Yes, there are planning techniques available to partnerships to avoid "lost basis" results. Qualified income offset is am example of it.
"Lost basis" occurs when the partnership's tax basis in its assets exceeds the partner's tax basis in their partnership interest, resulting in the inability to deduct partnership losses on their individual tax returns.
One technique to avoid lost basis is for the partnership to make a "qualified income offset" (QIO) election under Section 6226 of the Internal Revenue Code. This allows the partnership to reduce the amount of loss passed through to the partners by the amount of their positive tax basis in their partnership interest. The partnership can make this election on a year-by-year basis.
Another technique is for the partners to increase their tax basis in their partnership interests. This can be achieved through contributing additional capital to the partnership or by having the partnership distribute property with a higher tax basis than its fair market value to the partners. This allows the partners to increase their tax basis in the distributed property, which can be used to offset future partnership losses.
In addition, the partnership can consider restructuring its operations to generate more income or to minimize losses, which can help avoid lost basis results. This may involve changing the types of activities the partnership engages in or modifying its capital structure.
It is important for partnerships to work closely with their tax advisors to understand the rules governing tax basis and to implement planning techniques to avoid lost basis results.
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in an arithmetic progression U5=-1/2 and S7=21 find a, d and U9
Answer:
The value of a, d, and U9 is "\(\bold{ \frac{27}{2}, - \frac{7}{2}, \ and , - \frac{29}{2}}\)".
Explanation:
Given:
\(U_5=-\frac{1}{2}\\\\S_7=21\)
Find:
a, d, U9=?
formula:
\(T_n=a+(n-1)d\\\\S_n=\frac{n}{2}(2a+(n+1)d)\)
Solve:
\(\to U_5 = a+4d= -\frac{1}{2}\\\ \to 2a+8d= -1\\\ \to 2a= -1-8d....(a)\\\\ \to S_7 =\frac{7}{2}(2a+(7-1)d)\\\\ \to S_7 =\frac{7}{2}(2a+6d)\\\\ \to 21= \frac{7}{2} (2a+6d)\\\\ \ put \ the \ 2a \ value\\\\ \to 21= \frac{7}{2} ((-1-8d)+6d)\\\\ \to 21= \frac{7}{2} (-1-8d+6d)\\\\ \to 21= \frac{7}{2} (-1-2d)\\\\ \to \frac{21 \times 2}{7}= -1 -2d\\\\ \to 6 = -1 -2d\\\\ \to 2d=-7\\\\ \to d= -\frac{7}{2}\)
put the value of d in equation a:
\(\to 2a= -1-8 \times \frac{-7}{2}\\\\\to 2a= -1+ 28\\\\\to 2a= 27\\\\\to a =\frac{27}{2}\\\)
\(\to \bold{U_9 = a+8d}\\\\\)
put a and b value in above equation:
\(\to U_9 = \frac{27}{2}+8\times\frac{-7}{2} \\\\\to U_9 = \frac{27}{2}- 28\\\\\to U_9 = \frac{27-56}{2}\\\\\to U_9 = \frac{-29}{2}\\\\\)
the document filed with the state that begins the incorporation process in the majority of states is called the:
The document that begins the incorporation process in the majority of states is called the articles of incorporation. These articles of incorporation are filed with the state where the company wishes to be incorporated.
The process and requirements for incorporating a company vary from state to state, so it's important to research the specific state's laws and regulations before beginning the process. In general, the articles of incorporation will include important information about the company such as its name, purpose, and address. Once the articles of incorporation are filed and approved by the state, the company becomes a legal entity and can begin conducting business. Incorporating a business can provide many benefits such as limited liability protection and the ability to raise capital through the sale of stocks or bonds.
