A firm that has a promissory note that requires the borrower to repay the loan with interest in specified monthly or annual installments has a long term.
What is long term?Long term" refers to the extended period of time that an asset is held. Depending on the type of security, a long-term asset can be held for as little as one year or for as long as 30 years or more.Generally speaking, long-term investing for individuals is often thought to be in the range of at least seven to 10 years of holding time, although there is no absolute rule. Short-term investments are marked-to-market, and any declines in their value are recognized as a loss, where increases are not recognized until sold.Long-term investments are recorded on the asset side of a company's balance sheet as investments.To learn more about asset refer to:
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when solving decision trees, what phrase represents the act of dropping an alternative from consideration because it is less favorable than another available option?
Pruning a branch represents the act of eliminating an alternative from consideration because it is less favorable in solving decision trees.
In the context of decision trees, what is the purpose of tree pruning?Pruning lessens the size of choice trees by eliminating portions of the tree that don't give ability to characterize examples. Out of all the machine learning algorithms, decision trees are most susceptible to overfitting, but effective pruning can lessen this risk.
How does pruning relate to the decision tree?In machine learning and search algorithms, pruning is a data compression technique that reduces the size of decision trees by removing redundant and non-critical sections for instance classification.
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Full Question = When solving decision trees, what phrase represents the act of dropping an alternative from consideration because it is less favorable than another available option?
A) cut the leaf
B) open the hatch
C) shake the tree
D) punt the ball
E) prune the branch
one country has a comparative advantage over another country in the production of a good if it group of answer choices has a curved production possibilities curve and the other country has a linear production possibilities curve. has a linear production possibilities curve and the other country has a curved production possibilities curve. is a lower opportunity cost producer of the good. has lower fixed costs than the other country.
A seller of the good with a lower potential cost. If a group of answer options offers curved production possibilities, one country has a competitive advantage over another in the manufacturing of that good.
What does "production curve" mean?The graph known as the curve of production opportunities (PPC) illustrates all the possible output combinations that can be created using the available resources and technology.
What is a production possibilities curve example?For instance, if a business creates a new device that can speed up the production of cheese, the output will likewise rise. As long as all other production factors stay the same, this boost in output will cause the curve to move outward. However, the curve may also turn inwards at certain instances.
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identify the dimension of organizational climate that refers to the degree of being helped by others and of experiencing cooperation
Support refers to the dimension of organizational climate, which refers to the degree of being helped by others and experiencing cooperation.
What do you mean by climate?⇒ A region's climate is its long-term, often averaged over a 30-year period, weather pattern. In a more precise sense, it is the average and variability of meteorological variables across a time range of months to millions of years. The following meteorological factors are frequently measured: temperature, humidity, air pressure, wind, and precipitation. In a larger sense, climate refers to the state of the atmosphere, hydrosphere, cryosphere, lithosphere, and biosphere, as well as the interactions between these elements. The latitude and longitude, terrain, altitude, land usage, and close-by bodies of water and their currents all have an impact on a place's climate.
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a sofa regularly sells for . the sale price is . find the percent decrease of the sale price from the regular price.
First: determine the increase or difference between the two numbers you are comparing. Then: Multiply the result by 100 percent after dividing the increase by the original number.
increase equals increase minus original number minus 100. This is a percentage decrease if your response is negative.
It is stated in the given problem that the price has decreased. Therefore, the formula can be used to solve for the percentage change:
As stated in the problem, our original price is 790, and our sale price is 624.10, so our percentage change is equal to 100%.
The percentage change is as follows: 790 - 624.10/ 790 * 100%
= 165.90/790* 100%
0.21 * 100% Change in Percentage = 21%
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Full Question = A sofa regularly sells for $790. The sale price is $624.10. How do you find the percent decrease of the sale price from the regular price?
calculate the annualized yield for commercial paper with 15 days to maturity that is priced at $997,500.
A zero-coupon bond's yield to maturity is calculated using the following formula: Yield to Maturity = [Annual Interest + (FV-Price)/Maturity] (FV + Price)/2
What does "yield to maturity" mean?The yield on a bond is the overall return that the buyer will get from the moment the bond is bought until the bond matures. A city might, for instance, issue bonds with a 2.192% annual yield until they mature on September 1, 2032.
