express authority for an agent can be given either orally or in writing. group of answer choices true false

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Answer 1

The given statement  "Express authority for an agent can be given either orally or in writing" is True because Express authority refers to the specific powers or tasks granted to an agent by the principal (the person who authorizes the agent to act on their behalf).

This authority can be communicated through written documents, such as contracts, or verbally through clear instructions. Oral express authority is often used in situations where a quick decision is necessary, or when the task assigned to the agent is relatively simple and doesn't require extensive documentation.

However, it is important to note that some jurisdictions may require certain types of express authority to be in writing, especially for more significant transactions, like buying or selling real estate. Written express authority, on the other hand, is generally used for more complex or long-term agency relationships. Written agreements provide a clear record of the agent's authority and can help avoid misunderstandings or disputes between the principal and the agent.



In conclusion, express authority for an agent can be given either orally or in writing, depending on the circumstances and the level of detail required for the agent's tasks. Both methods are valid ways to establish an agency relationship, but it is essential to be aware of any legal requirements in your jurisdiction.

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Related Questions

the company you valued has an equity value of $890 million. you discover the company has a minority passive stake with a book value of $12 million and a market (price) to book ratio of 3.8 for that industry. the company also has a majority active position with a book value of minority interest of $10.5 million with an industry market (price) to book of 2.2. the initial financial statements were fully consolidated. what should be the new valuation of equity taking into account these holdings? (3 points)

Answers

To calculate the profits from their investments in other businesses, the equity method of accounting is employed. On its financial  statement's investment section, the company discloses the money earned.

What information ought to be presented in consolidated financial statements?

The financial statements for the entire group are consolidated. They stand for the entire main corporation as well as all of its managed subsidiaries. The income statement, cash flow statement, and balance sheet are all three essential financial statements that are included.

What are consolidation's equity approach and cost method?

By using the cost approach, dividends are recorded as income for the investor and the investment is recorded as an asset. According to the equity method, the investment is recorded as an asset, more particularly as an investment in partners or affiliates.

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select the correct answer below: the level of gdp in the economy was determined by supply. the level of gdp in the economy was determined by private domestic investment. supply is of primary importance in determining the size of the economy. none of the above.

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Option D is correct. According to Keynes, the level of GDP in the economy was not determined by supply or private domestic investment alone.

Keynes argued that supply and private domestic investment alone do not control the amount of GDP in the economy. Instead, he contended that the level of GDP in the economy is mostly determined by aggregate demand, which comprises investment, government, and consumer expenditure.

At times of recession or inflation, he thought that government action, like as fiscal and monetary policy, may be utilised to stabilize the economy and encourage economic growth.

According to Keynes, if private investment falls off during a recession or depression, this could lower aggregate demand and further slowdown economic activity. This could result in a "liquidity trap," a downward spiral of decreased economic activity and declining demand.

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The full question is:

According to Keynes,

Select the correct answer below:

a) the level of GDP in the economy was determined by supply.

b) the level of GDP in the economy was determined by private domestic investment.

c) supply is of primary importance in determining the size of the economy.

d) none of the above.

the productivity gains achieved by specialization are due to part 2 a. scarcity. b. lower opportunity costs from switching production from one good to another. c. comparative advantage. d. absolute advantage.

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The productivity gains achieved by specialization are primarily due to lower opportunity costs, comparative advantage, and absolute advantage.

a) Scarcity is not directly responsible for productivity gains from specialization. Scarcity refers to the limited availability of resources, which can lead to increased production costs or reduced production capacity. While scarcity can encourage specialization, it does not guarantee productivity gains.

b) Lower opportunity costs from switching production from one good to another are a key factor in productivity gains from specialization. When a country or individual specializes in producing a certain good, they can allocate more resources and time to that specific production, leading to increased efficiency and output. This, in turn, lowers the opportunity cost of producing that good, as resources are used more effectively and the cost of switching production is reduced.

c) Comparative advantage is another essential aspect of productivity gains from specialization. Comparative advantage refers to the ability of an individual or country to produce a good or service at a lower opportunity cost than another producer. By specializing in goods with a comparative advantage, countries and individuals can maximize their overall production and trade with others to obtain goods in which they do not have a comparative advantage.

d) Absolute advantage also plays a role in productivity gains from specialization. Absolute advantage refers to the ability of an individual or country to produce a good or service using fewer resources than another producer. Specializing in goods with an absolute advantage allows producers to increase their output, leading to overall productivity gains in the economy.

