When there has been a change in an accounting principle by a public company, but the effect of the change on the comparability of the financial statements is not material, the auditor should include a footnote to the financial statements to describe the change.
The Statement on Auditing Standards (SAS) No. 22, “Planning and Supervision” mandates that “the auditor should obtain an understanding of the accounting principles and practices of the entity, including the methods of applying the principles and the significant accounting estimates made by management.
The auditor should also obtain an understanding of the effects of significant accounting principles and practices related to the industry in which the entity operates.”
Moreover, the SAS No. 22 also requires that “the auditor should be alert for changes in accounting principles or practices used by the entity and should investigate the circumstances surrounding such changes.
The auditor should evaluate the appropriateness of such changes in relation to the particular circumstances and should determine whether adequate disclosure has been made in the financial statements.”
The Financial Accounting Standards Board (FASB) is the body responsible for setting generally accepted accounting principles (GAAP) in the United States.
The FASB establishes GAAP through the issuance of Statements of Financial Accounting Standards (SFASs), which must be adhered to by publicly held corporations, both foreign and domestic. When a change occurs in accounting principles, publicly held corporations must inform their stakeholders by including explanatory notes in their financial statements.
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Complete question
When there has been a change in an accounting principle by a public company, but the effect of the change on the comparability of the financial statements is not material, then what should a auditor do?
the spot price of an investment asset that provides no income is $30 and the risk-free rate for all maturities (with continuous compounding) is 10%. what is the three-year forward price? $40.50 $22.22 $33.00 $33.16
The three-year forward price is $40.50.
The formula to calculate the forward price of an asset is:
F = S × e^(r × t)
Where F is the forward price, S is the spot price, r is the risk-free rate, and t is the time to delivery.
In this case, the spot price is $30, the risk-free rate is 10% (0.10) with continuous compounding, and the time to delivery is three years.
F = 30 × e^(0.10 × 3)
F = 30 × e^0.30
F = 30 × 1.3499
F = $40.50
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if the federal reserve announces it will be decreasing the money supply through its monetary policy tools, it tells us the federal reserve is
The Federal Reserve is attempting to cool the economy by decreasing the money supply through its monetary policy tools.
The Federal Reserve is the central bank of the United States, and it is responsible for setting the monetary policy for the country. The Federal Reserve's main tool for controlling the money supply is by raising or lowering the federal funds rate.
When the Federal Reserve announces it is decreasing the money supply through its monetary policy tools, it is trying to cool the economy. This is because increasing the money supply can stimulate the economy and make it grow, while decreasing the money supply can slow the economy.
The Federal Reserve's decision to decrease the money supply is usually done when it feels the economy is growing too quickly and needs to be cooled off. By decreasing the money supply, it makes it harder for banks to lend money and businesses to get credit. This reduces consumer spending and economic activity, which helps cool the economy.
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if a plan is , the corporation makes a memorandum entry indicating the number of additional shares that may be acquired. a.invalid bpensatory c.nonexpired d.noncompensatory
Noncompensatory plans do not provide employees with additional compensation, but rather offer the opportunity to purchase shares at a discount or through a stock purchase plan. The correct answer is d. noncompensatory.
Noncompensatory plans are used to provide employees or shareholders with the opportunity to purchase shares of the company's stock at a discounted price, but do not provide any additional compensation beyond the shares themselves.
These plans are typically used to encourage employee or shareholder investment in the company and to align their interests with the company's success.
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characteristics of mbo include a. improving communication by centralizing decision making b. a detailed roadmap for implementation c. all the above d. systematic and organized
The characteristics of Management by Objectives MBO include being systematic and organized, providing a detailed roadmap for implementation, and improving communication by centralizing decision making. Therefore, the correct option is C. all the above.
Management by Objectives (MBO) is a management strategy that entails setting objectives for departments, teams, and individuals within a company to ensure that everyone is working toward the same goals. It is a technique for defining objectives that link organizational goals to individual objectives and measures progress against specific objectives over a defined period of time. MBO provides a detailed roadmap for implementation and promotes collaboration by centralizing decision-making. MBO has a systematic and organized approach to achieving organizational goals and objectives, and it is not a top-down strategy; instead, it encourages employee involvement and input into objective-setting and performance evaluation processes.