Does a bond with a zero coupon have a yield till maturity?Zero-coupon bonds always show yields to maturity equal to their normal rates of return, even when no interest is taken into consideration. The spot rate is another name for the zero-coupon bond yield to maturity.
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Selena has placed $500 in an account that pays simple interest of 5 percent annually. Selena will have earned $. 00 in interest by the end of the year.
The interest Selena would earn at the end of the year is $25.
Solution:
Simple interest = amount deposited x interest rate x time
$500 x 0.05 = $25
Simple interest is calculated by multiplying the daily interest rate by the principal amount by the number of days until the next payment. Simple interest benefits consumers who pay their loans on time or at the beginning of each month. Auto loans and short-term personal loans are usually simple interest loans.
Simple interest is based on the principal amount of the loan or initial deposit in a savings account. Simple interest earns no interest. This means that the creditor only pays interest on the principal balance and the borrower does not have to pay interest on the previously accumulated interest.
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The interest Selena would earn on the cease of the 12 months is $25. at the top of two years, the balance within the account would be $866.29.
The hobby Selena would earn at the end of the yr is $25.
on the give up of two years, the stability inside the account might be $866.29. The hobby Suki earned is $ 66. 29.
The cash position in the money market account would double in 18 years.
simple interest = amount deposited x interest rate x time
$500 x zero.05 = $25
The components that may be used to determine the stability are:
FV = P (1 + r)^nm
FV = future cost
P = present fee
R = hobby charge
m = number of compounding
N = wide variety of years
$800 ( 1 + 0.04/four)^8 = $866.29
Interest = $866.29 - $800 = $66.29
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calculate troy's net investment income and his current investment interest deduction. how is a deduction for any potential excess investment interest treated?
The way that the deduction for the potential excess investment would be treated is that : it would have to be added to the General Fund on the Liabilities side of the Balance Sheet.
What is meant by the balance sheet?A balance sheet is a financial statement that lists the assets and liabilities of a corporation at a certain point in time. It is one of the three primary financial statements—the other two being the income statement and cash flow statement—that are used to assess a company's performance.
A company's resources (assets) and sources of capital (equity and liabilities/debt) are detailed in the balance sheet. An analyst can use this data to determine a company's ability to cover short-term operational expenses, pay off future debt, and distribute profits to shareholders.
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which of the following can be concluded about the united states based on the author's descriptions in the excerpt? a. regional political interests dominated political debates. b. a common national culture was developing. c. educational reforms contributed to increased literacy. d. new transportation routes made shipping books easier.
The best choice is B. Based upon that author's words in the passage, one might infer that the United States was building a single national culture.
Do kids should watch United States of Al?Parents should be aware because United States of Ala is a comic about an Afghan interpreter who comes to this country to the country to live only with family of an American ex-Marine who was once his friend in arms. Although it has some edge, the content is generally younger than what viewers might expect.
What city is the setting for United States of Al?The how "United States of Al" put laughter aside to deal with the fall of Kabul is described in "There Was No Design for This" The plot was inspired by the genuine existence struggles to remove the writers' relatives from Afghanistan.
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a country in which a multinational company conducts business activities is called the:____.
Host country refers to the nation in which a multinational corporation operates its business.
A nation where a big international event is hosted is referred to as the host country. In this year's conference, Chile will serve as the host nation. a nation where immigrants want to settle.
Many immigrants have a difficult time assimilating into their new society. The term "home country" refers to the place a person was born and raised, whereas the term "host nation" denotes the place where an immigrant is currently residing.
A corporation with operations in another country is said to be operating in a host country. The corporation can easily relocate its operations to another nation if production costs increase in the host nation.
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Suppose potential income is $60 billion, actual income is $40 billion, and expenditures don't vary with income. If the actual budget deficit is $4 billion and the marginal tax rate is 20 percent, the structural deficit:____A. Is zero. B. Is between zero and $4 billion. C. Is $4 billion. D. Cannot be determined from the given information
Suppose potential income is $60 billion, actual income is $40 billion, and expenditures don't vary with income. If the actual budget deficit is $4 billion and the marginal tax rate is 20 percent, the structural deficit Is zero. The Option A is correct,
What is structural deficit in budget?In budget, a structural deficit occurs when there is an excess of public spending over revenues which would persist if the economy were to grow steadily at its highest sustainable employment rate such as at the same rate as potential output.
