous expenses will be:
= (Cost per operating day x Number of days) + (Cost per client x number of clients)
Solving gives:
= (30 x 25) + (0.25 x 2,000)
= 750 + 500
= $1,250
In conclusion, Fancy Nails will have miscellaneous expenses of $1,250.
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a company that is customizing both the product and the communications program for each unique market is using a(n) FITB marketing strategy.
Today, the key question is not whether to expand internationally, but rather how to adapt the idea of global marketing to each company and make it effective.
A worldwide marketing strategy is what?A global marketing strategy (GMS), which aims to coordinate a company's marketing initiatives throughout these markets, includes a number of different regions of the world. A GMS should be applicable in at least a few countries, while it need not be in all of them.
Using the globalization method, why is customization crucial?Even though a "one size fits all" standardized approach to global marketing may be effective, local clients may not find it appealing. Contrarily, by addressing specific needs, personalization can significantly improve the consumer experience and engagement.
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Art B. Traytor, a member of the American Arbitration Association and long-standing faculty member of the business school of a large university is heading out on the next plane for Detroit, Michigan where he will serve as an arbitrator between members of the United Auto Workers union and management of a major auto manufacturer. His responsibilities will deal with:
Art B. Traytor will serve as an arbitrator between members of the United Auto Workers union and management of a major auto manufacturer, where his responsibilities will deal with resolving disputes between both parties.
As an arbitrator, Art B. Traytor will have the responsibility to objectively listen to the arguments of both the United Auto Workers union and the management of the major auto manufacturer. He will then analyze the arguments and evidence presented to him and make a final decision that will be binding for both parties. His goal will be to resolve the disputes between the parties in a fair and impartial manner, following the rules and regulations of the American Arbitration Association. Through his expertise and knowledge, Art B. Traytor will provide a resolution that is satisfactory for both parties, ultimately helping them to move forward and continue working towards their goals.
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The journal entry a company uses to record accrued vacation privileges for its employees at the end of the year is:.
The record of accrued vacation privileges in Journal entry will includes a Debit of Cash& Interest Expense and Credit of Notes Payable
What is a Journal entry?The Journal entry helps to record all basic financial transaction.
In conclusion, the record of accrued vacation privileges in Journal entry will includes a Debit of Cash& Interest Expense and Credit of Notes Payable
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I’LL GIVE 100 POINTS!!
PLZ HELP NEED ANSWERS WITHIN 24 HOURS!!!
UNIT 5
Critical Thinking Questions
Please complete the following questions. Use a word processor to complete your work. Remember to use complete sentences and include both the questions and answers when you submit your work.
Submit your work as a file attachment using the dropbox.
The answers to the Critical Thinking Questions are worth 10 points.
1. Why do professional and ethical standards exist in marketing? Analyze and explain what these standards are and how they impact marketing in business.
2. What role do ethics play in the workplace? Identify and describe several scenarios that illustrate and help to explain the significance of ethics in the workplace.
Answer:
The principle of professionalism is a standard of personal conduct by a professional in his business dealings. While guidelines for acceptable and expected behavior vary from industry to industry, personal principles typically focus on ethics, code of conduct, appropriate personal interactions and workplace integrity.
Explanation:
plz mark me at brainliest
if one were to consume an entire pickle should they run a pickle consuming business
Answer:
no...................
Explanation:
lol
Answer:
no
Explanation:
cause like? It would be extremely hard to get investors to invest when you can only consume one pickle at a time, try 5
bema gold is an exploration and production company that trades on the toronto stock exchange. assume that when purchased by an international investor the stock's price and the exchange rate were cad5 and cad1.0/usd0.72 respectively. at selling time, one year after the purchase date, they were cad6 and cad1.0/usd1.0. calculate the u.s. investor's annual percentage rate of return in terms of the u.s. dollars.
The investor's annual percentage rate of return in terms of the U.S. dollars if the investor had sold CAD5, the principal investment amount at the same time that the stock was purchased, forward at the forward exchange rate of CAD1/USD.80 is 66.67%.
To calculate,
HPR = gain/pain
Gain = CAD6*($1/CAD 1.00)-CAD5*($0.72/CAD 0.64) = $6-$3.60 = $2.40
Pain = CAD5*($0.72/CAD 0.64) = $3.60
HPR = $2.40/$3.60 = 66.67%
The annual rate of return is the percentage change in an investment's value. For instance, if you assume a 10% annual rate of return, you are assuming that the value of your investment will rise by 10% each year.