Therefore, the answer is C. all the above.
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. The purpose of sensitivity analysis is to show: A. the optimal level of the capital budget. B. how price changes affect break-even volume. C. seasonal variation in product demand. D. how variables in a project affect profitability.
The purpose of sensitivity analysis is to show how variables in a project affect profitability. The correct option is D.
What is sensitivity analysis?
Sensitivity analysis is a method used to assess the performance of an economic model when one or more of its input parameters change. The technique analyses how the model outputs are affected when one or more inputs shift slightly. Sensitivity analysis is done to test how robust the model is when small variations occur in the inputs. It is a tool that aids in identifying the most critical input variables for a model. Sensitivity analysis helps in understanding how much and in which direction the outputs of a model will alter if input variables shift.In general, the output value of a model may vary as a result of input parameter fluctuations. Sensitivity analysis is performed to see how much each parameter affects the outcome of a model. To discover how the model output changes in response to variations in specific input values, one can execute several sensitivity analyses by modifying one input value while keeping others constant.
The higher the profitability of a company, the more profits it earns from its sales. Therefore, profitability is a key measure of a company's financial health.
Thus, The correct option is D.
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While all economies are mixed, the economy of North Korea leans toward the ___ model
The economy of North Korea leans toward the command model. In this model, the government sets production goals and directs the allocation of resources.
While all economies are mixed, the economy of North Korea leans toward the command model. The term "command economy" refers to an economic system in which the government determines production, distribution, and pricing decisions. The command model, also known as the planned economy or socialist economy, is an economic model that emphasizes state ownership and control over the resources available in a society. In this type of economy, the state has complete control over production, pricing, and distribution, and the government makes all of the economic decisions.
In North Korea, the government controls most of the economic activities, and the market economy is still in its early stages of development. The government controls all of the country's resources and factories, and the central planning committee makes all of the country's economic decisions. The state regulates all imports and exports, and the government sets the prices for goods and services.
In a command economy, the government has the power to direct the economy in any direction it chooses. This may mean that the government decides to focus on military spending or to develop the country's infrastructure. It may also mean that the government chooses to invest in particular industries, such as agriculture or technology.
In conclusion, the economy of North Korea leans towards the command model, in which the government has complete control over production, pricing, and distribution, and the central planning committee makes all of the economic decisions.
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if ben continued working until he turned 64, would he be able to claim social security benefits, and if so, what percentage of his full benefit would he receive?
Yes, Ben would be able to claim social security benefits if he continued working until he turned 64. He would receive 93.3% of his full benefit.
What are social security benefits?
Social security benefits are cash benefits paid by the government to people who are retired, disabled, or eligible for other reasons. The Social Security Administration (SSA) handles the country's Social Security program, which offers retirement, disability, and survivor benefits.
What is the percentage of social security benefits?
When you claim Social Security before your full retirement age, your monthly payment will be less than your full benefit. If you delay claiming Social Security until after your full retirement age, your monthly benefit will be more than your full benefit. Ben's full retirement age is 66 years and 10 months, so if he claimed Social Security benefits at the age of 64, he would receive 93.3% of his full retirement benefit.
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a $5000 bond with a coupon rate of 5.7% paid semiannually has ten years to maturity and a yield to maturity of 6.4%. if interest rates fall and the yield to maturity decreases by 0.8%, what will happen to the price of the bond?\
The price of the bond will increase if interest rates fall and the yield to maturity decreases by 0.8%. This is because a bond’s price and yield are inversely related: as the yield decreases, the bond's price increases.
Mathematically, this can be expressed as:
Price = $5000 * [1 + (5.7%/2) / (1+6.4%/2)¹⁰] / [(1+5.9%/2) / (1+5.7%/2)¹⁰]
Where 5.9% is the new yield to maturity of 6.4% - 0.8%.
Therefore, the new price of the bond is:
Price = $5000 * [1 + (5.7%/2) / (1+5.9%/2)¹⁰]
This means that the price of the bond increases when the yield to maturity decreases by 0.8%.
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time compression in a simulation allows managers to test certain strategies with less risk. true false
The statement “time compression in a simulation allows managers to test certain strategies with less risk” is true.