In summary, productivity gains achieved by specialization are due to lower opportunity costs, comparative advantage, and absolute advantage, which contribute to increased efficiency, optimal resource allocation, and higher overall production.

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what are the legal requirements that an organization adopt a standard based on what a prudent organization should do, and then maintain that standard? question 6 options: certification and accreditation best practices due care and due diligence baselining and benchmarking

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The legal requirements that an organization adopt a standard based on what a prudent organization should do, and then maintain that standard are due care and due diligence.

Due care is the responsibility of an organization to perform its duty in a responsible and careful manner. Due care requires that the organization take the necessary steps to safeguard the interest of its stakeholders, including employees, customers, and suppliers.Due diligence is the process of assessing the suitability of an organization's standard for the purpose it is being used.

Due diligence requires that the organization perform a thorough evaluation of the standard's suitability, based on its objectives, requirements, and constraints.Certification and accreditation are the processes of verifying that an organization's standard meets the requirements of a particular industry or regulatory agency. Certification and accreditation provide an external validation of an organization's standard, which can be used to establish credibility with stakeholders.

Best practices are the established standards for a particular industry or application. Best practices provide guidance on how to achieve the desired outcome, based on the experience and knowledge of the industry experts.Baselining and Baselining and benchmarking are the processes of establishing a baseline or benchmark for the organization's standard. Baselining involves establishing a starting point for the organization's standard, while benchmarking involves comparing the organization's standard to the best practices and industry standards.

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korbel champagne is seeking international market entry. one if its top criteria for choosing a country to enter is a probusiness government policy. you would advise korbel champagne to enter multiple choice argentina, which has increased its interest rate on loans to foreign entrants from 15 percent to 19 percent. germany, because the european union has imposed a 16 percent tariff on the import of agricultural produce. australia, which recently introduced a permanent employer-sponsored visa program for skilled manpower. south africa, which now levies a per metric ton carbon tax on electricity and a per liter surcharge on water. china, whose government favors partial local ownership of foreign-owned companies.

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Based on the information provided, I would advise Korbel Champagne to enter Australia due to its pro-business government policy. Here option C is the correct answer.

A pro-business government policy is one that supports and encourages the growth and development of businesses. This can include measures such as reducing regulatory barriers to entry, providing incentives for investment and innovation, and promoting a stable and predictable business environment.

In this case, Australia’s introduction of a permanent employer-sponsored visa program for skilled manpower can be seen as a pro-business policy. This program makes it easier for companies to attract and retain skilled workers from overseas, which can help to support the growth and competitiveness of businesses operating in Australia.

In contrast, the other countries mentioned in the question have implemented policies that may be less favorable to businesses. For example, Argentina has increased its interest rate on loans to foreign entrants, Germany has imposed a tariff on the import of agricultural produce, South Africa has introduced a carbon tax and a surcharge on water, and China favors partial local ownership of foreign-owned companies. These policies may create additional costs or barriers to entry for businesses seeking to enter these markets.

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Complete question:

korbel champagne is seeking international market entry. one if its top criteria for choosing a country to enter is a probusiness government policy. you would advise korbel champagne to enter multiple choice

A - argentina, which has increased its interest rate on loans to foreign entrants from 15 percent to 19 percent.

B - germany, because the european union has imposed a 16 percent tariff on the import of agricultural produce.

C - australia, which recently introduced a permanent employer-sponsored visa program for skilled manpower.

D - south africa, which now levies a per metric ton carbon tax on electricity and a per liter surcharge on water.

E - china, whose government favors partial local ownership of foreign-owned companies.

a perfectly elastic supply curve is: upward sloping to the right. downward sloping to the left. horizontal. vertical.

Answers

A perfectly elastic supply curve is horizontal. The answer is OPTION C

It is said that a horizontal supply curve is completely elastic. The longer the time period under consideration, the more options producers have for adjusting to price changes, so the price elasticity of supply is higher. If the quantity provided is zero below a certain price and infinite above that price, then the supply is completely elastic.

The supply trajectory that is absolutely elastic is a horizontal line. The demand slope is horizontal and straight when it is perfectly elastic. This is because the quantity requested at the current price is infinite; even a small change in the price causes the quantity demanded to become infinite, resulting in a flattening of the curve.