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When a customer tries to check out using his credit card, the charge is declined and he gets upset. The cashier sees that the card expired the month before. What should she say? A. "Sorry, but this card is expired. You can use cash instead. If you don't have any, there's an ATM not far from here." B. "I'm sorry, your card was declined-it's expired. You'll have to use a different card or form of payment instead." C. "It looks like this card expired recently. Do you have the replacement with you? Otherwise, we can try a different card if you'd like." D. "Did you know this card is expired? You might want to use a different form of payment instead."
As soon as the cashier notices that the card has expired, she says, "Sorry, but this card has expired you can use cash instead. If you don't have any, there's an ATM not far from here."
You may also pay with cash. Asking the client to cashier their card issuer (often via a toll-free number located on the back of their card) to investigate the potential issue is a preferable course of action. Once the transaction has been preapproved, you can try it again. Asking the client to contact their card issuer (often via a toll-free number located on the back of their card) to investigate the potential issue is a preferable course of action. Once the transaction has been preapproved, you can try it again.
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Which one of these items is NOT a processed material?
O Paper
O Steel
O Sand
O Glass
TRUE OR FALSE: A mathematics professor at a university would fall under both the Education and Training career cluster and the STEM career cluster.
Consider two countries, the United States and India, that trade with each other. Suppose that the productivity growth in the United States accelerates, but it remains the same in India. The following graph shows the supply and demand for the Indian rupee in the United States productivity. The vertical axis is the exchange rate of the rupee in terms of the dollar, and the horizontal axis is the quantity of rupees. Show how the change in productivity affects the equilibrium exchange rate by shifting one or both of the curves on the graph. Note: Select and drag one or both of the curves to the desired position. Curves will snap into position, so if you try to move a curve and it snaps back to its original position, just drag it a little farther. QUANTITY (Millions of rupees) As a result of the change in productivity, the U.S. dollar
the increase in productivity growth in the United States leads to a shift in the demand curve for the Indian rupee to the right, resulting in a higher equilibrium exchange rate.
As the productivity growth in the United States accelerates, its economy becomes more efficient and productive. This leads to an increase in demand for Indian goods and services, as the United States can afford to buy more. As a result, the demand curve for the Indian rupee shifts to the right, indicating that more dollars are needed to purchase the same quantity of rupees.
At the same time, the supply of rupees in the United States remains the same, as there is no change in productivity in India. Therefore, the supply curve for the Indian rupee stays in the same position.
The intersection of the new demand curve and the unchanged supply curve determines the new equilibrium exchange rate, which is a higher rate than before. This means that the value of the Indian rupee has appreciated relative to the U.S. dollar.
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What is MOST likely TRUE about intellectual property?
A.
It can be a tangible asset.
B.
It is impossible to steal.
C.
It can be invisible.
D.
It does not affect a company’s profits.
Answer:
The answer is most likely...
A. It can be a Tangible asset
Explanation:
Sorry I was late :l
beginning work-in-process is 6,400 units; 63,300 units completed, and ending work-in-process is 7,450 units, which are 100% complete for direct materials and 50% complete for conversion costs. the beginning wip inventory is 100% complete for direct materials and 50% complete for conversion.
The equivalent units of production for direct materials are 69,150, and for conversion costs are 65,925.The total equivalent units of production for direct materials are 69,150 (6,400 + 63,300), and for conversion costs, it is 65,925 (6,400 + 63,300 + 3,725).
Equivalent units of production are a measure used in process costing to account for partially completed units. In this scenario, we have three components to consider: beginning work-in-process (WIP), completed units, and ending WIP.
For direct materials, both the beginning WIP (6,400) and completed units (63,300) are fully processed, so they are counted as equivalent units.
For conversion costs, the beginning WIP (6,400) is 50% complete, so 50% of those units (3,200) are counted as equivalent units. The completed units (63,300) are fully processed. The ending WIP (7,450) is 50% complete, resulting in 3,725 equivalent units.
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The marketing concept is all about meeting the consumer's_____. Choose the best answer.
A) needs
B) Wants
C) Expectations
D) None of the above
Given the current status of the U.S. economy—a slow recovery from a severe, pandemic-induced economic downturn, relatively high unemployment, moderate inflation, and an enormous national debt level—what aggregate demand policy would you recommend as the single most important course of action needed to address the current status of the U.S. economy?