Time compression is a significant feature of computer simulations that allows them to be useful in decision-making for management purposes.
In this process, simulation time is accelerated, allowing the simulation to run several times faster than it would in real-time mode.
What is time compression in simulation?Time compression in simulation is a technique that allows simulations to run at a faster pace than they would in real-time mode. It is an essential component of simulation technology because it enables decision-makers to assess and predict the consequences of a specific strategy, change, or action without having to go through it in real-time mode.
Time compression in simulation technology enables decision-makers to compress time by running multiple simulations in a shorter amount of time, allowing for faster, more efficient testing of the models of different scenarios in the company.
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which type of society is economically engaged primarily in the processing and control of information and has a main output of services instead of manufactured goods?
The type of society that is primarily economically engaged in the processing and control of information and has a main output of services instead of manufactured goods is the post-industrial society.
What is a post-industrial society?
The post-industrial society is a term that was created by Daniel Bell to describe a society in which the main economic activity revolves around the production and management of information and services rather than the production and manufacturing of goods. A post-industrial society, in other words, is one in which the manufacturing industry has declined, the service sector has expanded, and the economy is centered on the production and exchange of information, knowledge, and ideas.
The following are some characteristics of a post-industrial society:
Employment is focused on service industries, professional work, and the management of information and knowledge rather than on manufacturing.Education, training, and learning are critical for employment, and lifelong learning is required as skills become outdated quickly in the information age.Technology, telecommunications, and the internet play a critical role in business operations, entertainment, and social interaction, among other things.Employment opportunities are more mobile than in the past, with telecommuting, freelancing, and other non-traditional work arrangements becoming more common.Globalization of trade, commerce, and finance is a critical driver of the economy, and international connections are essential for most large corporations and industries.The growth of intellectual property, including patents, copyrights, and trademarks, is essential for the economy's growth and innovation.In a post-industrial society, information and knowledge management have replaced traditional manufacturing and agriculture as the main economic activities. The manufacturing and primary sectors, on the other hand, continue to play a vital role in the economy's overall performance but are now complemented by an emphasis on services and information management, such as banking, finance, media, and entertainment.
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which of the following is not a reason for the rise in regional expansion? multiple choice decrease in the number of trading blocs and free trade zones increase in the number of local customers decreasing national trade restrictions decreasing value of local taxes and tariffs
Decrease in the number of trading blocs and free trade zones is not the reason for the rise in regional expansion.
What if trading block?A trade bloc is a type of intergovernmental agreement, often part of a regional intergovernmental organization, that reduces or eliminates regional barriers to international trade (tariff and non-tariff barriers) between participating countries. and will be able to trade with each other. as easy as possible.
What is free trade zone?A free trade zone is an area where several countries have signed free trade agreements and maintain little or no trade barriers in the form of tariffs or quotas. Free trade areas promote international trade and related trade benefits, as well as international division of labor and specialization, but have been criticized for the costs associated with increased economic integration and for artificially restricting free trade.
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macroland is initially in long-run equilibrium and then faces a positive demand shock. if the central bank of macroland then increases the money supply, in the short run, this policy action most likely will:
Macroland is initially in long-run equilibrium and then faces a positive demand shock. If the central bank of Macroland then increases the money supply, in the short run, this policy action most likely will cause prices to rise and real GDP to increase.
The expansionary monetary policy is an economic strategy aimed at increasing the money supply in the economy to boost the level of economic activity. It is achieved through central banks' operations like increasing the reserve ratio, lowering interest rates, open market operations, or by printing more money. When the money supply in the economy is increased, it causes an increase in aggregate demand because people have more money to spend.
This increase in demand for goods and services causes prices to rise, which increases profits and output of businesses. The supply curve of goods and services will not be able to match the demand curve if the economy faces a positive demand shock. Thus, the demand curve is expected to shift outward to the right when this happens. When the money supply is increased by the central bank of Macroland, it causes the economy's aggregate demand curve to shift to the right, which causes the output and prices of goods and services to increase in the short run. Hence, this policy action most likely will cause prices to rise and real GDP to increase.