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which of the following is not true regarding the natural rate of unemployment? group of answer choices the natural rate of unemployment equals the sum of the frictional and structural rates. if the economy is operating at the natural rate of unemployment, cyclical unemployment is equal to zero. the natural rate of unemployment correlates positively with the level of gdp growth in an economy. the actual rate of unemployment varies around the natural rate over time.

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The number of unemployed people as a percentage of the workforce is shown by the Unemployment rate. This is variation C.

The normal joblessness rate is equivalent to frictional joblessness and underlying joblessness.

When the economy is producing full employment, the unemployment rate is known as the natural rate. At the point when the economy is in downturn, the ongoing joblessness rate is higher than the normal joblessness rate.

The current unemployment rate is lower than the natural rate during the boom. The demand side, i. H. from the employer, and the supply side, i. H. from the employee, both contribute to unemployment.

issues:

The average rate of unemployment is _.

a. cyclical unemployment less structural unemployment.

b. frictional joblessness in addition to recurrent joblessness.

c. frictional joblessness in addition to primary joblessness.

d. frictional joblessness in addition to negligibly alluring laborers.

e. recurrent joblessness in addition to primary joblessness.

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nora is in the market for a new hd television. she has spent quite a bit of time gathering information and thinking about the purchase. she has asked her friends for opinions about the models they own and is happy that she has a wide variety of models from which to choose. nora is most likely what type of adopter? multiple choice innovator early adopter laggard

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Nora is most likely an early adopter. Early adopters tend to be more informed than the average consumer and actively seek out information and opinions from others before making a purchase decision.

They are also willing to take some risks and try out new products, but still prefer to wait until the product has been on the market for a little while and the initial kinks have been worked out. Nora's behavior of gathering information and seeking opinions from friends is consistent with the characteristics of an early adopter.

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Full Question ;

Nora is in the market for a new HD television. She has spent quite a bit of time gathering information and thinking about the purchase. She has asked her friends for opinions about the models they own and is happy that there are a lot of models to choose from. Nora is most likely what type of adopter?

before listing their home for sale, it is a good idea for sellers to: group of answer choices repaint the exterior a bright color remodel the kitchen remove small valuable items from the home move the fragile and expensive furniture into the main living areas

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Answer:

Before listing their home for sale, it is a good idea for sellers to remove small valuable items from the home. This is because when prospective buyers visit the home, they may be tempted to take small items as a souvenir or to test their luck. Additionally, small valuable items can be distracting and take away from the overall aesthetic of the home. It is not necessarily a good idea to repaint the exterior a bright color, as this may not appeal to all prospective buyers. Remodeling the kitchen can be a good idea if it needs updating, but it can also be expensive and may not necessarily increase the value of the home. Moving fragile and expensive furniture into the main living areas can be helpful for showcasing it, but it's not a necessary step for all sellers.

Before listing their home for sale, it is a good idea for sellers to remove small valuable items from the home. This ensures the safety of your belongings and helps potential buyers focus on the features of the home.

To prepare your home for sale, follow these steps:


1. Declutter and depersonalize the space to allow potential buyers to envision themselves living in the home.
2. Remove small valuable items, such as jewelry or personal documents, to prevent theft during open houses and showings.
3. Consider removing fragile and expensive furniture from the main living areas to prevent accidental damage and create a more spacious appearance.
4. If needed, repaint the exterior a neutral color to enhance curb appeal, as bright colors may not appeal to all buyers.
5. Remodeling the kitchen can be a significant investment and may not always yield a high return, so consult with a real estate agent to determine if it's necessary in your specific situation.

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look at your expenses: What are the needs and what are the wants?​

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Needs and wants are essentially the little different things.

What are wants and needs?

The necessities of daily life, such as food, clothing, and sleep, are what we consider to be necessities because without them, we cannot survive. In contrast, wants are the things that we desire occasionally. desire or want for items that enhance quality of life, such as a fancy car, a sofa set, a dining table, etc.

Need is defined as a requirement for survival and function. A desire is something that can improve your quality of life. According to these standards, a need entails access to food, clothing, shelter, and healthcare, whereas a want entails everything else.

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on september 1, 2024, sam's shoe company issued $350,000 of 8% bonds. the bonds pay interest semiannually on january 1 and july 1 of each year. the bonds were sold at the face amount. how much cash did sam's receive upon sale of the bonds?

Answers

Sam's received $350,000 cash upon sale of the bonds.