Here, if the income increases to $60 billion, tax revenues go up by $4 billion, so the actual deficit is zero at potential income, implying that the structural deficit is also zero.
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a speculator purchased a call option with an exercise price of $31 for a premium of $4. the option was exercised a few days later when the stock price was $34. what was the return to the speculator?
When the stock price reaches $24, the speculator will break even. If the call option's payment is equal to its cost, which is 4, the speculator will break even, disregarding the time value of money.
Only when the stock price is higher than the exercise price will a call option be exercised, and if it is, the payment will be equal to the difference between the stock price and the striking price. As a result, in order to break even, the stock price must:
Return to investor = Payoff from call - Premium paid
= (34 - 31) - 4
= 3 - 4 = -$1
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Helpful hardware sells windows (80% of sales) and doors (20% of sales). The selling price of each window is $400 and of each door is $1,000. The variable cost of each window is $250 and of each door is $700. Fixed costs are $1,440,000. The break-even point in units using the weighted-average contribution margin is:.
The number of units to be produced for breakeven will be windows =6400 and doors = 1600
How to calculate the number of units?Contribution per unit will be:
Windows = 400-250 = $150 per unit
Doors = 1000-700 = $300 $/per unit
Total contribution of a bundle = 20% 300+150 *80 % = 180 $ per unit
Break even unit will be:
= 1440000/180 $
= 8000 units
Windows =8000 * 0.8
= 6400 units
Doors = 8000 - 6400
= 1600 units
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2
What business approach measures team performance by the success of each group member?
OA. the results approach
OB. the individual approach
O c. the behaviors/process approach
O D. the personal approach
Reset
Next
Answer:
the individual approach
Trey morgan is an employee who is paid monthly. For the month of january of the current year, he earned a total of $4,540. The federal insurance contributions act (fica) tax for social security is 6. 2% of the first $137,700 earned each calendar year, and the federal insurance contributions act (fica) tax rate for medicare is 1. 45% of all earnings for both the employee and the employer. The amount of federal income tax withheld from his earnings was $680. 70. His net pay for the month is:.
The total amount of taxes withheld from the trey’s earnings is $4,192.68.
What is Federal income tax?Federal income tax is the income tax paid to the federal government. Income tax is determined by a schedule or table. The more you earn, the more you will end up paying. Federal income tax rates remain unchanged for the 2022 tax year at 10%, 12%, 22%, 24%, 32%, 35%, and 37%. However, the income limits for each class are adjusted slightly each year for inflation. Read on to learn more about the state income tax brackets for the 2022 tax year. Payroll taxes, which fund Social Security, Medicare, and unemployment benefits, are the second largest source of federal revenue, accounting for about one-third of total annual revenue.
The net pay is, therefore:
= 4,540 - (4,540 × 6.2%) - (4,540 × 1.45%) - 680.70
= 4,540 - 281.48 - 65.83 - 680.70
= $4,192.68
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B) Now, let’s try "what if". What if you had medical bills for $10,000 for a minor surgery? What would each of the insurance policies pay if you had not yet paid any deductible? Remember that 20% is your part (coinsurance) so the insurer’s percent is 80% for the first formula. Show how you are getting the answer. Formulas:Insurer’s part of Medical Bill = (Bill – deductible) (80%)Your part of medical bill = Total bill – Insurers part
Note that in the scenario given, all three insurance policies would pay $8,000 toward the medical bill, and the policyholder would be responsible for paying the remaining $2,000.
What is a deductible?The deductible in an insurance policy is the amount paid out of pocket by the policyholder before the insurance company will cover any charges. In general, the term deductible refers to one of many types of clauses used by insurance firms as a payment threshold for policy payments.
The full explanation for the computation is given as follows;
To determine the amount that each insurance policy would pay for a $10,000 medical bill for a minor surgery, we need to use the formulas provided and plug in the appropriate numbers.