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in the elysian forest example, the planned unit development was destined to be an unsuccessful venture from its inception because
In the Elysian Forest example, the planned unit development was destined to be an unsuccessful venture from its inception because there were high costs associated with developing a large piece of land in a relatively untouched area.
What is Elysian Forest?Elysian Forest is a neighborhood in Illinois that was planned and constructed as a planned unit development. The design of planned unit developments is typically meant to give developers more flexibility in their construction, allowing for more variety and creativity in the development of neighborhoods.
Elysian Forest was intended to be a large planned community with many houses, but it was never completed.However, there were issues with the project's development that caused it to fail. Developers may not have realized how much money it would cost to develop a large piece of land, or they may not have accurately projected how much money they could make from the project.
As a result, the project was never completed, and the land was never developed into the planned community.
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which of the following are debited from a checking account? multiple choice monthly service charge monthly electronic payment of utilities atm withdrawal returned check fee all are debits
The following are all debits from a checking account: monthly service charge, monthly electronic payment of utilities, ATM withdrawal, and returned check fee.
A debit is a transaction that reduces the amount of money in your checking account. A debit could be when you write a check, use your debit card, or make a transfer.
Monthly service charge: This is a fee that some banks charge every month just for having an account. This fee usually isn’t more than a few dollars, and can be waived by keeping a certain amount of money in your account or having other accounts with the bank.
Monthly electronic payment of utilities: This is when you have your bills for things like electricity, gas, or water set up to be automatically withdrawn from your account every month.
ATM withdrawal: This is when you take money out of your checking account at an ATM machine. You will usually be charged a fee for this, depending on the bank you’re using.
Returned check fee: This is when the bank charges you a fee for a check that you wrote that was returned due to insufficient funds in your account.
In conclusion, all of these transactions are debited from a checking account. Be sure to keep track of your account balance to avoid overdrafts and additional fees.
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although some risks are inherent, what means of cash disbursements is the most effective and efficient? select answer from the options below electronic funds transfer (eft) restricted cash petty c
The most effective and efficient means of cash disbursements is electronic funds transfer (EFT).
Electronic funds transfer (EFT) allows for the direct transfer of funds from one bank account to the another, without the need for the physical checks or cash. EFT is secure, fast, and can be automated, reducing the risk of errors and fraud. It also eliminates the need for paper-based processes, which can save time and reduce administrative costs. Restricted cash refers to cash that is set aside for a specific purpose, while petty cash refers to a small amount of the cash that is kept on hand for minor expenses. Neither of these options is as efficient or effective as EFT for cash disbursements.
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the transportation model part 2 a. determines the crossover point between two different locations. b. determines the best pattern of shipments from several points of supply to several points of demand. c. uses both qualitative and quantitative factors. d. finds the location of a single distribution center that minimizes distribution costs.
The transportation model, specifically part 2, is an essential tool in the field of operations research and supply chain management. The primary purpose of the transportation model is B, which is to determine the best pattern of shipments from several points of supply to several points of demand.
This model is used to minimize the total transportation cost, while also satisfying supply and demand constraints at each location. to accomplish this, the transportation model takes into account various qualitative and quantitative factors, such as transportation costs, distances, capacities, and demands.
In summary, the transportation model part 2 is a valuable tool for determining the best pattern of shipments from several points of supply to several points of demand, taking into account both qualitative and quantitative factors to minimize transportation costs while satisfying supply and demand constraints. Therefore the correct option is B
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in order for a citizen of kona to maintain the same standard of living between 2010 and 2015 , what percentage change in nominal income would be needed? explain.
To maintain the same standard of living, a person's nominal income would need to increase by the same percentage, or 8.23%.
In order for a citizen of Kona to maintain the same standard of living between 2010 and 2015, a percentage change of 8.23% in nominal income would be needed.
The explanation is as follows:
Nominal income is the actual income a person earns, without taking into account the effects of inflation. Inflation is the rate at which prices increase over time. Therefore, the purchasing power of a person's income is affected by inflation. If prices increase faster than nominal income, a person's standard of living decreases.
To calculate the percentage change in nominal income needed to maintain the same standard of living, we need to use the inflation rate between 2010 and 2015. According to the Bureau of Labor Statistics, the inflation rate in the United States between those years was 8.23%. This means that the prices of goods and services increased by 8.23% during that time.