The face amount of the bonds is $350,000, and they were sold at the face amount. This means that Sam's received the full face value of the bonds in cash upon sale.

The fact that the bonds pay interest semiannually on January 1 and July 1 of each year is irrelevant to the amount of cash received upon sale, as this only affects the timing and amount of interest payments that Sam's will receive in the future. Therefore, the answer is simply the face value of the bonds, which is $350,000.

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common-law standards for determining third parties that can successfully sue auditors for ordinary negligence include

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Common-law standards for determining third parties that can successfully sue auditors for ordinary negligence include the Ultramares doctrine, the Restatement of Torts approach, and the foreseeable users approach.

These standards help establish whether a third party has legal standing to sue an auditor in cases of ordinary negligence.

Auditors are professionals who are hired to provide an objective and independent opinion on a company's financial statements. In performing this duty, auditors owe a duty of care to the company's shareholders, who rely on the accuracy of the financial statements to make informed decisions.

However, in certain situations, third parties who are not shareholders may also suffer harm as a result of an auditor's negligence, such as creditors or potential investors.

The question then arises as to whether these third parties have legal standing to sue an auditor for ordinary negligence.

Common-law standards have been established to determine whether third parties have such standing, including the Ultramares doctrine, the Restatement of Torts approach, and the foreseeable users approach.

The Ultramares doctrine, which originated from a 1931 court case, limits the ability of third parties to sue auditors for negligence to those parties who the auditor knows will rely on the financial statements. Under this doctrine, an auditor owes a duty of care only to those parties with whom the auditor has privity of contract or those parties who the auditor knows will rely on the financial statements.

This standard has been criticized for being too restrictive, as it limits the ability of third parties to recover damages for harm caused by an auditor's negligence.

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the downward-sloping portion of the long-run average cost curve is a result of multiple choice economies of scale. constant returns to scale. diseconomies of scale. decreasing marginal productivity.

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In economics, the long-run average cost (LRAC) curve is a graphical representation of the relationship between the average cost per unit of output and the level of output over a long period of time.

It demonstrates the lowest possible average cost at which a firm may produce any given quantity of output in the long run. The long-run average cost curve is U-shaped, with a decreasing segment and an increasing segment, indicating the existence of economies of scale and diseconomies of scale, respectively. As a result, the downward -sloping portion of the long-run average cost curve is a result of decreasing marginal productivity. Marginal productivity is a measure of the rate at which an additional worker contributes to output.

Diminishing marginal productivity occurs when adding more workers to a fixed amount of capital leads to a smaller increase in output per worker. This causes the average cost to rise, resulting in the downward slope of the long-run average cost curve.

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a eurobond issue is denominated in a particular currency but sold to investors in national capital markets other than the country that issued the denominating currency true false

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True. A Eurobond issue is a bond denominated in a currency that is different from the currency of the country where it is issued.

These bonds are sold to investors in national capital markets other than the country that issued the denominating currency. Eurobonds are often issued by international corporations or governments to raise funds in a foreign currency. This allows issuers to tap into a broader pool of investors and potentially obtain better financing terms.

Eurobonds are issued in various currencies, including US dollars, euros, British pounds, and Japanese yen. They are typically sold to investors in multiple countries, with the issuing company or government working with a team of investment banks to market and sell the bonds.

One of the advantages of Eurobond issuance is that it can help to diversify a company or government's funding sources, by tapping into a wider range of international investors. Eurobonds may also offer more favorable interest rates or terms than would be available in the domestic market, depending on prevailing market conditions and investor demand.

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the single largest category of means of payment in the united states is: group of answer choices currency. reserves held at the fed. checkable deposits. savings deposits.

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The single largest category of means of payment in the united states is option (c) checkable deposits

In the United States, checkable deposits are the most commonly used means of payment. Checkable deposits refer to any deposits held in a bank account that can be withdrawn or transferred by a check, debit card, or any other electronic payment method.

These types of deposits are typically used for day-to-day transactions, such as paying bills, buying groceries, or making purchases online.

Currency, which is option a), is also a widely used means of payment, but it is not the largest category. Reserves held at the Fed, which is option b), are not used as a means of payment by individuals or households, but rather by banks for interbank transactions and to meet reserve requirements.

Savings deposits, which is option d), are also not used as frequently for day-to-day transactions, as they are designed for long-term savings and typically have restrictions on the number of withdrawals per month.