Why do you believe that your recommended course of action will be successful in improving the current performance level of the U.S. economy?
To address the current state of the U.S. economy, implementing expansionary fiscal policy through increased government spending and/or reduced taxes would be recommended. This can stimulate spending, boost aggregate demand, and improve economic performance.
Based on economic principles, during a slow recovery with high unemployment, a recommended aggregate demand policy would be an expansionary fiscal policy. This involves increasing government spending and/or reducing taxes to stimulate consumer and business spending, thus boosting aggregate demand.
Expanding government spending can create job opportunities, leading to increased employment levels. Reducing taxes puts more money in consumers' pockets, encouraging them to spend more, which can further stimulate economic activity. These measures aim to increase overall spending, leading to increased production, job creation, and economic growth.
The effectiveness of expansionary fiscal policy depends on various factors such as the magnitude of the stimulus, timing, and efficiency of spending. It also requires careful management to ensure fiscal sustainability and avoid excessive inflation or further accumulation of the national debt. Implementing such policies alongside measures to address structural issues and promote long-term economic growth can contribute to improving the overall performance of the U.S. economy.
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Apple store at New York must place an order for the Air Pods and the Air Pods Pro with an annual demand of 1000 nos. and 1200 nos. respectively. The holding cost for both types of Air pods is $10. The ordering cost is as given below. Air Pods - $100 Air Pods Pro - $75 If this store follows the EOQ model to place orders, determine for both the types a) Economic order quantity b) Time interval between orders (in days) c) Number of orders made in a year Assume that the store is operating throughout the year.
a) The (EOQ) for Air Pods is 141.42 units, and for Air Pods Pro is 134.16 units. b) The time interval between orders for Air Pods is 51.21 days, and for Air Pods Pro is 40.69 days. c) The number of orders made in a year for Air Pods is 7.07, and for Air Pods Pro is 8.95.
To determine the economic order quantity (EOQ), time interval between orders, and the number of orders made in a year, we can use the following formulas:
a) Economic Order Quantity (EOQ):
EOQ = √((2 * Annual Demand * Ordering Cost) / Holding Cost)
b) Time interval between orders (in days):
Time Interval = (EOQ / Annual Demand) * 365
c) Number of orders made in a year:
Number of Orders = Annual Demand / EOQ
Let's calculate these values for both Air Pods and Air Pods Pro:
For Air Pods:
Annual Demand = 1000
Ordering Cost = $100
Holding Cost = $10
a) EOQ for Air Pods:
EOQ = √((2 * 1000 * 100) / 10) = √(20000) = 141.42 (approx.)
b) Time interval between orders for Air Pods:
Time Interval = (141.42 / 1000) * 365 = 51.21 days (approx.)
c) Number of orders made in a year for Air Pods:
Number of Orders = 1000 / 141.42 = 7.07 (approx.)
For Air Pods Pro:
Annual Demand = 1200
Ordering Cost = $75
Holding Cost = $10
a) EOQ for Air Pods Pro:
EOQ = √((2 * 1200 * 75) / 10) = √(18000) = 134.16 (approx.)
b) Time interval between orders for Air Pods Pro:
Time Interval = (134.16 / 1200) * 365 = 40.69 days (approx.)
c) Number of orders made in a year for Air Pods Pro:
Number of Orders = 1200 / 134.16 = 8.95 (approx.)
Therefore, for the Apple store at New York:
a) The economic order quantity (EOQ) for Air Pods is approximately 141.42 units, and for Air Pods Pro is approximately 134.16 units.
b) The time interval between orders for Air Pods is approximately 51.21 days, and for Air Pods Pro is approximately 40.69 days.
c) The number of orders made in a year for Air Pods is approximately 7.07, and for Air Pods Pro is approximately 8.95.