For the AAA+ insurance policy, the insurer's part of the bill would be calculated as follows:
Insurer's Part of bill = (Bill - deductible) (80%)
= ($10,000 - $0) (80%)
= $8,000
Your part of the bill would be calculated as:
Your part of bill = Total bill - Insurer's part
= $10,000 - $8,000
= $2,000
For the Health Today insurance policy, the insurer's part of the bill would be calculated as follows:
Insurer's Part of bill = (Bill - deductible) (80%)
= ($10,000 - $0) (80%)
= $8,000
Your part of the bill would be calculated as:
Your part of bill = Total bill - Insurer's part
= $10,000 - $8,000
= $2,000
For the Best Insurance policy, the insurer's part of the bill would be calculated as follows:
Insurer's Part of bill = (Bill - deductible) (80%)
= ($10,000 - $0) (80%)
= $8,000
Your part of the bill would be calculated as:
Your part of the bill = Total bill - Insurer's part
= $10,000 - $8,000
= $2,000
Therefore, in this scenario, all three insurance policies would pay $8,000 toward the medical bill, and the policyholder would be responsible for paying the remaining $2,000.
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Full Question:
B) Now, let’s try “what if”. What if you had medical bills for $10,000 for a minor surgery? What would each of the insurance policies pay if you had not yet paid any deductible? Remember that 20% is your part (coinsurance) so the insurer’s percent is 80% for the first formula. Show how you are getting the answer.
Formulas:
Insurer’s part of Medical Bill = (Bill – deductible) (80%)
Your part of medical bill = Total bill – Insurers part
• AAA+
Insurer’s Part of bill =
Your part of bill =
• Health Today
Insurer’s Part of bill =
Your part of bill =
• Best Insurance
Insurer’s Part of bill =
Your part of bill =
Before the launch of the Challenger, a dispute arose as to whether the launch decision should be a management or an engineering decision. What arguments could have been made that the decision should be based on management considerations?
Right contention is choice:- a)The basic issue was that the presentation of O-rings was corresponded with the temperature.
As a result, a serious problem arose when the scientists discovered that a lower temperature had harmed the reaction of rubber "O" rings. which had to be moved in order to seal the vehicle's parts into the solid rocket booster because the casing grew too big from the pressure of the rocket gases.
How hot is too hot for humans?
People frequently cite a 2010 study that estimated that the human body could no longer cool itself by evaporating sweat from the surface of the body above a wet-bulb temperature of 35 C, which is equivalent to 95 F at 100% humidity or 115 F at 50% humidity.
Is it warm or cold at 60 degrees?
Is 60 degrees Fahrenheit warm or cold, you might ask? 60 degrees is the middle temperature in many places. Since temperatures in the United States can range from below zero to over 100 degrees, 60 degrees falls somewhere in between.
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Full Question = Before the launch of the Challenger, a dispute arose as to whether the
launch decision should be a management or an engineering decision.
What arguments could have been made that the decision should be
based on management considerations?
a. The critical issue was that the performance of O-rings was correlated with
the temperature.
b. Engineers had no evidence that the insulating foam had damaged the
space vehicle.
c. There had never been evidence of blow-by leaking of the O-ring seals in
the past, and there was no reason to believe the seals would leak this
time.
d. NASA officials were unhappy with an initial recommendation not to launch,
and future business might have been at risk with another delay.
which of the following is mandatory for leed certification question 59 options: a) earning at least 50 points b) meeting all prerequisites c) having a leed ap on the project team d) earning all the regional priority credits
From the following, the one which is mandatory for LEED certification is that meeting all prerequisites.
All LEED projects must be constructed and also operated on a permanent location which is on existing land. So, no project that is designed to move at any point in its lifetime may pursue LEED certification. Thus, this requirement tends to apply to all land within the LEED project.
However, meeting all the prerequisites are mandatory for the certain certification. So, the prerequisites are the requirements which are not optional and thus they have to be in place in order to achieve the required certification.
Hence, option B is correct.
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which of these statements regarding the differences between monopoly and a competitive market are true?
A monopolist can earn profits in the long run, but a firm in a perfectly competitive market cannot.
A monopoly, as defined with the aid of Irving Fisher, is a marketplace with the "absence of opposition", growing a state of affairs in which a selected individual or business enterprise is the best supplier of a selected element. This contrasts with a monopsony which pertains to a unmarried entity's manipulate of a market to purchase a terrific or provider, and with oligopoly and duopoly which consists of some dealers dominating a marketplace.[1] Monopolies are consequently characterised via a loss of monetary opposition to provide the best or carrier, a loss of viable alternative goods, and the possibility of a high monopoly fee properly above the seller's marginal value that leads to a high monopoly earnings.