To maintain the same standard of living, a person's nominal income would need to increase by the same percentage, or 8.23%. This would account for the increase in prices and allow the person to purchase the same amount of goods and services as they could in 2010.
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the government sends a $2,000 check to every adult. that is intended to shift aggregate demand to the right, and increase real gdp. true false
The given statement "the government sends a $2,000 check to every adult in order to shift aggregate demand to the right and increase real GDP" is true.
This policy, which is a fiscal policy, would encourage people to consume more and invest more, both of which would increase GDP.
The GDP or gross domestic product, which is a measure of a nation's economic performance, is determined by aggregate demand and supply factors, and this measure determines the nation's welfare or standard.
The real GDP is a measure of a nation's economic output adjusted for price inflation. To increase GDP, there must be a rise in total spending in the economy, which might occur if there is an increase in the aggregate demand (AD).
As a result, a rise in government spending, an increase in household consumption, an increase in business investment, or
an increase in net exports may all lead to a rise in aggregate demand, resulting in a rise in real GDP.
This means that if the government sends a $2,000 check to every adult, it is intended to shift aggregate demand to the right and increase real GDP.
So, this is how the government sends a $2,000 check to every adult in order to shift aggregate demand to the right and increase real GDP.
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The antitakeover tactic, _______, is when a firm offers to buy shares of their stock from a company (or individual) planning to acquire their firm at a higher price than the unfriendly company paid for it.
A.
golden parachute
B.
poison pill
C.
greenmail
D.
scorched earth
The antitakeover tactic known as greenmail is when a firm offers to buy shares of their stock from a company (or individual) planning to acquire their firm at a higher price than the unfriendly company paid for it.
What do you understand by greenmail?In other words, greenmail is a defensive strategy that involves the target company buying back its shares at a premium from a hostile bidder in order to avoid a hostile takeover.
Greenmail is one of several antitakeover tactics used by firms to fend off hostile takeovers. Others include poison pills, golden parachutes, and scorched earth.
The poison pill, for example, is a tactic that involves a company issuing new shares of stock to existing shareholders in order to dilute the value of the stock held by the acquiring company.
The golden parachute, on the other hand, is a strategy that offers executives and key employees large payouts if the company is acquired, thereby discouraging a takeover.
Scorched earth is a tactic that involves a target company taking steps to make itself unattractive to the hostile bidder by making drastic changes to its business operations.
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Good, inexpensive, and fairly reliable predictors of future exchange rates include:
A. today's exchange rate.
B. current forward exchange rates (e.g. the six-month forward rate is a pretty good predictor of the spot rate that will prevail six months from today).
C. esoteric fundamental models that take an econometrician to use and no one can explain.
D. both a) and b)
Good, inexpensive, and fairly reliable predictors of future exchange rates include both a) today's exchange rate and b) current forward exchange rates. So the correct answer is D. Both a) and b).
Today's exchange rate can provide a general idea of the current market conditions, while forward exchange rates can give an insight into what the market expects for future exchange rates. These predictors are useful tools for anticipating future fluctuations in exchange rates.An exchange rate is just a price: the price of one country's currency in terms of another country's currency. So if the exchange rate from UK pounds to US dollars is 1.35, then £1 will buy you $1.35.An exchange rate is a rate at which one currency will be exchanged for another currency. Most exchange rates are defined as floating and will rise or fall based on the supply and demand in the market. Some exchange rates are pegged or fixed to the value of a specific country's currency.
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marcia purchased 100 shares of hyde foods stock on margin at a price of $35 a share. the initial margin requirement is 65% and the maintenance margin is 35%. what is the lowest the stock price can go before marcia receives a margin call?
Marcia will receive a margin call $20.88 per share when the stock price of Hyde Foods falls
The total cost of purchasing 100 shares of Hyde Foods stock at $35 per share is:
100 x $35 = $3,500
Since the initial margin requirement is 65%, Marcia only needs to put up 65% of the purchase price, or:
$3,500 x 0.65 = $2,275
This means that the remaining 35% is borrowed from the broker, or:
$3,500 - $2,275 = $1,225
To calculate the lowest stock price before receiving a margin call, we need to use the maintenance margin. The maintenance margin is the minimum amount of equity that must be maintained in a margin account, expressed as a percentage of the total market value of the securities held in the account. If the equity in the account falls below this level, the broker will issue a margin call.