A return in finance is a profit on an investment. It includes any change in the investment's value and/or cash flows received by the investor, such as interest payments, coupons, cash dividends, stock dividends, or the payoff from a derivative or structured product.
Most investors consider an average annual rate of return of 10% or higher to be a good ROI for long-term stock market investments. Keep in mind, however, that this is an average.
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as a business within the company, hr has three product lines, one of which involves contributing to the company's strategy by understanding how hr can provide a competitive advantage. this is known as .
As the product lines involves contributing to the company's strategy by understanding how hr can provide a competitive advantage, this is known as being a strategic partner.
What is a strategic partner?These are partners involves in the sharing of resources to help all involved succeed. They are usually non-competing businesses and often share both the risks and rewards of the decisions of both companies.
Most time, the ultimate goal of the strategic partnership is to create value for each company by offering information, services and other resources that the other firm either has no access to or could only access through some form of financial exchange.
Therefore, this strategy is known as being a strategic partner.
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The managerial function of leading: is a part of the planning process. involves monitoring the organization s progress toward its goals. is the set of processes used to get members of an organization to work together. involves setting an organization s goals and deciding how best to achieve them.
Answer:
is the set of processes used to get members of an organization to work together.
Explanation:
Management can be defined as a strategic process which typically involves analyzing, planning supervising, organizing, controlling and coordination of employees and business activities in order to successfully achieve organizational goals and objectives.
Generally, there are four (4) main components associated with the management of business activities and employees, these includes planning, organizing, leading and controlling.
The managerial function of leading is the set of processes used to get members of an organization to work together. Thus, leading a team of workers working in an organization simply involves communication, motivation, inspiration, direction, guidance and support of these employees in order to enhance their level of output or production at all times.
The managerial function of leading: is a part of the planning process is the set of processes used to get members of an organization to work together, third option is correct.
In order to successfully achieve organizational goals and objectives, management is often characterized as a strategic process that involves analysis, planning, supervision, organizing, regulating, and coordinating of personnel and business operations.
The management of corporate operations and personnel generally consists of four key elements: planning, organizing, leading, and controlling.
The collection of procedures used to get team members in an organization to collaborate is known as the management function of leadership. So, managing a group of people in an organization simply entails communicating with them, inspiring them, directing them, guiding them, and supporting them so that their output or production is always at a higher level.
Thus, third option is correct.
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What is the the effect on the foreign price with a combined domestic production subsidy and consumption tax applied by a small country on the same good at the same level?
Answer:
The effect these factor will have on Import is that it will lower Imports and decrease in imports = Increase in foreign prices
Explanation:
The effect on the foreign price when there is a combined domestic production subsidy and consumption tax applied on a good at the same level
i) when consumption tax is applied : The consumer price will increase by the amount of the tax and the demand for the good will decrease while the producer price will remain the same
ii) when production subsidy is applied : producer price will increase while the consumer price will remain unchanged
when they are both set at the same level ( i.e. consumption tax and production subsidy ) The producer price = consumer price
The effect these factors will have on Import is that it will lower Imports and decrease in imports = Increase in foreign prices
Dell Computer provides inner city schools with free computers and wireless Internet access. This is an example of ________.
A.) personal selling
B.) creative selling
C.) sales promotion
D.) public relations
Dell Computer providing inner city schools with free computers and wireless Internet access is an example of public relations.
Public relations (option D) refers to the strategic communication efforts undertaken by an organization to build and maintain positive relationships with the public, including customers, stakeholders, and the community.
Dell Computer's initiative of providing free computers and wireless Internet access to inner city schools aligns with the objectives of public relations.
By offering these resources to schools in need,
Dell Computer demonstrates its commitment to corporate social responsibility and community engagement.
This action helps to enhance the company's reputation, generate positive publicity, and build goodwill among the public.
While personal selling (option A) and creative selling (option B) are related to sales efforts and techniques to persuade customers, the given scenario does not specifically involve a sales transaction or selling activities.
Sales promotion (option C) typically involves short-term incentives or promotional activities to stimulate sales, but the provision of free computers and Internet access to schools is more aligned with a broader public relations strategy.