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Question 2(Multiple Choice Worth 5 points)
(02.06 MC)
In general, what kind of people earn the most money?
O People with skills that are in high demand and high in supply
O People with skills that are in high demand but low in supply
O People with skills that are in low demand and low in supply
People with skills that are in low demand but high in supply
when a new product or service is launched, what type of pricing strategy attempts to attract customers quickly by offering a very low price at first?
A penetration strategy is one that attempts to attract customers quickly by initially offering a very low price. Thus, the correct answer is the Penetration strategy.
What is a Penetration strategy?A penetration strategy is a bold marketing approach that tries to build a significant market share for a new product. Marketers will provide a cheap price and conduct sales campaigns to increase the product's desirability. This strategy's goal is to convince clients to acquire the new product, therefore generating a market for it.
If customers are price sensitive, the penetration technique will work. The new cheap pricing will entice customers to buy. If the corporation later raises the price to generate a profit, demand may fall. The product must be of excellent quality for this technique to function. In the medium term, competitors may cut the pricing of their products, resulting in price wars.
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what's two examples of a direct competition?
Answer and Explanation:
Direct competition is a type of competition where two or more businesses offers the same kind of product and compete in the similar market.
The examples like dominos versus pizza hut in terms of food, HP versus Dell in terms of laptop
So in this examples they sell the same kind of products and compete each other
Based on the graph shown above, which of the following is the equallibrium quantity and price at which the compony should sell the truck
Based on the graph shown above, the following is the equilibrium quantity and price at which the company should sell the truck: option B. 300 trucks at $6 per truck
What is an equilibrium quantity and price?In economics, an equilibrium quantity and price refers to a state in which the quantity of a good or service that a seller is willing to supply is equal to the quantity that a buyer is willing to demand, and the price at which this transaction occurs is the equilibrium price. This is also known as market equilibrium.
At the equilibrium price, there is no surplus or shortage of the good or service, and the market is said to be in balance. If the price is higher than the equilibrium price, there will be a surplus of the good or service, and if the price is lower than the equilibrium price, there will be a shortage.
The equilibrium quantity and price are determined by the interaction of supply and demand in a market. When the supply and demand curves intersect, the equilibrium quantity and price are established.
Therefore, the correct answer is as given above
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The complete question goes thus:
A toy company created a new truck to offer to consumers.
Based on the graph shown above, which of the following is the equilibrium quantity and price at which the company should sell the truck?
A. 200 trucks at $8 per truck
B. 300 trucks at $6 per truck
C. 400 trucks at $8 per truck
D. 200 trucks at $4 per truck
Taxes are often ovved on?
initial investments,
the current value of investments.
the real value of investments,
investment returns.
Answer:
Investment returns
Explanation:
Tax is a compulsory levy imposed by the government on an individual, firms etc for the provision of infrastructure.
Generally speaking, taxes are paid as soon as money is earned. While some taxes are due for payment when investments are sold at a profit, others like dividend , mutual funds are due when distribution is paid on the investment.
The ratio of gain or losses on an investment is referred to as investment returns. The returns could be higher which means profit hence must be taxed. It could also be the other way round,i.e lower returns . In such situation, loss is incurred on the investment and it is not taxed same way as having profit on the investment.
D. investment returns.
Neil got mostly high marks on his last performance review. The needs improvement section read: needs to run ideas by co workers in advance. Could improve his relationships with other employees through better communication on roles for projects. What does neil need to work on?
Neil got mostly high marks on his last performance review. The needs improvement section read: needs to run ideas by co-workers in advance. Could improve his relationships with other employees through better communication on roles for projects. It has both rational and emotional components. Job satisfaction gives motivation to employees to work more.
Communication may be categorized into 3 primary types: (1) verbal communique, in which you concentrate on someone to understand their means; (2) written verbal exchange, in which you read their means; and (3) nonverbal verbal exchange, in that you study someone and infer that means. verbal exchange is a two-way system involving the following elements: a sender, a message, a medium, a channel, a receiver, a response, and remarks. but, it isn't enough to have just a majority of these elements; there must be cooperation and information between the 2 events concerned.