Since the maintenance margin is 35%, the equity in the account must be at least 35% of the total market value of the securities held in the account. At a stock price of $35 per share, the market value of the 100 shares is:
100 x $35 = $3,500
The equity in the account is therefore:
$3,500 - $1,225 = $2,275
To find the lowest stock price before receiving a margin call, we can set up the following equation:
$2,275 / $3,500 = 0.65 - (X / $35)
Where X is the new stock price before a margin call is issued. Solving for X, we get:
X = $20.88
Therefore, the lowest the stock price can go before Marcia receives a margin call is $20.88 per share.
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0 / 1 point k buys a piece of landlocked property from l on the condition that l provide an easement across the property for ingress and egress. the easement isn't recorded. k later sells the property. is the easement still valid for the new owner?
Yes, because such easements belong to property, not to individuals. So, the easement is still valid for the new owner.
Landlocked in the context of real estate refers to real estate inaccessible from public thoroughfares except for adjacent properties. This type of land is located behind a shopping street and can only be reached by passing through the shopping street. Inland properties are locked. That is, it is surrounded by other properties.
Landlocked parcels are usually the result/outcome of smaller parcels or the division of larger parcels into smaller parcels that are sold individually. Ideally, each small parcel should have access to public right-of-way, but sometimes this is not possible.
Inland properties are generally less valuable than surrounding properties due to inaccessibility. However, that does not mean that inland property is worthless.
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Complete question:
K buys a piece of landlocked property from L on the condition that L provide an easement across the property for ingress and egress. The easement isn't recorded. K later sells the property. Is the easement still valid for the new owner?
how would an economist characterize a local government increasing property taxes to improve the school system? multiple choice question. cross out a) laissez-faire in action
An economist would characterize a local government increasing property taxes to improve the school system as necessary and beneficial. What are property taxes?
Property taxes are taxes charged on real estate by local governments, and they are calculated using the property's value. They are usually calculated as a percentage of the property's assessed value. Economists would consider property taxes to be beneficial because they are a source of revenue for governments. The government uses this revenue to finance public goods and services such as schools, hospitals, infrastructure, and social services, which benefit society as a whole.
In the scenario of local governments increasing property taxes to improve the school system, economists would view it as a positive measure. It is because education is considered a public good, which means that it benefits everyone in society, not just the person who receives it. Improving the school system increases access to education, which contributes to individual welfare and economic growth. Therefore, an economist would characterize a local government increasing property taxes to improve the school system as a necessary and beneficial measure.
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cash, fine art, and silver are alla.media of exchange.b.units of account.c.stores of value.d.extremely liquid assets.
Cash, fine art, and silver are all forms of stores of value, units of account, and mediums of exchange. They can be used to purchase goods and services, save for the future, and compare the value of different goods and services. Option a), b), and c) are the correct answer.
Cash, fine art, and silver are all forms of stores of value. A store of value is a form of asset that maintains its value over time. Cash is a liquid asset that can be used as medium of exchange, but it can also be saved for future use. Fine art, such as paintings and sculptures, can also be saved and exchanged for a higher value, depending on the type and condition of the artwork. Silver is also a store of value as it is a physical asset that can be exchanged or held for future use.
All of these forms of stores of value are also units of account, which is a standardized measure of value used to express the value of goods and services in a common unit. Units of account are also used to determine the cost of goods and services and to compare the costs of different goods and services.
Finally, these forms of stores of value are also mediums of exchange, which is a type of asset that can be used to purchase goods and services. Cash is the most common medium of exchange, but art and silver can also be used to purchase goods and services, depending on the value of the asset. Hence option a), b), and c) are the right answer.
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which function would calculate a final value of an investment of $250 per month for 5 years at 4% interest?
The function to calculate the final value of an investment of $250 per month for 5 years at 4% interest is the future value (FV) formula. The FV formula is used to calculate the amount that a given investment will be worth at a given future date, assuming a fixed rate of return.