Therefore, the correct option is (c) checkable deposits

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debit cards are examples of question 15 options: electronic funds transfer systems. commodity monies. modern barter systems. legal tender in the united states.

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Examples of electronic funds transfer methods are debit cards. Rupay Platinum Debit Card by Axis, EasyShop Platinum Debit Card-VISA by HDFC, VISA Classic Debit Card by Axis.

Yet we must understand that these are two distinct cards. A PIN-based card with the sole purpose of being used in ATMs is an ATM card. On the other hand, a debit card serves a far wider range of purposes. They are accepted for transactions in many locations, including shops, restaurants, online, and ATMs.

The Visa debit card is maybe the most popular kind of debit card in India and internationally. For all types of online payments and electronic transactions, these cards are widely accepted.

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a company faces two kinds of risk. an example of a firm-specific risk is the risk that a competitor might enter its market and take some of its customers. an example of a market risk is the risk that the economy might enter a recession, reducing sales. which of these two risks would more likely cause the company's shareholders to demand a higher return?

Answers

As stated in the text, market risk cannot be prevented because it will impact any firm operating in a given market, but firm-specific risk can be.

Because it cannot manage market dynamics, the firm has no control over market risk. On the other side, a new firm-specific risk, such as a new competitor joining the market, can be addressed and shareholders may demand better returns. The shareholders of the company would therefore be more likely to request a larger return in the event of a firm-specific risk. Market risk is the possibility that an individual, company, or other entity will experience financial loss as a result of circumstances that affect how well investments perform generally in the financial markets. Market risk refers to the potential for liquid instruments to suffer losses as a result of negative market changes. A few instances of market risk include shifts in interest rates, fluctuations in foreign exchange rates, and changes in the price of commodities or stocks. The risk of losing money due to unfavorable changes in interest rates or currency rates is known as market risk. Market risk is the threat posed by fluctuations in stock prices, commodity prices, interest rates, and exchange rates.

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walter wanted to be able to make decisions about issues that directly affected his department but in his corporation, the managers made all the decisions. so walter left the corporation and started his own firm. walter was looking for: a. personal satisfaction. b. independence. c. personal fulfilllment. d. financial rewards.

Answers

Walter left the corporation because he wanted to make decisions about issues that directly affected his department, which implies that he was seeking for option b. independence.

While it is possible that Walter may also be seeking other benefits, such as personal satisfaction, personal fulfillment, or financial rewards.

The main reason he left the corporation was to gain the ability to make decisions independently.

Which indicates his desire for greater autonomy and control over his work.

Therefore, Walter wanted to be able to make decisions about issues that directly affected his department represents option b. independence.

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a clear chain of command with all employees knowing who their supervisors are as well as whom they are responsible for is an example of a/an .

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A clear chain of command with all employees knowing who their supervisors are as well as whom they are responsible for is an example of a(n) Hierarchy.

A term used to describe an organization's organizational structure is "business hierarchy." Entry-level workers, mid-level workers, mid-level managers, senior managers, and executives, such as the CEO, are all included in this.

The subsumptive containment hierarchy and the compositional containment hierarchy are two different types of containment hierarchies. A compositional hierarchy is "composed" of its children, whereas a subsumptive hierarchy "subsumes" its kids. Additionally, a hierarchy may be both compositional and subsumptive.

In general, hierarchy is a term used to describe an organizational structure in which items are ranked in a particular way, typically based on levels of importance.

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ralph owns a $50,000 nonparticipating whole life policy. its cash value has accumulated to $15,000, and he has paid a total of $9,500 in premiums. if he surrenders the policy for its cash value, how will it be taxed? a)ralph will receive the $15,000 as taxable income. b)ralph will receive $9,500 tax-free; the $5,500 balance is taxable as income. c)ralph will receive the $15,000 tax-free. d)ralph will receive $5,500 tax-free; the $9,500 balance is taxable as income.

Answers

So option (d) is correct: Ralph will receive $5,500 tax-free, and the remaining $9,500 will be taxable as income.

If Ralph surrenders the policy for its cash value, the amount that will be taxable as income will depend on the policy's adjusted cost basis. The adjusted cost basis is the total amount of premiums paid into the policy, minus any dividends or withdrawals previously taken.

In this case, Ralph has paid a total of $9,500 in premiums, so his adjusted cost basis is $9,500. The policy's cash value has accumulated to $15,000, so the taxable amount is the difference between the cash value and the adjusted cost basis, which is $15,000 - $9,500 = $5,500.