Everyone has a completely unique conversation style, a manner in which they interact and alternate statistics with others. There are four simple communique styles: passive, competitive, passive-aggressive, and assertive. it is essential to understand each communication style, and why individuals use them.
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Financial instruments Financial instruments are assets that have a monetary value or record a monetary transaction. To coordinate the exchange of capital between borrowers and lenders, financial instruments trade in the financial markets. These financial instruments can be categorized on the basis of their issuers, maturity, risk, and other factors. Identify the financial instruments based on the following descriptions. Description Financial Instrument Backed by the U.S. government, these financial instruments are short-term debt obligations with a maturity of less than one year. They are considered risk free Investments. Issued by corporations, these unsecured debt instruments are used to fund corporate short-term financing requirements. If issued by a financially strong company, they have less risk These financial instruments are investment pools that buy such short-term debt instruments as Treasury bills (T-bills), certificates of deposit (CDs), and commercial paper. They can be easily liquidated.Issued by corporations, these financial instruments fund their long-term financing requirements and have less risk than equity securities. Which of the following instruments are traded in the capital markets? A. Certificates of deposit.B. Common stocks.C. Treasury bills.D. Preferred stocks.E. Corporate bonds. The process in which derivatives are used to reduce risk exposure is called:_______.
Answer:
1. Identification of financial instruments:
Treasury Bills: Backed by the U.S. government, these financial instruments are short-term debt obligations with a maturity of less than one year. They are considered risk free Investments.
Commercial Papers: Issued by corporations, these unsecured debt instruments are used to fund corporate short-term financing requirements. If issued by a financially strong company, they have less risk.
Money Market Instruments: These financial instruments are investment pools that buy such short-term debt instruments as Treasury bills (T-bills), certificates of deposit (CDs), and commercial paper. They can be easily liquidated.
Corporate Bonds: Issued by corporations, these financial instruments fund their long-term financing requirements and have less risk than equity securities.
2. Instruments traded in the capital markets are:
B. Common stocks
D. Preferred stocks
E. Corporate bonds.
3. The process in which derivatives are used to reduce risk exposure is called:
Hedging
Explanation:
Financial instruments can be stocks, bonds, commercial papers, or treasury bills. Some financial instruments are capital market instruments (e.g. stocks and bonds), while others are money market instruments (e.g. commercial papers and treasury bills).
When the value of a contract depends on an underlying financial asset, it is called a derivative. Examples of underlying instruments are bonds, commodities, currencies, interest rates, market indexes, and stocks.
Suppose that a worker in Cornland can grow either 40 bushels of corn or 10 bushels of oats per year, and a worker in Oatland can grow either 5 bushels of corn or 50 bushels of oats per year. There are 20 workers in Cornland and 20 workers in Oatland. If the two countries do not trade, Cornland will produce and consume 400 bushels of corn and 100 bushels of oats, while Oatland will produce and consume 60 bushels of corn and 400 bushels of oats. If each country made the decision to specialize in producing the good in which it has a comparative advantage, then the combined yearly output of the two countries would increase by
Answer:
see. I hope it's helpful for you lolExplanation:
i need friend lol can you my friend
a. In 2015 , Bilal had a monthly salary of $4,166.5. Assume 2015 is the base year. In 2018 , the CPI went up to 106.3. His monthly salary in 2018 was $4,800. Did the purchasing power of Bilal go up? Please show calculations and explain your answers (2) b. In 2008 , there was a major housing mortgage crisis in the U.S. economy which eventually led to recession. At that time, there was a GDP Gap or loss of 10.75%. The natural rate of unemployment in 2008 was 5.1%. What was the unemployment rate in 2008 in the U.S.? c. Germany's current inflation rate of 1.8% and France"s current inflation rate is 1.3%. Using the rule of 70 , which country will first experience doubling of prices of goods and services? \$how calculations
In this case, the base year is 2015, so we'll use the salary in 2015 ($4,166.5) and the CPI in 2018 (106.3) to calculate the adjusted salary in 2018.The formula is:Adjusted Salary in 2018 = $4,166.5 * 106.3 / 100 = $4,423.05
Comparing the adjusted salary in 2018 ($4,423.05) with Bilal's actual salary in 2018 ($4,800), we can see that his salary increased more than the adjustment for inflation. Therefore, the purchasing power of Bilal increased between 2015 and 2018.