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true or false - penny stocks never raise in value enough to be listed on major stock exchanges. they are always high-risk scams. true false
The following statement, "Penny stocks never raise in value enough to be listed on major stock exchanges. they are always high-risk scams." is False.
A stock exchange is a marketplace where stocks are traded between investors. It usually refers to the exchanges where stocks and other securities are bought and sold.
The stock exchange is an important part of the economy because it provides a place for businesses to raise capital by selling stocks. It also provides a way for investors to buy and sell stocks. The stock exchange is regulated by the government to ensure that it is fair and orderly.
Hence, the statement is "False".
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Explain how the relationship between unemployment, consumption, and production put the nation’s economy into a downward spiral.
Based on macroeconomics, the relationship between unemployment, consumption, and production put the nation’s economy into a downward spiral because unemployment reduces total quantity demand, which reduces consumption level, and affects production, thereby, leading to economic woes.
What is Unemployment?Unemployment is an economic term that is used to describe the total number of people in a specific country or area who cannot get a job.
High unemployment generally causes low purchasing power among the citizens, which leads to a reduction in consumption.
Consumption at the macroeconomic level is a term that is used to describe the use of goods and services by a household. A vital component of the Gross Domestic Product (GDP).
A reduction in consumption affects a nation's GDP poorly.
Production, on the other hand, is a term that is used to describe the total amount of goods and services produced in a specific economy.
When there is lower consumption, there will be no incentive to produce, which will lead to scarcity and inflation, and ultimately lead to the nation’s economy into a downward spiral.
Hence, in this case, it is concluded that unemployment, consumption, and production, all have impacts on Nation's development
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in order to regulate the monopoly to produce the largest possible output without a loss, government regulators would establish a price of
In order to regulate the monopoly to produce the largest possible output without a loss, government regulators would establish a price where it equals the average total cost, therefore no subsidy is needed.
What is average total cost?The average total cost is calculated as the overall production costs divided by the total output. To put it another way, the average cost is the sum of all fixed and variable costs divided by the total number of units produced by the company.
How businesses decide to price their commodities is strongly influenced by the average cost. It is used to calculate the breakeven price, which is the lowest price at which the company will be profitable and profitable. The corporation or business organization will experience losses if the price is set below the average total cost.
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what is the capitalization rate for a property that produces $10,000 annual net operating income (noi) and for which an investor paid $105,263 (rounded)?
The capitalization fee for a assets that produces $10,000 annual internet working profits (noi) and for which an investor paid $105,263 (rounded) is 9.50%.
The required details for capitalization rate in given paragraph
Capitalization fee (or "cap fee") is a actual property valuation degree used to examine different actual property investments. Although there are numerous versions, the cap fee is typically calculated because the ratio among the yearly condominium profits produced via way of means of a actual property asset to its current marketplace price. Most versions relied on the definition of the yearly condominium profits and whether or not it's miles gross or internet of annual costs, and whether or not the yearly condominium profits is the real quantity obtained (preliminary yields), or the ability condominium profits that might be obtained if the asset changed into optimally rented (ERV yield).
($10,000 (annual NOI) ÷ $105,263(buy price) = 9.5% (0.095) the capitalization fee)
The cap fee most effective acknowledges the coins go with the drift a actual property funding produces and now no longer the alternate in price of the assets.
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The short-run quantity of output supplied by firms will fall short of the natural level of output when the actual price level the price level that people expected.
a. True
b. False
The short-run quantity of output supplied by firms will fall short of the natural level of output when the actual price level the price level that people expected is False.
What happens to the short-run quantity of output supplied by firms?If actual economic price levels differ from predicted price levels in the short term, the amount of production that firms produce may vary from the natural level of output. It is explained by a number of theories how this might occur.In the short term, other manufacturers' output will be less than it would be naturally. This is due to the fact that other manufacturers mistakenly believe that prices are falling relative to other goods and services due to the decline in price level. Since it is no longer viable for them to supply more, they likewise supply less as a result.To learn more about Short-run Fall refer to:
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based on the timeline, which conclusion can be made about american policy in these years?
The opponents of annexing foreign countries were defeated by American imperialists.
What do you mean by imperialism?Imperialism is the state's pursuit of expanding its power and dominance, particularly through outright territorial conquest or by seizing control of neighboring nations' governments and economies.