Therefore, option (d) is correct: Ralph will receive $5,500 tax-free, and the remaining $9,500 will be taxable as income.

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the present value of the costs of financial distress increases as a firm does heavier leverage (with a larger debt ratio) because

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The present value of the costs of financial distress increases as a firm does heavier leverage (with a larger debt ratio) because the probability of default and/or bankruptcy is greater. Thus, the correct option is option A.

When a firm has more debt, it needs to make larger interest payments, which can strain its cash flow and make it more difficult to meet its financial obligations. As the debt ratio increases, the likelihood of the firm experiencing financial distress also increases, leading to higher costs associated with potential default or bankruptcy.

If a firm defaults or goes bankrupt, it will have to pay off its debt and possibly sell its assets at a lower price than their true value. This can lead to a loss for the firm's shareholders and creditors.Therefore, as the likelihood of default and/or bankruptcy increases, so does the present value of the costs of financial distress.

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Complete Question

The present value of the costs of financial distress increases with increases in the debt ratio because the:

a. probability of default and/or bankruptcy is greater

b. equity tax shield is depleted

c. present value of the interest tax shield is greater

d. expected return on assets increases


after christmas, when the holidays are over, stores will often reduce the price of remaining christmas trees and decorations because the demand for these products is at its lowest. this is an example of a(

Answers

After Christmas, when the holidays are over, stores will often reduce the price of remaining Christmas trees and decorations because the demand for these products is at its lowest. This is an example of a(n) supply and demand situation.

The market's prices for products and services are primarily influenced by supply and demand. The number of products or services produced and made available for sale is referred to as the supply, whereas the number of clients who wish to buy such products or services is referred to as the demand.

The equilibrium between supply and demand for goods and services is shown by the supply and demand graph. It is the time when the market has attained its balance. The quantity given and the quantity required are now equal. Therefore, it is true that the statement in the question serves as an illustration of a supply and demand issue.

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occurs when a firm decides to utilize other firms to perform value-creating activities that were previously performed in-house. group of answer choices offshoring a global strategy outsourcing a transnational strategy

Answers

Outsourcing occurs when a firm decides to utilize other firms to perform value-creating activities that were previously performed in-house. Option C is the correct answer.

Outsourcing is a practice in which a company hires a third-party contractor to conduct tasks that are normally done by company employees. Outsourcing entails the transfer of a business's internal operations to a third-party provider that is responsible for administering and operating the functions. Outsourcing allows firms to focus on their core competencies while reducing expenses and maximizing flexibility.

Value-creating activities are activities that add value to the product or service, such as research and development, marketing, distribution, and customer service, among others. It is possible to outsource value-creating activities in order to reduce expenses and boost competitiveness.

Correct answer is option C.

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what is the maximum amount a 55-year-oldn taxpayer and a 52-year-old spouse can put into a traditional or roth ira for 2019, assuming they earn 70,000 in total and are not participants in pension plans

Answers

For tax year 2019, the maximum contribution that a 55-year-old taxpayer and a 52-year-old spouse can make to a traditional or Roth IRA is $7,000 each, for a total of $14,000. This assumes that both individuals have earned income of at least $7,000 each, which is required to make the maximum contribution.

However, if the couple's modified adjusted gross income (MAGI) exceeds certain limits, the amount they can contribute to a Roth IRA may be reduced or eliminated. For tax year 2019, the contribution limit for a Roth IRA begins to phase out for couples filing jointly with a MAGI of $193,000, and is completely phased out at a MAGI of $203,000.

It is also worth noting that contributions to a traditional IRA may be tax-deductible, subject to certain conditions and limitations, while contributions to a Roth IRA are made with after-tax dollars and are not tax-deductible, but qualified withdrawals are tax-free.

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Name: ___________________________________________ Date: _________
FEDERAL INCOME TAX ONLINE ACTIVITY – During this lesson, you viewed many websites helpful for understanding and completing your income taxes. Now find another website with tax information and identify its features. Complete the following worksheet and submit it to your instructor.