b. The GDP Gap represents the difference between the actual Gross Domestic Product (GDP) and the potential GDP. In 2008, there was a GDP Gap or loss of 10.75%, which means the actual GDP was 10.75% lower than the potential GDP. The natural rate of unemployment, also known as the Non-Accelerating Inflation Rate of Unemployment (NAIRU), represents the unemployment rate at which inflation remains stable. In 2008, the natural rate of unemployment was 5.1%.
To calculate the unemployment rate in 2008, we need to add the GDP Gap to the natural rate of unemployment:
Unemployment Rate = Natural Rate of Unemployment + GDP Gap
Unemployment Rate = 5.1% + 10.75%
Unemployment Rate = 15.85%
Therefore, the unemployment rate in the U.S. in 2008 was approximately 15.85%.
c. To determine which country will first experience a doubling of prices of goods and services using the rule of 70, we divide the number 70 by the inflation rate to calculate the approximate number of years it will take for prices to double.
For Germany, with an inflation rate of 1.8%:
Approximate number of years = 70 / 1.8 = 38.89 years
For France, with an inflation rate of 1.3%:
Approximate number of years = 70 / 1.3 = 53.85 years
Comparing the two, Germany will experience a doubling of prices of goods and services sooner than France, as it will take approximately 38.89 years for prices to double in Germany, while it will take approximately 53.85 years for prices to double in France.
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The mining and export of minerals and precious stones is very important part of the Namibian economy. It was reported that despite a sharp decrease in the quantity of these exports between 1995 and 1999 the export value of the items rose in that period. a) Where the minerals and precious stones would be recorded in the Namibian balance of payments?
Answer:
The minerals and precious stones would be part of the current account, which is one of the three components of the balance of payments, the other two being the capital account and the financial account.
Explanation:
The current account includes income transfers, current transfers, the balance in the trade of services, and the balance in the trade of goods. The export value of minerals and precious stones would more specifically be in the balance of the trade of goods, simply because minerals and precious stones are classified as economic goods.
How is a 401k different from an individual retirement account (IRA)?
A 401k is a good long-term investment strategy.
A 401k allows people to contribute before taxes.
A 401k is created by an individual who deposits money.
A 401k is created by an employer who may match contributions.
your home insurance policy has a $190 deductible. if a small fire causes $780 damage to your home, what amount of the claim would the insurance company pay?
The insurance company would pay $590 towards the claim, while the insured would be responsible for paying the remaining $190.
The deductible is the amount that the insured is responsible for paying before the insurance company pays out the claim. It is usually a fixed amount specified in the insurance policy, such as $500 or $1,000.
In this case, the deductible for the insured's home insurance policy is $190. This means that the insured would need to pay the first $190 of the claim out of their own pocket.
The damage caused by the small fire is $780. Therefore, the amount of the claim that the insurance company would pay is the difference between the total damage and the deductible.
That is, $780 - $190 = $590.
The amount of the claim that the insurance company would pay is $590.
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Which one of the following is a name for the range over which a company expects to operate? a. Fixed range b. Variable range c. Mixed range d. Relevant range
Option D is correct. A company expects to operate over a relevant range.