The formula for the future value (FV) is: FV = PV x (1 + i)^n, where PV is the present value, i is the interest rate, and n is the number of periods.
In this case, the present value (PV) is 250, the interest rate (i) is 0.04, and the number of periods (n) is 5. Thus, the future value of the investment can be calculated using the following equation:
FV = 250 x (1 + 0.04)^5 = $1,337.97
This means that the investment of $250 per month for 5 years at 4% interest will be worth $1,337.97 after 5 years.
It is important to note that the future value of the investment can be affected by changes in the interest rate, so any changes in the interest rate must be taken into account when calculating the future value of the investment.
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the cost of producing units of stuffed alligator toys is . find the marginal cost at the production level of units.
The marginal cost is the difference in the overall production costs caused by the creating or producing one more unit.
Is marginal cost the total cost's derivative?The additional expense required while producing an additional unit of a good is known as the marginal cost (MC). It does indeed represent the first derivative of the whole cost (TC). Total cost (TC) with respect to Q is acquired through derivative analysis. TC is the total of all expenses incurred in producing an output.
A marginal cost function can be drawn in what way?Plot the costs related to the outputs you determined from the prior lesson in order to create a marginal cost (MC) curve. The total product should be plotted on the horizontal axis with the MC on the vertical axis.
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the process where a company attempts to recover costs by increasing the price for a product with decreasing demand describes the
The process where a company attempts to recover costs by increasing the price for a product with decreasing demand describes the process of price skimming.
The explanation given in the question really contrasts with price skimming, a pricing tactic where a business sets a high initial price for a new good or service and then progressively reduces the price over time as demand declines.
Price gouging is the practise of a business trying to recover costs by raising the price of a good when there is a decline in demand. Price gouging is when a vendor raises prices for products or services that customers need by taking advantage of a brief shortage or an exceptional rise in demand.
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true or false: public us companies are not allowed to adopt the ifrs standards and must use us gaap.
The statement "public US companies are not allowed to adopt the IFRS standards and must use US GAAP" is False because the US Securities and Exchange Commission (SEC) has allowed companies to voluntarily adopt IFRS since 2007.
The IFRS (International Financial Reporting Standards) is a set of accounting standards created by the International Accounting Standards Board (IASB). This standard is used by businesses in more than 120 countries, including most of the European Union, in the preparation of financial statements.
US GAAP (Generally Accepted Accounting Principles) is a collection of commonly accepted accounting principles, rules, and guidelines used in the United States when preparing financial statements. It is designed to ensure that financial reporting is transparent, accurate, and consistent. However, public US companies are allowed to adopt IFRS Standards instead of US GAAP.
The US Securities and Exchange Commission (SEC) has allowed companies to voluntarily adopt IFRS since 2007. However, many US companies still use US GAAP because it is the standard required by the SEC for public companies that are based in the United States.
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project managers and teams seek to develop strong working relationships with important stakeholders. when should relationship building between the project manager/other core team members and important stakeholders occur?
Relationship building between project managers and other core team members and important stakeholders should begin as soon as possible, that is, at the beginning of the project.
It is important for team members to be aware of the goals and objectives of the project and for stakeholders to have a clear understanding of the team's roles and responsibilities.
By beginning relationship building early, both parties can foster a culture of open communication and trust. Establishing relationships between the project manager and the stakeholders helps build a strong network of support.
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compared with imperfect price discrimination, deadweight loss under a nondiscriminating monopoly is:
Higher. Deadweight loss under a nondiscriminating monopoly is higher than under imperfect price discrimination because the monopoly charges a higher price to all consumers, reducing overall demand and creating inefficiencies.
Deadweight loss is the decline in economic efficiency that happens when a market is not running at its optimum level, resulting in a net loss of social welfare. With a nondiscriminating monopoly, the corporation charges a higher price to all consumers, which reduces overall demand and generates inefficiencies that result in deadweight loss. In contrast, with imperfect price discrimination, the corporation charges various rates to different consumers based on their willingness to pay, which can improve overall income and minimise deadweight loss. Consequently, deadweight loss under a nondiscriminating monopoly is larger than under imperfect price discrimination because the monopoly fails to optimise the market by not charging various rates based on customer willingness to pay.
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