Website address: __________________________________________________________________
Name of site: __________________________________________________________________
Author(s) or Publisher(s): _____________________________________________________________
How you found the site: ______________________________________________________________
__________________________________________________________________

Four useful features of the site:
A.________________________________________________________________
B.________________________________________________________________
C.________________________________________________________________
D.________________________________________________________________

Two things you learned about taxes from this site that you didn’t know before:
A.________________________________________________________________
B.________________________________________________________________

Do you think this is a trustworthy site? Why or why not?
__________________________________________________________________
__________________________________________________________________

Two suggestions for changes to this website that would make it better:
A.________________________________________________________________
B.________________________________________________________________

Answers

In order to find another website with tax information and identify its features, do the following:

What can be done to get a tax information?

1. Look for government websites: The IRS website is a good place to start for information on federal income taxes. You can also check state government websites for information on state income taxes.

2. Check reputable news sources: Major news outlets such as CNN, CNBC, and Forbes often have articles on tax-related topics. These articles are typically written by experts in the field and are a good source of information.

3. Consult tax professionals: If you have a tax accountant or financial advisor, they may be able to recommend a reliable website for tax information.

Once you have found a website, use the worksheet provided to evaluate its features and determine its reliability.

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a taxpayer purchased 100 shares of eastern corp. stock for $18,000 on april 1 of the prior year. on february 1 of the current year, 50 shares of eastern were sold for $7,000. fifteen days later, the taxpayer purchased 25 shares of eastern for $3,750. what is the amount of the taxpayer's recognized gain or loss?

Answers

To calculate the recognized gain or loss, we need to determine the cost basis of the shares that were sold and compare it to the amount realized from the sale.

The cost basis of the 50 shares that were sold on February 1 is calculated using the average cost method, which assumes that the shares sold came from the earliest purchase. Therefore, the cost basis of the 50 shares is:

(50/100) * $18,000 = $9,000

The amount realized from the sale of the 50 shares is $7,000. Therefore, the recognized loss is:

$7,000 - $9,000 = -$2,000

Since the recognized loss is negative, it means that there is no recognized gain or loss on the sale of the 50 shares. Instead, there is a loss that can be used to offset other gains or reduce taxable income.

The cost basis of the 25 shares that were purchased 15 days later is:

(25/100) * $18,000 = $4,500

Since the remaining 25 shares have not been sold, there is no recognized gain or loss on them yet.

Therefore, the amount of the taxpayer's recognized gain or loss is a loss of $2,000 on the sale of the 50 shares.

The amount of the taxpayer's recognized gain or loss is 750.$

The given problem can be solved as follows:

Purchased 100 shares of eastern corp. stock for $18,000 on April 1 of the prior year.

Cost per share = $18000/100 = $180.00

On February 1 of the current year, 50 shares of eastern were sold for $7,000.

Average cost per share for 100 shares = $180.00

Total cost of 100 shares = $18,000Total cost of 50 shares = $180.00 x 50 = $9,000

Total cost of remaining 50 shares = $18,000 - $9,000 = $9,000Total sale proceeds for 50 shares = $7,000

Gain or Loss = Sale Proceeds - Total cost of shares= $7,000 - $9,000= -$2,000

Since it is a loss, there is no recognition of a loss until all shares have been sold.Fifteen days later, the taxpayer purchased 25 shares of eastern for $3,750.

Average cost per share for 125 shares = $21,750 / 125 = $174.00 ($21,750 is obtained by adding $18,000 and $3750)

The cost of 25 shares purchased = 25 x $174.00 = $4,350Gain or loss on these 25 shares can be calculated as follows:

Sale price on these 25 shares = Cost + Gain$3,750 = $4,350 + GainGain = $3,750 - $4,350= -$600

Since the gain is negative, there is no recognition of a gain.

Total Gain/Loss= $0 - $2,000 - $600= -$2,600

There is a loss of $2,600, which is not recognized until all shares have been sold.

The recognized gain or loss is the gain or loss upon the sale of the final shares from the lot of 100 shares.

Total number of shares sold = 75 (50 shares sold initially and 25 shares sold later)

Total cost of shares = 100 x $180.00 = $18,000

Total cost of remaining shares = $18,000 - $9,000 - $4,350 = $4,650

Total proceeds from sale of shares = $7,000

Total recognized gain/loss = (Proceeds - Cost) x (Number of shares sold / Total number of shares)= ($7,000 - $4,650) x (75/100)= $2,350 x 0.75= $1,762.50

Therefore, the amount of the taxpayer's recognized gain or loss is $750.