What is relevant range?The word "relevant range" in accounting typically refers to a normal range of volume or normal amount of activity, where the total amount of a company's fixed costs won't change as the volume or amount of activity changes. Since a corporation would take action to reduce its overall amount of fixed costs if its volume were to drastically collapse, the term "relevant range" is included in the definition of fixed costs. In a similar vein, if the company's volume were to sharply rise, it would probably have to raise the overall sum of its fixed costs.
It's crucial to select a relevant range because otherwise, you risk making inaccurate estimates if you assume that all of your costs—variable or fixed—will remain constant. Additionally, if you disregard relevant range, you risk running into production capacity problems, failing to recognize that you have reached your limit for the time period and cannot physically produce all the necessary goods.
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the magnitude of operating leverage for perkins corporation is 4.5 when sales are $100,000. if sales increase to $110,000, profits would be expected to increase by what percent? a. 4.5% b.14.5% c.45% d.10%
It would be anticipated that the profit would rise by 45%. The appropriate response to the given question is option (c).
What is Operating Leverage?The percentage of a company's cost structure that is made up of fixed expenses as opposed to variable costs is measured by operating leverage. A corporation is said to have more operating leverage if its fixed expenses are higher than its variable costs.
Magnitude of operating leverage= 4.5
Old sales= $100000
New sales= $110000
Percentage increase in sales:
(New-old)/old = (110,000-100,000)/100,000
= 10%
Consequently, a percentage rise in profit might be anticipated:
sales percentage growth times the degree of operational leverage
= 10% * 4.5
= 45%
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________ is the set of techniques used for implementing planned change to make people and organizations more effective.
Organizational development is the set of techniques used for implementing planned change to make people and organizations more effective.
What is Organizational Development?
The purpose of organization development is to transform the performance and/or culture of an organization by the study and use of practices, methods, and procedures that effect organizational change. The group's stakeholders often start the organizational reforms.
In conclusion, an objective-based process used to start a change of systems in an entity is known as organizational development. Organizational development is accomplished by altering the supporting structure or communication mechanisms.
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Jackson is working late at night on a project that is due the next day. he is not sure how to print his word document, and it is too late to call or text his teacher. what what is the best option for Jackson?
Decided not to print the document
Provide negative feedback to office online
Type a question in the "tell me what to do" box
View accessibility options
Answer:
Type a question in the “Tell me what you want to do” box.
Explanation:
Did the test myself and got it right.
Answer:
click the tell me what to do box
Explanation:
If a firm belives tht some of its debtors may default and it should act on this by making sure tht all possible losses are recorded in the books this is an example of which concept
Answer: Conservatism
Explanation: The conservatism concept can be ncept may be explained as an accounting principle which ensures that an organization tends to be very careful in handling its finances, with the conservatism concept, financial management often lean towards an approach which tends to play down future gains and concentrate more on potential chances of losses in the future. With such approach the organization tends to be very prudent in its financial management. In other words, conservatism shifts toward a tendency to understate its asset or income rather than overstate its asset.
_____ include tools and equipment used to produce goods and services.
a. Capital resources
b. Consumer resources
c. Human resources
d. Natural resources
Answer:
The correct answer is B!
Explanation:
Consumer resources, include tools and equipment used to produce goods and services. Thus, option (b) is correct.
What is goods?
The term goods as the another name was the commodities. The goods are the sold to the exchange of the money. The goods are the produced with the help of raw material. The goods are the based on the two prices, such as the manufacturing prices and retail prices. The goods are the two types are the raw goods and the finished goods.
According to the manufactured goods and services as the companies are the manufacturing to the based on the consumer resources. The foundation is built on economic development. Factors of production are the resources used to create all commodities and services.
As a result, the consumer resources, include tools and equipment used to produce goods and services.
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BRAINLIEST AND 130 POINTS
To be eligible for Bright Futures, you must
-be accepted to a public university anywhere in the US
-be accepted to a private university anywhere in the US
-earn a standard high school diploma or its equivalent
-earn a specific amount of part time income after school
jk about the points i just wanted attention but plz help
Answer:
C
Explanation:
it is c, you are required to have a high school diploma