The imperialistic rule of France over Vietnam from the middle to the end of the 1800s is an illustration. British rule over a number of nations in the early 1900s, including India, Australia, and numerous African nations, is another illustration of imperialism.
Imperialism is the use of military force or other forms of coercion to increase a nation's power and influence. The main objective of European nations in the 15th and 16th centuries was colonization.
The concept of imperialism has historically been linked to the ancient governmental structure known as the Empire.
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exported piano component parts to a company in taiwan, it allowed the company 90 days to pay for the parts. this is an example of a(n)
It allowed the company 90 days to pay for the parts. this is an example of a Export Credit Agreement.
What is company?
A group of people can come together to form a company, that is a legal entity used to conduct business and run industrial or commercial enterprises. According to the corporate law of the its jurisdiction, a company may be set up in a variety of ways for tax as well as financial liability reasons. Any business structure, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry in which the company operates. Additionally, this same ownership structure of a business is indicated by these structures. Between private as well as public companies can also be distinguished. Both have unique requirements for financial reporting as well as various ownership structures and rules.
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The optimal capital structure is determined by several factors including all of the following except:
A. corporate capital gains
B. business risk
C. potential bankruptcy risk
D. agency costs
The optimal capital structure is determined by several factors including all of the following except corporate capital gains.
The ideal combination of debt and equity financing that increases market value while lowering a company's cost of capital is referred to as the optimal capital structure of a corporation. Due to its ability to be deducted from taxes, debt financing theoretically has the lowest cost of capital.
Effective utilization of the available resources is guaranteed by a sound capital structure. It stops over- or undercapitalization. Giving shareholders bigger returns aids the business in boosting earnings. Industry leverage, profitability, business size, growth prospects, asset tangibility, anticipated inflation, and stock market return are the main aspects that need to be looked at when determining capital structure.
Hence the correct option is A
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What are the most effective social media platforms for content distribution according to marketers?.
What are the most effective social media platforms for content distribution according to marketers?
Answer:
Tiktok
Youtube
the budget shows the anticipated differences between sales or revenue and expenses. a.profit b.capital expenditure c.expense d.labor e.cash flow
The capital expenditure budget illustrates the predicted discrepancies between sales or revenue and spending.
In terms of economics, what is a budget?Instead of being a record of financial transactions, an account, a budget is a forecast of income and expenses for a future period.Financial stability is aided by having a budget. A budget makes it simpler to save money for significant purchases like a car or home by keeping track of costs and sticking to a plan. It also makes it easier to pay bills on time and to accumulate an emergency fund. A budget, in general, helps a person have better short- and long-term financial standing.The capital expenditure budget illustrates the predicted discrepancies between sales or revenue and spending.The complete question is,
The _ projected variations in sales or revenue and expenses are shown in the budget. Profit, Capital Expenditures, Costs, Labor, and Cash Flow.
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which economic condition of the 1920s was a major cause of the great depression?
Industry overproduced consumer goods is the major cause of the great depression in 1920s.
What is great depression?⇒The 1929–1939 Great Depression was a global economic depression that affected all countries. Economic institutions, macroeconomic policy, and economic theory underwent dramatic adjustments as a result of the industrialized West's first downturn of this duration and intensity. Although it began in the United States, the Great Depression had a significant effect on almost every country in the world, causing large declines in output, high rates of unemployment, and severe deflation. Its social and cultural effects were no less shocking, especially in the United States, where the Great Depression was the nation's worst economic crisis since the Civil War. The timing and severity of the Great Depression varied significantly by location.
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if a loan isn‘t repaid, the__ of the borrower—used as security for the debt—could be sold by the lender.
If the loan is not repaid, the collateral of the borrower - used as security for the debt - could be sold by the lender.
What is collateral?Collateral is the asset that a lender accepts as security for extending a loan. If the borrower doesn't make payments, the lender may take the security. Simply put, collateral is something of value that a lender may take from a borrower if the latter fails to repay a loan in accordance with the terms set forth.
It is an asset or other type of tangible property that the borrower possesses, such as a home, animals, a car, etc. The borrower receives loans from the banks based on these assets. The lender has security provided by the collateral. Therefore, collateral serves as a guarantee to the bank so that, in the event that the borrower defaults on the loan, the bank may sell the collateral and recover the loan balance.
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