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mac has been driving for almost thirty hours straight because he was promised a $1,000 bonus if he delivers his truckload of refrigerated roses by 5:00 the next morning. as mac drives through the night and gets progressively more tired, he is likely to experience:

Answers

Mac is at risk of experiencing various symptoms related to sleep deprivation and fatigue, including:

Decreased reaction time:

Reduced cognitive function

Reaction time is significantly slowed when a person is sleep deprived,

making it challenging to react quickly to unforeseen events on the road.

Reduced cognitive function: Sleep deprivation can affect one's ability to make decisions, solve problems, and recall information.

Mac may occasionally experience brief "microsleeps" or nod-offs, in which he temporarily loses consciousness.

Mood swings and irritability: Lack of sleep can result in these negative emotions as well as higher stress levels.

The effects of fatigue on vision can include blurriness or other visual disturbances.

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why is it important that not-for-profits coordinate their operating budgets with their capital budgets?

Answers

It is important that not-for-profits coordinate their operating budgets with their capital budgets to ensure that their resources are allocated effectively and efficiently.

This ensures that the organization's long-term financial goals are met, and that they are able to sustain themselves over time. The coordination of operating and capital budgets is particularly important for not-for-profit organizations because they often rely heavily on external funding sources, such as grants, donations, and other types of support.

By coordinating their budgets, not-for-profits can ensure that they are using their resources in a strategic and efficient way, and that they are making the best use of their available funds to achieve their goals. In addition to financial management considerations, coordination of operating and capital budgets is important for not-for-profits because it helps to ensure that the organization's goals and objectives are aligned with their available resources.

This means that the organization is better able to focus its efforts and resources on activities and initiatives that are most likely to achieve its mission and goals. This, in turn, can help to increase the organization's impact and effectiveness, and to build strong relationships with donors and other stakeholders who are invested in the organization's success.

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the cpi is more commonly used as a measure of inflation than the gdp deflator is because group of answer choices the cpi is easier to measure. the cpi is calculated more often than the gdp deflator is. the cpi better reflects the goods and services bought by consumers. the gdp deflator cannot be used to measure inflation.

Answers

The CPI (Consumer Price Index) is more commonly used as a measure of inflation than the GDP (Gross Domestic Product) deflator because the CPI better reflects the goods and services bought by consumers.

The CPI measures the changes in prices that consumers pay for a basket of goods and services, including food, housing, transportation, and medical care. In contrast, the GDP deflator measures the prices of all goods and services produced in an economy, including those purchased by businesses and the government. Additionally, the CPI is updated more frequently than the GDP deflator, providing a more current measure of inflation. While the GDP deflator can be used to measure inflation, it is less commonly used than the CPI.

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frank receives a proportionate current (nonliquidating) distribution from the aef partnership. the distribution consists of $10,000 cash and property (adjusted basis to the partnership of $54,000 and fair market value of $60,000). immediately before the distribution, frank's adjusted basis in the partnership interest was $50,000. his basis in the noncash property received is:

Answers

When Frank receives a proportionate current (nonliquidating) distribution from the AEF Partnership, the basis in the noncash property received is $40,000. Therefore, the correct option is B.

Non-liquidating distribution can be defined as a process in which a partner receives his share of partnership assets on a proportionate basis when he is in the process of retiring or selling his interest in the partnership. A non-liquidating distribution has no immediate impact on the partnership's operations, whereas a liquidating distribution usually indicates that the partnership is going out of business

The basis in the noncash property received by Frank in the proportionate current (nonliquidating) distribution from the AEF Partnership is:

Step 1: Determine Frank's basis reduction due to the cash distribution.

Frank's adjusted basis in the partnership interest before the distribution was $50,000. He received $10,000 in cash, so his basis is reduced by $10,000.

New basis in partnership interest = $50,000 - $10,000 = $40,000.

Step 2: Determine the basis of the noncash property received.

Frank's basis in the noncash property received is equal to his remaining basis in the partnership interest after the cash distribution. In this case, that is $40,000.

So, the basis in the noncash property received is b. $40,000.

Note: The question is incomplete. The complete question probably is: Frank receives a proportionate current (nonliquidating) distribution from the AEF Partnership. The distribution consists of $10,000 cash and property (adjusted basis to the partnership of $54,000 and fair market value of $60,000). Immediately before the distribution, Frank's adjusted basis in the partnership interest was $50,000. His basis in the noncash property received is: a. $0. b. $40,000 c. $50,000. d. $54,000. e. $60,000

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