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a strategy where companies cooperate and compete at the same time with companies in its value net
Co-Opetition strategy where companies cooperate and compete at the same time with companies in its value net Coopetition or co-opetition, also known as cooperative competition
co-opertition, is a term that was created to characterize this type of competition. A combination of the words collaboration and rivalry is coopetition. Game theory, a branch of science that gained increased recognition after the 1944 publication of the book Theory of Games and Economic Behavior and the studies of John Forbes Nash on non-cooperative games, has provided basic descriptions of competitive structures. Coopetition can take place at the intra- or inter-organizational levels. Cooptition, the term, and its variations have been coined several times throughout history. It was first used in 1913 to characterize the interactions between close-knit independent dealers of the Sealshipt Oyster System, who were told to collaborate for the system's profit while competing with one another for consumers.
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The cooking oil has a demand function of Q = 865 - 4.6P and supply function of Q = 2P - 120. Due to world CPO (crude palm oil) prices increasing, the price of cooking oil keeps increasing.
To protect consumers, the government sets a price ceiling at P = $ 89/unit.
A. Calculate the quantity supplied when P = price ceilings!
B. If blackmarkets exists, calculate the maximum profit of black marketers!
(Notes: use 3 digits after decimal point)
The maximum profit of black marketers is $ 5,969.77.
A. The price ceiling is P = $ 89/unit. For supply function Q = 2P - 12
0When P = 89, Q = 2 (89) - 120 = 58 units
Therefore, the quantity supplied when P = price ceiling is 58 units.
B. Black market operates above the price ceiling, where P > $ 89.
The equilibrium price and quantity are calculated as:
Qd = Qs, therefore
865 - 4.6P = 2P - 120P
= $ 155.22Q
= 865 - 4.6(155.22)
= 95.07 units
Since the price ceiling is below the equilibrium price, there will be a shortage of cooking oil. Black marketers are able to take advantage of the shortage and increase the price of cooking oil.
The maximum profit of black marketers is the difference between the equilibrium price and the price ceiling multiplied by the quantity demanded at the equilibrium price.
Substitute the values in the above formula to get:
Maximum profit of black marketers = (155.22 - 89) × 95.07
= 5969.77
The maximum profit of black marketers is $ 5,969.77.
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11-M.2 MASTERY PROBLEM (Review of Chapters 9, 10, and 11), p.
340
Journalizing and posting transactions
Journalizing is the systematic filing of transactions in the right journals. Every incident is documented with double-entry is corresponded in an opposite entry as well.
Journalizing transactionsOnce one's firm earns or spends money, post the transaction in at least two different accounts – a debit and a credit account. This is called the double-entry method.
Posting transaction is the transferring of the data one has recorded in journaling to ledger accounts
Therefore, the two concepts are as defined above.
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The agency of the united states government that oversees the u. S. Financial markets is the.
The agency of the united states government that oversees the U.S. Financial markets is the Securities and Exchange Commission (SEC).
Discuss Security Exchange Commission.
The Securities and Exchange Commission (SEC) is the national government regulatory agency charged with supervision over the corporate sector, the capital market participants, and the securities and investment instruments market, and the protection of the investing public.
It was founded on October 26, 1936 by Commonwealth Act (CA) 83. Subsequent laws were enacted to encourage investments and more active public participation in the affairs of private corporations and enterprises, and to broaden the Commission’s mandates.
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These activities on the statement of cash flows represent the cash flows that arise out of notes payable. a.) Investing Activities
b.) Financing Activities
c.) Operating Activities
d.) Earnings Activities
These activities on the statement of cash flows represent the cash flows that arise out of notes payable c.) Operating Activities.
Operating activities are really the things a business undertakes to consistently advertise its goods and services. Non-operating activities are such occurrences that may have an impact on sales, costs, or cash flow but are unrelated to the regular, main activity of the company. Operational actions consist of: deciding on a plan.
The tasks a company performs that are directly relevant to offering its products and/or services here to market are referred to as operating activities. A product or service is manufactured, distributed, marketed, and sold. Those are the company's primary commercial activities.
The first section of a company's financial statement is the cash flow by operating operations portion. It is used to describe how a business obtains money from ongoing, routine commercial operations, such as sales and manufacturing.
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References that employers trust for the most accurate reporting include
a. friends
b relatives
C. counselors
d. parents
Answer: counselors
Explanation:
References that employers trust for the most accurate reporting include counselors. Employers don't trust the friends, relatives and parents of the prospective employees or employees for an accurate report because employers believe that they're not professional enough and due to their closeness to the employee, they may give false information in order to put the employee at an advantage. Employers see counselors as being more professional and will give the right informations.
It should be noted that in a case whereby a candidate performs well in his or her job tests and interviews and has a positive recommendation from his or her references together, the person has a high chance of being employed.
Answer:
C. Counselors.
Explanation:
Did the quiz
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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